Acorns Advisers, Llc Portfolio Stock Holdings

According to the SEC 13F filed on August 14, 2026, Acorns Advisers, Llc disclosed 106 stock positions valued at approximately $15.34B as of quarter-end June 30, 2026. The largest holdings include VANGUARD INDEX FDS, ISHARES TR, and ISHARES TR.

Report Period
June 30, 2026
No. of Stocks
106
Portfolio Value
$15.34B
Holdings by Sector
Acorns Advisers, Llc Portfolio Holdings in Q2 2026
CompanySymbolSectorPortfolio %SharesChange (Shares)Change %Value
VANGUARD INDEX FDSVOOOther43.52%9,716,948+108,577+1.13%$6,673,697,000
ISHARES TRIXUSOther23.23%37,327,069+853,391+2.34%$3,562,495,000
ISHARES TRAGGOther9.44%14,625,279+1,156,052+8.58%$1,447,610,000
ISHARES TRIJHOther7.09%14,093,257+259,992+1.88%$1,086,731,000
ISHARES TRISTBOther4.02%12,768,271+946,675+8.01%$616,069,000
ISHARES TRIJROther3.55%3,675,530+39,103+1.08%$545,118,000
ISHARES TRESGUOther2.82%2,646,512-5,885-0.22%$433,154,000
ISHARES TRESGDOther1.10%1,642,193+63,851+4.05%$168,834,000
PROSHARES TRBITOOther0.48%9,189,016+1,392,921+17.87%$73,328,000
ISHARES TRSUSAOther0.45%451,365+209+0.05%$69,645,000
ISHARES TRESGEOther0.42%1,187,994-27,389-2.25%$64,971,000
GOLDMAN SACHS ETF TRGBILOther0.36%544,006+7,540+1.41%$54,488,000
ISHARES TRSHVOther0.35%493,047+6,483+1.33%$54,408,000
ISHARES TRICSHOther0.35%1,074,931+12,025+1.13%$54,370,000
JP MORGAN EXCHANGE TRADED FDJPSTOther0.35%1,074,374+7,772+0.73%$54,331,000
SPDR SERIES TRUSTBILOther0.35%592,581+7,234+1.24%$54,304,000
ISHARES TRESMLOther0.23%639,445-1,804-0.28%$35,764,000
NVIDIA CORPORATION COMNVDATechnology0.20%154,002+10,659+7.44%$30,814,000
ISHARES TRGOVTOther0.19%1,289,961+88,339+7.35%$29,385,000
ISHARES TRMBBOther0.18%296,322+19,534+7.06%$28,008,000
ISHARES TRSUSCOther0.16%1,092,474+63,858+6.21%$25,292,000
ISHARES TRSHYOther0.11%213,105+11,868+5.90%$17,498,000
ISHARES TRSUSBOther0.11%698,679+38,501+5.83%$17,460,000
TESLA INC COMTSLAConsumer Cyclical0.10%36,762+2,929+8.66%$15,462,000
APPLE INC COMAAPLTechnology0.08%42,388+1,864+4.60%$12,265,000
AMAZON COM INC COMAMZNConsumer Cyclical0.07%48,042+3,145+7.00%$11,450,000
ADVANCED MICRO DEVICES INC COMAMDTechnology0.06%14,921-1,156-7.19%$8,668,000
SELECT SECTOR SPDR TR STATE STREET TECXLKOther0.05%38,056+1,188+3.22%$7,250,000
MICROSOFT CORP COMMSFTTechnology0.04%16,698+2,155+14.82%$6,229,000
META PLATFORMS INC CL AMETACommunication Services0.03%7,321+1,078+17.27%$4,124,000
Showing 30 of 106 holdings in the latest reporting period.