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 D 0.54 4.38
JPM B 1.25 3.61
XOM A 1.62 2.97
PG C 1.26 2.21
HD C 1.94 2.21
JNJ D 0.92 2.19
ABBV F 1.55 2.05
WMT A 1.00 2.02
BAC A 1.79 1.61
MRK F 0.78 1.47
KO D 0.77 1.44
CVX A 0.74 1.41
WFC A 2.13 1.29
PEP F 0.60 1.29
CSCO B 0.63 1.26
MCD D -1.80 1.19
PM A 1.01 1.17
ABT B 0.06 1.11
TXN C 0.03 1.05
CAT C 1.70 1.04
QCOM F 1.11 1.03
VZ C 0.69 1.01
IBM C 2.60 0.98
AMGN D 0.47 0.97
CMCSA B 0.76 0.95
GS B 2.15 0.93
T A 0.85 0.92
NEE C 0.48 0.92
PFE F -0.06 0.91
RTX D 1.37 0.91
LOW C 0.79 0.85
BLK B 1.01 0.82
UNP D 1.34 0.80
PGR B 1.29 0.80
HON B -0.43 0.76
MS B 2.55 0.76
ETN B 3.38 0.75
COP B 1.47 0.73
C B 1.24 0.70
BX A 3.32 0.67
ADP B 1.34 0.67
LMT D 1.47 0.66
CB D 0.74 0.65
MDT D 0.89 0.65
BMY B 0.32 0.64
ADI D 0.49 0.63
SBUX B 1.79 0.63
GILD B 0.43 0.63
SO C -0.09 0.57
UPS C 0.17 0.55
MO A 0.36 0.53
MDLZ F 0.62 0.52
CI D 0.78 0.50
DUK C 0.68 0.50
WM B 0.63 0.49
CME A 0.01 0.46
GD D 0.76 0.45
ITW B 1.29 0.44
CL D 0.44 0.43
APO B 1.01 0.42
PNC B 1.37 0.42
EOG A 0.84 0.40
MMM D 0.30 0.40
CVS D 0.24 0.40
APD A -0.06 0.39
TGT F 0.53 0.39
USB A 2.12 0.37
WMB A 1.57 0.36
EMR A 0.59 0.35
FDX B 1.45 0.35
NXPI F 0.89 0.34
TFC B 1.73 0.33
AFL C 1.22 0.33
BK B 1.10 0.32
TRV B 1.33 0.32
OKE A 2.99 0.32
NSC B 1.20 0.32
SLB C 1.80 0.32
AEP C 0.50 0.30
NEM D 0.12 0.30
SRE A 0.69 0.30
PCAR C 3.46 0.30
JCI B 1.81 0.29
FIS C -0.48 0.29
PSX C 1.15 0.29
AMP A 1.57 0.29
MPC C 0.90 0.29
ALL A 1.78 0.28
AIG D 0.84 0.28
D C 0.48 0.28
LHX B 1.13 0.27
KMI A 1.80 0.27
KMB C 0.91 0.26
MET A 2.25 0.26
PRU B 1.50 0.25
PEG A 0.82 0.25
FAST B 1.00 0.25
PAYX B 0.66 0.25
CMI A 2.08 0.25
VST A 6.03 0.24
F C 0.33 0.23
VLO C 1.02 0.23
GIS D 0.14 0.22
BKR A 0.80 0.22
MCHP F 1.46 0.22
EXC C 0.85 0.22
GLW B 0.61 0.21
TRGP A 1.99 0.21
KDP D -0.12 0.21
YUM D 0.51 0.21
KR B 1.08 0.21
DFS B 1.64 0.21
XEL A 1.18 0.21
SYY D 1.18 0.21
DD D 1.08 0.20
HPQ B 2.15 0.20
DOW F 1.37 0.20
ED C 0.00 0.20
ETR A 0.61 0.19
FANG C 2.09 0.19
EIX C 0.51 0.18
HIG A 0.76 0.18
MTB A 1.99 0.18
KHC F 0.53 0.17
FITB B 0.76 0.17
WEC A 0.91 0.17
ROK B -0.60 0.17
ARES A 0.49 0.17
GRMN B 1.96 0.17
STT A 1.05 0.16
PPG F 0.61 0.16
EBAY D 1.67 0.16
DTE C 0.74 0.15
HSY F 0.59 0.15
ADM D 0.86 0.15
CAH B 1.47 0.15
AWK C 0.84 0.15
PPL A 0.88 0.14
FE C 0.62 0.14
TROW B 0.57 0.14
DVN F 1.76 0.14
HAL C 2.15 0.14
HPE B 2.48 0.14
IFF D 0.99 0.14
HBAN B 1.23 0.13
LYB F 0.52 0.13
HUBB B 3.13 0.13
ES C 0.75 0.13
AEE A 1.25 0.13
NTAP C 3.15 0.13
CMS C 0.00 0.12
ATO A 1.11 0.12
K A 0.28 0.12
EQT A 2.32 0.12
CINF A 1.40 0.12
SYF B 0.99 0.12
RF A 1.85 0.12
CNP A 0.81 0.11
NRG B 1.61 0.11
PFG C 0.49 0.11
CFG B 1.47 0.11
DRI C 0.29 0.11
IP A 0.15 0.11
STX D 1.53 0.11
BBY D 1.11 0.11
OMC D 0.80 0.11
MKC C 1.24 0.11
NTRS A 0.36 0.11
PKG A -0.03 0.11
WRB A 1.30 0.10
WSM C -3.11 0.10
SNA B 0.26 0.10
DGX A 0.88 0.10
CTRA B 2.40 0.10
BAX F 0.97 0.10
LUV B 1.23 0.10
EG C 1.39 0.09
LNT A 0.19 0.09
MRO A 1.35 0.09
CCEP D 1.71 0.09
FNF D 0.24 0.09
CLX A 0.20 0.09
NI A 1.13 0.09
GEN B 1.56 0.09
EL F 2.79 0.09
GPC F 1.28 0.09
KEY B 1.76 0.09
RPM B 1.15 0.09
WSO A 1.50 0.09
RS B 0.86 0.09
TSN B 1.70 0.09
EWBC A 1.99 0.08
EVRG A -0.54 0.08
VTRS A 0.72 0.08
CAG D 0.70 0.08
RGA B 0.48 0.08
SWKS F 0.54 0.08
SWK F 1.84 0.08
EQH B 0.13 0.08
CF A 1.26 0.08
AES F 0.38 0.07
SJM D 0.25 0.07
BG D 1.28 0.07
UNM A 3.38 0.07
CHRW B 0.26 0.07
EMN D 1.32 0.07
NVT C 4.32 0.07
BAP A 1.26 0.07
JNPR D 0.25 0.07
WTRG B 1.23 0.06
CNH C 4.65 0.06
AIZ A 0.86 0.06
PNW A 1.13 0.06
DOX D 1.29 0.06
SF B 0.89 0.06
OVV B 2.33 0.06
RPRX D 1.28 0.06
TPR B 1.28 0.06
DKS D 0.92 0.06
CG B 2.11 0.06
CE F 1.08 0.06
IPG D 0.00 0.06
JEF A 2.65 0.06
RL C 1.72 0.05
OGE A 0.84 0.05
BERY C 1.50 0.05
FMC D 1.15 0.05
CRBG B 1.50 0.05
VOYA B 0.64 0.05
HRB D -0.69 0.05
CMA B 1.38 0.05
APA F 1.38 0.05
MOS D 2.14 0.05
ORI A 0.64 0.05
INGR B 1.18 0.05
DTM A 4.49 0.05
WBS A 1.58 0.05
HRL D 0.46 0.05
PR B 1.97 0.05
WAL B 2.90 0.05
CPB D 0.57 0.05
HLI A 1.52 0.05
HAS D 0.41 0.05
AFG A 1.07 0.05
FHN B 1.03 0.05
EVR B 2.26 0.05
SCCO F -2.52 0.05
TAP C 0.56 0.05
FOXA B -0.07 0.05
ALLY C 3.55 0.05
LKQ F 1.13 0.05
ESNT D 0.39 0.04
AGCO F 5.95 0.04
R B 1.10 0.04
MTN C 1.93 0.04
IVZ B 1.49 0.04
BPOP C 2.26 0.04
BBWI C -2.07 0.04
FAF A -0.37 0.04
MTG C 0.71 0.04
RLI A 0.82 0.04
SIRI D -0.87 0.04
PB B 2.04 0.04
ALV C -0.18 0.04
OSK C 1.36 0.04
WBA F -0.06 0.04
WH B 1.15 0.04
RHI C 0.80 0.04
FLS A 0.58 0.04
CRS A 0.44 0.04
RRC B 1.91 0.04
XP F 0.96 0.04
SNV B 1.06 0.04
VFC C 0.43 0.04
HII F 2.01 0.04
SSB B 2.44 0.04
CBSH B 1.68 0.04
CFR B 0.49 0.04
ZION B 1.74 0.04
JXN C 0.20 0.04
ACI C -0.50 0.04
CHRD F 1.95 0.04
SWX A 0.32 0.03
HWC B 2.31 0.03
NJR A 1.08 0.03
MUR D 1.39 0.03
AL B 0.00 0.03
FFIN B 0.53 0.03
OZK B 1.87 0.03
MC B 1.68 0.03
SLM A 2.75 0.03
KTB B 0.00 0.03
POR C 0.97 0.03
OGN F 1.02 0.03
AVT C 1.25 0.03
AM A 1.78 0.03
CIVI F 1.92 0.03
PIPR B 0.89 0.03
PARA D 1.18 0.03
GATX A -0.20 0.03
UMBF B 1.17 0.03
UBSI B 1.76 0.03
UGI C 1.36 0.03
HOMB B 1.51 0.03
SON D 0.00 0.03
FNB B 2.80 0.03
IDA A 0.34 0.03
FOX A -0.14 0.03
RDN D 1.10 0.03
SEE D 0.68 0.03
THG A -0.22 0.03
JHG B 1.14 0.03
BCPC B 0.75 0.03
BC F 1.66 0.03
LEA F 1.08 0.03
WHR B 1.12 0.03
NXST D 0.15 0.03
NFG A 2.65 0.03
OMF A 1.42 0.03
TPG A 2.27 0.03
CBT C 1.66 0.03
MDU D 0.43 0.03
GBCI B 0.48 0.03
BEN C 0.42 0.03
LNC B 1.33 0.03
COLB B 2.64 0.03
ONB B 1.79 0.03
CADE B 1.67 0.03
AXS A 0.74 0.03
DINO D 1.57 0.03
CXT C 2.02 0.02
VAC C 1.45 0.02
CC C 4.16 0.02
CNS B 2.24 0.02
STNG D -1.50 0.02
LCII C 3.01 0.02
APAM B 0.95 0.02
MGRC B 0.00 0.02
PAG C 2.94 0.02
TRN B 0.43 0.02
TGNA B 1.55 0.02
BOH B 1.01 0.02
NSP F 0.81 0.02
SFNC B 1.87 0.02
AVA C -0.36 0.02
TDS B 1.42 0.02
PBF D 1.74 0.02
PTEN C 3.26 0.02
CWT C 0.47 0.02
MAN F 0.20 0.02
SLVM B 1.32 0.02
AWR B -0.69 0.02
FBP B 2.01 0.02
EBC B 2.01 0.02
SXT C 0.38 0.02
FHB B 0.76 0.02
CATY B 1.89 0.02
TNL B 1.15 0.02
CBU B 2.61 0.02
YOU D -1.61 0.02
OTTR C 2.21 0.02
HP C 3.22 0.02
SHOO D 0.31 0.02
NWE C 1.06 0.02
FULT B 2.47 0.02
MGEE B -0.19 0.02
IBOC B 2.10 0.02
WEN D 0.03 0.02
AROC A 3.50 0.02
ABM B 0.23 0.02
BTU B 4.21 0.02
AUB B 1.94 0.02
LANC D 0.92 0.02
UCB A 2.28 0.02
IRDM F 1.00 0.02
SEM B 0.66 0.02
PRGO C -0.26 0.02
CCOI B 2.70 0.02
WD D 1.55 0.02
ASB B 1.28 0.02
GLNG D 1.35 0.02
CALM A 0.52 0.02
NOG A 1.70 0.02
CRC A 2.34 0.02
PII F 1.98 0.02
CNO B 1.58 0.02
DNB A 1.10 0.02
SR A 1.62 0.02
HUN F 0.36 0.02
KFY B 1.40 0.02
MSM D 0.00 0.02
WU F 0.84 0.02
NWL B 0.62 0.02
ALE A 0.09 0.02
SMG C 0.81 0.02
KMPR A 1.52 0.02
HOG F 1.14 0.02
PNM B 0.00 0.02
OGS A 0.79 0.02
BKH A 1.27 0.02
VLY B 1.63 0.02
AVNT B 2.17 0.02
GAP D 2.52 0.02
FLO D 0.63 0.02
SFBS B 2.82 0.02
M F 1.27 0.02
AGO A -0.08 0.02
MGY A 0.00 0.02
CWEN C 0.36 0.01
XRX F 1.13 0.01
JACK D 4.50 0.01
DK D 0.00 0.01
DAN F 1.70 0.01
WMK B -0.10 0.01
CNA C 0.57 0.01
CBRL C 2.84 0.01
OXM F 1.24 0.01
KLG D 1.81 0.01
FDP A 0.32 0.01
SRCE B 2.04 0.01
SCS B 0.01 0.01
UI A 2.12 0.01
NAVI F 1.35 0.01
SAFT B 0.62 0.01
DDS B 1.47 0.01
BHLB B 2.57 0.01
KALU C 1.18 0.01
KW C 0.98 0.01
UVV B 1.60 0.01
WOR F 0.62 0.01
EIG B 0.55 0.01
SFL D 2.44 0.01
BKE B 0.40 0.01
BLMN F 3.49 0.01
WABC B 1.35 0.01
CSGS B -0.06 0.01
HOPE B 1.70 0.01
HTH C 0.77 0.01
WT A 1.41 0.01
STBA B 2.10 0.01
TROX D 1.54 0.01
VRTS B 1.21 0.01
SASR B 0.97 0.01
REYN D 0.27 0.01
AY A -0.02 0.01
NWN A 1.64 0.01
HMN B 1.34 0.01
BHE B 2.34 0.01
WKC C 0.68 0.01
UPBD C 1.93 0.01
MLKN F 0.00 0.01
WGO D 3.60 0.01
GEF A 0.04 0.01
LEG F 1.29 0.01
LZB B 1.20 0.01
SYBT B 0.46 0.01
APOG B 2.26 0.01
FCF B 1.88 0.01
PDCO F 0.02 0.01
HEES C 2.75 0.01
TNC F 2.20 0.01
NWBI B 0.97 0.01
NTB B 1.44 0.01
CHCO B 0.40 0.01
PZZA F 0.68 0.01
WLY B 1.04 0.01
MCY B 0.00 0.01
WSBC B 1.35 0.01
GBX B 0.49 0.01
SJW F 0.80 0.01
SBLK F -1.58 0.01
STRA C 1.39 0.01
HI C 3.49 0.01
CABO B 0.00 0.01
CRI F -0.14 0.01
KMT C 1.42 0.01
PHIN A 1.73 0.01
NMRK C 1.42 0.01
NBTB B 0.88 0.01
KSS F 0.67 0.01
TRMK B 1.09 0.01
IBTX B 0.97 0.01
RNST B 1.09 0.01
PINC B 1.08 0.01
AAP D 0.30 0.01
VSH F 0.89 0.01
B A 0.09 0.01
FRME B 1.26 0.01
BANR B 2.57 0.01
BANF B 1.59 0.01
CAKE B -0.33 0.01
SBCF B 1.71 0.01
TOWN B 0.99 0.01
JWN D 0.45 0.01
WAFD B 1.25 0.01
ENR A -0.13 0.01
HNI A 0.27 0.01
ADTN B 4.72 0.01
IGT F -0.11 0.01
PFS B 1.59 0.01

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

Date Stock Title
Nov 21 ABT Major companies that are also popular short-selling stocks
Nov 21 AVGO Major companies that are also popular short-selling stocks
Nov 21 PFE Major companies that are also popular short-selling stocks
Nov 21 NTAP Dell Q3 results should provide optimism heading into 2025
Nov 21 KHC Kraft Heinz: Hold The Mustard
Nov 21 WT Nvidia Pops, Then Drops. But This Cheap Stock May Be A 'Wise' Pick.
Nov 21 KO Warren Buffett Is Set To Collect $776 Million In Coca-Cola Dividends – But Daughter Says His Wife Buys Him The Soda 'On Sale'
Nov 21 HPQ HP keeps Equal-weight rating at Morgan Stanley ahead of earnings
Nov 21 VZ Verizon brings more joy and less stress to your holiday shopping experience
Nov 21 IBM Q1 2025 Palo Alto Networks Inc Earnings Call
Nov 21 VZ Verizon Business secures new 5-year agreement with the U.S. Department of Agriculture (USDA)
Nov 21 OMC MERCURY PUBLIC AFFAIRS ANNOUNCES MERGER WITH SERAFIN & ASSOCIATES
Nov 21 RRC Top 2 Energy Stocks You May Want To Dump This Month
Nov 21 F Ford to cut 4,000 European jobs amid economic and EV challenges
Nov 21 PFE The Zacks Analyst Blog Highlights Adobe, Pfizer, Dollar General, Snap and Ryanair
Nov 21 XOM Exxon Mobil's (NYSE:XOM) investors will be pleased with their strong 111% return over the last three years
Nov 21 VZ Verizon deploys first-ever interoperable multi-vendor O-RAN DAS system
Nov 21 PAYX Paychex Introduces HR Analytics Premium Plus Solution with Built-in GenAI Capabilities
Nov 21 VTRS Viatris Inc. (VTRS) Management Presents at Jefferies London Healthcare Conference (Transcript)
Nov 21 PKG Zacks Industry Outlook Highlights Packaging Corporation, AptarGroup and Sealed Air
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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