Stock Overlap: How Concentrated Is "Diversified" Really?

Own five different ETFs and you might assume you're holding five different baskets of stocks. Often you're not. This table ranks the individual stocks held across ETFValuer's tracked ETF universe by how many separate funds hold them — a same-day snapshot of just how much overlap sits underneath funds that look diversified on the label.

Built from each fund's most recent SEC N-PORT-P filing (the same regulatory disclosure that powers the "Top Holdings" table on every ETF's profile page), covering 114 of ETFValuer's 120 tracked ETFs that file with the SEC — commodity trusts and legacy unit investment trusts like GLD and SPY don't file N-PORT-P and are excluded here.

Data as of July 08, 2026. Educational content — not financial advice.

How this is calculated. For each fund, up to its 150 largest positions (by weight) are matched to other funds' holdings by company name, since SEC filings report holdings by name, not ticker. Stocks are ranked first by how many distinct funds hold them, then by combined dollar exposure across those funds. A stock appearing in fewer funds here can still be a bigger single-fund bet — check "Avg Weight" and click through to a fund's own profile for the full picture. Name-matching is heuristic, not exact — very rarely, share classes or near-identical subsidiary names may under- or over-merge.

Top 100 Most-Held Stocks Across 114 ETFs

#StockETFs Holding ItAvg WeightCombined ExposureHeld By
1 QUALCOMM Inc 33 0.92% $24.3B ACWI, COWZ, DGRO, ESGU, ESGV, HDV +27 more
2 BROADCOM INC 32 3.20% $177.2B ACWI, ARKK, DGRO, ESGU, ESGV, ITOT +26 more
3 Texas Instruments Inc 32 1.04% $32.6B ACWI, ESGU, ESGV, HDV, ITOT, IVV +26 more
4 AbbVie Inc 31 1.50% $48.5B ACWI, DGRO, ESGU, ESGV, HDV, ITOT +25 more
5 Vanguard Cmt Funds-Vanguard Market Liquidity Fund 31 0.81% $45.9B BND, BNDX, ESGV, VAW, VB, VCIT +25 more
6 Amgen Inc 31 0.98% $29.6B ACWI, DGRO, ESGU, ESGV, IBB, ITOT +25 more
7 AMAZONCOM INC 30 4.01% $202.8B ACWI, ARKK, ESGU, ESGV, FLOT, ITOT +24 more
8 PepsiCo Inc 30 1.24% $32.9B ACWI, DGRO, ESGV, HDV, ITOT, IVV +24 more
9 Gilead Sciences Inc 30 0.94% $24.3B ACWI, COWZ, DGRO, DVY, ESGU, ESGV +24 more
10 NVIDIA Corp 29 8.44% $461.2B ACWI, ARKK, BOTZ, ESGU, ESGV, ITOT +23 more
11 Alphabet Inc 29 3.58% $173.5B ACWI, ARKK, ESGU, ESGV, ITOT, IVV +23 more
12 Applied Materials Inc 29 1.27% $40.1B ACWI, DGRO, ESGU, ESGV, ITOT, IVV +23 more
13 Merck & Co Inc 29 1.31% $38.1B ACWI, DGRO, DVY, ESGU, ESGV, HDV +23 more
14 Bank of America Corp 29 0.94% $35.0B ACWI, DGRO, ESGU, ESGV, FLOT, ITOT +23 more
15 Analog Devices Inc 29 0.86% $25.8B ACWI, DGRO, ESGU, ITOT, IVV, IWD +23 more
16 Morgan Stanley 29 0.62% $22.5B ACWI, DGRO, ESGU, ESGV, FLOT, ITOT +23 more
17 Cisco Systems Inc 28 1.21% $45.4B ACWI, DGRO, ESGU, ESGV, ITOT, IVV +22 more
18 Lam Research Corp 28 1.29% $42.3B ACWI, DGRO, ESGU, ESGV, ITOT, IVV +22 more
19 Citigroup Inc 28 0.63% $20.9B ACWI, DGRO, ESGU, ESGV, FLOT, ITOT +22 more
20 APPLE INC 27 6.35% $409.3B ACWI, DGRO, ESGU, ESGV, ITOT, IVV +21 more
21 MICROSOFT CORP 27 5.13% $303.9B ACWI, DGRO, ESGU, ESGV, ITOT, IVV +21 more
22 Walmart Inc 27 2.31% $70.5B ACWI, DGRO, FLOT, ITOT, IVV, IWD +21 more
23 Johnson & Johnson 27 2.31% $67.7B ACWI, DGRO, ESGU, HDV, ITOT, IVV +21 more
24 Advanced Micro Devices Inc 27 1.63% $47.9B ACWI, ARKK, ESGU, ESGV, ITOT, IVV +21 more
25 Intel Corp 27 1.36% $30.2B ACWI, ESGU, ESGV, ITOT, IVV, IWD +21 more
26 Oracle Corp 27 0.59% $29.9B ACWI, DGRO, ESGU, ESGV, ITOT, IVV +21 more
27 VERIZON COMMUNICATIONS 27 1.24% $26.0B ACWI, COWZ, DVY, ESGU, ESGV, ITOT +21 more
28 Meta Platforms Inc 26 3.63% $136.9B ACWI, ARKK, ESGU, ESGV, ITOT, IVV +20 more
29 Exxon Mobil Corp 26 3.59% $85.2B ACWI, DGRO, DVY, ESGU, HDV, ITOT +20 more
30 KLA CORP 26 0.99% $31.0B ACWI, DGRO, ESGU, ESGV, ITOT, IVV +20 more
31 International Business Machines Corp 26 0.71% $26.6B ACWI, DGRO, DVY, ESGU, ITOT, IVV +20 more
32 McDonald's Corp 26 0.93% $24.6B ACWI, DGRO, DVY, ESGU, ESGV, ITOT +20 more
33 AT&T Inc 26 0.91% $21.5B ACWI, COWZ, DVY, ESGU, ESGV, ITOT +20 more
34 Abbott Laboratories 26 0.68% $20.2B ACWI, DGRO, ESGU, ESGV, FLOT, ITOT +20 more
35 Western Digital Corp 26 0.46% $15.0B ACWI, ESGU, ESGV, ITOT, IVV, IWD +20 more
36 JPMorgan Chase & Co 25 2.19% $81.6B ACWI, ESGU, ESGV, FLOT, ITOT, IVV +19 more
37 COSTCO WHOLESALE CORP 25 1.85% $57.1B ACWI, DGRO, ESGU, ESGV, ITOT, IVV +19 more
38 Micron Technology Inc 25 2.18% $54.7B ACWI, ESGU, ESGV, ITOT, IVV, IWD +19 more
39 Caterpillar Inc 25 1.38% $38.0B ACWI, DGRO, ESGU, ITOT, IVV, IWD +19 more
40 UnitedHealth Group Inc 25 0.95% $29.6B ACWI, DGRO, ESGU, ESGV, ITOT, IVV +19 more
41 MASTERCARD INC 24 1.34% $45.1B ACWI, DGRO, ESGU, ESGV, ITOT, IVV +18 more
42 Wells Fargo & Co 24 0.81% $25.8B ACWI, DGRO, ESGU, FLOT, ITOT, IVV +18 more
43 NextEra Energy Inc 24 1.67% $25.3B ACWI, DGRO, DVY, ESGU, ITOT, IVV +18 more
44 Bristol-Myers Squibb Co 24 0.73% $17.4B ACWI, COWZ, ESGV, ITOT, IVV, IWD +18 more
45 INTUIT INC 24 0.47% $16.9B COWZ, DGRO, ESGU, ESGV, ITOT, IVV +18 more
46 American Express Co 24 0.50% $15.9B ACWI, DGRO, ESGU, ESGV, FLOT, ITOT +18 more
47 Newmont Corp 24 1.11% $14.2B ACWI, COWZ, ESGU, ESGV, ITOT, IVV +18 more
48 Comcast Corp 24 0.72% $13.8B COWZ, DVY, ESGV, ITOT, IVV, IWD +18 more
49 S&P Global Inc 24 0.45% $13.8B ACWI, DGRO, ESGU, ESGV, ITOT, IVV +18 more
50 Automatic Data Processing Inc 24 0.51% $11.6B COWZ, DGRO, ESGU, ESGV, ITOT, IVV +18 more
51 Mondelez International Inc 24 0.69% $11.5B DGRO, DVY, ESGV, HDV, ITOT, IVV +18 more
52 Tesla Inc 23 3.97% $117.0B ACWI, ARKK, ESGU, ESGV, ITOT, IVV +17 more
53 VISA INC 23 1.63% $55.7B ACWI, DGRO, ESGU, ESGV, ITOT, IVV +17 more
54 Palo Alto Networks Inc 23 0.39% $17.1B ACWI, ESGU, ESGV, ITOT, IVV, IWF +17 more
55 Cadence Design Systems Inc 23 0.44% $11.8B ESGU, ESGV, ITOT, IVV, IWF, JEPI +17 more
56 CVS Health Corp 23 0.52% $10.5B COWZ, DVY, ESGV, HYG, ITOT, IVV +17 more
57 US Bancorp 23 0.41% $9.1B DVY, ESGU, ESGV, HDV, ITOT, IVV +17 more
58 Netflix Inc 22 1.41% $49.8B ACWI, ESGU, ESGV, ITOT, IVV, IWF +16 more
59 Philip Morris International Inc 22 1.23% $27.0B ACWI, DGRO, DVY, HDV, ITOT, IVV +16 more
60 ConocoPhillips 22 1.29% $23.6B ACWI, COWZ, DGRO, ESGU, HDV, ITOT +16 more
61 Intuitive Surgical Inc 22 0.96% $21.1B ACWI, BOTZ, ESGU, ESGV, ITOT, IVV +16 more
62 Lockheed Martin Corp 22 0.81% $18.6B DGRO, DVY, ITOT, IVV, IWD, IWF +16 more
63 Vertex Pharmaceuticals Inc 22 0.91% $15.9B ESGU, ESGV, IBB, ITOT, IVV, IWF +16 more
64 Deere & Co 22 0.63% $14.1B ACWI, ARKK, DGRO, ESGU, ESGV, ITOT +16 more
65 Capital One Financial Corp 22 0.41% $11.8B ACWI, ESGU, ESGV, ITOT, IVV, IWD +16 more
66 Synopsys Inc 22 0.38% $11.2B ESGU, ESGV, ITOT, IVV, IWF, JEPQ +16 more
67 Cummins Inc 22 0.41% $10.3B DGRO, ESGU, ITOT, IVV, IWD, IWR +16 more
68 CSX Corp 22 0.39% $9.9B DGRO, ESGU, ITOT, IVV, IWD, JEPQ +16 more
69 Chevron Corp 21 2.86% $50.0B ACWI, DVY, HDV, ITOT, IVV, IWD +15 more
70 Palantir Technologies Inc 21 1.11% $42.6B ACWI, ARKK, ESGU, ITOT, IVV, IWF +15 more
71 RTX Corp 21 1.00% $26.6B ACWI, DGRO, ESGU, ITOT, IVV, IWD +15 more
72 Welltower Inc 21 1.65% $20.2B ACWI, ESGU, ESGV, ITOT, IVV, IWD +15 more
73 Amphenol Corp 21 0.58% $19.0B ACWI, DGRO, ITOT, IVV, IWF, JEPI +15 more
74 Salesforce Inc 21 0.53% $18.4B ACWI, COWZ, ESGU, ESGV, ITOT, IVV +15 more
75 Booking Holdings Inc 21 0.67% $16.7B ACWI, COWZ, ESGU, ESGV, ITOT, IVV +15 more
76 Altria Group Inc 21 1.16% $16.4B ACWI, COWZ, DVY, HDV, ITOT, IVV +15 more
77 Adobe Inc 21 0.46% $13.9B COWZ, ESGU, ESGV, ITOT, IVV, IWF +15 more
78 Starbucks Corp 21 0.53% $13.3B ACWI, ESGV, HDV, ITOT, IVV, IWD +15 more
79 Chubb Ltd 21 0.56% $13.1B ACWI, ESGV, ITOT, IVV, IWD, JEPI +15 more
80 Prologis Inc 20 1.51% $17.5B ACWI, ESGU, ESGV, ITOT, IVV, IWD +14 more
81 T-Mobile US Inc 20 0.83% $16.0B COWZ, ESGV, ITOT, IVV, IWD, JEPQ +14 more
82 Union Pacific Corp 20 0.60% $15.5B ACWI, DGRO, ESGU, ITOT, IVV, IWD +14 more
83 Uber Technologies Inc 20 0.60% $15.2B ACWI, COWZ, ESGU, ESGV, ITOT, IVV +14 more
84 Arista Networks Inc 20 0.45% $15.2B ACWI, ESGU, ESGV, ITOT, IVV, IWF +14 more
85 Valero Energy Corp 20 0.79% $13.2B COWZ, DVY, ITOT, IVV, IWD, IWR +14 more
86 Corning Inc 20 0.41% $13.1B ACWI, ESGV, ITOT, IVV, IWD, IWR +14 more
87 Danaher Corp 20 0.49% $12.9B ACWI, DGRO, ESGU, ESGV, ITOT, IVV +14 more
88 EOG Resources Inc 20 0.91% $12.9B COWZ, DGRO, DVY, ESGU, HDV, ITOT +14 more
89 Intercontinental Exchange Inc 20 0.33% $9.3B DGRO, ESGU, ESGV, ITOT, IVV, IWD +14 more
90 FedEx Corp 20 0.43% $9.0B DGRO, ESGV, ITOT, IVV, IWD, JEPI +14 more
91 Linde PLC 19 2.18% $29.3B DGRO, ESGV, ITOT, IVV, JEPQ, NOBL +13 more
92 Pfizer Inc 19 0.85% $17.1B ACWI, COWZ, DVY, ESGV, ITOT, IVV +13 more
93 SLB Ltd 19 0.92% $14.4B COWZ, HDV, ITOT, IVV, IWD, QUAL +13 more
94 Crowdstrike Holdings Inc 19 0.31% $12.5B ACWI, ESGV, ITOT, IVV, IWF, JEPQ +13 more
95 Stryker Corp 19 0.49% $12.5B DGRO, ESGU, ESGV, ITOT, IVV, IWD +13 more
96 Vertiv Holdings Co 19 0.44% $12.2B ACWI, ESGV, ITOT, IVV, IWF, IWR +13 more
97 CME Group Inc 19 0.45% $11.7B DGRO, ESGV, ITOT, IVV, IWD, JEPI +13 more
98 Trane Technologies PLC 19 0.48% $10.2B DGRO, ESGU, ESGV, ITOT, IVV, IWF +13 more
99 Northrop Grumman Corp 19 0.45% $9.9B DGRO, ESGU, ITOT, IVV, IWD, MTUM +13 more
100 O'Reilly Automotive Inc 19 0.43% $9.7B ESGV, ITOT, IVV, IWF, JEPQ, MTUM +13 more

"Combined Exposure" is the sum, across every ETF that holds the stock, of that stock's weight × the fund's total net assets — a rough proxy for how much aggregate dollar exposure to that single stock sits inside ETFValuer's tracked fund universe, not a real-world total (funds outside this list, direct share ownership, and other vehicles aren't included).

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