Schwab 1000 Index® ETF (SCHK)

All holdings as of date 02/06/26
Displaying 701 - 800 of 995
  • LKQ CORP

  • HF SINCLAIR CORP

  • OGE ENERGY CORP

  • CARETRUST REIT INC

  • AUTOLIV INC

  • COCA COLA CONSOLIDATED INC

  • CUBESMART REIT

  • AGREE REALTY REIT CORP

  • RYDER SYSTEM INC

  • AFFILIATED MANAGERS GROUP INC

  • WATTS WATER TECHNOLOGIES INC CLASS

  • MOLSON COORS BEVERAGE COMPANY CLAS

  • PRIMERICA INC

  • MADRIGAL PHARMACEUTICALS INC

  • POOL CORP

  • RANGE RESOURCES CORP

  • ALEXANDRIA REAL ESTATE EQUITIES RE

  • BRIXMOR PROPERTY GROUP REIT INC

  • SAMSARA INC CLASS A

  • AMERICAN HEALTHCARE REIT INC

  • LITTELFUSE INC

  • JBT MAREL CORP

  • FRANKLIN RESOURCES INC

  • ARMSTRONG WORLD INDUSTRIES INC

  • AXIS CAPITAL HOLDINGS LTD

  • MANHATTAN ASSOCIATES INC

  • UGI CORP

  • FEDERAL REALTY INVESTMENT TRUST RE

  • NNN REIT INC

  • APTARGROUP INC

  • COREBRIDGE FINANCIAL INC

  • JACKSON FINANCIAL INC CLASS A

  • UNITY SOFTWARE INC

  • LITHIA MOTORS INC CLASS A

  • SEI INVESTMENTS

  • FACTSET RESEARCH SYSTEMS INC

  • SIMPSON MANUFACTURING INC

  • PRIMORIS SERVICES CORP

  • SHARKNINJA INC

  • HENRY SCHEIN INC

  • CLEVELAND CLIFFS INC

  • FIRST INDUSTRIAL REALTY TRUST INC

  • SANMINA CORP

  • AMDOCS LTD

  • NATIONAL FUEL GAS

  • CELSIUS HOLDINGS INC

  • OKLO INC CLASS A

  • PLANET FITNESS INC CLASS A

  • AEROVIRONMENT INC

  • ZURN ELKAY WATER SOLUTIONS CORP

  • MP MATERIALS CORP CLASS A

  • REPLIGEN CORP

  • AGCO CORP

  • AXSOME THERAPEUTICS INC

  • WINGSTOP INC

  • INGREDION INC

  • MGM RESORTS INTERNATIONAL

  • CYTOKINETICS INC

  • INSTALLED BUILDING PRODUCTS INC

  • BLUE OWL CAPITAL INC CLASS A

  • ARROW ELECTRONICS INC

  • ESAB CORP

  • AVANTOR INC

  • MATCH GROUP INC

  • ERIE INDEMNITY CLASS A

  • CIRRUS LOGIC INC

  • IDACORP INC

  • AXALTA COATING SYSTEMS LTD

  • ORMAT TECH INC

  • ONEMAIN HOLDINGS INC

  • STAG INDUSTRIAL REIT INC

  • HORMEL FOODS CORP

  • MIDDLEBY CORP

  • ALBERTSONS COMPANY INC CLASS A

  • LEAR CORP

  • SEMTECH CORP

  • FORTUNE BRANDS INNOVATIONS INC

  • FLOOR DECOR HOLDINGS INC CLASS A

  • FLUOR CORP

  • BRINKER INTERNATIONAL INC

  • VIPER ENERGY INC CLASS A

  • MSA SAFETY INC

  • EAGLE MATERIALS INC

  • COMMERCE BANCSHARES INC

  • VOYA FINANCIAL INC

  • FEDERAL SIGNAL CORP

  • QORVO INC

  • TPG INC CLASS A

  • FIRSTCASH HOLDINGS INC

  • PROSPERITY BANCSHARES INC

  • RUBRIK INC CLASS A

  • AIR LEASE CORP CLASS A

  • FIRST AMERICAN FINANCIAL CORP

  • HEALTHEQUITY INC

  • MOHAWK INDUSTRIES INC

  • KARMAN HOLDINGS INC

  • CARMAX INC

  • MURPHY USA INC

  • COGNEX CORP

  • HYATT HOTELS CORP CLASS A

Fund Name CUSIP Symbol Quantity % of Assets Market Value
LKQ CORP 501889208 LKQ 19,645 0.01% $674.8K
HF SINCLAIR CORP 403949100 DINO 11,917 0.01% $674.5K
OGE ENERGY CORP 670837103 OGE 15,307 0.01% $673.2K
CARETRUST REIT INC 14174T107 CTRE 17,404 0.01% $672.0K
AUTOLIV INC 052800109 ALV 5,400 0.01% $671.3K
COCA COLA CONSOLIDATED INC 191098102 COKE 4,317 0.01% $671.2K
CUBESMART REIT 229663109 CUBE 17,494 0.01% $671.1K
AGREE REALTY REIT CORP 008492100 ADC 8,772 0.01% $667.8K
RYDER SYSTEM INC 783549108 R 3,114 0.01% $667.3K
AFFILIATED MANAGERS GROUP INC 008252108 AMG 2,197 0.01% $662.5K
WATTS WATER TECHNOLOGIES INC CLASS 942749102 WTS 2,140 0.01% $660.8K
MOLSON COORS BEVERAGE COMPANY CLAS 60871R209 TAP 12,911 0.01% $660.1K
PRIMERICA INC 74164M108 PRI 2,430 0.01% $659.9K
MADRIGAL PHARMACEUTICALS INC 558868105 MDGL 1,418 0.01% $657.1K
POOL CORP 73278L105 POOL 2,546 0.01% $655.7K
RANGE RESOURCES CORP 75281A109 RRC 18,197 0.01% $654.9K
ALEXANDRIA REAL ESTATE EQUITIES RE 015271109 ARE 11,865 0.01% $654.2K
BRIXMOR PROPERTY GROUP REIT INC 11120U105 BRX 23,155 0.01% $648.6K
SAMSARA INC CLASS A 79589L106 IOT 26,735 0.01% $648.3K
AMERICAN HEALTHCARE REIT INC 398182303 AHR 13,442 0.01% $647.5K
LITTELFUSE INC 537008104 LFUS 1,938 0.01% $643.2K
JBT MAREL CORP 477839104 JBTM 3,942 0.01% $642.2K
FRANKLIN RESOURCES INC 354613101 BEN 23,853 0.01% $641.9K
ARMSTRONG WORLD INDUSTRIES INC 04247X102 AWI 3,294 0.01% $638.2K
AXIS CAPITAL HOLDINGS LTD G0692U109 AXS 5,963 0.01% $635.6K
MANHATTAN ASSOCIATES INC 562750109 MANH 4,582 0.01% $633.6K
UGI CORP 902681105 UGI 16,584 0.01% $627.4K
FEDERAL REALTY INVESTMENT TRUST RE 313745101 FRT 5,932 0.01% $622.0K
NNN REIT INC 637417106 NNN 14,461 0.01% $620.1K
APTARGROUP INC 038336103 ATR 4,978 0.01% $617.2K
COREBRIDGE FINANCIAL INC 21871X109 CRBG 20,702 0.01% $616.7K
JACKSON FINANCIAL INC CLASS A 46817M107 JXN 5,268 0.01% $611.9K
UNITY SOFTWARE INC 91332U101 U 26,294 0.01% $610.3K
LITHIA MOTORS INC CLASS A 536797103 LAD 1,837 0.01% $610.2K
SEI INVESTMENTS 784117103 SEIC 7,222 0.01% $609.6K
FACTSET RESEARCH SYSTEMS INC 303075105 FDS 2,911 0.01% $608.9K
SIMPSON MANUFACTURING INC 829073105 SSD 3,176 0.01% $607.9K
PRIMORIS SERVICES CORP 74164F103 PRIM 4,095 0.01% $605.9K
SHARKNINJA INC G8068L108 SN 5,351 0.01% $605.8K
HENRY SCHEIN INC 806407102 HSIC 7,838 0.01% $603.5K
CLEVELAND CLIFFS INC 185899101 CLF 43,434 0.01% $601.6K
FIRST INDUSTRIAL REALTY TRUST INC 32054K103 FR 10,058 0.01% $601.0K
SANMINA CORP 801056102 SANM 4,194 0.01% $597.0K
AMDOCS LTD G02602103 DOX 8,324 0.01% $592.1K
NATIONAL FUEL GAS 636180101 NFG 6,945 0.01% $588.0K
CELSIUS HOLDINGS INC 15118V207 CELH 12,235 0.01% $586.9K
OKLO INC CLASS A 02156V109 OKLO 9,433 0.01% $586.2K
PLANET FITNESS INC CLASS A 72703H101 PLNT 6,453 0.01% $584.7K
AEROVIRONMENT INC 008073108 AVAV 2,452 0.01% $580.8K
ZURN ELKAY WATER SOLUTIONS CORP 98983L108 ZWS 11,329 0.01% $579.0K
MP MATERIALS CORP CLASS A 553368101 MP 10,236 0.01% $578.8K
REPLIGEN CORP 759916109 RGEN 4,142 0.01% $578.5K
AGCO CORP 001084102 AGCO 4,648 0.01% $577.9K
AXSOME THERAPEUTICS INC 05464T104 AXSM 3,192 0.01% $577.2K
WINGSTOP INC 974155103 WING 2,168 0.01% $577.1K
INGREDION INC 457187102 INGR 4,847 0.01% $576.3K
MGM RESORTS INTERNATIONAL 552953101 MGM 15,849 0.01% $575.0K
CYTOKINETICS INC 23282W605 CYTK 9,540 0.01% $574.7K
INSTALLED BUILDING PRODUCTS INC 45780R101 IBP 1,773 0.01% $572.8K
BLUE OWL CAPITAL INC CLASS A 09581B103 OWL 48,665 0.01% $566.0K
ARROW ELECTRONICS INC 042735100 ARW 3,988 0.01% $562.7K
ESAB CORP 29605J106 ESAB 4,394 0.01% $562.0K
AVANTOR INC 05352A100 AVTR 51,995 0.01% $561.0K
MATCH GROUP INC 57667L107 MTCH 18,172 0.01% $560.6K
ERIE INDEMNITY CLASS A 29530P102 ERIE 1,962 0.01% $560.4K
CIRRUS LOGIC INC 172755100 CRUS 3,995 0.01% $559.7K
IDACORP INC 451107106 IDA 4,133 0.01% $559.6K
AXALTA COATING SYSTEMS LTD G0750C108 AXTA 16,507 0.01% $557.8K
ORMAT TECH INC 686688102 ORA 4,595 0.01% $557.2K
ONEMAIN HOLDINGS INC 68268W103 OMF 8,940 0.01% $556.9K
STAG INDUSTRIAL REIT INC 85254J102 STAG 14,128 0.01% $556.6K
HORMEL FOODS CORP 440452100 HRL 22,177 0.01% $556.4K
MIDDLEBY CORP 596278101 MIDD 3,550 0.01% $556.4K
ALBERTSONS COMPANY INC CLASS A 013091103 ACI 31,113 0.01% $553.5K
LEAR CORP 521865204 LEA 4,040 0.01% $549.6K
SEMTECH CORP 816850101 SMTC 6,593 0.01% $548.5K
FORTUNE BRANDS INNOVATIONS INC 34964C106 FBIN 9,138 0.01% $546.9K
FLOOR DECOR HOLDINGS INC CLASS A 339750101 FND 8,200 0.01% $546.5K
FLUOR CORP 343412102 FLR 12,084 0.01% $543.4K
BRINKER INTERNATIONAL INC 109641100 EAT 3,381 0.01% $543.1K
VIPER ENERGY INC CLASS A 64361Q101 VNOM 12,847 0.01% $542.0K
MSA SAFETY INC 553498106 MSA 2,888 0.01% $540.5K
EAGLE MATERIALS INC 26969P108 EXP 2,421 0.01% $540.4K
COMMERCE BANCSHARES INC 200525103 CBSH 9,906 0.01% $538.8K
VOYA FINANCIAL INC 929089100 VOYA 7,443 0.01% $537.6K
FEDERAL SIGNAL CORP 313855108 FSS 4,774 0.01% $536.6K
QORVO INC 74736K101 QRVO 6,432 0.01% $532.1K
TPG INC CLASS A 872657101 TPG 9,899 0.01% $530.0K
FIRSTCASH HOLDINGS INC 33768G107 FCFS 2,981 0.01% $529.6K
PROSPERITY BANCSHARES INC 743606105 PB 7,233 0.01% $528.4K
RUBRIK INC CLASS A 781154109 RBRK 10,885 0.01% $526.2K
AIR LEASE CORP CLASS A 00912X302 AL 8,147 0.01% $525.7K
FIRST AMERICAN FINANCIAL CORP 31847R102 FAF 7,833 0.01% $525.5K
HEALTHEQUITY INC 42226A107 HQY 6,627 0.01% $525.0K
MOHAWK INDUSTRIES INC 608190104 MHK 3,981 0.01% $521.6K
KARMAN HOLDINGS INC 485924104 KRMN 5,791 0.01% $519.9K
CARMAX INC 143130102 KMX 11,415 0.01% $519.0K
MURPHY USA INC 626755102 MUSA 1,302 0.01% $517.4K
COGNEX CORP 192422103 CGNX 13,056 0.01% $515.6K
HYATT HOTELS CORP CLASS A 448579102 H 3,227 0.01% $515.5K