ETF Components for VYM - Vanguard High Dividend Yield ETF - DNQ


Below is a list of stocks held by this ETF. We only list holdings in the same market. If this is a global ETF, there may be additional components other than those listed here.

Holdings

Symbol Grade Price % Change Allocation
AVGO C 1.04 3.46
JPM B 1.92 3.42
XOM B -0.08 2.92
PG A -0.10 2.37
JNJ F -1.82 2.15
HD D -0.55 2.06
MRK B -1.22 2.03
ABBV D -0.76 1.77
CVX B 0.52 1.66
BAC B 1.35 1.58
WMT C 0.83 1.57
PEP B -0.71 1.50
KO A -0.14 1.49
WFC A 0.89 1.32
MCD F 0.07 1.23
CSCO D -0.39 1.18
QCOM B 4.26 1.14
ABT F -0.27 1.13
CAT D -0.51 1.05
VZ D 0.79 1.03
TXN A 0.96 0.99
CMCSA D -0.36 0.93
COP C -0.34 0.93
PM A 0.28 0.91
RTX A 0.82 0.90
AMGN B -0.22 0.90
UNP C -0.28 0.89
PFE D 0.66 0.89
NEE B 1.71 0.85
IBM D 0.13 0.85
GS A 0.66 0.83
LOW D -1.04 0.81
HON C 0.15 0.79
INTC F 2.13 0.79
ETN A 0.73 0.78
T B 0.17 0.75
PGR A 0.36 0.75
C A 0.89 0.72
BLK D -0.34 0.69
MS A 0.05 0.66
MDT D 1.12 0.66
UPS D -0.32 0.66
CI D -1.55 0.63
ADI A -0.87 0.62
ADP D -1.03 0.62
LMT A 0.06 0.62
CB C 0.64 0.62
SBUX F 0.72 0.61
MDLZ B -0.80 0.60
BMY F -0.72 0.55
CVS F -0.20 0.54
WM B -0.32 0.52
BX D 0.43 0.51
GILD F -0.74 0.50
SO A 0.75 0.49
EOG B -0.61 0.48
MO A -0.33 0.48
CL A -0.46 0.47
DUK A 0.37 0.47
TGT D 0.57 0.46
CME C 1.34 0.46
ITW D -0.57 0.45
GD A 1.05 0.43
SLB F -0.17 0.42
NXPI A 1.63 0.41
MPC D 0.70 0.41
PXD B 0.00 0.39
PSX D 0.34 0.39
PNC B 0.98 0.38
EMR C 0.83 0.38
FDX D -0.68 0.37
APO C 2.34 0.35
PCAR D 0.51 0.34
USB D 1.27 0.34
AIG A 0.58 0.33
MMM B 0.16 0.33
VLO D -0.09 0.33
NSC D 0.25 0.32
APD C 0.61 0.32
TFC B 0.42 0.31
TRV D 0.51 0.30
AFL A 1.05 0.30
MCHP B 0.09 0.30
WMB A 0.05 0.29
NEM B 1.82 0.29
F D 0.41 0.29
ALL B 0.51 0.28
SRE B -0.03 0.28
AEP A -0.35 0.28
KMB B 0.08 0.28
OKE B 0.82 0.28
JCI B 0.87 0.27
MET C 1.24 0.27
D B 0.48 0.26
BK A 1.30 0.26
GIS C -1.14 0.25
PRU A 1.28 0.25
FIS C 1.94 0.25
DOW C 1.48 0.25
LHX A 0.06 0.25
AMP C 1.57 0.25
PAYX D -1.14 0.24
CMI B 0.36 0.24
FAST D 0.33 0.24
YUM C 0.96 0.24
SYY D 0.11 0.23
EXC B -0.92 0.23
FANG B 0.78 0.22
KMI A -0.05 0.22
KR B -0.60 0.22
HAL F 0.36 0.21
EL F -0.06 0.21
PEG A 2.03 0.21
KDP B 0.62 0.20
BKR D 1.76 0.20
DVN B -0.17 0.20
ED A 0.60 0.20
PPG D 0.31 0.19
KHC C 0.14 0.19
ROK F 0.82 0.19
DD A 2.77 0.19
ADM C -0.38 0.19
DFS C 0.33 0.19
HIG C 0.63 0.18
HSY B -2.01 0.18
XEL C -0.61 0.18
EIX A 0.43 0.17
VST B 6.21 0.17
TRGP B 0.38 0.16
GLW B 0.44 0.16
CAH F 0.35 0.16
LYB C 1.15 0.16
WEC B 0.04 0.16
EBAY D 3.03 0.16
AWK B -0.29 0.15
MTB A 0.77 0.15
HPQ C 0.31 0.15
TROW D 1.10 0.15
FITB A 1.17 0.15
STT C 0.78 0.14
GPC B -0.30 0.14
HPE D 0.93 0.14
GRMN A 0.66 0.14
ARES A 0.87 0.14
ETR A -0.24 0.14
DTE A 0.80 0.14
BAX F -0.29 0.13
CTRA B 0.22 0.13
FE A -0.43 0.13
NTAP B 1.43 0.13
ES B 0.00 0.13
IFF A 1.77 0.13
PFG C 0.98 0.12
MKC B 0.08 0.12
HBAN A 1.18 0.12
AEE C -0.22 0.12
HUBB D 3.09 0.12
PPL A -0.35 0.12
CMS A 0.92 0.11
CINF D 0.49 0.11
ATO A -0.51 0.11
RF B 1.06 0.11
SYF B 1.10 0.11
STX C 0.78 0.11
DRI F -0.04 0.11
OMC B 0.94 0.11
WSM B 1.14 0.11
CNP B 0.55 0.11
DGX B 0.89 0.10
WRB D 0.56 0.10
LUV D 0.71 0.10
MRO D -0.81 0.10
EG C 1.14 0.10
CFG A 0.65 0.10
RS D -0.33 0.10
NRG B 6.06 0.10
NTRS C 0.54 0.10
TSN B -1.01 0.10
SWKS F 1.04 0.10
VTRS C -1.14 0.09
SNA D 0.23 0.09
SWK F 0.15 0.09
BBY D 2.69 0.09
CLX F 0.18 0.09
EQT B 0.60 0.09
CCEP A 0.20 0.09
CAG B -0.53 0.09
BG B 1.37 0.09
WSO B 2.24 0.09
K B -0.47 0.09
CF F -0.96 0.09
PKG D 1.96 0.09
WRK A 2.09 0.08
RGA A -0.19 0.08
EQH A 1.39 0.08
LNT B -0.12 0.08
WBA F 0.50 0.08
FNF B 1.68 0.08
OVV C 0.02 0.08
KEY C 1.58 0.08
RPM D 0.95 0.08
HII D 1.31 0.07
JNPR D 0.29 0.07
CHK B 0.68 0.07
EMN A 1.19 0.07
BAP B 1.23 0.07
DKS C 1.81 0.07
APA F -0.54 0.07
LKQ D 1.23 0.07
NI A -0.14 0.07
CE C 0.84 0.07
EVRG B 0.04 0.07
IPG D 0.96 0.07
SJM F -0.57 0.07
NVT A 3.73 0.07
AES B 1.70 0.07
IP C 2.94 0.07
SOLV C 0.87 0.06
AFG C 0.36 0.06
TPR D 2.27 0.06
WTRG B 0.32 0.06
AIZ D 1.37 0.06
CG D 1.34 0.06
DOX D -1.31 0.06
UNM B 0.59 0.06
TAP F -0.41 0.06
SCCO B 0.82 0.06
MOS F -0.19 0.06
BBWI C -0.06 0.06
RPRX F -0.86 0.06
HRL B 1.04 0.06
ALLY B 1.15 0.06
EWBC A 0.15 0.06
LEA F 1.51 0.05
OSK D -0.16 0.05
WBS D 1.12 0.05
CHRD B 1.77 0.05
FMC B 2.85 0.05
INGR A 0.04 0.05
FOXA B 1.94 0.05
PR B 1.09 0.05
ORI A 0.64 0.05
JEF B 1.29 0.05
SF A 0.22 0.05
HAS B 0.51 0.05
CHRW C 2.51 0.05
FHN A 0.70 0.05
PNW B 0.44 0.05
RRC B -0.45 0.05
ACI D -0.54 0.05
DINO D -0.44 0.05
CPB B -0.66 0.05
ALV A 1.08 0.05
RLI A 0.62 0.04
SSB D 1.30 0.04
CIVI B 0.88 0.04
PBF D -0.35 0.04
OMF B 0.96 0.04
ETRN B 0.87 0.04
ZION B 1.25 0.04
WH F 1.47 0.04
BPOP A 0.89 0.04
CRBG A 0.92 0.04
DTM A 1.19 0.04
WAL B 0.74 0.04
FLS A 1.33 0.04
CFR D 0.47 0.04
EVR C 2.16 0.04
RL D 2.29 0.04
MUR C 0.31 0.04
HLI A 1.22 0.04
BERY D 1.38 0.04
VOYA B 1.49 0.04
CBSH A 0.15 0.04
CMA B 1.05 0.04
XP D 1.14 0.04
HRB B -3.65 0.04
BEN F 0.86 0.04
OGE A 0.08 0.04
RHI D -0.43 0.04
AGCO F -0.83 0.04
MTN F 1.09 0.04
CRS B 1.18 0.03
JHG A 1.93 0.03
AGO D 1.14 0.03
NJR B 0.33 0.03
UBSI D 0.15 0.03
MSM F -0.32 0.03
GATX C 1.16 0.03
AAP D 0.22 0.03
HOG D 0.14 0.03
VFC F 3.09 0.03
POR B -0.05 0.03
MGY B 0.85 0.03
PRGO C -0.85 0.03
HOMB B 0.85 0.03
AVT A 1.80 0.03
BCPC C -0.47 0.03
SEE C -0.45 0.03
RDN C 1.33 0.03
PII F 0.18 0.03
LNC C 3.19 0.03
THG A -0.56 0.03
SWX A -0.33 0.03
SLM B 1.60 0.03
FLO B -0.76 0.03
AM A 0.07 0.03
NFG A 0.42 0.03
OGN B -1.69 0.03
OZK B 0.22 0.03
AXS A 1.29 0.03
FNB A 0.73 0.03
IDA B 0.72 0.03
PARA C 1.44 0.03
WU C 0.47 0.03
CBT B 1.29 0.03
M D 0.60 0.03
MDU A 0.12 0.03
CADE B 1.84 0.03
WHR F 0.07 0.03
IVZ D 1.10 0.03
ONB A 0.96 0.03
NXST C 0.39 0.03
SNV C 0.95 0.03
AL B 1.74 0.03
R A 0.99 0.03
UGI B -1.55 0.03
FAF D 1.18 0.03
PB B 0.26 0.03
JXN A 0.50 0.03
SON C -0.05 0.03
ESNT C 0.88 0.03
BC D 0.34 0.03
MTG B 0.78 0.03
BOKF A 0.91 0.02
BTU F 1.03 0.02
CRI F 0.76 0.02
SPB C 0.15 0.02
PINC F -0.26 0.02
DNB D -1.28 0.02
APAM C 1.44 0.02
RRR D 2.35 0.02
NOMD D 0.05 0.02
LCII D 0.61 0.02
STRA A -0.82 0.02
AGR B 0.44 0.02
AWR C -0.98 0.02
MGRC D 0.48 0.02
KSS F 1.30 0.02
AROC B 1.33 0.02
TGNA D 2.14 0.02
FHB B -0.19 0.02
ABM B -0.74 0.02
AVA B 0.19 0.02
CCOI F 1.11 0.02
AUB C 0.06 0.02
FULT A 0.66 0.02
CWT B -1.60 0.02
ARCH D 1.29 0.02
MGEE B -0.14 0.02
FBP A 1.75 0.02
SMG D 0.86 0.02
WD B 1.22 0.02
UCBI B -0.43 0.02
VSH C 1.95 0.02
CNO B 1.21 0.02
CACC D 1.11 0.02
SEM A -0.30 0.02
SHOO D 3.35 0.02
IBOC A 1.15 0.02
SFBS C 0.10 0.02
PAG F 0.91 0.02
VLY F 0.14 0.02
NWL C 0.13 0.02
SXT A 1.22 0.02
TNL D 2.91 0.02
NWE B -0.29 0.02
TPG D 3.17 0.02
KFY C 1.16 0.02
PNM C 1.09 0.02
ASB A 1.29 0.02
SR B -0.96 0.02
MC C 2.17 0.02
HI D 1.46 0.02
STNG A 0.62 0.02
WEN B -0.06 0.02
VAC D 3.35 0.02
PIPR A 1.75 0.02
ALE B 0.56 0.02
KTB B 0.88 0.02
OTTR B 0.87 0.02
UMBF C 0.78 0.02
KMPR B -0.68 0.02
OGS C -0.41 0.02
NOG B 0.05 0.02
NSP C -3.03 0.02
MAN B 0.01 0.02
CRC F 1.03 0.02
LANC D -0.71 0.02
BKH B 0.15 0.02
IRDM D 2.25 0.02
PTEN F 0.56 0.02
HP F 0.13 0.02
AVNT B 1.31 0.02
FFIN C 1.35 0.02
FOX B 1.57 0.02
HWC B 0.96 0.02
COLB C -0.16 0.02
HUN C -0.24 0.02
CC C -1.59 0.02
GPS D 0.58 0.02
GBCI C -0.08 0.02
SRCE B 0.70 0.01
DLX B 0.31 0.01
ALGT F 0.67 0.01
FDP D -0.09 0.01
CVI F 0.24 0.01
SASR B -0.69 0.01
SCHL F -0.27 0.01
BHLB B -0.49 0.01
MATV B -0.48 0.01
KW C 0.30 0.01
WMK C -0.03 0.01
SSTK F -1.38 0.01
BHE A 1.07 0.01
EIG D 0.49 0.01
PFS B -0.86 0.01
SCS C 1.00 0.01
JACK F 1.06 0.01
BKE C 0.71 0.01
SAFT B -0.17 0.01
STBA B 1.26 0.01
CNA B 0.02 0.01
HOPE D 0.83 0.01
WABC B 0.17 0.01
SYBT B 0.56 0.01
UVV B -1.12 0.01
NAVI F 1.20 0.01
CBRL F -0.11 0.01
NMRK D 0.58 0.01
AY B 2.67 0.01
FCF B 0.07 0.01
APOG A 1.87 0.01
IBTX C 2.21 0.01
NWBI C 0.27 0.01
WLY B 1.55 0.01
HTH B 0.74 0.01
CSGS F 0.33 0.01
MCY A 0.83 0.01
NWN B -1.36 0.01
LZB D 1.85 0.01
KALU B 0.26 0.01
YOU F -1.31 0.01
CHCO B 1.03 0.01
GEF D 0.59 0.01
DDS C 0.76 0.01
BANR B 0.84 0.01
VRTS C 1.29 0.01
VGR D 0.37 0.01
GBX B 2.75 0.01
HMN A 0.33 0.01
KLG B -2.50 0.01
SFL A 1.65 0.01
TDS F -0.37 0.01
HEES F 1.89 0.01
XRX F 0.43 0.01
WSBC C 0.54 0.01
REYN C 0.04 0.01
RNST C 0.97 0.01
NBTB B -0.05 0.01
OXM B 1.82 0.01
DAN C 3.09 0.01
CAKE D 1.79 0.01
NTB A 1.06 0.01
ADTN D 0.96 0.01
B C 1.97 0.01
NFE F -0.48 0.01
DK D -0.72 0.01
SJW D -2.04 0.01
WGO D -0.03 0.01
WOR D 1.30 0.01
HTLF A 0.62 0.01
CNS D -0.27 0.01
SBLK A 3.45 0.01
TRMK A -0.14 0.01
TOWN B 0.56 0.01
PHIN A 3.23 0.01
WAFD B -0.36 0.01
VIRT B 1.99 0.01
MLKN D 1.51 0.01
KMT C -0.39 0.01
PRK A 0.68 0.01
NYCB D 3.10 0.01
HNI A 1.66 0.01
SBCF C 0.22 0.01
EBC B -0.07 0.01
CWEN B 2.21 0.01
BANF B 0.07 0.01
FRME B 0.39 0.01
BKU B 1.17 0.01

Recent News for Vanguard High Dividend Yield ETF - DNQ & its Holdings

Date Stock Title
May 27 SBUX 3 Top Dividend Stocks That Should Pay You Forever
May 27 WMT Denise Incandela Takes Top Fashion Post at Wal-Mart U.S. E-commerce
May 27 WMT 4 Reasons to Forget Target and Buy Walmart Instead
May 27 WMT Walmart, Capital One end exclusive consumer credit card agreement
May 27 WMT 2 Ray Dalio Dividend Stocks To Add To Your Portfolio In June
May 27 MRK Hedge Funds Are Loading Up On This Dividend Stock
May 27 AVGO C3.ai (AI) Gears Up to Report Q4 Earnings: What's in the Cards?
May 27 AVGO HP (HPQ) Gears Up to Report Q2 Earnings: What's in Store?
May 27 VTRS Peering Into Viatris's Recent Short Interest
May 27 IP International Paper (IP) Hits 52-Week High: What's Driving It?
May 27 EQT Here's How Much $1000 Invested In EQT 5 Years Ago Would Be Worth Today
May 27 DNB Are You a Value Investor? This 1 Stock Could Be the Perfect Pick
May 27 TXN Why Investors Need to Take Advantage of These 2 Computer and Technology Stocks Now
May 27 WMT Major retailers are offering summer deals to entice inflation-weary shoppers
May 27 WMT This Was the Biggest Surprise to Come Out of Walmart's Earnings. Should You Buy the Stock Hand Over Fist?
May 27 QCOM Qualcomm: Continues Surging Higher (Technical Analysis)
May 27 JCI Johnson Controls: Growth In Data Center Cooling Solutions - Initiate With 'Buy'
May 27 GD Boeing (BA) Secures a $7.5B Contract to Aid JDAM Program
May 27 MRK AstraZeneca, Merck, GSK Struck Record $44.1B Licensing Deals With Chinese Drugmakers In 2023: Report
May 27 SBLK Exploring Top Dividend Stocks In May 2024
The investment seeks to track the performance of a benchmark index that measures the investment return of common stocks of companies that are characterized by high dividend yield. The fund employs an indexing investment approach designed to track the performance of the FTSE® High Dividend Yield Index, which consists of common stocks of companies that pay dividends that generally are higher than average. It attempts to replicate the target index by investing all, or substantially all, of its assets in the stocks that make up the index, holding each stock in approximately the same proportion as its weighting in the index.
Exchange Traded Fund ETF Dividend Dividend Yield S&P 500 Dividend Aristocrats
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