ETF Components for VIG - Vanguard Div Appreciation 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
AAPL C 0.23 4.74
AVGO D 1.17 4.24
MSFT D 0.00 3.62
JPM B 1.18 3.40
XOM A 0.96 2.82
UNH B 0.03 2.80
V A 0.85 2.50
MA B 0.96 2.23
HD C 1.83 2.11
PG C 1.34 2.10
COST A 2.50 2.08
JNJ D 1.31 2.07
ABBV F 2.43 1.94
WMT A 1.45 1.91
BAC A 1.55 1.52
ORCL A 2.48 1.44
MRK F 1.23 1.39
KO D 0.70 1.36
PEP F 0.55 1.23
LIN D 0.42 1.18
CSCO B 0.59 1.18
ACN B 1.36 1.16
MCD D -1.15 1.13
ABT B 0.35 1.06
IBM C 3.05 1.02
TXN C -0.32 1.00
CAT C 2.22 0.98
QCOM F 1.47 0.97
AMGN D 0.29 0.93
INTU B 3.89 0.92
CMCSA B 1.35 0.92
NEE C 0.57 0.88
GS B 2.59 0.88
DHR D -0.30 0.85
SPGI D 1.38 0.83
LOW C 0.81 0.81
UNP D 1.37 0.76
BLK B 1.10 0.73
HON B -0.23 0.72
ETN B 3.05 0.71
SYK A 0.75 0.66
ADP B 1.56 0.64
LMT D 1.51 0.64
MDT D 0.94 0.62
ADI D 1.27 0.60
SBUX B 1.45 0.60
MMC D 0.86 0.58
CB D 0.68 0.57
ELV F 0.87 0.51
MDLZ F 0.47 0.50
NKE F 1.98 0.50
ICE D 1.30 0.48
KLAC F 2.62 0.48
SHW C 2.14 0.45
ZTS D 0.89 0.44
CME A -0.70 0.44
AON B 0.57 0.43
APH B 3.99 0.43
WM B 0.83 0.42
CL D 0.93 0.41
PNC B 1.63 0.40
MSI A 0.38 0.40
GD D 0.52 0.40
NOC D 0.76 0.38
CTAS B 0.99 0.38
ITW B 1.21 0.38
MCO B 0.11 0.38
APD A 0.48 0.37
TGT F 0.21 0.37
BDX F 1.29 0.36
CSX C 1.21 0.35
MCK A 0.80 0.35
AJG A 1.70 0.33
EMR A 0.38 0.33
ECL D 0.36 0.33
ROP C 0.44 0.31
TRV B 1.41 0.30
BK B 0.68 0.30
AFL C 1.54 0.29
PSX C 0.37 0.28
SRE A 1.01 0.28
GWW B 1.35 0.27
DHI D 0.32 0.27
AMP A 1.61 0.27
ALL A 2.27 0.26
MET A 2.69 0.25
LHX B 0.97 0.25
FAST B 0.70 0.24
PAYX B 0.98 0.24
CMI A 2.12 0.24
COR B 0.19 0.22
RSG A 0.70 0.22
MCHP F 1.49 0.21
GLW B 0.48 0.20
XEL A 1.13 0.20
DFS B 1.56 0.20
SYY D 1.71 0.20
HPQ B 2.67 0.19
RMD C 0.18 0.19
VMC B 0.45 0.19
HIG A 0.98 0.18
NUE D 0.84 0.18
HUM C 0.74 0.17
PPG F 0.55 0.16
FITB B 2.07 0.16
XYL D 3.11 0.16
ROK B -0.97 0.16
NDAQ A 0.65 0.16
AWK C 0.32 0.15
RJF A 1.36 0.15
STT A 0.88 0.15
TSCO D 1.11 0.15
CDW F 1.47 0.14
VLTO C 0.85 0.14
DTE C 0.85 0.14
DOV B 2.26 0.14
HSY F 0.52 0.14
ADM D 0.81 0.14
KR B 1.22 0.14
CAH B 1.65 0.14
BAH F 3.84 0.13
CHD A 1.04 0.13
BR B 0.95 0.13
BRO B 1.40 0.13
STE D 0.84 0.12
TPL A 2.44 0.12
CINF A 2.01 0.12
CBOE C 0.27 0.12
WST C 1.40 0.12
HUBB B 3.30 0.12
CLX A 0.20 0.11
MKC C 1.31 0.11
PKG A 0.05 0.11
CMS C 0.61 0.11
ATO A 1.38 0.11
WSO A 1.93 0.10
MAS D 0.90 0.10
STLD B 1.34 0.10
LII A 4.37 0.10
CSL C 2.28 0.10
GPC F 0.86 0.09
IEX B 1.91 0.09
RPM B 0.89 0.09
PNR B 1.78 0.09
AVY D 0.11 0.09
TSN B 1.16 0.09
EXPD D 1.08 0.09
WSM C -1.93 0.09
FDS B 1.78 0.09
WRB A 1.59 0.09
SNA B 0.70 0.09
DGX A 0.93 0.09
PFG C 0.21 0.09
SWK F 1.84 0.08
HEI A 0.38 0.08
DPZ C 2.26 0.08
JBHT C 0.80 0.08
CASY A 0.90 0.08
LNT A 0.96 0.08
RBA A 1.65 0.08
FNF D 0.73 0.08
RS B 0.64 0.08
ALLE D 0.61 0.07
EMN D 1.09 0.07
JKHY D 0.82 0.07
NDSN C 2.00 0.07
RNR C 0.23 0.07
GGG B 0.70 0.07
CE F 1.30 0.07
POOL D 1.36 0.07
RGA B 1.06 0.07
FIX A 3.26 0.07
CHDN B 1.04 0.06
MKTX D -1.46 0.06
LECO C 1.72 0.06
ATR B 0.50 0.06
UNM A 3.99 0.06
RRX B 1.21 0.06
ALB B -0.96 0.06
ERIE D 1.48 0.06
ITT B 2.15 0.06
AES F -0.26 0.06
SCI B 0.57 0.06
SJM D 0.65 0.06
CHRW B -0.10 0.06
INGR B 1.43 0.05
ENSG D 0.98 0.05
AIT B 1.85 0.05
MORN B 1.33 0.05
LAD B 3.25 0.05
HRL D 0.61 0.05
DCI B 0.57 0.05
AOS F 1.76 0.05
AFG A 2.04 0.05
PRI B 1.19 0.05
EVR B 2.36 0.05
GL C 0.59 0.05
RGLD C -0.17 0.05
WTRG B 1.08 0.05
HEI A 0.38 0.05
AIZ A 1.63 0.05
DOX D 1.43 0.05
MSA D 0.70 0.04
RLI A 1.30 0.04
FAF A -0.21 0.04
OSK C 1.36 0.04
PB B 1.54 0.04
RHI C 1.56 0.04
HII F 1.53 0.04
CBSH B 1.53 0.04
SEIC B 0.25 0.04
UFPI C 1.72 0.04
SSB B 2.19 0.04
SSD D 1.26 0.04
WTFC B 2.25 0.04
ZION B 1.65 0.04
CFR B 2.06 0.04
CHE D 0.99 0.04
TTC F 1.59 0.04
ORI A 1.15 0.04
FFIN B 2.46 0.03
AVT C 1.79 0.03
EXPO D 0.42 0.03
UMBF B 2.77 0.03
GATX A 1.81 0.03
HOMB B 1.15 0.03
MATX B 0.46 0.03
SON D 0.18 0.03
BC F 1.66 0.03
TKR F 1.65 0.03
WTS B 1.85 0.03
THG A 0.82 0.03
BCPC B 0.49 0.03
NFG A 2.56 0.03
IDA A 0.76 0.03
THO C 2.35 0.03
SIGI C 0.76 0.03
BMI B 1.86 0.03
CBT C 1.74 0.03
AXS A 1.40 0.03
LFUS D 0.97 0.03
CADE B 1.67 0.03
AGCO F 6.54 0.03
R B 1.51 0.03
NSP F 0.64 0.02
MGRC B 1.43 0.02
WSFS B 2.42 0.02
GHC B 0.81 0.02
MAN F 0.31 0.02
CWT C 0.65 0.02
AWR B 0.23 0.02
CBU B 2.61 0.02
BRC C 0.69 0.02
MGEE B -0.22 0.02
OTTR C 1.78 0.02
IBOC B 2.30 0.02
LANC D 1.22 0.02
AUB B 1.94 0.02
POWI D 1.94 0.02
ABM B 1.62 0.02
PRGO C -0.07 0.02
WDFC B 1.23 0.02
CNO B 1.78 0.02
PII F 1.72 0.02
FELE B 1.11 0.02
KAI B 1.92 0.02
FUL F 0.23 0.02
AGO A 0.79 0.02
ASH F 1.30 0.02
SLGN A 1.54 0.02
AVNT B 1.85 0.02
FLO D 0.50 0.02
WLK F 0.54 0.02
NJR A 1.19 0.02
AL B 2.47 0.02
OZK B 1.87 0.02
SRCE B 2.04 0.01
AMSF B 0.94 0.01
MSEX B 0.56 0.01
DDS B 3.16 0.01
WOR F 1.70 0.01
GABC B 0.90 0.01
LNN B 1.75 0.01
WS B 1.15 0.01
CSGS B 1.05 0.01
WABC B 1.77 0.01
NHC C 2.24 0.01
TCBK B 1.10 0.01
ANDE F 0.42 0.01
SCL D 0.36 0.01
HMN B 2.11 0.01
CABO B 1.54 0.01
SJW F 0.67 0.01
APOG B 1.97 0.01
LKFN B 2.75 0.01
TNC F 2.83 0.01
AGM B 1.13 0.01
CHCO B 2.50 0.01
SYBT B 1.84 0.01
LMAT A 1.83 0.01
HI C 3.86 0.01
HWKN B 1.95 0.01
WLY B 1.10 0.01
KWR C 0.76 0.01
NBTB B 2.59 0.01
BANF B 1.59 0.01
MTRN C 2.15 0.01
SXI B 1.02 0.01
FRME B 1.26 0.01
TOWN B 0.99 0.01
HNI A 1.67 0.01
BOKF B 1.98 0.01
JJSF C 0.93 0.01
CPK A 0.68 0.01
CNS B 2.24 0.01
IOSP C 0.55 0.01
INDB B 2.39 0.01
GFF A 3.29 0.01
JOUT F 2.59 0.00
HVT F 2.48 0.00
ARTNA F 0.62 0.00
HIFS B 0.00 0.00
TR B 1.02 0.00
GSBC B 1.96 0.00
YORW D 0.06 0.00
CASS B 1.82 0.00
SMBC B 2.73 0.00
SCVL F 5.11 0.00
FMBH B 2.96 0.00
FCBC B 1.75 0.00
HY D 2.50 0.00
SPTN F 0.25 0.00
MATW C 6.35 0.00
GRC B 1.51 0.00
EMBC C 2.13 0.00
MNRO D 1.06 0.00

Recent News for Vanguard Div Appreciation ETF - DNQ & its Holdings

Date Stock Title
Nov 21 BK BNY to be financial agent for the Treasury Department's prepaid debit card program
Nov 21 PII Polaris Donates Nearly $85,000 To Off-Road and Snow Organizations Through Its Fall 2024 TRAILS GRANTS
Nov 21 MAS Calculating The Intrinsic Value Of Masco Corporation (NYSE:MAS)
Nov 21 APH Nvidia's results seen as positive for Arista Networks, Amphenol, others: Evercore
Nov 21 MCD Starbucks Eyes Stake Sale in China Amid Fierce Competition and Falling Sales
Nov 21 SBUX Starbucks Eyes Stake Sale in China Amid Fierce Competition and Falling Sales
Nov 21 TGT Target Posts Q3 Earnings Miss: Analysts Slash Forecasts On Market Share Loss, Margin Concerns
Nov 21 XOM ExxonMobil Plans $200 Million Expansion To Tackle Plastic Waste: Details
Nov 21 MSFT Nvidia Aggressively Bought, Russia Fires First Intercontinental Ballistic Missile, Adani Indicted
Nov 21 AAPL Nvidia Aggressively Bought, Russia Fires First Intercontinental Ballistic Missile, Adani Indicted
Nov 21 IBM IBM Spin-Off Kyndryl Announces $300 Million Buyback: What's Next For KD Stock?
Nov 21 BK BNY to Manage U.S. Department of the Treasury's Largest Prepaid Debit Card Program for Federal Benefits - Direct Express®
Nov 21 BK BNY gains Treasury's Direct Express benefits contract
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 CLX /C O R R E C T I O N -- CloroxPro/
Nov 21 COST Consumer sector will 'rule sentiment' in 2025: Strategist
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 COST BJ's Wholesale Stock Rises on Strong Q3 Profits, Membership Fee Hike
Nov 21 HPQ HP keeps Equal-weight rating at Morgan Stanley ahead of earnings
The investment seeks to track the performance of a benchmark index that measures the investment return of common stocks of companies that have a record of increasing dividends over time. The fund employs an indexing investment approach designed to track the performance of the NASDAQ US Dividend Achievers Select Index, which consists of common stocks of companies that have a record of increasing dividends over time. 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
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