Schwab Total Stock Market Index Fund (SWTSX)

As of 05/31/26
Displaying 301 - 400 of 2950
  • HUNTINGTON BANCSHARES INC

  • KENVUE INC

  • M&T BANK CORP

  • ZOETIS INC CLASS A

  • FIRST SOLAR INC

  • QNITY ELECTRONICS INC

  • HALLIBURTON

  • KIMBERLY CLARK CORP

  • ARCH CAPITAL GROUP LTD

  • PAYCHEX INC

  • ROBLOX CORP CLASS A

  • WORKDAY INC CLASS A

  • NATERA INC

  • REVOLUTION MEDICINES INC

  • IQVIA HOLDINGS INC

  • NORTHERN TRUST CORP

  • VICI PPTYS INC

  • EXTRA SPACE STORAGE REIT INC

  • FISERV INC

  • AMEREN CORP

  • FAIR ISAAC CORP

  • DTE ENERGY

  • TAPESTRY INC

  • COPART INC

  • TELEDYNE TECHNOLOGIES INC

  • HERSHEY FOODS

  • TWILIO INC CLASS A

  • NRG ENERGY INC

  • BIOGEN INC

  • DEXCOM INC

  • GE HEALTHCARE TECHNOLOGIES INC

  • CASEYS GENERAL STORES INC

  • DOVER CORP

  • CENTENE CORP

  • AST SPACEMOBILE INC CLASS A

  • AMRIZE AG

  • ATMOS ENERGY CORP

  • TECHNIPFMC PLC

  • RESMED INC

  • OTIS WORLDWIDE CORP

  • MONGODB INC CLASS A

  • CENTERPOINT ENERGY INC

  • CURTISS WRIGHT CORP

  • ZOOM COMMUNICATIONS INC CLASS A

  • NVENT ELECTRIC PLC

  • FTAI AVIATION LTD

  • EDISON INTERNATIONAL

  • ARES MANAGEMENT CORP CLASS A

  • STERLING INFRASTRUCTURE INC

  • COGNIZANT TECHNOLOGY SOLUTIONS COR

  • COREWEAVE INC CLASS A

  • XYLEM INC

  • EXPEDIA GROUP INC

  • LIVE NATION ENTERTAINMENT INC

  • CITIZENS FINANCIAL GROUP INC

  • VEEVA SYSTEMS INC CLASS A

  • PPL CORP

  • AVALONBAY COMMUNITIES REIT INC

  • INGERSOLL RAND INC

  • IONQ INC

  • EVERSOURCE ENERGY

  • HUBBELL INC

  • RAYMOND JAMES INC

  • CORPAY INC

  • PPG INDUSTRIES INC

  • EVERPURE INC CLASS A

  • XPO INC

  • ILLUMINA INC

  • HP INC

  • SYNCHRONY FINANCIAL

  • VERISK ANALYTICS INC

  • DOLLAR GENERAL CORP

  • CINCINNATI FINANCIAL CORP

  • DOW INC

  • FIRSTENERGY CORP

  • UNITED THERAPEUTICS CORP

  • REGIONS FINANCIAL CORP

  • WILLIAMS SONOMA INC

  • METTLER TOLEDO INC

  • WILLIS TOWERS WATSON PLC

  • AMERICAN WATER WORKS INC

  • ATI INC

  • SUPER MICRO COMPUTER INC

  • VERISIGN INC

  • FABRINET

  • DARDEN RESTAURANTS INC

  • NEXTPOWER INC CLASS A

  • MACOM TECHNOLOGY SOLUTIONS INC

  • CARPENTER TECHNOLOGY CORP

  • MASTEC INC

  • SOFI TECHNOLOGIES INC

  • WEST PHARMACEUTICAL SERVICES INC

  • TEXAS PACIFIC LAND CORP

  • INSMED INC

  • MARKEL GROUP INC

  • OMNICOM GROUP INC

  • T ROWE PRICE GROUP INC

  • PULTEGROUP INC

  • REDDIT INC CLASS A

  • EQUITY RESIDENTIAL REIT

Fund Name CUSIP Symbol Quantity % of Assets Market Value
HUNTINGTON BANCSHARES INC HBAN 0.05% $19.7M
KENVUE INC KVUE 0.04% $19.5M
M&T BANK CORP MTB 0.04% $19.4M
ZOETIS INC CLASS A ZTS 0.04% $19.3M
FIRST SOLAR INC FSLR 0.04% $19.3M
QNITY ELECTRONICS INC Q 0.04% $19.2M
HALLIBURTON HAL 0.04% $19.2M
KIMBERLY CLARK CORP KMB 0.04% $19.0M
ARCH CAPITAL GROUP LTD ACGL 0.04% $18.8M
PAYCHEX INC PAYX 0.04% $18.6M
ROBLOX CORP CLASS A RBLX 0.04% $18.5M
WORKDAY INC CLASS A WDAY 0.04% $18.5M
NATERA INC NTRA 0.04% $18.3M
REVOLUTION MEDICINES INC RVMD 0.04% $18.2M
IQVIA HOLDINGS INC IQV 0.04% $18.2M
NORTHERN TRUST CORP NTRS 0.04% $18.1M
VICI PPTYS INC VICI 0.04% $18.0M
EXTRA SPACE STORAGE REIT INC EXR 0.04% $18.0M
FISERV INC FISV 0.04% $18.0M
AMEREN CORP AEE 0.04% $17.6M
FAIR ISAAC CORP FICO 0.04% $17.6M
DTE ENERGY DTE 0.04% $17.5M
TAPESTRY INC TPR 0.04% $17.5M
COPART INC CPRT 0.04% $17.3M
TELEDYNE TECHNOLOGIES INC TDY 0.04% $17.2M
HERSHEY FOODS HSY 0.04% $17.1M
TWILIO INC CLASS A TWLO 0.04% $17.0M
NRG ENERGY INC NRG 0.04% $16.9M
BIOGEN INC BIIB 0.04% $16.9M
DEXCOM INC DXCM 0.04% $16.9M
GE HEALTHCARE TECHNOLOGIES INC GEHC 0.04% $16.8M
CASEYS GENERAL STORES INC CASY 0.04% $16.8M
DOVER CORP DOV 0.04% $16.7M
CENTENE CORP CNC 0.04% $16.6M
AST SPACEMOBILE INC CLASS A ASTS 0.04% $16.6M
AMRIZE AG AMRZ 0.04% $16.6M
ATMOS ENERGY CORP ATO 0.04% $16.5M
TECHNIPFMC PLC FTI 0.04% $16.4M
RESMED INC RMD 0.04% $16.4M
OTIS WORLDWIDE CORP OTIS 0.04% $16.3M
MONGODB INC CLASS A MDB 0.04% $16.3M
CENTERPOINT ENERGY INC CNP 0.04% $16.2M
CURTISS WRIGHT CORP CW 0.04% $16.2M
ZOOM COMMUNICATIONS INC CLASS A ZM 0.04% $16.1M
NVENT ELECTRIC PLC NVT 0.04% $16.0M
FTAI AVIATION LTD FTAI 0.04% $15.8M
EDISON INTERNATIONAL EIX 0.04% $15.8M
ARES MANAGEMENT CORP CLASS A ARES 0.04% $15.7M
STERLING INFRASTRUCTURE INC STRL 0.04% $15.7M
COGNIZANT TECHNOLOGY SOLUTIONS COR CTSH 0.04% $15.7M
COREWEAVE INC CLASS A CRWV 0.04% $15.7M
XYLEM INC XYL 0.04% $15.7M
EXPEDIA GROUP INC EXPE 0.04% $15.7M
LIVE NATION ENTERTAINMENT INC LYV 0.04% $15.7M
CITIZENS FINANCIAL GROUP INC CFG 0.04% $15.6M
VEEVA SYSTEMS INC CLASS A VEEV 0.04% $15.5M
PPL CORP PPL 0.04% $15.5M
AVALONBAY COMMUNITIES REIT INC AVB 0.03% $15.2M
INGERSOLL RAND INC IR 0.03% $15.1M
IONQ INC IONQ 0.03% $15.0M
EVERSOURCE ENERGY ES 0.03% $15.0M
HUBBELL INC HUBB 0.03% $15.0M
RAYMOND JAMES INC RJF 0.03% $14.9M
CORPAY INC CPAY 0.03% $14.9M
PPG INDUSTRIES INC PPG 0.03% $14.9M
EVERPURE INC CLASS A P 0.03% $14.8M
XPO INC XPO 0.03% $14.8M
ILLUMINA INC ILMN 0.03% $14.6M
HP INC HPQ 0.03% $14.6M
SYNCHRONY FINANCIAL SYF 0.03% $14.6M
VERISK ANALYTICS INC VRSK 0.03% $14.5M
DOLLAR GENERAL CORP DG 0.03% $14.4M
CINCINNATI FINANCIAL CORP CINF 0.03% $14.4M
DOW INC DOW 0.03% $14.4M
FIRSTENERGY CORP FE 0.03% $14.4M
UNITED THERAPEUTICS CORP UTHR 0.03% $14.3M
REGIONS FINANCIAL CORP RF 0.03% $14.3M
WILLIAMS SONOMA INC WSM 0.03% $14.3M
METTLER TOLEDO INC MTD 0.03% $14.2M
WILLIS TOWERS WATSON PLC WTW 0.03% $14.1M
AMERICAN WATER WORKS INC AWK 0.03% $14.1M
ATI INC ATI 0.03% $14.0M
SUPER MICRO COMPUTER INC SMCI 0.03% $13.9M
VERISIGN INC VRSN 0.03% $13.9M
FABRINET FN 0.03% $13.9M
DARDEN RESTAURANTS INC DRI 0.03% $13.9M
NEXTPOWER INC CLASS A NXT 0.03% $13.8M
MACOM TECHNOLOGY SOLUTIONS INC MTSI 0.03% $13.8M
CARPENTER TECHNOLOGY CORP CRS 0.03% $13.7M
MASTEC INC MTZ 0.03% $13.7M
SOFI TECHNOLOGIES INC SOFI 0.03% $13.7M
WEST PHARMACEUTICAL SERVICES INC WST 0.03% $13.6M
TEXAS PACIFIC LAND CORP TPL 0.03% $13.5M
INSMED INC INSM 0.03% $13.5M
MARKEL GROUP INC MKL 0.03% $13.5M
OMNICOM GROUP INC OMC 0.03% $13.4M
T ROWE PRICE GROUP INC TROW 0.03% $13.4M
PULTEGROUP INC PHM 0.03% $13.3M
REDDIT INC CLASS A RDDT 0.03% $13.3M
EQUITY RESIDENTIAL REIT EQR 0.03% $13.3M