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All 38 TBG (TBG DIVIDEND FOCUS ETF) Holdings

There are 38 TBG holdings. Top 10 companies weight: 39.62%.

Screener with all companies

Total Market Cap: $6.63T
Rank
Average(38 stocks)+10.08%21.4317.501.30+9.59%+12.93%0.56
1
FGXXXFirst American Government Obligs X6.14%-N/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/A
2
CSCOCisco Systems Inc4.43%$128$471BCommunication EquipmentTechnology+4.61%39.4925.381.71N/AN/A70-2.02%$125+22.60%0.86
3
SPGSimon Property Group Inc4.16%$203.53$67BReit - RetailReal Estate+9.93%28.1830.588.74N/AN/A61+5.34%$214+14.66%0.79
4
MRKMerck & Co Inc4.02%$115.70$297BDrug Manufacturers - GeneralHealthcare+4.39%27.4522.785.59N/AN/A69+12.13%$130+12.86%0.32
5
BXBlackstone Inc3.98%$114.96$91BAsset ManagementFinancial Services+18.70%33.4919.461.68N/AN/A67+24.96%$144+8.11%1.49
6
CVXChevron Corp3.57%$187.66$361BOil & Gas IntegratedEnergy+33.45%28.5213.740.80N/AN/A72+15.15%$216+16.46%0.43
7
VZVerizon Communications Inc3.44%$47.87$203BTelecom ServicesCommunication Services+1.58%10.249.620.68N/AN/A64+8.31%$52+2.79%N/A
8
BIPCBrookfield Infrastructure Corp Ordinary Shares Class A (exchangeable Sub3.42%$41.25$5.52BUtilities - Regulated GasUtilities-13.42%N/AN/AN/AN/AN/A25+11.53%$460.00%0.77
9
PEPPepsico Inc3.27%$142$202BBeverages - Non-alcoholicConsumer Defensive+1.25%25.2016.451.59N/AN/A61+20.46%$171+2.19%0.08
10
PGProcter & Gamble Co3.19%$140.82$343BHousehold & Personal ProductsConsumer Defensive+7.03%20.5620.162.99N/AN/A69+16.30%$164+3.32%0.11
11
AEPAmerican Electric Power Co Inc3.11%$127.11$70BUtilities - Regulated ElectricUtilities+11.39%17.3919.840.87N/AN/A65+13.70%$145+12.10%N/A
12
JNJJohnson & Johnson2.97%$222.89$557BDrug Manufacturers - GeneralHealthcare+11.59%20.6819.493.01N/AN/A68+13.45%$253+9.09%0.01
13
TXNTexas Instruments Inc2.94%$308.12$289BSemiconductorsTechnology+0.60%53.6040.1631.84N/AN/A60-5.77%$290+13.80%1.31
14
ETEnergy Transfer Lp2.88%$19.55$67BOil & Gas MidstreamEnergy-0.36%15.2311.470.57N/AN/A77+20.70%$24+22.58%0.65
15
GISGeneral Mills Inc2.84%$33.06$18BPackaged FoodsConsumer Defensive+10.62%7.1710.0313.42N/AN/A51+18.97%$39-8.99%N/A
16
EPDEnterprise Products Partners Lp2.84%$37.69$83BOil & Gas MidstreamEnergy+9.59%14.0513.1110.63N/AN/A65+9.58%$41+17.41%0.32
17
VICIVici Properties Inc Ordinary Shares2.82%$27.54$31BReit - DiversifiedReal Estate+5.67%9.839.730.61N/AN/A72+24.07%$34+2.49%0.30
18
MCMoelis & Co Class A2.66%$69.28$5.24BCapital MarketsFinancial Services-3.92%23.6020.960.85N/AN/A56+2.48%$71+11.18%1.48
19
GILDGilead Sciences Inc2.64%$127.57$166BDrug Manufacturers - GeneralHealthcare+98.59%18.0115.220.33N/AN/AN/AN/AN/A+18.23%N/A
20
LAMRLamar Advertising Co Class A2.51%$150.48$15BReit - SpecialtyReal Estate+7.55%28.8129.504.01N/AN/A58+3.40%$156+12.95%0.80
21
UNHUnitedhealth Group Inc2.50%$377.92$349BHealthcare PlansHealthcare-5.71%28.9120.791.33N/AN/A74+6.23%$401+0.19%0.30
22
ACNAccenture Plc Class A2.46%$186.29$109BInformation Technology ServicesTechnology+11.80%13.6813.144.63N/AN/A69+31.44%$245-6.19%0.69
23
AMGNAmgen Inc2.31%$328.26$181BDrug Manufacturers - GeneralHealthcare+3.49%23.2114.790.75N/AN/A60+7.30%$352+10.27%0.48
24
LINELineage Inc Reit2.22%$42.98$9.85BReit - IndustrialReal EstateN/AN/A769.23N/AN/AN/A47-2.54%$420.00%0.90
25
OWLBlue Owl Capital Inc Ordinary Shares Class A2.19%$10.07$6.92BAsset ManagementFinancial ServicesN/A87.4310.740.17N/AN/A71+28.40%$13-0.25%1.65
26
MSMorgan Stanley2.05%$215.02$318BCapital MarketsFinancial Services+7.84%17.6617.760.62N/AN/A60-5.46%$203+22.00%1.33
27
SBUXStarbucks Corp2.04%$95.51$116BRestaurantsConsumer Cyclical-11.79%66.4932.791.70N/AN/A60+11.24%$106-0.69%0.97
28
ENBEnbridge Inc2.01%$56.32$123BOil & Gas MidstreamEnergy-1.99%24.4125.512.18N/AN/A63-6.66%$53+15.03%0.17
29
MTNVail Resorts Inc2.00%$135.62$4.69BResorts & CasinosConsumer Cyclical+2.04%7.3919.840.04N/AN/A58+14.60%$155-13.00%0.75
30
LMTLockheed Martin Corp1.97%$513.58$122BAerospace & DefenseIndustrials+1.80%23.9217.611.13N/AN/A59+21.73%$625+8.69%0.15
31
MCDMcdonald's Corp1.96%$276.46$200BRestaurantsConsumer Cyclical+12.02%23.1621.233.30N/AN/A65+19.83%$331+5.79%0.19
32
JPMJpmorgan Chase & Co1.89%$300.96$813BBanks - DiversifiedFinancial Services+15.42%13.6913.661.39N/AN/A68+13.70%$342+15.51%0.95
33
XOMExxon Mobil Corp1.78%$149.56$613BOil & Gas IntegratedEnergyN/A24.5814.771.37N/AN/A64+13.61%$170+24.06%0.28
34
IBMInternational Business Machines Corp1.57%$329.51$240BInformation Technology ServicesTechnology-8.16%38.3525.911.43N/AN/A60-13.24%$286+23.59%0.76
35
EMNEastman Chemical Co1.55%$76.73$8.67BSpecialty ChemicalsBasic Materials-13.84%18.3211.780.65N/AN/AN/AN/AN/A-6.54%N/A
36
ITWIllinois Tool Works Inc1.48%$248.55$72BSpecialty Industrial MachineryIndustrials+10.26%23.1221.192.48N/AN/A43+10.46%$275+3.57%0.71
37
n/aOther Assets And Liabilities0.20%-N/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/A
38
n/aUs Dollars0.00%-N/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/A

TBG (TBG DIVIDEND FOCUS ETF) Sector Allocation

HEALTHCARE
14.40%
FINANCIALS
12.80%
INFORMATION TECHNOLOGY
11.40%
ENERGY
11.10%
CONSUMER STAPLES
9.30%
CONSUMER DISCRETIONARY
6.00%
INDUSTRIALS
3.50%
COMMUNICATION SERVICES
3.40%
UTILITIES
3.10%
MATERIALS
1.60%
REAL ESTATE
0.00%