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 0.42 4.38
JPM A 1.65 3.61
XOM B 1.34 2.97
PG C 1.09 2.21
HD B 2.61 2.21
JNJ C 1.56 2.19
ABBV F 2.37 2.05
WMT A 1.39 2.02
BAC A 0.87 1.61
MRK D 2.48 1.47
KO D 1.22 1.44
CVX A 0.19 1.41
WFC A 1.70 1.29
PEP F 1.01 1.29
CSCO B 0.10 1.26
MCD D -0.84 1.19
PM B 0.63 1.17
ABT B 1.15 1.11
TXN C 0.01 1.05
CAT B 2.12 1.04
QCOM F 0.77 1.03
VZ C 0.66 1.01
IBM C 3.63 0.98
AMGN F 0.71 0.97
CMCSA B 1.19 0.95
GS A 2.44 0.93
T A 0.66 0.92
NEE C 0.62 0.92
PFE F 0.76 0.91
RTX D 1.16 0.91
LOW C 0.83 0.85
BLK B 0.32 0.82
UNP C 2.34 0.80
PGR A 2.50 0.80
HON C -0.26 0.76
MS A 2.51 0.76
ETN A 2.91 0.75
COP C -1.35 0.73
C A 0.98 0.70
BX A 4.85 0.67
ADP A 2.00 0.67
LMT D 1.36 0.66
CB C 0.80 0.65
MDT D 0.75 0.65
BMY B 0.60 0.64
ADI D 1.40 0.63
SBUX A 1.83 0.63
GILD C 1.27 0.63
SO C 0.19 0.57
UPS C -0.55 0.55
MO A 0.09 0.53
MDLZ F 0.57 0.52
CI D 2.07 0.50
DUK C 0.98 0.50
WM B 1.26 0.49
CME B -0.63 0.46
GD D -0.04 0.45
ITW B 1.30 0.44
CL D 0.36 0.43
APO B 1.31 0.42
PNC B 0.88 0.42
EOG A -0.54 0.40
MMM D -0.41 0.40
CVS D 0.48 0.40
APD A 0.31 0.39
TGT F -0.11 0.39
USB A 1.28 0.37
WMB A 1.77 0.36
EMR B -0.64 0.35
FDX B 2.48 0.35
NXPI D 1.92 0.34
TFC A 1.36 0.33
AFL B 1.35 0.33
BK A 1.30 0.32
TRV B 1.41 0.32
OKE A 3.17 0.32
NSC B 2.06 0.32
SLB C 1.22 0.32
AEP C 1.32 0.30
NEM D 0.77 0.30
SRE A 1.69 0.30
PCAR B 3.69 0.30
JCI B 1.22 0.29
FIS C -0.47 0.29
PSX C -0.03 0.29
AMP A 1.57 0.29
MPC D -0.06 0.29
ALL A 3.14 0.28
AIG B 1.77 0.28
D C 0.99 0.28
LHX C 0.92 0.27
KMI A 1.93 0.27
KMB C 0.48 0.26
MET A 3.14 0.26
PRU A 1.73 0.25
PEG A 2.06 0.25
FAST B 0.66 0.25
PAYX B 1.59 0.25
CMI A 2.19 0.25
VST A 7.75 0.24
F C 0.65 0.23
VLO C -0.06 0.23
GIS D 0.50 0.22
BKR A 1.29 0.22
MCHP F 2.13 0.22
EXC C 1.50 0.22
GLW B 1.03 0.21
TRGP A 2.39 0.21
KDP F 0.62 0.21
YUM D 1.01 0.21
KR B 1.68 0.21
DFS B 1.65 0.21
XEL A 1.90 0.21
SYY D 1.97 0.21
DD C 1.10 0.20
HPQ B 3.35 0.20
DOW F 2.00 0.20
ED C 0.84 0.20
ETR B 0.56 0.19
FANG C 0.68 0.19
EIX B 1.13 0.18
HIG B 1.21 0.18
MTB A 1.45 0.18
KHC F 0.68 0.17
FITB B 1.75 0.17
WEC A 1.70 0.17
ROK C -0.64 0.17
ARES A 1.82 0.17
GRMN B 1.71 0.17
STT B 1.09 0.16
PPG F 1.15 0.16
EBAY D 0.97 0.16
DTE C 1.47 0.15
HSY F 0.55 0.15
ADM D 0.32 0.15
CAH B 2.56 0.15
AWK C 0.65 0.15
PPL A 1.69 0.14
FE C 1.13 0.14
TROW B 0.56 0.14
DVN F 1.04 0.14
HAL C 2.21 0.14
HPE B 2.64 0.14
IFF D 1.06 0.14
HBAN A 0.86 0.13
LYB F 0.39 0.13
HUBB B 2.45 0.13
ES C 1.85 0.13
AEE A 1.88 0.13
NTAP C 2.62 0.13
CMS C 1.01 0.12
ATO A 2.06 0.12
K A 0.30 0.12
EQT B 0.75 0.12
CINF A 2.13 0.12
SYF B 1.15 0.12
RF A 1.83 0.12
CNP A 1.18 0.11
NRG B 2.51 0.11
PFG D 0.65 0.11
CFG B 1.41 0.11
DRI B 1.21 0.11
IP A 0.58 0.11
STX C 1.94 0.11
BBY D -0.30 0.11
OMC C 2.89 0.11
MKC C 1.06 0.11
NTRS A 0.98 0.11
PKG A 0.49 0.11
WRB A 1.97 0.10
WSM C -1.46 0.10
SNA A 1.00 0.10
DGX A 1.59 0.10
CTRA B 2.27 0.10
BAX F 1.10 0.10
LUV C 0.06 0.10
EG C 2.20 0.09
LNT A 1.56 0.09
MRO B -1.28 0.09
CCEP C 2.79 0.09
FNF B 0.97 0.09
CLX A 0.65 0.09
NI A 1.47 0.09
GEN B 1.26 0.09
EL F 2.31 0.09
GPC D 1.60 0.09
KEY B 1.05 0.09
RPM A 1.39 0.09
WSO A 2.41 0.09
RS B 0.92 0.09
TSN B 0.82 0.09
EWBC A 1.26 0.08
EVRG A 0.30 0.08
VTRS A 0.91 0.08
CAG F 0.18 0.08
RGA A 0.94 0.08
SWKS F 1.94 0.08
SWK D 2.63 0.08
EQH C 0.15 0.08
CF A 0.81 0.08
AES F -0.23 0.07
SJM D 1.61 0.07
BG D 0.33 0.07
UNM A 3.87 0.07
CHRW B -0.45 0.07
EMN C 2.20 0.07
NVT B 4.97 0.07
BAP A 3.01 0.07
JNPR D -0.64 0.07
WTRG B 1.08 0.06
CNH C 4.56 0.06
AIZ A 1.98 0.06
PNW A 1.99 0.06
DOX D 1.76 0.06
SF B 1.38 0.06
OVV B 1.86 0.06
RPRX D 0.69 0.06
TPR B 2.01 0.06
DKS D 3.84 0.06
CG B 3.05 0.06
CE F 2.88 0.06
IPG D 2.71 0.06
JEF A 2.48 0.06
RL C 2.46 0.05
OGE A 1.62 0.05
BERY C 2.80 0.05
FMC D 1.98 0.05
CRBG B 2.71 0.05
VOYA B 0.94 0.05
HRB D 0.57 0.05
CMA B 1.50 0.05
APA D 1.40 0.05
MOS F 2.40 0.05
ORI A 1.30 0.05
INGR C 1.41 0.05
DTM A 5.53 0.05
WBS A 1.58 0.05
HRL D 0.93 0.05
PR B 3.43 0.05
WAL B 2.37 0.05
CPB D 1.48 0.05
HLI A 0.91 0.05
HAS D 0.10 0.05
AFG A 2.15 0.05
FHN A 1.51 0.05
EVR B 2.73 0.05
SCCO F -2.25 0.05
TAP C 0.15 0.05
FOXA A 2.06 0.05
ALLY C 4.67 0.05
LKQ F 1.50 0.05
ESNT F 0.39 0.04
AGCO D 5.95 0.04
R B 0.83 0.04
MTN C 2.49 0.04
IVZ B 1.55 0.04
BPOP C 1.47 0.04
BBWI C 0.79 0.04
FAF A 0.02 0.04
MTG C 0.97 0.04
RLI A 1.15 0.04
SIRI C 2.22 0.04
PB B 0.78 0.04
ALV C 1.33 0.04
OSK C 1.27 0.04
WBA F 0.73 0.04
WH B 1.78 0.04
RHI C 1.50 0.04
FLS B 0.27 0.04
CRS B 0.01 0.04
RRC B 1.17 0.04
XP F -0.96 0.04
SNV C 1.80 0.04
VFC C 0.75 0.04
HII F 2.65 0.04
SSB B 1.92 0.04
CBSH B 1.18 0.04
CFR B 1.26 0.04
ZION B 0.82 0.04
JXN C 0.36 0.04
ACI C -0.31 0.04
CHRD D 1.94 0.04
SWX B 1.59 0.03
HWC B 1.10 0.03
NJR A 2.17 0.03
MUR D 0.52 0.03
AL B 3.92 0.03
FFIN B 1.99 0.03
OZK B 1.38 0.03
MC C 1.72 0.03
SLM A 3.71 0.03
KTB B 0.33 0.03
POR C 1.54 0.03
OGN F 1.09 0.03
AVT C 1.53 0.03
AM A 2.27 0.03
CIVI D 1.32 0.03
PIPR A 1.86 0.03
PARA C 4.82 0.03
GATX A 2.99 0.03
UMBF B 2.45 0.03
UBSI B 0.82 0.03
UGI C 1.93 0.03
HOMB A 0.89 0.03
SON F 0.36 0.03
FNB A 2.13 0.03
IDA A 0.71 0.03
FOX A 1.73 0.03
RDN D 1.28 0.03
SEE C 1.34 0.03
THG A 0.27 0.03
JHG B 1.98 0.03
BCPC B 1.28 0.03
BC C 3.42 0.03
LEA F 3.00 0.03
WHR B 1.26 0.03
NXST C 1.37 0.03
NFG A 2.98 0.03
OMF A 1.11 0.03
TPG A 3.17 0.03
CBT D 1.36 0.03
MDU D 2.55 0.03
GBCI B 2.24 0.03
BEN C 0.37 0.03
LNC C 1.60 0.03
COLB B 2.30 0.03
ONB C 1.10 0.03
CADE B 2.32 0.03
AXS A 1.79 0.03
DINO D 0.48 0.03
CXT C 2.43 0.02
VAC C 1.71 0.02
CC C 8.05 0.02
CNS B 2.35 0.02
STNG F -3.22 0.02
LCII C 3.21 0.02
APAM B 1.28 0.02
MGRC B 1.26 0.02
PAG B 2.34 0.02
TRN B 0.32 0.02
TGNA B 2.26 0.02
BOH B 1.99 0.02
NSP F 0.93 0.02
SFNC C 0.37 0.02
AVA A 1.35 0.02
TDS B 4.07 0.02
PBF D 1.64 0.02
PTEN C 2.83 0.02
CWT C 0.57 0.02
MAN F 0.68 0.02
SLVM B 1.51 0.02
AWR B -0.41 0.02
FBP C 1.59 0.02
EBC B 0.87 0.02
SXT C 1.15 0.02
FHB B 1.11 0.02
CATY B 1.50 0.02
TNL A 2.29 0.02
CBU B 1.56 0.02
YOU D -3.36 0.02
OTTR C 1.17 0.02
HP C 2.08 0.02
SHOO F 2.96 0.02
NWE B 1.69 0.02
FULT A 1.92 0.02
MGEE B 0.24 0.02
IBOC B 2.52 0.02
WEN D 1.06 0.02
AROC A 5.84 0.02
ABM B 1.44 0.02
BTU B 5.75 0.02
AUB B 1.58 0.02
LANC C 1.38 0.02
UCB A 1.97 0.02
IRDM D 2.01 0.02
SEM B 2.57 0.02
PRGO C -0.26 0.02
CCOI B 2.94 0.02
WD D 1.03 0.02
ASB B 0.60 0.02
GLNG C 2.45 0.02
CALM A 1.06 0.02
NOG B 1.85 0.02
CRC A 2.44 0.02
PII F 2.61 0.02
CNO B 1.42 0.02
DNB B 0.73 0.02
SR A 3.32 0.02
HUN F 1.03 0.02
KFY B 1.73 0.02
MSM C 3.43 0.02
WU F 1.31 0.02
NWL C 1.13 0.02
ALE A -0.03 0.02
SMG C 1.72 0.02
KMPR A 1.97 0.02
HOG D 1.05 0.02
PNM B 0.00 0.02
OGS A 1.10 0.02
BKH A 1.38 0.02
VLY B 0.99 0.02
AVNT B 2.71 0.02
GAP C 6.89 0.02
FLO D 0.54 0.02
SFBS C 0.56 0.02
M F 3.50 0.02
AGO B 0.95 0.02
MGY A 1.88 0.02
CWEN C 1.54 0.01
XRX F 4.29 0.01
JACK C 4.82 0.01
DK C 1.94 0.01
DAN D 4.02 0.01
WMK C 0.91 0.01
CNA C 0.78 0.01
CBRL C 2.74 0.01
OXM F 2.12 0.01
KLG B 5.32 0.01
FDP B -0.77 0.01
SRCE B 1.25 0.01
SCS C -0.23 0.01
UI B 1.39 0.01
NAVI F 1.01 0.01
SAFT B 1.33 0.01
DDS B 3.56 0.01
BHLB B 1.40 0.01
KALU C 1.17 0.01
KW C -0.09 0.01
UVV B 1.44 0.01
WOR F 2.49 0.01
EIG B 0.65 0.01
SFL D 2.35 0.01
BKE B 0.91 0.01
BLMN F 1.59 0.01
WABC B 1.53 0.01
CSGS B 1.32 0.01
HOPE C 0.97 0.01
HTH C 1.15 0.01
WT A 2.30 0.01
STBA B 1.33 0.01
TROX D 3.68 0.01
VRTS B 2.10 0.01
SASR B 1.64 0.01
REYN D -0.11 0.01
AY A -0.05 0.01
NWN A 2.59 0.01
HMN B 1.36 0.01
BHE C 1.30 0.01
WKC C 0.00 0.01
UPBD B 2.74 0.01
MLKN F 1.19 0.01
WGO C 2.09 0.01
GEF A -0.56 0.01
LEG F 1.15 0.01
LZB B 1.43 0.01
SYBT B 0.70 0.01
APOG C 1.00 0.01
FCF B 0.92 0.01
PDCO F 1.10 0.01
HEES C 2.55 0.01
TNC D 2.56 0.01
NWBI B 1.18 0.01
NTB B 2.08 0.01
CHCO B 1.21 0.01
PZZA F 1.16 0.01
WLY B 1.76 0.01
MCY A 3.70 0.01
WSBC B 2.79 0.01
GBX A 2.50 0.01
SJW F 0.18 0.01
SBLK F -1.37 0.01
STRA C 1.19 0.01
HI C 3.55 0.01
CABO B -0.13 0.01
CRI F 2.86 0.01
KMT B 2.02 0.01
PHIN A 2.75 0.01
NMRK C 1.49 0.01
NBTB B 1.21 0.01
KSS F 0.55 0.01
TRMK C 1.43 0.01
IBTX B 2.55 0.01
RNST B 2.59 0.01
PINC B 0.85 0.01
AAP D 0.16 0.01
VSH F 2.18 0.01
B A 0.00 0.01
FRME B 1.59 0.01
BANR B 1.30 0.01
BANF B 1.46 0.01
CAKE C -0.62 0.01
SBCF B 2.56 0.01
TOWN B 1.15 0.01
JWN D 0.54 0.01
WAFD B 1.20 0.01
ENR B 1.14 0.01
HNI B 0.49 0.01
ADTN A 5.56 0.01
IGT F 1.28 0.01
PFS B 0.68 0.01

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

Date Stock Title
Nov 22 NTAP Dow Jones Futures: Bulls Run Past Google; 7 Stocks In Buy Zones, MicroStrategy Dives
Nov 22 GAP The Gap, Inc. (GAP) Q3 2024 Earnings Call Transcript
Nov 22 DKS DICK'S Sporting Goods: Betting On Margin Expansion And Valuation
Nov 22 NEM 2 Stocks to Buy as China Tightens Its Grip on Critical Minerals
Nov 21 SIRI Sirius XM: Buffett's New Darling
Nov 21 TGT Q3 Earnings Buzz: Target Stock Falls Nvidia Shares Flat
Nov 21 TAP Molson Coors Beverage Company Announces Regular Quarterly Dividend
Nov 21 AFL My Special Aflac Duck® lands in the Sacramento Valley
Nov 21 GAP Gap stock pops: Gap 'really leads with Old Navy,' analyst says
Nov 21 COP Texas Pacific Land Set to Join S&P 500, Mueller Industries to Join S&P MidCap 400 and Atlas Energy Solutions to Join S&P SmallCap 600
Nov 21 HPE Hewlett Packard Enterprise Company (HPE) Partners with Securiti to Advance Secure Generative AI Development with Private Cloud AI Integration
Nov 21 PFE Pfizer: High Dividend And Low Price Might Still Offset The Expanding Risks
Nov 21 FHN /C O R R E C T I O N -- First Horizon Corporation/
Nov 21 KMI Kinder Morgan (KMI) Laps the Stock Market: Here's Why
Nov 21 MTB M&T Bank Corporation Announces Conference Call Dates to Review Quarterly 2026 Earnings and Revised Dates to Review 2025 Earnings
Nov 21 NJR UGI (UGI) Reports Q4 Loss, Lags Revenue Estimates
Nov 21 GAP After-hours movers: Gap, Ross shares rise after earnings; Intuit bitten by guidance
Nov 21 MDT Healing People and Planet: 3 Things You Need to Know About This Shared Innovation Challenge
Nov 21 NMRK Lutnick to Divest BGC, Newmark Interests on Commerce Role
Nov 21 NMRK Howard Lutnick plans BGC, Newmark divestiture amid Commerce role pursuit
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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