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
XOM A -2.68 3.29
CVX A -0.30 3.15
MSFT C 2.42 3.02
JPM B 0.30 2.91
AAPL F 0.32 2.85
JNJ F -0.16 2.56
ABBV C -4.33 2.44
AVGO C 3.94 2.16
PG A -0.78 2.13
MRK A 0.51 1.90
HD D 0.63 1.78
CME B -0.74 1.77
KO A 0.06 1.75
PEP A -0.19 1.74
BAC A 0.37 1.70
UNH C 0.11 1.70
CSCO D -0.19 1.48
IBM D -1.53 1.34
NEE A -1.51 1.20
AMGN D 0.25 1.13
MS A 0.52 1.12
UPS D 0.19 1.09
MCD D 0.06 1.08
BMY F 1.11 1.07
CMCSA F 1.53 1.05
C A 1.21 1.05
COP A 0.01 1.01
LLY D 1.37 1.00
GS A 1.70 0.92
RTX A -0.69 0.84
MDT D 0.19 0.83
ABT D 0.52 0.82
GILD F 0.80 0.82
QCOM C 1.02 0.81
DUK A -0.95 0.78
WMT A -0.28 0.77
V C -0.12 0.76
SO A -0.91 0.75
UNP C -0.76 0.71
CAT B 1.51 0.68
LMT A -0.68 0.68
HON D -0.08 0.66
ACN D -0.31 0.64
BLK C 0.99 0.63
ORCL D 2.72 0.62
PNC A 0.62 0.61
SBUX F 1.47 0.59
LOW C 0.70 0.58
EOG A 0.13 0.58
LIN C -0.23 0.56
ADP B -0.47 0.55
MDLZ B -0.30 0.54
MA C 0.07 0.51
TGT B 0.68 0.46
PSX B -3.87 0.46
AEP A -1.32 0.45
KMB A -0.54 0.41
NKE F 0.63 0.40
ADI B 1.49 0.40
COST C 0.84 0.40
CL A 1.31 0.38
ITW C 0.34 0.38
APD D 0.06 0.36
AXP A -0.48 0.36
SRE B -0.51 0.36
ETN A 1.94 0.34
MMC B -1.49 0.33
ELV A -0.54 0.33
GD A -0.24 0.32
MET B -1.60 0.31
CB C -0.16 0.31
XEL B -1.42 0.31
BK A 0.61 0.31
EIX A -0.72 0.30
FIS A -0.06 0.30
ADM B -0.98 0.29
NOC A -1.61 0.28
PEG A -0.16 0.28
NSC C -0.73 0.28
ED A -0.70 0.28
EMR C 0.60 0.28
AFL B -0.11 0.26
SPGI C 0.31 0.26
WM A -0.87 0.25
ALL A -1.86 0.25
BDX F 0.48 0.25
SYK C 0.11 0.25
WEC A -0.86 0.25
ETR A -0.92 0.24
LRCX D 2.23 0.23
SYY C -0.56 0.23
ES A -0.97 0.23
AMAT C 2.51 0.23
CMI A -0.13 0.23
ICE C 0.11 0.22
INTU C 0.96 0.22
MCHP B 2.15 0.22
NXPI C 1.87 0.22
CSX D -0.29 0.21
HPQ D 0.57 0.21
STT B 0.49 0.21
TRV C -0.72 0.21
MTB A 0.39 0.21
DTE B -1.02 0.20
GLW C 0.45 0.20
KR A -0.42 0.20
LHX B 3.11 0.19
TT A 1.12 0.19
HSY D 0.02 0.19
FAST C 0.22 0.19
PH A 0.26 0.18
YUM A 0.69 0.18
DFS A 1.74 0.18
KLAC C 4.83 0.17
TEL C -0.05 0.17
DHR C 0.55 0.16
MSI A -0.64 0.16
FERG A -0.08 0.16
GPC A -0.52 0.15
AEE A -0.84 0.15
K A -0.17 0.15
NTRS B 0.74 0.15
PFG C -2.94 0.15
ZTS D 2.85 0.15
PPG D 1.07 0.14
OTIS C -0.35 0.14
STZ A 0.00 0.14
CMS A -1.62 0.14
SHW D 0.45 0.14
TMO C 0.25 0.13
EBAY A 1.17 0.13
APH A 1.16 0.13
MCO C 0.70 0.13
AMP C -0.19 0.13
HIG A -2.87 0.13
ROK D 1.01 0.13
PCAR D -0.91 0.13
AWK C -0.01 0.13
ECL C 0.71 0.13
OMC A -0.70 0.13
BAX C -0.47 0.13
AON D -9.79 0.12
TSCO A 2.60 0.12
AES A 1.23 0.12
ATO A -0.57 0.12
IPG D 0.74 0.12
NI A -0.04 0.12
AJG C -1.40 0.12
NUE D -0.20 0.12
SWK D 0.71 0.12
LNT A -0.62 0.12
CTAS A 0.23 0.12
ARES B 0.97 0.12
SJM D -0.69 0.11
RSG A -0.06 0.11
GRMN A 0.57 0.11
CTVA C 0.38 0.11
CAH D -0.24 0.11
MKC A 0.37 0.11
HCA C -3.65 0.11
DG D -0.22 0.11
CINF A -6.09 0.11
SYF A 0.11 0.10
SWKS C 1.02 0.10
MSCI F 1.90 0.10
EMN A -0.84 0.10
PNW A 0.05 0.10
XYL A 0.96 0.09
DHI D 1.30 0.09
NDAQ A 0.21 0.09
SNA D 0.38 0.09
ROST D 1.17 0.09
CMA A 0.77 0.09
FNF C 1.34 0.09
NTAP A 0.55 0.09
HUM F -0.96 0.09
VST A 0.43 0.08
WTRG B -0.23 0.08
CDW C 0.22 0.08
COR B -0.10 0.08
OVV A 0.06 0.08
GWW C -1.70 0.08
WTW C -2.70 0.08
MCK A -0.04 0.08
HRL A 0.37 0.08
DGX A -0.24 0.08
WSO A -0.62 0.08
BR C -0.07 0.08
RJF B -0.57 0.08
STLD B 1.35 0.07
FMC D 0.59 0.07
UNM B -1.27 0.07
CHRW D 0.27 0.07
RMD C 16.05 0.07
DOV A 1.04 0.07
CHD A -0.48 0.07
ROP B -0.65 0.07
CE D 0.92 0.07
EG D -0.84 0.07
EWBC B -0.07 0.07
EQH A -0.47 0.07
OC A 2.17 0.06
ZION B 1.99 0.06
BAH B -0.34 0.06
HUBB A 1.33 0.06
MAS D -0.01 0.06
MOS F -0.30 0.06
AVY B 0.76 0.06
A D 1.08 0.06
WSM B -0.06 0.06
DKS A 1.29 0.06
ORI A 1.07 0.06
FLO A -0.72 0.05
HII C 0.44 0.05
SON D 0.68 0.05
INGR B -0.38 0.05
RHI D -1.84 0.05
JEF B 0.25 0.05
SSNC C 1.03 0.05
AFG C -1.29 0.05
PB B -0.34 0.05
POR A 0.53 0.05
RPM D 1.17 0.05
VMC C 0.37 0.05
FAF D 0.81 0.05
NXST D 0.19 0.05
RS D 1.48 0.05
RGA A -1.22 0.05
AME C 0.22 0.05
CFR A -1.56 0.05
GBCI C -0.19 0.04
JKHY C 0.27 0.04
MAN A -0.17 0.04
MPWR C 2.59 0.04
PNR C 1.43 0.04
WAL C 0.48 0.04
TXRH A 0.73 0.04
LECO D 0.56 0.04
ODFL D -6.11 0.04
POOL D 1.32 0.04
ALLE C -0.66 0.04
AIZ C -1.24 0.04
SCI C 1.27 0.04
SR A 0.86 0.04
PRGO C 1.98 0.04
AOS B 0.85 0.04
GGG D 0.02 0.04
NJR A 1.32 0.04
VOYA D 0.60 0.04
LW D 1.34 0.04
OZK A 0.65 0.04
SF A 0.76 0.04
BPOP A 0.15 0.04
CSL A 5.46 0.04
PHM B 2.21 0.04
MLM A 0.55 0.04
IDA A 0.57 0.04
ALB F 1.79 0.04
DPZ A 1.19 0.04
IEX D -0.57 0.04
STE D 0.92 0.04
HRB D -0.81 0.04
NFG A -0.79 0.04
VRSK D 0.13 0.04
EXPD D 0.56 0.04
ATR B 2.83 0.03
GNTX C -1.24 0.03
FFIN C -0.49 0.03
AVT A 0.97 0.03
EVR C 0.63 0.03
MDU A -0.12 0.03
MKTX F 0.89 0.03
WTFC B 0.08 0.03
BC D 1.83 0.03
KTB B 1.84 0.03
ESNT C 0.19 0.03
RGLD A -0.07 0.03
JBHT F -1.50 0.03
FBIN D 1.15 0.03
BRO C -1.28 0.03
DCI A -0.10 0.03
OSK A -1.15 0.03
ERIE D 0.63 0.03
THG B -1.30 0.03
HLI B -0.19 0.03
PII F 1.13 0.03
MTG C 0.88 0.03
PNM D -0.61 0.03
TTC D 0.62 0.03
NVT A 0.83 0.03
AXS C -1.60 0.03
FDS D 0.65 0.03
NDSN C 0.58 0.03
J C 0.44 0.03
R A -0.31 0.03
CBSH A 0.65 0.03
LII B 0.70 0.03
OGS B 0.19 0.03
MSM D 0.19 0.03
HOMB B 0.04 0.03
SSB C -0.84 0.03
SHOO C 2.69 0.02
HI B 1.80 0.02
BOKF A 0.79 0.02
SLGN A 0.51 0.02
FCFS B 0.76 0.02
ABM A -0.27 0.02
CADE B 0.65 0.02
SFBS C -0.25 0.02
DLB D 0.16 0.02
PAG C 2.16 0.02
NYT C 0.07 0.02
LANC D 0.47 0.02
UMBF B 0.38 0.02
RNR C -0.67 0.02
CBU D -0.38 0.02
CNO C -0.30 0.02
LPX C 1.11 0.02
CASY A 1.25 0.02
HLNE B -0.04 0.02
MSA A 0.25 0.02
BWXT C 0.65 0.02
G F 1.11 0.02
AGCO B -0.62 0.02
OTTR B -0.34 0.02
WLK B 1.05 0.02
GATX C 0.08 0.02
ASH A 1.62 0.02
UFPI D 0.83 0.02
NSP A -3.08 0.02
CATY F 0.84 0.02
WRB D -1.73 0.02
WD C 2.01 0.02
SIGI D -1.42 0.02
SNX A 0.12 0.02
FBP A -0.28 0.02
PRI C -1.61 0.02
THO D 0.61 0.02
RRX D 0.10 0.02
TPL A 1.03 0.02
CRI D -0.79 0.02
CBT A 0.88 0.02
TKR B 0.77 0.02
ITT B 1.23 0.02
UCBI C 0.85 0.02
LCII D 0.44 0.02
SEIC C 0.61 0.02
AL A 0.78 0.02
XRAY F 0.99 0.02
AVNT A 1.31 0.02
WSFS A -3.89 0.01
WING A 2.73 0.01
NNI A 0.68 0.01
KWR D 1.63 0.01
GPI A 0.88 0.01
BCPC D 0.67 0.01
CHE D -1.15 0.01
GOLF D 1.74 0.01
GHC C 0.42 0.01
WERN F -0.30 0.01
AIN D 0.34 0.01
IR B 1.61 0.01
AAON A 0.56 0.01
CHDN A 0.80 0.01
FIX A -4.79 0.01
SSD D 0.95 0.01
BANF B -0.33 0.01
WHD A 0.35 0.01
BMI A 0.85 0.01
CW A 0.22 0.01
WMS C 1.21 0.01
BCC D 1.44 0.01
POWI D 0.97 0.01
IOSP C 0.75 0.01
WTS C 0.17 0.01
FELE B -0.04 0.01
MORN D 0.19 0.01
JJSF F -0.12 0.01
COLM B 3.28 0.01
BRC A 0.13 0.01
WDFC D 0.36 0.01
LSTR D -0.41 0.01
FUL D 1.55 0.01
WOR D 1.07 0.01
IPAR F 0.86 0.01
MGRC D 0.36 0.01
RUSHA D 2.18 0.01
AWI C 0.79 0.01
RLI A -1.17 0.01
EXPO C 21.62 0.01
CABO F -0.18 0.01
MATX C 0.33 0.01
CGNX D 2.41 0.01
SIRI F -0.17 0.01
TEX B 1.90 0.01
LAD D 1.59 0.01
GL D -0.69 0.01
AGO D -0.24 0.01
INDB C 0.94 0.01
OLED D 0.83 0.01
PWR A 2.07 0.01
LFUS D 0.49 0.01
MGEE A 0.13 0.01
TTEK A 0.06 0.01
WST D -1.68 0.01
AIT D -0.48 0.01
AWR D 0.03 0.01
CWT C 0.02 0.01
DDS B 0.02 0.00
RUSHB D 3.87 0.00
HEI A 0.29 0.00
SNDR F 0.47 0.00
KAI D 0.44 0.00
ENSG C 0.00 0.00
CSWI A 0.26 0.00
KNSL D -16.19 0.00
HEI A 0.29 0.00

Recent News for iShares Core Dividend Growth ETF & its Holdings

Date Stock Title
Apr 26 MDT Medtronic gets FDA okay for Inceptiv closed-loop spinal cord stimulator
Apr 26 CL Colgate-Palmolive (CL) Q1 2024 Earnings Call Transcript
Apr 26 R Bond Modified Duration in Excel and R
Apr 26 DKS 11 Best Retail Dividend Stocks to Buy
Apr 26 DG 11 Best Retail Dividend Stocks to Buy
Apr 26 KR 11 Best Retail Dividend Stocks to Buy
Apr 26 COST 11 Best Retail Dividend Stocks to Buy
Apr 26 UNP Vena Magic! Why Union Pacific Just Hit A Grand Slam
Apr 26 HCA HCA Healthcare declares $0.66 dividend
Apr 26 HSY Upslope Capital - Hershey: Ideally Positioned To Emerge Stronger Despite Cocoa Crisis
Apr 26 CL Colgate Stock Rises on Earnings Beat-and-Raise
Apr 26 POR Portland General Electric Co (POR) Q1 Earnings: Aligns Closely with Analyst Projections
Apr 26 MSFT 'Meta Actually Has Major Profit Margins Unlike Tesla': Redditor Reacts To Stock Drop Following Q1 Earnings
Apr 26 COST Walmart history: Beyond the Ticker
Apr 26 EXPO Exponent's (NASDAQ:EXPO) investors will be pleased with their respectable 49% return over the last five years
Apr 26 YUM How I Got Here: Nira Johri
Apr 26 RMD ResMed Stock Soars After Strong Earnings. Wall Street Thinks It Can Do Even Better.
Apr 26 KO Stocks to watch next week: Amazon, Apple, Anglo American and Novo Nordisk
Apr 26 MSFT Nvidia, Meta Among Tech Stocks That Stand To Benefit From 'Lots Of Infrastructure Spending On AI,' Says Tesla Bull Ross Gerber
Apr 26 PPG PPG again earns EcoVadis gold rating for sustainability practices, ranks among top 7% of evaluated companies
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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