I ISHARES TR IVV
4.33% 3.3% $2.12B 2.8M $1.19B 1.8M +1.0M +55.34% Add NVIDIA CORPORATION NVDA
1.85% 1.88% $906.0M 4.5M $677.0M 3.9M +646,454 +16.65% Add APPLE INC AAPL
1.82% 1.81% $890.6M 3.1M $652.4M 2.6M +506,980 +19.72% Add I INVESCO QQQ TR QQQ
1.36% 1.21% $667.6M 906,548 $436.9M 756,926 +149,622 +19.77% Add V VANGUARD FTSE VEA
1.33% 1.35% $652.0M 9.2M $487.0M 7.6M +1.6M +20.41% Add B BLACKROCK ETF TRUST DYNF
1.27% 1.17% $621.0M 9.1M $421.1M 7.2M +1.9M +26.17% Add MICROSOFT CORP MSFT
1.24% 1.38% $610.0M 1.6M $498.7M 1.3M +288,166 +21.39% Add V VANGUARD INDEX FDS VOO
1.2% 1.13% $586.0M 853,265 $406.0M 679,381 +173,884 +25.59% Add AMAZON COM INC AMZN
1.18% 1.23% $577.0M 2.4M $442.6M 2.1M +295,492 +13.90% Add I ISHARES TR IVW
1.12% 1.05% $547.8M 4.0M $377.3M 3.3M +647,171 +19.40% Add ALPHABET INC GOOGL
1.11% 1.02% $542.2M 1.5M $367.8M 1.3M +237,902 +18.60% Add I ISHARES TR IUSB
1.07% 0.93% $526.4M 11.4M $335.6M 7.3M +4.1M +56.99% Add S STATE STR SPDR S&P 500 ETF T SPY
1.05% 1.11% $515.2M 689,893 $398.8M 613,228 +76,665 +12.50% Add I ISHARES INC IEMG
1.01% 1.2% $495.9M 6.0M $434.0M 6.2M -236,339 -3.80% Reduce I ISHARES TR IEFA
0.91% 1.01% $447.7M 4.6M $364.0M 4.0M +614,927 +15.30% Add V VANGUARD INDEX FDS VUG
0.82% 0.8% $399.9M 4.6M $289.6M 663,015 +4.0M +600.20% Add I ISHARES S&P IVE
0.79% 1.01% $384.9M 1.7M $363.4M 1.7M -25,933 -1.51% Reduce S SCHWAB U.S. LARGE-CAP GROWTH ETF SCHG
0.75% 0.73% $366.9M 10.8M $264.2M 9.1M +1.8M +19.54% Add B BLACKROCK ETF TRUST BDYN
0.71% 0.7% $345.7M 12.5M $252.3M 10.4M +2.1M +20.08% Add B BLACKROCK ETF TRUST BAI
0.66% 0.48% $324.8M 6.2M $172.4M 5.2M +928,195 +17.74% Add F FIDELITY COVINGTON TRUST FELG
0.64% 0.64% $314.8M 7.2M $229.4M 6.1M +1.1M +17.59% Add META PLATFORMS INC META
0.64% 0.72% $312.8M 555,371 $258.9M 452,507 +102,864 +22.73% Add JPMORGAN CHASE & CO JPM
0.64% 0.65% $311.2M 950,862 $233.9M 795,261 +155,601 +19.57% Add V VANGUARD INDEX FDS VTV
0.63% 0.64% $309.7M 1.4M $230.2M 1.2M +247,624 +21.11% Add BROADCOM INC AVGO
0.63% 0.57% $308.5M 816,618 $204.3M 659,935 +156,683 +23.74% Add I ISHARES TR MTUM
0.58% 0.42% $284.6M 830,205 $150.2M 626,007 +204,198 +32.62% Add A Alphabet Inc Class C GOOG
0.55% 0.51% $270.6M 765,884 $183.3M 639,018 +126,866 +19.85% Add S STATE STREET SPYM
0.55% 0.43% $269.7M 3.1M $155.2M 2.0M +1.0M +51.31% Add I ISHARES CORE IJH
0.54% 0.54% $265.6M 3.4M $195.6M 2.9M +547,762 +18.91% Add I ISHARES TR MUB
0.53% 0.57% $257.4M 2.4M $206.7M 1.9M +444,190 +22.81% Add I ISHARES TR DGRO
0.52% 0.61% $254.9M 3.4M $219.1M 3.1M +241,564 +7.74% Add C CAPITAL GROUP DIVIDEND VALUE CGDV
0.51% 0.5% $250.3M 5.1M $181.7M 4.3M +806,792 +18.89% Add V VANGUARD TOTAL BND
0.51% 0.54% $247.9M 3.4M $194.7M 2.6M +731,922 +27.68% Add I ISHARES TR EFG
0.49% 0.48% $241.5M 1.9M $171.7M 1.5M +399,813 +25.94% Add I ISHARES RUSSELL IWF
0.49% 0.54% $240.2M 1.9M $196.0M 459,566 +1.5M +320.92% Add I ISHARES MSCI QUAL
0.45% 0.75% $219.2M 998,944 $271.9M 1.4M -418,720 -29.54% Reduce S SCHWAB STRATEGIC TR SCHD
0.44% 0.46% $214.0M 6.8M $164.7M 5.4M +1.4M +25.73% Add TAIWAN SEMICONDUCTOR MANUFAC TSM
0.44% 0.35% $213.6M 447,169 $127.1M 376,221 +70,948 +18.86% Add ELI LILLY & CO LLY
0.43% 0.39% $211.7M 176,497 $139.1M 151,246 +25,251 +16.70% Add A AMERICAN CENTY ETF TR AVEM
0.43% 0.41% $210.6M 2.2M $147.7M 1.8M +349,243 +19.05% Add V VANGUARD FSTE VWO
0.42% 0.44% $206.3M 3.5M $157.5M 2.9M +542,419 +18.62% Add I ISHARES CORE IJR
0.41% 0.42% $202.6M 1.4M $150.1M 1.2M +158,628 +13.14% Add S SELECT SECTOR SPDR TR XLK
0.41% 0.42% $201.4M 1.1M $151.9M 1.1M -86,139 -7.54% Reduce I ISHARES TR EFV
0.41% 0.81% $200.2M 2.6M $292.7M 3.9M -1.3M -33.58% Reduce I INVESCO NASDAQ 100 ETF QQQM
0.41% 0.26% $199.5M 658,384 $92.9M 390,837 +267,547 +68.45% Add C CAPITAL GROUP GROWTH ETF CGGR
0.4% 0.36% $197.3M 4.2M $129.1M 3.2M +966,763 +30.09% Add G GENERAL DYNAMICS CORP GD
0.4% 0.41% $195.8M 529,078 $146.2M 455,873 +73,205 +16.06% Add B BLACKROCK ETF TRUST BDVL
0.39% 0.4% $192.3M 7.4M $145.5M 5.9M +1.5M +25.45% Add J J P MORGAN EXCHANGE TRADED F JEPI
0.38% 0.43% $187.5M 3.3M $155.4M 2.7M +578,613 +21.10% Add VANECK ETF TRUST SMH
0.38% 0.28% $185.4M 282,670 $99.2M 258,729 +23,941 +9.25% Add