Acropolis Investment Management, LLC

CIK: 0001318601Latest portfolio: $2.2B · Q4 2025

Holdings

297

Total Value

$2.2B

New Positions

39

Closed Positions

8

#StockSharesValue% PortfolioChangeType
1
VOOVANGUARD INDEX FDS
568,515$356.5M16.04%-562
2
VEAVANGUARD TAX-MANAGED FDS
2,812,424$175.7M7.90%+42K
3
DFCFDIMENSIONAL ETF TRUST
2,883,234$122.7M5.52%+2.7M
4
IJRISHARES TR
999,769$120.2M5.41%+20K
5
IJHISHARES TR
1,725,917$113.9M5.12%+37K
6
IGIBISHARES TR
2,059,152$110.9M4.99%+92K
7
VGITVANGUARD SCOTTSDALE FDS
1,507,605$90.3M4.06%+1.4M
8
BNDVANGUARD BD INDEX FDS
1,039,888$77.0M3.47%-1,193,560
9
SMLFISHARES TR
968,630$72.5M3.26%+53K
10
JMTGJ P MORGAN EXCHANGE TRADED F
1,364,694$69.7M3.13%NEW
11
VWOVANGUARD INTL EQUITY INDEX F
1,015,418$54.6M2.46%+17K
12
VVVANGUARD INDEX FDS
167,164$52.6M2.37%-4,236
13
VGSHVANGUARD SCOTTSDALE FDS
870,938$51.1M2.30%-1,070,122
14
AQLTISHARES TR
463,721$41.5M1.87%-16,765
15
MTUMISHARES TR
139,337$34.9M1.57%+5K
16
VMBSVANGUARD SCOTTSDALE FDS
736,411$34.7M1.56%-995,776
17
IMTMISHARES TR
641,150$30.8M1.38%+12K
18
DFLVDIMENSIONAL ETF TRUST
897,676$30.7M1.38%+101K
19
DFIVDIMENSIONAL ETF TRUST
520,176$26.0M1.17%+6K
20
AAPLAPPLE INC
90,598$24.6M1.11%-4,979
21
LRGFISHARES TR
312,356$21.7M0.98%+81K
22
MSFTMICROSOFT CORP
42,174$20.4M0.92%+547
23
IVWISHARES TR
155,930$19.2M0.86%-2,567
24
IVVISHARES TR
27,840$19.1M0.86%-808
25
AVUSAMERICAN CENTY ETF TR
163,813$18.3M0.82%+4K

Quarterly Changes

New Positions

Closed Positions

Increased Positions

NameSharesChange
DFCF2.9M+2.7M
DFLV898K+101K
IGIB2.1M+92K
LRGF312K+81K
SMLF969K+53K
VEA2.8M+42K
IEF71K+39K
IJH1.7M+37K
INTF334K+30K
IJR1000K+20K

Decreased Positions

NameSharesChange
BND1.0M-1193560
AQLT464K-16765
BAC27K-11603
BSV39K-11151
BMY19K-10253
MAS14K-9225
EBA15K-8488
AVLV18K-7999
CMCSA22K-7931
NVDA56K-7087

Sector Breakdown

Financial ServicesNaN% ($InfinityT)
Industrials0.0% ($2.2062083192918721e+102T)
Technology0.0% ($2.4630203961036516e+99T)
Healthcare0.0% ($4.299411022022117e+52T)
Unknown0.0% ($4.148470823417285e+49T)
Consumer Cyclical0.0% ($6.676200819671884e+42T)
Consumer Defensive0.0% ($1.1636948121391535e+29T)
Communication Services0.0% ($9.846171415821403e+24T)
Energy0.0% ($35702705764500364.0T)
Utilities0.0% ($16891177766523436.0T)
Basic Materials0.0% ($348.2M)

Filing History

QuarterFiling DatePortfolio ValueHoldings
Q4 2025Jan 14, 2026$2.2B297
Q3 2025Oct 7, 2025$2.0T266
Q2 2025Jul 14, 2025$1.8T245
Q1 2025Apr 17, 2025$1.7T298
Q4 2024Jan 14, 2025$1694.0T301
Q3 2024Oct 31, 2024$1583.0T290
Q2 2024Jul 16, 2024$1583.0T290
Q1 2024Apr 17, 2024$1528.4T287
Q4 2023Jan 16, 2024$1434.9T284
Q3 2023Oct 11, 2023$1291.1T275
Q2 2023Jul 13, 2023$1275.4T256
Q1 2023Apr 11, 2023$1216.8T252
Q4 2022Jan 11, 2023$1115.6T245
Q3 2022Oct 12, 2022$980.1B239
Q2 2022Jul 15, 2022$1.0T240
Q1 2022Apr 8, 2022$1.1T241
Q4 2021Jan 14, 2022$1.1T237
Q3 2021Oct 12, 2021$839.4B226
Q2 2021Jul 16, 2021$1.0T224
Q1 2021Apr 12, 2021$978.9B217
Q4 2020Jan 13, 2021$909.3B215
Q3 2020Oct 9, 2020$806.9B202
Q2 2020Jul 15, 2020$757.6B185
Q1 2020Apr 10, 2020$639.3B182
Q4 2019Jan 14, 2020$722.4B172
Q3 2019Oct 15, 2019$693.0B165
Q2 2019Jul 11, 2019$654.5B142
Q1 2019Apr 9, 2019$634.5B146
Q4 2018Jan 10, 2019$574.7B140
Q3 2018Oct 3, 2018$622.8B148
Q2 2018Jul 12, 2018$609.1B144
Q1 2018Apr 4, 2018$614.6B145
Q4 2017Jan 11, 2018$652.6B153
Q3 2017Oct 12, 2017$611.3B142
Q2 2017Jul 12, 2017$590.7B144
Q1 2017Apr 6, 2017$571.6B141
Q4 2016Jan 6, 2017$540.3B135
Q3 2016Oct 5, 2016$540.5B135
Q2 2016Jul 15, 2016$529.1B133
Q1 2016Apr 25, 2016$520.2B129

Fund Information

CIK0001318601
Most Recent FilingJan 14, 2026
Number of Filings40

Acropolis Investment Management, LLC is an institutional investment manager that files 13F reports with the SEC. As of the Q4 2025 filing, the fund reported a portfolio valued at $2.2B across 297 holdings. The largest position is VANGUARD INDEX FDS (VOO), representing 16.0% of the portfolio. Compared to the previous quarter, the fund opened 39 new positions and closed 8 positions. 13F filings are required quarterly disclosures that provide transparency into the holdings of institutional investment managers with at least $100 million in qualifying assets.