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All 36 VDIG (Vanguard Wellington Dividend Growth Active ETF) Holdings

There are 36 VDIG holdings. Top 10 companies weight: 42.97%.

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Total Market Cap: $23T
Rank
Average(36 stocks)+22.91%30.2725.560.77+14.36%+22.67%1.07
1
AVGOBroadcom Inc5.67%$481.57$2TSemiconductorsTechnology+40.24%79.8840.160.55N/AN/A76+0.08%$482+62.84%2.02
2
MSFTMicrosoft Corp5.12%$441.31$3.07TSoftware - InfrastructureTechnology+17.83%24.4923.700.83N/AN/A79+27.10%$561+13.36%0.92
3
LLYEli Lilly And Co4.78%$1,065.12$970BDrug Manufacturers - GeneralHealthcare+29.14%45.4329.850.18N/AN/A71+14.08%$1.22K+40.67%0.71
4
MAMastercard Inc Class A4.36%$477.84$441BCredit ServicesFinancial Services+18.06%30.2525.191.53N/AN/A77+35.39%$647+6.33%0.69
5
LINLinde Plc4.32%$495.91$236BSpecialty ChemicalsBasic MaterialsN/A32.9727.782.08N/AN/A72+9.22%$542+12.13%0.52
6
NOCNorthrop Grumman Corp4.10%$536.59$78BAerospace & DefenseIndustrials+3.10%17.1719.270.66N/AN/A65+29.89%$697+9.68%0.06
7
HONHoneywell International Inc4.06%$235.23$147BConglomeratesIndustrials+1.11%26.0222.372.16N/AN/A65+5.13%$247+3.84%0.75
8
TXNTexas Instruments Inc3.66%$308.12$289BSemiconductorsTechnology+0.60%53.6040.1631.84N/AN/A60-5.77%$290+13.80%1.31
9
TJXTjx Companies Inc3.60%$153.69$174BApparel RetailConsumer Cyclical+132.94%31.7530.032.20N/AN/A75+15.58%$178+20.21%0.46
10
HDThe Home Depot Inc3.30%$311.64$317BHome Improvement RetailConsumer Cyclical+0.45%22.6020.881.79N/AN/A68+18.79%$370+2.39%0.66
11
VVisa Inc Class A3.26%$317.32$633BCredit ServicesFinancial Services+18.81%28.5924.941.89N/AN/A77+25.66%$399+7.63%0.68
12
WFCWells Fargo & Co3.26%$79.44$233BBanks - DiversifiedFinancial Services+32.94%10.9810.960.72N/AN/A70+20.98%$96+14.05%1.00
13
CBChubb Ltd3.24%$312.28$125BInsurance - Property & CasualtyFinancial Services+18.31%11.1611.440.31N/AN/A56+10.73%$346+14.21%0.20
14
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
15
SPGIS&p Global Inc3.16%$417.46$123BFinancial Data & Stock ExchangesFinancial Services+15.16%26.5621.830.83N/AN/A79+27.86%$534+2.68%0.71
16
SYKStryker Corp3.12%$293.30$117BMedical DevicesHealthcare+9.70%37.2319.961.46N/AN/A75+32.71%$389+4.34%0.63
17
AAPLApple Inc3.08%$315.20$4.56TConsumer ElectronicsTechnology+12.93%37.3832.051.30N/AN/A66-1.49%$311+21.22%1.15
18
DHRDanaher Corp3.05%$176.13$123BDiagnostics & ResearchHealthcare-4.86%33.2621.601.11N/AN/AN/AN/AN/A-3.28%N/A
19
KOCoca-cola Co2.80%$78.43$351BBeverages - Non-alcoholicConsumer Defensive+11.51%23.8024.150.84N/AN/A77+9.73%$86+10.35%0.02
20
MRSHMarsh2.68%-N/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/A
21
BLKBlackrock Inc2.58%$1,019.60$166BAsset ManagementFinancial ServicesN/A26.5419.161.36N/AN/A76+22.72%$1.25K+5.37%1.08
22
NKENike Inc Class B2.45%$43.73$68BFootwear & AccessoriesConsumer Cyclical-7.28%24.0023.811.58N/AN/A60+38.99%$61-18.75%0.92
23
AXPAmerican Express Co2.39%$310.93$213BCredit ServicesFinancial Services+21.25%19.1717.891.62N/AN/A62+16.29%$362+14.96%1.25
24
MCDMcdonald's Corp2.27%$276.46$200BRestaurantsConsumer Cyclical+12.02%23.1621.233.30N/AN/A65+19.83%$331+5.79%0.19
25
GOOGLAlphabet Inc Class A2.21%$361.85$4.71TInternet Content & InformationCommunication Services+28.33%29.3726.670.64N/AN/A77+18.83%$430+25.46%1.10
26
KLACKla Corp2.06%$2,045.20$256BSemiconductor Equipment & MaterialsTechnology+32.76%56.5438.170.98N/AN/A68-9.29%$1.86K+47.43%1.95
27
APHAmphenol Corp Class A1.97%$148.41$172BElectronic ComponentsTechnology+27.74%42.6829.410.53N/AN/A76+22.63%$182+35.56%1.45
28
AMEAmetek Inc1.89%$227.74$52BSpecialty Industrial MachineryIndustrials+12.87%35.1729.592.97N/AN/A70+13.80%$259+11.45%0.82
29
ELVElevance Health Inc1.52%$388.99$85BHealthcare PlansHealthcare+3.82%16.5215.041.43N/AN/A70+4.79%$408+1.08%0.25
30
QCOMQualcomm Inc1.45%$240.84$247BSemiconductorsTechnology+5.61%25.0621.231.07N/AN/A54-26.47%$177+15.19%1.63
31
n/aMktliq 12/31/20491.41%-N/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/A
32
METAMeta Platforms Inc Class A1.21%$597.63$1.61TInternet Content & InformationCommunication Services+36.87%24.9020.121.12N/AN/A75+38.34%$827+13.06%1.39
33
MARMarriott International Inc Class A1.18%$373.76$103BLodgingConsumer Cyclical+18.24%37.4732.683.26N/AN/A59+1.05%$378+22.61%1.05
34
KRThe Kroger Co1.09%$61.56$42BGrocery StoresConsumer Defensive-21.65%60.3111.740.63N/AN/A59+22.73%$76+12.21%N/A
35
XOMExxon Mobil Corp0.52%$149.56$613BOil & Gas IntegratedEnergyN/A24.5814.771.37N/AN/A64+13.61%$170+24.06%0.28
36
n/aUs Dollar0.00%-N/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/A

VDIG (Vanguard Wellington Dividend Growth Active ETF) Sector Allocation

INFORMATION TECHNOLOGY
23.00%
FINANCIALS
21.70%
CONSUMER DISCRETIONARY
16.00%
HEALTHCARE
12.50%
INDUSTRIALS
10.10%
CONSUMER STAPLES
7.10%
MATERIALS
4.30%
COMMUNICATION SERVICES
3.40%
ENERGY
0.50%
UTILITIES
0.00%
REAL ESTATE
0.00%