Schwab S&P 500 Index Fund (SWPPX)

All holdings as of date 03/31/25
Displaying 401 - 500 of 503
  • TRIMBLE INC

  • EVERGY INC

  • DOMINOS PIZZA INC

  • KEYCORP

  • EVEREST GROUP LTD

  • BALL CORP

  • F5 INC

  • ESTEE LAUDER INC CLASS A

  • ROLLINS INC

  • DOLLAR TREE INC

  • JABIL INC

  • JACOBS SOLUTIONS INC

  • MASCO CORP

  • TAPESTRY INC

  • ZEBRA TECHNOLOGIES CORP CLASS A

  • PENTAIR PLC

  • BUILDERS FIRSTSOURCE INC

  • BEST BUY INC

  • KIMCO REALTY REIT CORP

  • GEN DIGITAL INC

  • AVERY DENNISON CORP

  • ALEXANDRIA REAL ESTATE EQUITIES RE

  • WESTERN DIGITAL CORP

  • AMCOR PLC

  • HEALTHPEAK PROPERTIES INC

  • HOLOGIC INC

  • IDEX CORP

  • NEWS CORP CLASS A

  • APTIV PLC

  • CF INDUSTRIES HOLDINGS INC

  • TERADYNE INC

  • UDR REIT INC

  • FIRST SOLAR INC

  • JACK HENRY AND ASSOCIATES INC

  • LAS VEGAS SANDS CORP

  • TEXTRON INC

  • CAMDEN PROPERTY TRUST REIT

  • CONAGRA BRANDS INC

  • REVVITY INC

  • JM SMUCKER

  • POOL CORP

  • JUNIPER NETWORKS INC

  • AKAMAI TECHNOLOGIES INC

  • CH ROBINSON WORLDWIDE INC

  • REGENCY CENTERS REIT CORP

  • CARMAX INC

  • STANLEY BLACK & DECKER INC

  • JB HUNT TRANSPORT SERVICES INC

  • ALLEGION PLC

  • ALIGN TECHNOLOGY INC

  • GLOBE LIFE INC

  • UNIVERSAL HEALTH SERVICES INC CLAS

  • LKQ CORP

  • NORDSON CORP

  • PINNACLE WEST CORP

  • ASSURANT INC

  • SOLVENTUM CORP

  • MOLSON COORS BEVERAGE COMPANY CLAS

  • ERIE INDEMNITY CLASS A

  • SKYWORKS SOLUTIONS INC

  • VIATRIS INC

  • PAYCOM SOFTWARE INC

  • BUNGE GLOBAL SA

  • INTERPUBLIC GROUP OF COMPANIES INC

  • TKO GROUP HOLDINGS INC CLASS A

  • EASTMAN CHEMICAL

  • HOST HOTELS & RESORTS REIT INC

  • BXP INC

  • INCYTE CORP

  • EPAM SYSTEMS INC

  • MODERNA INC

  • DAYFORCE INC

  • BIO TECHNE CORP

  • RALPH LAUREN CORP CLASS A

  • HORMEL FOODS CORP

  • AES CORP

  • MOSAIC

  • HENRY SCHEIN INC

  • ALBEMARLE CORP

  • ENPHASE ENERGY INC

  • NORWEGIAN CRUISE LINE HOLDINGS LTD

  • MARKETAXESS HOLDINGS INC

  • WALGREEN BOOTS ALLIANCE INC

  • HASBRO INC

  • HUNTINGTON INGALLS INDUSTRIES INC

  • MATCH GROUP INC

  • THE CAMPBELL S COMPANY

  • A O SMITH CORP

  • CHARLES RIVER LABORATORIES INTERNA

  • APA CORP

  • LAMB WESTON HOLDINGS INC

  • GENERAC HOLDINGS INC

  • WYNN RESORTS LTD

  • FEDERAL REALTY INVESTMENT TRUST RE

  • PARAMOUNT GLOBAL CLASS B

  • INVESCO LTD

  • DAVITA INC

  • MGM RESORTS INTERNATIONAL

  • BROWN FORMAN CORP CLASS B

  • MOHAWK INDUSTRIES INC

Fund Name CUSIP Symbol Quantity % of Assets Market Value
TRIMBLE INC TRMB 0.03% $35.4M
EVERGY INC EVRG 0.03% $35.1M
DOMINOS PIZZA INC DPZ 0.03% $35.1M
KEYCORP KEY 0.03% $35.0M
EVEREST GROUP LTD EG 0.03% $34.8M
BALL CORP BALL 0.03% $34.4M
F5 INC FFIV 0.03% $34.2M
ESTEE LAUDER INC CLASS A EL 0.03% $34.1M
ROLLINS INC ROL 0.03% $33.6M
DOLLAR TREE INC DLTR 0.03% $33.5M
JABIL INC JBL 0.03% $32.9M
JACOBS SOLUTIONS INC J 0.03% $32.8M
MASCO CORP MAS 0.03% $32.6M
TAPESTRY INC TPR 0.03% $32.2M
ZEBRA TECHNOLOGIES CORP CLASS A ZBRA 0.03% $32.2M
PENTAIR PLC PNR 0.03% $31.8M
BUILDERS FIRSTSOURCE INC BLDR 0.03% $31.7M
BEST BUY INC BBY 0.03% $31.7M
KIMCO REALTY REIT CORP KIM 0.03% $31.7M
GEN DIGITAL INC GEN 0.03% $31.6M
AVERY DENNISON CORP AVY 0.03% $31.6M
ALEXANDRIA REAL ESTATE EQUITIES RE ARE 0.03% $31.6M
WESTERN DIGITAL CORP WDC 0.03% $31.3M
AMCOR PLC AMCR 0.03% $31.2M
HEALTHPEAK PROPERTIES INC DOC 0.03% $31.2M
HOLOGIC INC HOLX 0.03% $30.7M
IDEX CORP IEX 0.03% $30.3M
NEWS CORP CLASS A NWSA 0.03% $30.2M
APTIV PLC APTV 0.03% $30.1M
CF INDUSTRIES HOLDINGS INC CF 0.03% $30.0M
TERADYNE INC TER 0.03% $29.9M
UDR REIT INC UDR 0.03% $29.9M
FIRST SOLAR INC FSLR 0.03% $29.7M
JACK HENRY AND ASSOCIATES INC JKHY 0.03% $29.7M
LAS VEGAS SANDS CORP LVS 0.03% $29.6M
TEXTRON INC TXT 0.03% $29.1M
CAMDEN PROPERTY TRUST REIT CPT 0.03% $28.8M
CONAGRA BRANDS INC CAG 0.03% $28.4M
REVVITY INC RVTY 0.03% $28.3M
JM SMUCKER SJM 0.03% $27.7M
POOL CORP POOL 0.03% $27.0M
JUNIPER NETWORKS INC JNPR 0.03% $26.8M
AKAMAI TECHNOLOGIES INC AKAM 0.03% $26.8M
CH ROBINSON WORLDWIDE INC CHRW 0.03% $26.7M
REGENCY CENTERS REIT CORP REG 0.03% $26.6M
CARMAX INC KMX 0.02% $26.4M
STANLEY BLACK & DECKER INC SWK 0.02% $26.1M
JB HUNT TRANSPORT SERVICES INC JBHT 0.02% $25.7M
ALLEGION PLC ALLE 0.02% $25.2M
ALIGN TECHNOLOGY INC ALGN 0.02% $25.1M
GLOBE LIFE INC GL 0.02% $24.7M
UNIVERSAL HEALTH SERVICES INC CLAS UHS 0.02% $24.5M
LKQ CORP LKQ 0.02% $24.4M
NORDSON CORP NDSN 0.02% $24.3M
PINNACLE WEST CORP PNW 0.02% $24.0M
ASSURANT INC AIZ 0.02% $23.5M
SOLVENTUM CORP SOLV 0.02% $23.5M
MOLSON COORS BEVERAGE COMPANY CLAS TAP 0.02% $23.3M
ERIE INDEMNITY CLASS A ERIE 0.02% $23.3M
SKYWORKS SOLUTIONS INC SWKS 0.02% $23.1M
VIATRIS INC VTRS 0.02% $22.9M
PAYCOM SOFTWARE INC PAYC 0.02% $22.7M
BUNGE GLOBAL SA BG 0.02% $22.6M
INTERPUBLIC GROUP OF COMPANIES INC IPG 0.02% $22.5M
TKO GROUP HOLDINGS INC CLASS A TKO 0.02% $22.4M
EASTMAN CHEMICAL EMN 0.02% $22.3M
HOST HOTELS & RESORTS REIT INC HST 0.02% $22.1M
BXP INC BXP 0.02% $21.6M
INCYTE CORP INCY 0.02% $21.3M
EPAM SYSTEMS INC EPAM 0.02% $21.3M
MODERNA INC MRNA 0.02% $21.1M
DAYFORCE INC DAY 0.02% $20.7M
BIO TECHNE CORP TECH 0.02% $20.5M
RALPH LAUREN CORP CLASS A RL 0.02% $19.7M
HORMEL FOODS CORP HRL 0.02% $19.7M
AES CORP AES 0.02% $19.5M
MOSAIC MOS 0.02% $19.2M
HENRY SCHEIN INC HSIC 0.02% $18.9M
ALBEMARLE CORP ALB 0.02% $18.7M
ENPHASE ENERGY INC ENPH 0.02% $18.5M
NORWEGIAN CRUISE LINE HOLDINGS LTD NCLH 0.02% $18.2M
MARKETAXESS HOLDINGS INC MKTX 0.02% $18.1M
WALGREEN BOOTS ALLIANCE INC WBA 0.02% $18.0M
HASBRO INC HAS 0.02% $17.9M
HUNTINGTON INGALLS INDUSTRIES INC HII 0.02% $17.9M
MATCH GROUP INC MTCH 0.02% $17.6M
THE CAMPBELL S COMPANY CPB 0.02% $17.6M
A O SMITH CORP AOS 0.02% $17.3M
CHARLES RIVER LABORATORIES INTERNA CRL 0.02% $17.2M
APA CORP APA 0.02% $17.2M
LAMB WESTON HOLDINGS INC LW 0.02% $16.8M
GENERAC HOLDINGS INC GNRC 0.02% $16.7M
WYNN RESORTS LTD WYNN 0.02% $16.5M
FEDERAL REALTY INVESTMENT TRUST RE FRT 0.02% $16.4M
PARAMOUNT GLOBAL CLASS B PARA 0.01% $15.6M
INVESCO LTD IVZ 0.01% $15.2M
DAVITA INC DVA 0.01% $15.0M
MGM RESORTS INTERNATIONAL MGM 0.01% $14.5M
BROWN FORMAN CORP CLASS B BFB 0.01% $13.7M
MOHAWK INDUSTRIES INC MHK 0.01% $13.4M