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NVDA NVIDIA Corp

Which ETFs hold NVDA? NVIDIA Corp is held by 14 funds tracked by ETFpeek.

Held by 14 funds todayData as of 9 Oct 2026
TechnologySemiconductors
$230.48
+26.1% 1y
$164.2752-week range$243.37
Market cap
$5.6T
P/E
29.1
Dividend
0.43%
3-month
+9.4%
CEO
Mr. Jen-Hsun Huang
Revenue · last 4 qtrs (+105.9% YoY)

NVIDIA Corporation operates as a data center scale AI infrastructure company in the United States, Taiwan, China, Hong Kong, Europe, and internationally. It operates through Compute & Networking, and Graphics segments. The Compute & Networking segment provides data center accelerated computing and networking platforms and artificial intelligence solutions and software, and automotive platforms and autonomous and electric vehicle solutions, including software. The Graphics segment offers GeForce GPUs for gaming and PCs; Quadro/NVIDIA RTX GPUs for enterprise workstation graphics. The company's products are used in gaming, professional visualization, data center, and automotive markets. It sells its products to original equipment manufacturers, original device manufacturers, system integrators and distributors, independent software vendors, cloud service providers, add-in board manufacturers, distributors, automotive manufacturers and tier-1 automotive suppliers, and other ecosystem participants. NVIDIA Corporation was incorporated in 1993 and is headquartered in Santa Clara, California.

Provider

Currently Held By

ISHARES
IUIT
Weight in fund21.23%
Shares held18,752,273
Market value$4.45B
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SMARTSHARES
UST
Smart US Technology (NZD Hedged) ETF
via IUIT
Weight in fund21.23%
Shares held—
Market value$11.8M NZD
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VANGUARD
VUG
Weight in fund13.61%
Shares held237,353,177
Market value$52.40B
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SMARTSHARES
USG
Smart US Large Growth ETF
via VUG
Weight in fund13.61%
Shares held—
Market value$86.8M NZD
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GLOBALX
BOTZ
Global X Robotics & Artificial Intelligence ETF
Weight in fund8.11%
Shares held1,165,637
Market value$268.7M
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VANGUARD
VOO
Weight in fund8.08%
Shares held643,435,730
Market value$142.06B
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SMARTSHARES
USF
Smart US 500 ETF
via VOO
Weight in fund8.08%
Shares held—
Market value$101.3M NZD
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ARK
ARKQ
ARK Autonomous Technology & Robotics ETF
Weight in fund5.90%
Shares held494,347
Market value$113.9M
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ARK
ARKX
ARK Space & Defense Innovation ETF
Weight in fund5.39%
Shares held176,217
Market value$40.6M
View fund →
ARK
ARKW
ARK Next Generation Internet ETF
Weight in fund4.39%
Shares held415,897
Market value$99.4M
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ARK
ARKF
ARK Blockchain & Fintech Innovation ETF
Weight in fund3.15%
Shares held122,143
Market value$28.2M
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ARK
ARKK
ARK Innovation ETF
Weight in fund3.05%
Shares held910,898
Market value$209.9M
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ISHARES
RBOT
Weight in fund2.98%
Shares held758,106
Market value$180.0M
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SMARTSHARES
BOT
Smart Automation and Robotics ETF
via RBOT
Weight in fund2.98%
Shares held—
Market value$3.1M NZD
View fund →
Not held by the selected provider.
last 90 days
Net flow (90d):−$306.9M·0 BUY / 5 SELL·score ≥ 40
DatePersonActionPlanSharesValueScore i
21 Sep 2026
Timothy S. Teter
Executive VP, General Counsel & Secretary
SELLUnknown30,460
3 tranches
$6.8M40
18 Sep 2026
Mark A Stevens
Director / Other
SELLUnknown1,366,000
2 tranches
$300.1M40
Net flow (90d):−$306.9M·0 BUY / 5 SELL·showing all trades
DatePersonActionPlanSharesValueScore i
21 Sep 2026
Timothy S. Teter
Executive VP, General Counsel & Secretary
SELLUnknown30,460
3 tranches
$6.8M40
18 Sep 2026
Mark A Stevens
Director / Other
SELLUnknown1,366,000
2 tranches
$300.1M40
Data: Finnhub (SEC Form 4 filings) · Score: ETFpeek heuristic
35 trades
DateFundDirectionShares Changed% Δ ETF i% Δ Position i
30 Sep 2026ARKXBUYAdded+27,133+0.83%15.66%
30 Sep 2026ARKWBUYAdded+80,244+0.88%20.82%
30 Sep 2026ARKQBUYAdded+62,034+0.73%12.67%
30 Sep 2026ARKKBUYAdded+187,269+0.50%17.90%
11 Sep 2026BOTZSELLReduced-460,907-2.13%28.21%
31 Aug 2026ARKXBUYAdded+7,005+0.06%4.67%
31 Aug 2026ARKWBUYAdded+83,270+0.94%29.50%
31 Aug 2026ARKQBUYAdded+87,340+0.87%20.30%
31 Aug 2026ARKKBUYAdded+58,633+0.17%8.06%
31 Aug 2026ARKFBUYAdded+7,460+0.12%6.66%
18 Aug 2026ARKXBUYAdded+7,523+0.22%5.10%
18 Aug 2026ARKWBUYAdded+15,894+0.20%7.95%
18 Aug 2026ARKQBUYAdded+18,141+0.20%5.29%
18 Aug 2026ARKKBUYAdded+56,412+0.19%8.16%
18 Aug 2026ARKFBUYAdded+3,386+0.14%3.24%
11 Aug 2026ARKXBUYAdded+7,785+0.09%5.49%
11 Aug 2026ARKWBUYAdded+31,958+0.32%17.37%
11 Aug 2026ARKQBUYAdded+18,542+0.10%5.64%
11 Aug 2026ARKKBUYAdded+57,201+0.10%8.94%
11 Aug 2026ARKFBUYAdded+6,935+0.11%6.86%
6 Aug 2026ARKXBUYAdded+5,813+0.33%4.34%
6 Aug 2026ARKWBUYAdded+12,201+0.23%8.03%
6 Aug 2026ARKQBUYAdded+14,161+0.34%4.53%
6 Aug 2026ARKKBUYAdded+42,999+0.23%7.41%
6 Aug 2026ARKFBUYAdded+5,238+0.21%5.56%
29 Jul 2026ARKXBUYAdded+5,799-0.03%4.34%
29 Jul 2026ARKWBUYAdded+11,984+0.05%8.50%
29 Jul 2026ARKQBUYAdded+13,639+0.02%4.46%
29 Jul 2026ARKKBUYAdded+42,070+0.04%7.87%
29 Jul 2026ARKFBUYAdded+5,474-0.06%6.07%
2 Jun 2026ARKXBUYAdded+24,461+0.72%16.65%
2 Jun 2026ARKWBUYAdded+41,537+0.56%32.06%
2 Jun 2026ARKQBUYAdded+53,272+0.69%17.75%
2 Jun 2026ARKKBUYAdded+161,999+0.59%28.92%
2 Jun 2026ARKFBUYAdded+18,751+0.63%20.47%
No trade history for SmartShares funds — their underlying ETFs are passive index trackers, so day-to-day rebalancing is minimal.

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