Which ETFs hold the most Nvidia?
As of August 25, 2026. Computed across all holdings, not the top 10.
SMH has the most Nvidia exposure, at 22.1% — the average fund we track holds 1.7%.
The share of a fund invested in a single company, NVIDIA.
Average 1.7% · benchmark VOO 7.6% · leader SMH 22.1%
- 1,040 equity funds we track
- 240 hold Nvidia
- 149 are more than 5% Nvidia
- 44 are more than 10% Nvidia
Most Nvidia exposure
- VanEck Semiconductor ETF (SMH) — 22.0% (1Y -0.2)
- Strive U.S. Semiconductor ETF (SHOC) — 21.7% (1Y -3.2)
- Fidelity MSCI Information Technology Index ETF (FTEC) — 17.6% (1Y -1.1)
- Vanguard Information Technology ETF (VGT) — 17.2% (1Y -1.1)
- Fidelity Fundamental Large Cap Growth ETF (FFLG) — 17.1% (1Y +0.8)
- ClearBridge Large Cap Growth Select ETF (LRGE) — 16.3% (1Y +0.2)
- WisdomTree U.S. Quality Growth Fund (QGRW) — 15.9% (1Y -1.0)
- Fidelity Enhanced Large Cap Growth ETF (FELG) — 15.4% (1Y +1.1)
- Nuveen ESG Large-Cap Growth (NULG) — 15.4% (1Y -0.1)
- iShares Morningstar Growth ETF (ILCG) — 15.3% (1Y +1.5)
Least Nvidia exposure · diversified funds
- Vanguard U.S. Multifactor ETF (VFMF) — 0.0% (1Y -0.4)
- Vanguard U.S. Quality Factor ETF (VFQY) — 0.0% (1Y -0.9)
- Invesco Dow Jones Industrial Average Dividend ETF (DJD) — 0.0% (1Y +0.0)
- Invesco Russell 1000 Equal Weight ETF (EQAL) — 0.1% (1Y +0.0)
- iShares MSCI USA Equal Weighted ETF (EUSA) — 0.2% (1Y -0.1)
- Goldman Sachs Equal Weight U.S. Large Cap Equity ETF (GSEW) — 0.2% (1Y +0.0)
- Invesco S&P 500 Equal Weight ETF (RSP) — 0.2% (1Y +0.0)
- VictoryShares US 500 Enhanced Volatility Wtd ETF (CFO) — 0.2% (1Y +0.1)
- VictoryShares US 500 Volatility Wtd ETF (CFA) — 0.2% (1Y +0.1)
- First Trust Large Cap Core AlphaDEX Fund (FEX) — 0.3% (1Y -0.1)
By category
- Tech - Semiconductors — 11.7%
- US Large Cap Growth — 10.0%
- Tech - Hardware / Devices / Deep Tech — 7.2%
- Options Income (Covered Call / EPI) — 6.5%
- US Large Cap Blend — 6.3%
- US Total Market — 5.5%
- ESG — 4.7%
- Tactical / Trend / Managed Futures — 4.3%
- Global Large Cap — 3.8%
- Non-equity — 3.3%
- Thematic - Tech Disruption — 2.7%
- Weight - Multi-factor — 1.9%
- Single Factor - Momentum & Other — 1.6%
- Single Factor - Quality & Low Volatility — 1.5%
- Single Factor - Value & Dividend — 1.4%
- Dividend US — 1.3%
- Weight - Fundamental — 1.1%
- Crypto — 1.0%
- Weight - Equal — 0.8%
- Communications — 0.7%
- Tech - Software / Cloud / Cyber / AI — 0.7%
- Dividend Global ex-US — 0.3%
- Clean Energy — 0.2%
- US Large Cap Value — 0.2%
- Asia Pacific — 0.0%
- China — 0.0%
- Commodities & Metals — 0.0%
- Consumer — 0.0%
- Developed ex-US — 0.0%
- Emerging Markets — 0.0%
- Energy — 0.0%
- Europe — 0.0%
- Financials — 0.0%
- Frontier Markets — 0.0%
- Healthcare & Biotech — 0.0%
- Industrials & Materials — 0.0%
- Japan — 0.0%
- Latin America — 0.0%
- Real Estate & Infrastructure — 0.0%
- Thematic - Real Assets — 0.0%
- US Mid Cap — 0.0%
- US Small Cap — 0.0%
- Utilities — 0.0%
Cite this
ETF Copilot, “Nvidia look-through exposure across 1,040 US equity ETFs”, as of August 25, 2026.
https://etf-copilot.com/exposure/nvidia