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 1.33 2.98
MSFT D -0.85 2.94
AAPL C 0.25 2.85
JPM D 0.12 2.81
JNJ D -0.51 2.69
CVX B 0.84 2.68
ABBV A -0.07 2.52
AVGO C 1.90 2.41
HD A 0.54 2.21
PG C -0.65 2.18
MRK F -2.32 1.78
KO C -0.98 1.76
UNH B 1.54 1.75
PEP D -1.07 1.66
CSCO A 0.53 1.60
BAC D 0.03 1.50
IBM B 0.17 1.48
CMCSA B -0.22 1.19
BMY B 1.63 1.18
MCD A 0.26 1.16
MS B 0.10 1.14
UPS D -0.20 1.14
AMGN D -0.18 1.08
C B 0.36 1.06
NEE A 0.19 0.98
LLY D 0.75 0.96
GS C 0.37 0.94
GILD A 0.95 0.91
QCOM D 1.53 0.89
ABT B 0.07 0.85
COP D 0.91 0.85
WMT A -1.03 0.84
MDT B -0.98 0.82
RTX A -0.28 0.78
V C -0.22 0.77
BLK A 2.49 0.75
DUK A 0.40 0.74
CAT A 0.42 0.74
UNP D -0.90 0.74
ACN B 1.22 0.74
SO A 0.78 0.73
HON C -1.06 0.66
LOW A -0.29 0.65
LMT A -0.44 0.63
ORCL B 0.33 0.63
LIN B 0.17 0.63
PNC C -0.27 0.60
SBUX B -0.95 0.59
ADP A 1.24 0.52
MDLZ C -0.97 0.52
EOG B 1.08 0.50
TGT C -1.18 0.50
MA A -0.16 0.50
COST C 0.13 0.47
NKE D -6.77 0.46
PSX D 1.11 0.46
AEP C -0.40 0.43
ADI C 1.82 0.43
ITW A 0.21 0.41
AXP A 0.86 0.39
APD C -0.49 0.39
KMB B -0.46 0.38
CME A -0.76 0.38
ETN C 0.13 0.38
CL D -0.26 0.37
SRE A -0.64 0.37
MMC D 0.13 0.36
BK C -0.23 0.34
ELV F -1.19 0.34
AMAT B 2.00 0.34
MET A 0.01 0.33
CB A -0.27 0.32
GD A -0.46 0.32
EMR B 1.11 0.30
PEG A 0.33 0.29
XEL A -0.26 0.28
NOC B -0.92 0.28
EIX A -0.28 0.28
HPQ C 1.21 0.27
NSC C -0.45 0.27
LRCX D 2.10 0.26
SYK C -0.60 0.26
SPGI C 0.49 0.26
BDX B -0.79 0.26
ED A -0.67 0.26
WM B -0.29 0.25
NXPI F 1.35 0.25
CMI B -0.38 0.25
ETR A -0.17 0.24
SYY B -0.46 0.24
AFL A 1.25 0.24
WEC A -0.51 0.24
ALL B 0.18 0.23
ES C -1.55 0.23
MCHP F 0.94 0.23
ICE A -0.14 0.23
KR C -1.09 0.22
MTB C 0.29 0.22
ADM D -1.23 0.22
INTU F 0.16 0.22
CSX D -1.01 0.22
TRV C -0.03 0.22
PH A -0.42 0.21
LHX A -0.26 0.21
FAST B 0.41 0.21
GLW B 0.83 0.21
DTE A 0.00 0.20
STT C -0.76 0.20
ZTS C -1.01 0.19
FIS C -0.25 0.19
KLAC B 3.14 0.19
TT A 0.32 0.19
TEL D -0.58 0.19
ARES A 1.11 0.18
YUM A 0.22 0.18
HSY D 0.83 0.18
PFG C -0.07 0.17
AEE A -0.11 0.17
DFS C 0.67 0.17
STZ B -0.78 0.16
PPG D -0.05 0.16
FERG F -1.81 0.16
SHW B -0.64 0.16
DHR C -0.24 0.16
OTIS A 1.00 0.16
AMP A 1.52 0.15
PCAR D -0.13 0.15
MSI A 0.09 0.15
AON A 0.06 0.14
ECL B 0.17 0.14
TMO C -0.04 0.14
K B -0.07 0.14
ROK D 0.38 0.14
CMS A 0.28 0.14
NTRS C -0.36 0.14
AES B -1.73 0.13
APH D -2.33 0.13
SWK A -0.10 0.13
DG F -3.20 0.13
NUE D -0.83 0.13
HIG A -0.32 0.13
OMC C -0.63 0.13
EBAY A -0.96 0.13
BAX D -2.55 0.13
GPC D -0.63 0.13
AWK B 0.30 0.13
LNT A -0.70 0.12
IPG C -0.48 0.12
HCA B -0.39 0.12
CINF A -0.42 0.12
FNF A -0.20 0.12
MSCI B 2.54 0.12
MCO D -0.26 0.12
CTAS B 0.71 0.12
SJM C -1.72 0.11
CTVA A 1.12 0.11
CAH B -0.11 0.11
ROST C -0.31 0.11
NI A -0.43 0.11
TSCO A 0.99 0.11
AJG D -0.14 0.11
ATO A 0.10 0.11
VST A 2.30 0.10
HUM F -11.79 0.10
MKC C -2.44 0.10
RSG D -0.30 0.10
SYF B 1.16 0.10
SWKS F 2.02 0.10
EMN C -0.43 0.10
GRMN D -0.39 0.10
NTAP D 1.41 0.10
WTW B -1.72 0.09
BR B -0.44 0.09
NDAQ C -0.08 0.09
GWW A -0.17 0.09
CMA C -0.34 0.09
PNW A -0.75 0.09
WSO C -0.74 0.09
SNA A 1.05 0.09
HRL F -0.38 0.08
COR F -1.16 0.08
DGX B 0.59 0.08
CDW D 0.71 0.08
CE D -0.10 0.08
MCK F -1.95 0.08
RJF B 0.68 0.08
XYL C -0.01 0.08
EG B 0.05 0.08
DHI C -1.12 0.08
CHD C -1.17 0.07
HUBB A 0.10 0.07
UNM A 1.12 0.07
AVY C -1.50 0.07
A B -0.01 0.07
RMD C 0.05 0.07
MOS D 0.18 0.07
DOV C -0.07 0.07
CHRW A -1.28 0.07
FMC B -0.37 0.07
OVV F 2.31 0.07
STLD B -1.26 0.07
WSM B 0.98 0.07
EWBC D 0.71 0.07
WTRG D 1.02 0.07
ROP C 0.57 0.07
MPWR B 3.04 0.06
RGA C 0.27 0.06
RHI D -0.43 0.06
CFR D 0.39 0.06
JEF A 0.79 0.06
RPM A 6.30 0.06
ZION D 0.20 0.06
EQH C 0.58 0.06
DKS D -0.07 0.06
RS D -1.39 0.06
VMC D -2.84 0.06
AME D -0.53 0.06
MAS A -0.67 0.06
ORI B -0.39 0.06
BAH A -1.27 0.06
POOL B -0.76 0.05
FLO D -0.92 0.05
ALB D -0.27 0.05
SON D -1.29 0.05
STE D -0.45 0.05
POR C -0.48 0.05
CSL A -0.68 0.05
INGR A -0.04 0.05
PB D 0.00 0.05
SSNC C -0.08 0.05
ODFL D -0.64 0.05
HII F -1.18 0.05
VRSK D -0.25 0.05
AFG C -0.37 0.05
EXPD C -2.00 0.05
NXST D -0.59 0.05
DPZ D -1.73 0.05
FAF B 0.05 0.05
LW D 2.57 0.05
OC C -1.16 0.05
IEX D -0.57 0.05
PNM B 0.00 0.04
PII D -1.23 0.04
R C -0.61 0.04
MAN D -1.68 0.04
HOMB D -0.65 0.04
AIZ A 0.22 0.04
TTC D 0.00 0.04
GBCI C 0.43 0.04
J D 2.28 0.04
MSM D -0.87 0.04
FDS C 0.45 0.04
PNR C -1.87 0.04
JKHY A -0.08 0.04
IDA C -0.86 0.04
NDSN B -0.09 0.04
SSB C 0.18 0.04
SCI C -1.21 0.04
NJR C -1.26 0.04
TXRH A 0.57 0.04
WAL C -0.87 0.04
ALLE A 0.60 0.04
SR C -1.85 0.04
LECO D 1.26 0.04
AOS B -1.02 0.04
BPOP D -0.89 0.04
HRB C -0.35 0.04
OZK F -0.43 0.04
PHM A -0.91 0.04
GGG B 0.35 0.04
NFG A 0.10 0.04
VOYA A 1.18 0.04
SF A 1.08 0.04
MLM D -2.60 0.04
RGLD C 0.05 0.03
MKTX C -0.36 0.03
CRI D -2.60 0.03
LCII B -0.93 0.03
GNTX D 0.00 0.03
ITT B 0.16 0.03
WTFC D -0.40 0.03
AVT C -0.17 0.03
THG C -0.91 0.03
OSK F 1.61 0.03
HLI C -0.49 0.03
KTB B -1.58 0.03
ATR A -0.76 0.03
BC D -0.85 0.03
EVR C -0.88 0.03
ESNT C -0.25 0.03
BRO A 0.03 0.03
PRI A 0.17 0.03
CBSH D -0.68 0.03
FBIN C -1.16 0.03
DCI B 0.42 0.03
ERIE A 0.40 0.03
NVT D -1.00 0.03
MTG B 0.20 0.03
PRGO F -1.49 0.03
OGS C -1.34 0.03
JBHT D -0.86 0.03
XRAY D -4.29 0.03
AXS A 0.26 0.03
LII C -0.76 0.03
SLGN C -0.75 0.02
AGO B 2.37 0.02
SHOO A -1.23 0.02
CADE D 0.13 0.02
HI F 1.35 0.02
LAD C -3.18 0.02
CWT D -0.07 0.02
SFBS D 0.63 0.02
AWR A 0.63 0.02
AIT B -0.57 0.02
MGEE C -0.64 0.02
OLED C 2.07 0.02
LPX A -0.41 0.02
UMBF C 0.34 0.02
CASY D -1.93 0.02
LFUS C -0.73 0.02
LANC F -0.77 0.02
DLB D 1.11 0.02
GATX F -0.79 0.02
MSA F 1.11 0.02
CNO C 0.79 0.02
ASH F -0.69 0.02
WLK C -1.17 0.02
OTTR F -0.33 0.02
AGCO D -0.38 0.02
NYT A 0.54 0.02
RNR A 0.36 0.02
SNX C 0.07 0.02
HLNE A 0.26 0.02
NSP F -1.14 0.02
SIGI D -0.45 0.02
GL C 1.44 0.02
WRB B 0.65 0.02
PAG D -2.44 0.02
CATY D -0.22 0.02
UFPI C -0.72 0.02
G A -0.43 0.02
AL D -0.84 0.02
WD C 0.40 0.02
MDU C 0.37 0.02
UCB D -0.96 0.02
TPL B 1.71 0.02
TKR D -1.26 0.02
AVNT C -0.71 0.02
FBP D -0.65 0.02
RRX C 0.00 0.02
BWXT A 1.46 0.02
SEIC B 0.19 0.02
THO B -0.58 0.02
FFIN D -1.63 0.02
CBT B -0.24 0.02
GOLF F -1.84 0.01
KWR D 0.18 0.01
BCPC C 0.92 0.01
IR A 1.98 0.01
AAON A 0.68 0.01
AIN F -0.62 0.01
CHDN D 0.37 0.01
CHE C 0.03 0.01
WING B 0.49 0.01
GPI C -1.54 0.01
BANF D -1.67 0.01
BCC C -1.32 0.01
CW A 0.47 0.01
WHD B -0.10 0.01
FELE C -0.16 0.01
IOSP F -0.68 0.01
BMI A 0.89 0.01
COLM B -2.56 0.01
BRC C -1.26 0.01
MORN C 0.67 0.01
MGRC D -0.95 0.01
FUL F -0.33 0.01
TEX F -0.29 0.01
CGNX F 0.30 0.01
WTS C -0.05 0.01
RUSHA D -2.54 0.01
POWI F 1.73 0.01
RLI A -0.05 0.01
JJSF B -1.27 0.01
FIX A 2.04 0.01
SSD B 0.38 0.01
WMS D 0.05 0.01
BOKF D 0.04 0.01
WDFC B 0.63 0.01
AWI A -0.40 0.01
LSTR D -0.76 0.01
MATX C -0.77 0.01
IPAR D -4.10 0.01
SIRI C 4.32 0.01
ABM D -0.19 0.01
WST D 0.00 0.01
FCFS F -1.23 0.01
TTEK B -0.34 0.01
EXPO A 0.93 0.01
PWR B 1.03 0.01
DDS D -3.72 0.00
RUSHB D -2.73 0.00
ENSG D 0.11 0.00
HEI A 1.28 0.00
KNSL D -0.03 0.00
WOR F 0.49 0.00
NNI C 0.32 0.00
CSWI B 0.38 0.00
KAI C -1.59 0.00
HEI A 1.28 0.00

Recent News for iShares Core Dividend Growth ETF & its Holdings

Date Stock Title
Oct 3 STZ Constellation Brands Gears Up For Q2 Print; Here Are The Recent Forecast Changes From Wall Street's Most Accurate Analysts
Oct 3 BAC Warren Buffett-Led Berkshire Hathaway Pares Bank Of America Stake By $338M, Marking 13th Round Of Sales Amid Growing Speculation On Strategic Shifts
Oct 3 BAC Bank Of America Glitch Leaves Customers Seeing $0 In Accounts — What Happened?
Oct 3 MSFT Biden Signs Law To Exempt Certain US Chipmaking Facilities From Federal Environmental Reviews Under CHIPS Act
Oct 3 AAPL Are These 2 Moves by Warren Buffett a Warning for Investors?
Oct 3 RPM RPM International Inc. 2025 Q1 - Results - Earnings Call Presentation
Oct 3 RPM Q1 2025 RPM International Inc Earnings Call
Oct 3 AAPL Better Quality Or Higher Loyalty? Apple's iPhone Users Retain Their Devices Longer Than Those Buying Google's Pixel And Samsung's Galaxy Smartphones
Oct 3 RPM RPM International Inc (RPM) Q1 2025 Earnings Call Transcript Highlights: Record Adjusted EPS ...
Oct 3 AAPL Apple Inc. (AAPL) Expected to Unveil Next-Gen Vision Pro Headset Powered by M5 Chip in 2025, Says Analyst Ming-Chi Kuo
Oct 3 AAPL Apple Team Reportedly Visits Fire-Hit Vendor Facility In Tamil Nadu, Offers 'Counsel And Advice' To Tata
Oct 3 RPM RPM International: Waiting For Commercial And Consumer Market Recovery
Oct 3 ACN Jensen Huang On Transformative Partnership With Accenture: AI As 'Digital Employees' Will Revolutionize Productivity
Oct 3 MSFT Cathie Wood-Led Ark Venture Fund Agrees To Invest At Least $250M In OpenAI's Historic Funding Round, ChatGPT-Parent's Now Valued At $157B: Report
Oct 2 DUK Duke Energy updated b-roll and photos available for today's Helene response efforts
Oct 2 AAPL Apple may have a big problem on its hands
Oct 2 SBUX Should Investors Still Hold Nike or Starbucks Stock for a Rebound?
Oct 2 MSCI China’s Sudden Stock Rally Sucks Money From Rest of Asia
Oct 2 MSI Youth Encouragement Services and Motorola Solutions Foundation Renovate Nashville Youth Centers
Oct 2 UCB United Community Bank Foundation Pledges $350,000 to Hurricane Relief Efforts in Western North Carolina
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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