Schwab U.S. Large-Cap ETF (SCHX)

All holdings as of date 11/07/25
Displaying 101 - 200 of 756
  • AUTOMATIC DATA PROCESSING INC

  • COMCAST CORP CLASS A

  • SOUTHERN

  • CVS HEALTH CORP

  • ROBINHOOD MARKETS INC CLASS A

  • CME GROUP INC CLASS A

  • T MOBILE US INC

  • TRANE TECHNOLOGIES PLC

  • DUKE ENERGY CORP

  • LOCKHEED MARTIN CORP

  • ALTRIA GROUP INC

  • BRISTOL MYERS SQUIBB

  • STARBUCKS CORP

  • NEWMONT

  • CADENCE DESIGN SYSTEMS INC

  • SNOWFLAKE INC

  • 3M

  • MARSH & MCLENNAN INC

  • GENERAL DYNAMICS CORP

  • INTERCONTINENTAL EXCHANGE INC

  • AMERICAN TOWER REIT CORP

  • HOWMET AEROSPACE INC

  • KKR AND CO INC

  • MARVELL TECHNOLOGY INC

  • O REILLY AUTOMOTIVE INC

  • EQUINIX REIT INC

  • JOHNSON CONTROLS INTERNATIONAL PLC

  • SHERWIN WILLIAMS

  • HCA HEALTHCARE INC

  • CRH PUBLIC LIMITED PLC

  • NORTHROP GRUMMAN CORP

  • BANK OF NEW YORK MELLON CORP

  • MOODYS CORP

  • EMERSON ELECTRIC

  • WASTE MANAGEMENT INC

  • NIKE INC CLASS B

  • AON PLC CLASS A

  • SYNOPSYS INC

  • US BANCORP

  • DOORDASH INC CLASS A

  • MONDELEZ INTERNATIONAL INC CLASS A

  • PNC FINANCIAL SERVICES GROUP INC

  • TRANSDIGM GROUP INC

  • TE CONNECTIVITY LTD

  • WILLIAMS INC

  • ELEVANCE HEALTH INC

  • CLOUDFLARE INC CLASS A

  • VERTIV HOLDINGS CLASS A

  • CENCORA INC

  • UNITED PARCEL SERVICE INC CLASS B

  • CORNING INC

  • CIGNA

  • COINBASE GLOBAL INC CLASS A

  • REGENERON PHARMACEUTICALS INC

  • QUANTA SERVICES INC

  • GENERAL MOTORS

  • CSX CORP

  • ROBLOX CORP CLASS A

  • MOTOROLA SOLUTIONS INC

  • ILLINOIS TOOL INC

  • ECOLAB INC

  • ROYAL CARIBBEAN GROUP LTD

  • AMERICAN ELECTRIC POWER INC

  • CUMMINS INC

  • CINTAS CORP

  • PAYPAL HOLDINGS INC

  • MARRIOTT INTERNATIONAL INC CLASS A

  • NORFOLK SOUTHERN CORP

  • AUTODESK INC

  • ARTHUR J GALLAGHER

  • STRATEGY INC CLASS A

  • COLGATE-PALMOLIVE

  • HILTON WORLDWIDE HOLDINGS INC

  • TRAVELERS COMPANIES INC

  • DATADOG INC CLASS A

  • AUTOZONE INC

  • SEMPRA

  • APOLLO GLOBAL MANAGEMENT INC

  • SEAGATE TECHNOLOGY HOLDINGS PLC

  • SIMON PROPERTY GROUP REIT INC

  • VISTRA CORP

  • MARATHON PETROLEUM CORP

  • ALNYLAM PHARMACEUTICALS INC

  • AIR PRODUCTS AND CHEMICALS INC

  • EOG RESOURCES INC

  • IDEXX LABORATORIES INC

  • TRUIST FINANCIAL CORP

  • WESTERN DIGITAL CORP

  • FEDEX CORP

  • PHILLIPS

  • WARNER BROS. DISCOVERY INC SERIES

  • FREEPORT MCMORAN INC

  • AFLAC INC

  • VALERO ENERGY CORP

  • UNITED RENTALS INC

  • SLB NV

  • DIGITAL REALTY TRUST REIT INC

  • L3HARRIS TECHNOLOGIES INC

  • ZOETIS INC CLASS A

  • FORTINET INC

Fund Name CUSIP Symbol Quantity % of Assets Market Value
AUTOMATIC DATA PROCESSING INC 053015103 ADP 407,997 0.17% $103.0M
COMCAST CORP CLASS A 20030N101 CMCSA 3,703,725 0.16% $101.1M
SOUTHERN 842587107 SO 1,108,393 0.16% $100.8M
CVS HEALTH CORP 126650100 CVS 1,275,425 0.16% $100.3M
ROBINHOOD MARKETS INC CLASS A 770700102 HOOD 780,224 0.16% $99.2M
CME GROUP INC CLASS A 12572Q105 CME 362,271 0.16% $98.3M
T MOBILE US INC 872590104 TMUS 486,603 0.16% $97.8M
TRANE TECHNOLOGIES PLC G8994E103 TT 224,043 0.16% $97.6M
DUKE ENERGY CORP 26441C204 DUK 783,415 0.16% $97.1M
LOCKHEED MARTIN CORP 539830109 LMT 207,108 0.16% $97.1M
ALTRIA GROUP INC 02209S103 MO 1,689,446 0.16% $96.8M
BRISTOL MYERS SQUIBB 110122108 BMY 2,046,209 0.16% $95.4M
STARBUCKS CORP 855244109 SBUX 1,143,088 0.15% $94.0M
NEWMONT 651639106 NEM 1,107,657 0.15% $91.4M
CADENCE DESIGN SYSTEMS INC 127387108 CDNS 274,587 0.14% $89.1M
SNOWFLAKE INC 833445109 SNOW 336,409 0.14% $89.1M
3M 88579Y101 MMM 537,102 0.14% $88.0M
MARSH & MCLENNAN INC 571748102 MMC 495,666 0.14% $87.5M
GENERAL DYNAMICS CORP 369550108 GD 254,577 0.14% $86.6M
INTERCONTINENTAL EXCHANGE INC 45866F104 ICE 575,621 0.14% $84.9M
AMERICAN TOWER REIT CORP 03027X100 AMT 470,755 0.14% $83.8M
HOWMET AEROSPACE INC 443201108 HWM 406,277 0.14% $83.6M
KKR AND CO INC 48251W104 KKR 689,731 0.13% $82.3M
MARVELL TECHNOLOGY INC 573874104 MRVL 869,106 0.13% $81.1M
O REILLY AUTOMOTIVE INC 67103H107 ORLY 852,576 0.13% $81.0M
EQUINIX REIT INC 29444U700 EQIX 98,675 0.13% $80.8M
JOHNSON CONTROLS INTERNATIONAL PLC G51502105 JCI 659,556 0.13% $80.6M
SHERWIN WILLIAMS 824348106 SHW 233,814 0.13% $78.0M
HCA HEALTHCARE INC 40412C101 HCA 164,907 0.13% $77.7M
CRH PUBLIC LIMITED PLC G25508105 CRH 675,332 0.13% $77.5M
NORTHROP GRUMMAN CORP 666807102 NOC 135,496 0.13% $77.5M
BANK OF NEW YORK MELLON CORP 064058100 BK 711,332 0.13% $77.1M
MOODYS CORP 615369105 MCO 155,664 0.12% $75.1M
EMERSON ELECTRIC 291011104 EMR 567,428 0.12% $74.6M
WASTE MANAGEMENT INC 94106L109 WM 373,581 0.12% $74.6M
NIKE INC CLASS B 654106103 NKE 1,197,069 0.12% $74.1M
AON PLC CLASS A G0403H108 AON 217,250 0.12% $73.9M
SYNOPSYS INC 871607107 SNPS 186,056 0.12% $73.7M
US BANCORP 902973304 USB 1,569,517 0.12% $73.5M
DOORDASH INC CLASS A 25809K105 DASH 373,239 0.12% $73.3M
MONDELEZ INTERNATIONAL INC CLASS A 609207105 MDLZ 1,300,427 0.12% $73.1M
PNC FINANCIAL SERVICES GROUP INC 693475105 PNC 396,732 0.12% $72.6M
TRANSDIGM GROUP INC 893641100 TDG 56,755 0.12% $72.2M
TE CONNECTIVITY LTD G87052109 TEL 297,463 0.12% $72.1M
WILLIAMS INC 969457100 WMB 1,232,382 0.12% $71.4M
ELEVANCE HEALTH INC 036752103 ELV 226,773 0.12% $71.3M
CLOUDFLARE INC CLASS A 18915M107 NET 315,476 0.12% $71.3M
VERTIV HOLDINGS CLASS A 92537N108 VRT 384,988 0.11% $70.5M
CENCORA INC 03073E105 COR 195,308 0.11% $70.4M
UNITED PARCEL SERVICE INC CLASS B 911312106 UPS 741,955 0.11% $69.4M
CORNING INC 219350105 GLW 784,972 0.11% $69.0M
CIGNA 125523100 CI 268,791 0.11% $68.9M
COINBASE GLOBAL INC CLASS A 19260Q107 COIN 227,931 0.11% $67.3M
REGENERON PHARMACEUTICALS INC 75886F107 REGN 102,754 0.11% $66.5M
QUANTA SERVICES INC 74762E102 PWR 149,832 0.11% $66.4M
GENERAL MOTORS 37045V100 GM 960,196 0.11% $66.1M
CSX CORP 126408103 CSX 1,879,141 0.11% $66.1M
ROBLOX CORP CLASS A 771049103 RBLX 648,055 0.11% $65.6M
MOTOROLA SOLUTIONS INC 620076307 MSI 168,020 0.11% $65.4M
ILLINOIS TOOL INC 452308109 ITW 267,249 0.11% $65.3M
ECOLAB INC 278865100 ECL 257,558 0.11% $65.2M
ROYAL CARIBBEAN GROUP LTD V7780T103 RCL 254,477 0.10% $64.5M
AMERICAN ELECTRIC POWER INC 025537101 AEP 538,703 0.10% $64.4M
CUMMINS INC 231021106 CMI 138,596 0.10% $64.1M
CINTAS CORP 172908105 CTAS 345,601 0.10% $63.9M
PAYPAL HOLDINGS INC 70450Y103 PYPL 963,182 0.10% $63.8M
MARRIOTT INTERNATIONAL INC CLASS A 571903202 MAR 226,849 0.10% $63.8M
NORFOLK SOUTHERN CORP 655844108 NSC 225,992 0.10% $63.8M
AUTODESK INC 052769106 ADSK 215,353 0.10% $63.5M
ARTHUR J GALLAGHER 363576109 AJG 258,313 0.10% $63.3M
STRATEGY INC CLASS A 594972408 MSTR 266,290 0.10% $63.2M
COLGATE-PALMOLIVE 194162103 CL 815,655 0.10% $63.0M
HILTON WORLDWIDE HOLDINGS INC 43300A203 HLT 237,041 0.10% $62.9M
TRAVELERS COMPANIES INC 89417E109 TRV 226,613 0.10% $62.6M
DATADOG INC CLASS A 23804L103 DDOG 326,435 0.10% $62.3M
AUTOZONE INC 053332102 AZO 16,863 0.10% $61.9M
SEMPRA 816851109 SRE 657,327 0.10% $61.0M
APOLLO GLOBAL MANAGEMENT INC 03769M106 APO 463,910 0.10% $59.8M
SEAGATE TECHNOLOGY HOLDINGS PLC G7997R103 STX 214,423 0.10% $59.7M
SIMON PROPERTY GROUP REIT INC 828806109 SPG 328,725 0.10% $59.4M
VISTRA CORP 92840M102 VST 321,176 0.10% $59.3M
MARATHON PETROLEUM CORP 56585A102 MPC 306,253 0.10% $59.0M
ALNYLAM PHARMACEUTICALS INC 02043Q107 ALNY 132,237 0.09% $58.2M
AIR PRODUCTS AND CHEMICALS INC 009158106 APD 224,383 0.09% $58.1M
EOG RESOURCES INC 26875P101 EOG 549,436 0.09% $57.7M
IDEXX LABORATORIES INC 45168D104 IDXX 80,501 0.09% $57.5M
TRUIST FINANCIAL CORP 89832Q109 TFC 1,300,098 0.09% $57.2M
WESTERN DIGITAL CORP 958102105 WDC 349,264 0.09% $57.1M
FEDEX CORP 31428X106 FDX 218,595 0.09% $56.6M
PHILLIPS 718546104 PSX 407,074 0.09% $56.3M
WARNER BROS. DISCOVERY INC SERIES 934423104 WBD 2,497,758 0.09% $56.0M
FREEPORT MCMORAN INC 35671D857 FCX 1,447,332 0.09% $55.9M
AFLAC INC 001055102 AFL 485,297 0.09% $55.2M
VALERO ENERGY CORP 91913Y100 VLO 312,824 0.09% $55.1M
UNITED RENTALS INC 911363109 URI 64,749 0.09% $54.7M
SLB NV 806857108 SLB 1,502,759 0.09% $54.6M
DIGITAL REALTY TRUST REIT INC 253868103 DLR 322,968 0.09% $54.4M
L3HARRIS TECHNOLOGIES INC 502431109 LHX 188,432 0.09% $53.7M
ZOETIS INC CLASS A 98978V103 ZTS 446,449 0.09% $53.4M
FORTINET INC 34959E109 FTNT 656,565 0.09% $52.9M