ETF Components for DGRO - iShares Core Dividend Growth ETF


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
JPM B 0.98 3.24
XOM A 0.24 3.04
CVX A 0.24 2.95
MSFT D 0.10 2.83
AAPL C -0.53 2.79
JNJ D 0.00 2.54
AVGO D 0.03 2.28
HD C 0.55 2.24
ABBV F -0.19 2.12
PG C -0.09 2.11
UNH B -0.01 1.77
BAC A 0.78 1.77
CSCO B -0.28 1.72
PEP F 0.08 1.53
KO D 0.25 1.50
MRK F 0.00 1.49
MS B 1.75 1.46
IBM C 0.69 1.37
BMY B -0.31 1.29
CMCSA B -0.40 1.21
C B 0.44 1.17
UPS C -0.15 1.13
GS B 0.80 1.12
MCD D -2.27 1.11
GILD B -0.49 0.96
AMGN D -1.17 0.94
COP B 0.70 0.91
WMT A 0.09 0.88
NEE C -0.34 0.88
ABT B -0.16 0.87
V A 0.02 0.86
QCOM F 0.16 0.83
BLK B 0.52 0.82
LLY F -1.47 0.81
MDT D 0.25 0.79
RTX D -0.12 0.76
ACN B 0.66 0.74
HON B 0.05 0.72
CAT C -0.29 0.72
UNP D 0.48 0.71
DUK C -0.17 0.71
SO C -0.22 0.71
PNC B 0.25 0.68
ORCL A 0.65 0.68
LOW C -0.02 0.65
LIN D 0.30 0.59
SBUX B 0.76 0.59
LMT D 0.17 0.57
ADP B 0.51 0.56
EOG A 0.32 0.54
MA B 0.20 0.53
TGT F 1.14 0.49
COST A 0.53 0.47
PSX C -0.22 0.46
MDLZ F -0.67 0.45
ITW B -0.35 0.42
AXP B -0.05 0.41
APD A -0.47 0.41
ETN B 0.00 0.41
AEP C -0.10 0.40
SRE A 0.00 0.40
CME A -0.05 0.39
NKE F 0.56 0.39
ADI D -0.20 0.38
MMC D -0.03 0.36
BK B 0.46 0.36
EMR A 0.09 0.35
KMB C 0.09 0.35
CL D 0.00 0.33
MET A 1.48 0.33
CB D 0.22 0.32
GD D 0.27 0.31
PEG A 0.21 0.30
XEL A 0.09 0.30
NSC B -0.06 0.29
CMI A 0.16 0.28
SYK A 0.15 0.28
MTB A 0.55 0.27
EIX C -0.12 0.27
HPQ B 0.58 0.27
AMAT F 0.68 0.27
NOC D 0.00 0.26
WM B -0.29 0.26
ETR A -0.29 0.26
INTU B 2.31 0.25
WEC A -0.30 0.25
TRV B -0.58 0.25
SPGI D 0.77 0.25
ELV F 0.45 0.25
AFL C 0.53 0.24
FAST B -0.07 0.24
BDX F -0.20 0.24
ED C -0.22 0.24
CSX C 0.00 0.23
ICE D 0.06 0.23
PH B 0.66 0.23
SYY D 0.34 0.23
ALL A 0.36 0.23
LRCX F 1.54 0.22
LHX B 0.01 0.22
STT A 0.22 0.22
DFS B 0.49 0.22
GLW B -0.07 0.22
NXPI F 0.15 0.22
KR B -0.13 0.22
ES C 0.00 0.21
ADM D 0.08 0.20
TT A 0.65 0.20
ARES A 0.49 0.19
DTE C 0.19 0.19
TEL C -0.21 0.19
FIS C -0.44 0.19
AEE A -0.07 0.18
MCHP F 0.24 0.18
ZTS D -0.20 0.17
PFG C 0.00 0.17
MSI A -0.16 0.17
PCAR C 1.02 0.17
YUM D -0.60 0.17
NTRS A 0.18 0.17
AMP A 0.00 0.17
FERG C -0.48 0.16
SHW C -0.37 0.16
HSY F 0.11 0.16
ROK B 0.00 0.15
KLAC F 1.02 0.15
AON B -0.56 0.15
OTIS D -0.36 0.15
K A 0.02 0.14
APH B 1.75 0.14
CMS C 0.00 0.14
STZ D -0.11 0.14
PPG F -0.26 0.14
NUE D 0.00 0.13
EBAY D -0.56 0.13
SYF B 0.39 0.13
CTAS B 0.16 0.13
ECL D 0.04 0.13
CINF A 0.00 0.13
HIG A 0.02 0.13
DHR D -0.32 0.13
LNT A 0.00 0.12
GPC F -0.09 0.12
SNA B 0.00 0.12
FNF D 0.00 0.12
CAH B -0.66 0.12
NI A -0.03 0.12
AJG A -0.23 0.12
ATO A 0.27 0.12
GRMN B 0.98 0.12
MCO B 0.09 0.12
MSCI C -0.10 0.12
OMC D 0.00 0.12
AWK C -0.32 0.12
CMA B 0.47 0.11
RJF A 0.00 0.11
TSCO D 0.74 0.11
BAX F 0.12 0.11
DG F 1.31 0.11
TMO D -0.29 0.11
VST A 2.41 0.11
SJM D -0.43 0.10
WSO A 0.00 0.10
SWK F 0.04 0.10
HCA F -2.09 0.10
GWW B 0.05 0.10
NTAP C 0.29 0.10
IPG D 0.00 0.10
MCK A -0.67 0.10
RSG A -0.34 0.10
CTVA C 0.31 0.10
ROST D 0.23 0.10
MKC C -0.22 0.09
AES F -0.79 0.09
EMN D -0.68 0.09
WTW B -0.15 0.09
BR B -0.05 0.09
EWBC A 0.79 0.09
NDAQ A 0.40 0.09
PNW A -0.07 0.09
EG C 0.34 0.08
DGX A -0.48 0.08
STLD B -0.37 0.08
COR B -0.56 0.08
HUM C 0.53 0.08
UNM A 2.10 0.08
OVV B 0.79 0.08
SWKS F 0.25 0.08
MOS D 0.79 0.07
RMD C 0.17 0.07
HUBB B 0.36 0.07
VMC B 0.08 0.07
ORI A 0.00 0.07
CHD A 0.00 0.07
JEF A 0.92 0.07
CFR B 0.00 0.07
AME A 0.00 0.07
HRL D -0.36 0.07
DOV B 0.39 0.07
DHI D 0.37 0.07
CHRW B -0.12 0.07
ZION B 0.32 0.07
ROP C -0.05 0.07
WTRG B -0.04 0.07
XYL D 0.58 0.07
IEX B 0.00 0.06
DKS D -0.43 0.06
PB B 0.23 0.06
LW C -0.62 0.06
OC A -0.05 0.06
A F 1.47 0.06
FMC D 0.94 0.06
AVY D 0.00 0.06
MAS D -0.23 0.06
BAH F 1.86 0.06
RGA B -0.14 0.06
RHI C -0.46 0.06
WSM C -2.26 0.06
RPM B -0.03 0.06
CDW F 0.00 0.06
RS B 0.10 0.06
EQH B -0.09 0.06
VOYA B 0.54 0.05
TXRH B -0.36 0.05
GBCI B 0.00 0.05
POR C 0.02 0.05
EXPD D 0.07 0.05
CSL C -0.23 0.05
SSNC C 0.84 0.05
NXST D -0.45 0.05
MLM B 0.12 0.05
OZK B 0.00 0.05
INGR B 0.28 0.05
ALB B -1.91 0.05
AFG A 0.15 0.05
FAF A 0.00 0.05
DPZ C 0.09 0.05
VRSK A -0.15 0.05
ODFL B 0.14 0.05
SF B 0.00 0.05
WTFC B 0.00 0.04
JBHT C -0.74 0.04
TPL A 0.00 0.04
HII F 0.25 0.04
MSM D 0.00 0.04
LII A 1.03 0.04
AXS A 0.61 0.04
TXNM A 0.00 0.04
NDSN C 0.29 0.04
JKHY D 0.09 0.04
PHM D 0.19 0.04
CBSH B 0.51 0.04
HRB D -0.50 0.04
ALLE D 0.06 0.04
AIZ A 0.30 0.04
R B -0.77 0.04
FDS B 0.30 0.04
BPOP C 0.45 0.04
NJR A 0.72 0.04
SR A 0.42 0.04
HOMB B 0.07 0.04
FLO D -0.32 0.04
PNR B -0.13 0.04
SCI B 0.00 0.04
WAL B 0.48 0.04
CE F 0.51 0.04
GGG B 0.00 0.04
POOL D 0.63 0.04
SON D 0.00 0.04
SSB B 0.44 0.04
STE D 0.03 0.04
NFG A 0.91 0.04
LECO C 0.64 0.04
IDA A 0.00 0.04
G B 0.00 0.03
LCII C 0.00 0.03
ESNT D 0.00 0.03
UCB A 0.82 0.03
FBIN D 0.00 0.03
CATY B 0.77 0.03
MKTX D -0.22 0.03
GNTX F 0.17 0.03
BWXT B 0.82 0.03
AVT C 0.38 0.03
FFIN B 0.00 0.03
BC F 0.00 0.03
PII F 0.28 0.03
ITT B 0.00 0.03
SEIC B 0.00 0.03
ATR B -0.20 0.03
MAN F 0.22 0.03
OSK C 0.00 0.03
THG A 0.00 0.03
BRO B -0.05 0.03
KTB B 0.00 0.03
DCI B -0.28 0.03
AOS F 0.00 0.03
NVT C 1.19 0.03
MTG C 0.42 0.03
J D 0.00 0.03
HLI A 0.43 0.03
OGS A 0.33 0.03
TTC F 0.24 0.03
PRI B -0.35 0.03
MPWR F -0.59 0.03
PRGO C -0.61 0.03
EVR B 0.00 0.03
WLK F -0.82 0.02
SLGN A 0.00 0.02
MDU D 0.00 0.02
LFUS D 0.00 0.02
ASH F -0.60 0.02
PWR A 0.98 0.02
AWR B 0.00 0.02
DLB B 0.00 0.02
NSP F 0.00 0.02
LANC D 0.11 0.02
MSA D 0.00 0.02
AGCO F 2.90 0.02
HI C 0.41 0.02
AGO A 0.00 0.02
CADE B 0.00 0.02
LPX B 0.00 0.02
CASY A 0.23 0.02
MGEE B -0.32 0.02
RNR C 0.00 0.02
NYT D 0.10 0.02
SFBS B 0.09 0.02
LAD B 0.60 0.02
SNX C 0.16 0.02
OTTR C 0.00 0.02
AIT B 0.43 0.02
UMBF B 0.00 0.02
TKR F 0.41 0.02
CNO B 0.00 0.02
CRI F 0.00 0.02
WD D 0.91 0.02
PAG C 0.86 0.02
GATX A 0.00 0.02
UFPI C 0.61 0.02
GL C 0.19 0.02
SIGI C -0.21 0.02
XRAY D 0.00 0.02
HLNE B 0.48 0.02
AL B 0.00 0.02
FBP B 0.58 0.02
ERIE D 0.00 0.02
AVNT B 0.80 0.02
CBT C 0.41 0.02
WRB A 0.21 0.02
RRX B 0.00 0.02
RGLD C 0.00 0.02
THO C 0.74 0.02
WING F -1.95 0.01
AMTM D 5.89 0.01
KWR C 0.00 0.01
GOLF B -0.12 0.01
AIN C 1.30 0.01
CHE D 0.70 0.01
BCPC B 0.00 0.01
CHDN B 0.00 0.01
BCC C -0.05 0.01
GPI B 0.00 0.01
IR B -0.54 0.01
AAON B 1.50 0.01
WMS F -0.08 0.01
BRC C 0.00 0.01
COLM C 0.00 0.01
IOSP C 0.00 0.01
CW B 0.55 0.01
WHD B 0.00 0.01
BMI B 0.00 0.01
FELE B 0.00 0.01
FUL F -0.15 0.01
BANF B 0.00 0.01
POWI D 0.00 0.01
JJSF C 0.00 0.01
TEX D 0.19 0.01
MORN B 0.27 0.01
SSD D -0.03 0.01
CGNX D -0.95 0.01
ECG D 2.11 0.01
MGRC B 0.00 0.01
LSTR D 0.00 0.01
WTS B 0.00 0.01
TTEK F 0.12 0.01
RUSHA B 0.51 0.01
EXPO D -1.07 0.01
RLI A -0.27 0.01
FCFS F 0.00 0.01
WDFC B 0.20 0.01
FIX A 1.31 0.01
BOKF B 0.44 0.01
SHOO D 0.00 0.01
IPAR B 1.25 0.01
WST C -0.64 0.01
OLED F -0.40 0.01
MATX B 0.07 0.01
SIRI D -1.63 0.01
AWI A 0.54 0.01
ABM B 0.00 0.01
CWT C -0.10 0.01
DDS B -0.95 0.00
RUSHB B 0.00 0.00
ENSG D -0.23 0.00
HEI A 0.00 0.00
KNSL B 1.27 0.00
NNI D 0.00 0.00
HEI A 0.00 0.00
CSWI B 0.00 0.00
WOR F 0.00 0.00
KAI B 0.00 0.00

Recent News for iShares Core Dividend Growth ETF & its Holdings

Date Stock Title
Nov 21 IBM Q1 2025 Palo Alto Networks Inc Earnings Call
Nov 21 SSNC SS&C declares $0.25 dividend
Nov 21 XOM Exxon Mobil's (NYSE:XOM) investors will be pleased with their strong 111% return over the last three years
Nov 21 SSNC SS&C Announces Common Stock Dividend of $0.25 Per Share
Nov 21 XOM Exxon targets $200M to expand plastics recycling operations at Texas plants
Nov 21 JJSF J & J Snack Foods appoints CFO
Nov 21 MSFT Microsoft (MSFT) Corporation Fell as its Azure Cloud Segment’s Revenue Fell Short Of Expectations
Nov 21 LMT Lockheed Martin Stock Under Pressure With Technicals Hinting At Recovery Potential
Nov 21 JJSF J & J SNACK FOODS APPOINTS SHAWN MUNSELL AS CHIEF FINANCIAL OFFICER
Nov 21 MSFT Artificial General Intelligence Is Coming: 1 Unstoppable Vanguard ETF to Buy Now
Nov 21 AAPL Artificial General Intelligence Is Coming: 1 Unstoppable Vanguard ETF to Buy Now
Nov 21 INTU How To Earn $500 A Month From Intuit Stock Ahead Of Q1 Earnings
Nov 21 CMCSA Analyst Green-Lights Comcast Spinoff: How CMCSA's Restructure Plan Could Unlock Significant Shareholder Value
Nov 21 MSFT Microsoft Corp (MSFT): A Cloud Powerhouse in Ken Griffin’s Portfolio
Nov 21 AAPL The feds want Google to sell its Chrome browser
Nov 21 XOM Exxon, under fire over plastic recycling, spending $200 million to expand Texas plants
Nov 21 FDS FactSet Unveils Intelligent Platform Initiative to Supercharge Client Workflows
Nov 21 EOG Oil Price Ticks Lower on Inventory Gain, China Weakness
Nov 21 AAON AAON To Present At UBS Global Industrials & Transportation Conference On December 4, 2024
Nov 21 XOM ExxonMobil to Expand Advanced Recycling Capacity
The investment seeks to track the investment results of the Morningstar® U.S. Dividend Growth IndexSM. The index is a dividend dollars weighted index that seeks to measure the performance of U.S. companies selected based on a consistent history of growing dividends. The index is a subset of the Morningstar® U.S. Market IndexSM, which is a diversified broad market index that represents approximately 97% of the market capitalization of publicly-traded U.S. stocks. The fund generally invests at least 90% of its assets in securities of the index and in depositary receipts representing securities of the index.
Exchange Traded Fund ETF Index Fund Stock Market Index Dividend Depositary Receipt
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