Acropolis Investment Management, Llc Portfolio Stock Holdings

Acropolis Investment Management, Llc disclosed 384 stock positions valued at approximately $2.3 billion in its latest SEC 13F filing. The largest holdings include VANGUARD INDEX FDS, VANGUARD TAX-MANAGED FDS, and DIMENSIONAL ETF TRUST. The filing reflects positions held as of March 31, 2026 and was filed on April 9, 2026.

Report Period
March 31, 2026
No. of Stocks
384
Portfolio Value
$2.3B
Holdings by Sector
Acropolis Investment Management, Llc Portfolio Holdings in Q1 2026

381 holdings in the latest reporting period.

Page 1 of 4
CompanySymbolSectorPortfolio %SharesChange (Shares)Change %Value
VANGUARD INDEX FDSVOOOther15.06%570,339+1,824+0.32%$340,805,938
VANGUARD TAX-MANAGED FDSVEAOther7.88%2,783,625-28,799-1.02%$178,374,695
DIMENSIONAL ETF TRUSTDFCFOther6.48%3,471,746+588,512+20.41%$146,577,098
VANGUARD SCOTTSDALE FDSVGITOther5.69%2,161,827+654,222+43.39%$128,736,807
ISHARES TRIJROther5.49%999,927+158+0.02%$124,300,982
ISHARES TRIJHOther5.13%1,720,404-5,513-0.32%$116,178,857
ISHARES TRIGIBOther4.94%2,098,568+39,416+1.91%$111,685,790
ISHARES TRSMLFOther3.27%979,045+10,415+1.08%$73,908,081
VANGUARD BD INDEX FDSBNDOther2.57%790,110-249,778-24.02%$58,183,715
VANGUARD INTL EQUITY INDEX FVWOOther2.43%1,019,138+3,720+0.37%$55,084,398
VANGUARD INDEX FDSVVOther2.23%168,552+1,388+0.83%$50,371,784
ISHARES TRIEFAOther1.80%449,577-14,144-3.05%$40,700,175
ISHARES TRMTUMOther1.51%141,946+2,609+1.87%$34,065,572
VANGUARD SCOTTSDALE FDSVGSHOther1.48%572,906-298,032-34.22%$33,537,940
DIMENSIONAL ETF TRUSTDFLVOther1.43%906,845+9,169+1.02%$32,383,419
ISHARES TRIMTMOther1.34%633,116-8,034-1.25%$30,402,226
DIMENSIONAL ETF TRUSTDFIVOther1.19%508,589-11,587-2.23%$26,843,350
VANGUARD SCOTTSDALE FDSVMBSOther1.11%535,811-200,600-27.24%$25,156,325
ISHARES TRLRGFOther1.04%357,549+45,193+14.47%$23,598,234
APPLE INCAAPLTechnology1.00%88,996-1,602-1.77%$22,586,189
VANGUARD MALVERN FDSVCRBOther0.99%289,865+67,699+30.47%$22,429,754
AMERICAN CENTY ETF TRAVUSOther0.83%167,996+4,183+2.55%$18,677,796
ISHARES TRIVVOther0.80%27,611-229-0.82%$18,035,674
VANGUARD INDEX FDSVBOther0.78%67,185-1,282-1.87%$17,597,208
ISHARES TRIVWOther0.77%154,027-1,903-1.22%$17,421,972
MICROSOFT CORPMSFTTechnology0.68%41,294-880-2.09%$15,285,875
ISHARES TRINTFOther0.63%363,258+29,474+8.83%$14,152,532
VANGUARD INDEX FDSVOOther0.58%46,048-197-0.43%$13,223,964
WALMART INCWMTConsumer Defensive0.57%103,018-1,433-1.37%$12,803,106
ISHARES TRIVEOther0.50%53,885+1,026+1.94%$11,377,772
ISHARES INCIEMGOther0.47%151,521-2,414-1.57%$10,568,607
PROCTER & GAMBLE COPGConsumer Defensive0.42%66,006-155-0.23%$9,533,971
NVIDIA CORPORATIONNVDATechnology0.42%54,578-1,000-1.80%$9,518,466
ALPHABET INCGOOGLCommunication Services0.40%31,822+364+1.16%$9,150,819
VANGUARD INDEX FDSVUGOther0.40%20,543-268-1.29%$8,972,960
ISHARES TRMUBOther0.35%74,221+4,205+6.01%$7,878,575
ISHARES TRIEFOther0.31%74,365+3,191+4.48%$7,097,396
BERKSHIRE HATHAWAY INC DELBRK-BFinancial Services0.30%14,073-17-0.12%$6,743,655
VANGUARD SCOTTSDALE FDSVCITOther0.27%74,670--$6,178,943
AMAZON COM INCAMZNConsumer Cyclical0.27%29,145+221+0.76%$6,069,955
JPMORGAN CHASE & COJPMFinancial Services0.26%20,276-295-1.43%$5,964,471
STATE STR SPDR S&P 500 ETF TSPYOther0.26%9,060+47+0.52%$5,892,099
SCHWAB STRATEGIC TRSCHFOther0.25%231,639-997-0.43%$5,733,066
ISHARES TRIWROther0.23%54,176-1,747-3.12%$5,267,521
EXXON MOBIL CORPXOMEnergy0.23%30,518+847+2.85%$5,177,745
VANGUARD INDEX FDSVTVOther0.22%25,479+661+2.66%$4,999,003
JOHNSON & JOHNSONJNJHealthcare0.22%20,428-345-1.66%$4,993,529
ISHARES TRIWMOther0.21%18,952+49+0.26%$4,700,120
VISA INCVFinancial Services0.19%14,409-144-0.99%$4,354,962
VANGUARD INDEX FDSVTIOther0.18%12,829+212+1.68%$4,115,707
ISHARES TRIWDOther0.18%18,925-767-3.89%$4,043,733
ISHARES TREFAOther0.18%40,798-2,360-5.47%$3,962,677
ISHARES TRIEIOther0.17%32,433+172+0.53%$3,846,542
VANGUARD INDEX FDSVBKOther0.17%12,469+110+0.89%$3,768,796
SELECT SECTOR SPDR TRXLKOther0.17%28,202--$3,748,102
ISHARES TRIYWOther0.16%19,777-561-2.76%$3,587,944
CHEVRON CORPORATIONCVXEnergy0.16%17,194-561-3.16%$3,557,499
TRAVELERS COMPANIES INCTRVFinancial Services0.15%11,547-765-6.21%$3,368,025
MORGAN STANLEYMSFinancial Services0.13%18,439-813-4.22%$3,034,482
UNITEDHEALTH GROUP INCUNHHealthcare0.13%11,145-1,306-10.49%$3,015,741
VANGUARD INDEX FDSVBROther0.13%13,648+260+1.94%$2,965,028
AMERICAN CENTY ETF TRAVSCOther0.13%45,745--$2,849,914
LOCKHEED MARTIN CORPLMTIndustrials0.13%4,699+136+2.98%$2,840,029
SENSIENT TECHNOLOGIES CORPSXTBasic Materials0.13%32,805+2,462+8.11%$2,835,665
ISHARES TRSCZOther0.12%35,965-258-0.71%$2,820,002
VANGUARD BD INDEX FDSBSVOther0.12%35,716-3,224-8.28%$2,800,466
ISHARES TRIWBOther0.12%7,558--$2,694,951
INVESCO QQQ TRQQQOther0.11%4,309+4+0.09%$2,487,113
KROGER COKRConsumer Defensive0.11%33,819-432-1.26%$2,447,161
SNAP ON INCSNAIndustrials0.10%6,037-9-0.15%$2,192,813
DEERE & CODEIndustrials0.10%3,844-179-4.45%$2,165,409
HCA HEALTHCARE INCHCAHealthcare0.10%4,566+31+0.68%$2,160,839
ISHARES TRIWFOther0.10%5,049-87-1.69%$2,152,894
OREILLY AUTOMOTIVE INCORLYConsumer Cyclical0.09%21,383-193-0.89%$1,973,865
SELECT SECTOR SPDR TRXLEOther0.09%31,799-1,400-4.22%$1,948,007
ISHARES TRESGUOther0.08%13,570-40-0.29%$1,919,070
CATERPILLAR INCCATIndustrials0.08%2,593+53+2.09%$1,837,048
JANUS DETROIT STR TRJMBSOther0.08%40,434-1,970-4.65%$1,826,809
COSTCO WHOLESALE CORPORATIONCOSTConsumer Defensive0.08%1,824+43+2.41%$1,817,331
ENTERGY CORP NEWETRUtilities0.08%16,096-2,180-11.93%$1,808,507
ELI LILLY & COLLYHealthcare0.08%1,953-97-4.73%$1,796,251
MERCK & CO INCMRKHealthcare0.08%14,643-406-2.70%$1,761,458
LOWES COS INCLOWConsumer Cyclical0.08%7,454-350-4.48%$1,761,187
UNITED RENTALS INCURIIndustrials0.08%2,370-14-0.59%$1,726,775
MICRON TECHNOLOGY INCMUTechnology0.08%5,060+98+1.98%$1,709,436
ISHARES TRESGDOther0.07%17,608-85-0.48%$1,683,677
ENTERPRISE FINL SVCS CORPEFSCFinancial Services0.07%31,105--$1,683,092
AMERICAN EXPRESS COAXPFinancial Services0.07%5,442-81-1.47%$1,646,097
TAIWAN SEMICONDUCTOR MANUFACTSMTechnology0.07%4,870+26+0.54%$1,645,817
RTX CORPORATIONRTXIndustrials0.07%8,511+29+0.34%$1,641,770
HOME DEPOT INCHDConsumer Cyclical0.07%4,718-147-3.02%$1,551,578
ABBVIE INCABBVHealthcare0.07%6,988-50-0.71%$1,519,920
META PLATFORMS INCMETACommunication Services0.07%2,642+45+1.73%$1,511,517
TESLA INCTSLAConsumer Cyclical0.07%4,064-403-9.02%$1,510,792
ALPHABET INCGOOGCommunication Services0.07%5,253+784+17.54%$1,507,001
FIRST TR EXCHANGE-TRADED FDGRIDOther0.07%9,208+6,990+315.15%$1,506,245
ISHARES TRIBBOther0.07%8,902--$1,503,103
VANGUARD INDEX FDSVOEOther0.06%7,832+21+0.27%$1,443,306
TJX COS INC NEWTJXConsumer Cyclical0.06%8,867-400-4.32%$1,416,103
AMERICAN CENTY ETF TRAVLVOther0.06%17,566-768-4.19%$1,415,996