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All 620 VYM (VANGUARD HIGH DIVIDEND YIELD INDEX FUND ETF SHARES) Holdings

There are 620 VYM holdings. Top 10 companies weight: 25.48%.

Screener with all companies

Total Market Cap: $25T
Rank
Average(620 stocks)+11.71%21.1416.650.51+11.12%+15.71%0.85
51
SOSouthern Co0.44%$90.51$105BUtilities - Regulated ElectricUtilities+3.88%19.6519.492.67N/AN/A55+11.97%$101+11.03%N/A
52
LMTLockheed Martin Corp0.44%$513.58$122BAerospace & DefenseIndustrials+1.80%23.9217.611.13N/AN/A59+21.73%$625+8.69%0.15
53
CMECme Group Inc Class A0.43%$250.53$100BFinancial Data & Stock ExchangesFinancial Services+14.51%24.8222.371.32N/AN/A56+22.33%$306+7.22%N/A
54
CVSCvs Health Corp0.43%$89.50$117BHealthcare PlansHealthcare-16.42%39.9712.300.26N/AN/A76+14.92%$103+3.93%0.32
55
MDTMedtronic Plc0.43%$73.73$98BMedical DevicesHealthcare+10.84%21.1112.122.43N/AN/A65+44.53%$107-6.94%0.37
56
DUKDuke Energy Corp0.42%$121.09$98BUtilities - Regulated ElectricUtilities+28.45%18.9817.892.58N/AN/A63+14.56%$139+7.63%N/A
57
CMCSAComcast Corp Class A0.41%$24.85$91BTelecom ServicesCommunication Services+15.49%4.677.470.12N/AN/A54+31.75%$33-10.33%0.52
58
WMBWilliams Companies Inc0.39%$71.31$91BOil & Gas MidstreamEnergy+26.09%33.0629.672.27N/AN/A74+16.07%$83+26.79%0.52
59
BXBlackstone Inc0.39%$114.96$91BAsset ManagementFinancial Services+18.70%33.4919.461.68N/AN/A67+24.96%$144+8.11%1.49
60
TMUST-mobile Us Inc0.39%$188.83$207BTelecom ServicesCommunication Services+31.09%20.1117.790.76N/AN/A80+38.12%$261+6.76%0.16
61
CMICummins Inc0.38%$672.85$92BSpecialty Industrial MachineryIndustrials+6.04%30.5222.991.64N/AN/A67+7.77%$725+23.72%1.24
62
BNYBank Of New York Mellon Corp0.38%-N/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/A
63
USBU.s. Bancorp0.37%$54.60$85BBanks - RegionalFinancial Services+1.81%11.4010.590.54N/AN/A67+16.39%$64+2.24%0.98
64
JCIN/A0.37%$141.98$85BBuilding Products & EquipmentIndustrials-11.43%36.9723.360.61N/AN/A60+6.25%$151+18.73%1.14
65
n/aMktliq 12/31/20490.37%-N/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/A
66
PNCPnc Financial Services Group Inc0.36%$221$89BBanks - RegionalFinancial Services+7.53%13.0811.780.91N/AN/A73+15.48%$255+6.25%0.90
67
FDXFedex Corp0.36%$328.99$97BIntegrated Freight & LogisticsIndustrials+4.97%26.0215.311.49N/AN/A66+19.71%$394+12.69%0.95
68
WMWaste Management Inc0.36%$211.93$87BWaste ManagementIndustrials+10.53%32.2725.772.19N/AN/A69+20.81%$256+10.16%0.19
69
GDGeneral Dynamics Corp0.36%$337.66$93BAerospace & DefenseIndustrials+7.36%22.0121.230.96N/AN/AN/AN/AN/A+14.51%N/A
70
ADPAutomatic Data Processing Inc0.35%$231.18$87BSoftware - ApplicationTechnology+13.29%20.1919.232.07N/AN/A50+6.55%$246+5.48%0.48
71
SLBSlb Ltd0.35%$56.56$85BOil & Gas Equipment & ServicesEnergyN/A24.5720.701.94N/AN/A75+9.99%$62+11.46%1.01
72
ELVElevance Health Inc0.34%$388.99$85BHealthcare PlansHealthcare+3.82%16.5215.041.43N/AN/A70+4.79%$408+1.08%0.25
73
MRSHMarsh0.34%-N/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/A
74
CRHCrh Plc0.33%$106.54$75BBuilding MaterialsBasic MaterialsN/A20.5518.731.48N/AN/AN/AN/AN/A+18.42%N/A
75
UPSUnited Parcel Service Inc Class B0.33%$108.93$89BIntegrated Freight & LogisticsIndustrials-3.93%19.0915.221.65N/AN/A56+3.63%$113-8.43%0.72
76
MDLZMondelez International Inc Class A0.33%$61.07$80BConfectionersConsumer Defensive-3.90%34.3020.161.02N/AN/A71+10.05%$67+1.74%0.09
77
EMREmerson Electric Co0.33%$142.06$78BSpecialty Industrial MachineryIndustrials+4.14%32.1019.8010.26N/AN/A65+15.25%$164+10.01%1.33
78
VLOValero Energy Corp0.32%$258.26$72BOil & Gas Refining & MarketingEnergy+7.12%29.409.234.08N/AN/A63+0.47%$259+29.69%0.63
79
MMM3m Co0.32%$152.91$81BConglomeratesIndustrials-12.00%29.4617.451.62N/AN/A61+12.62%$172+1.24%0.99
80
EOGEog Resources Inc0.32%$138.58$72BOil & Gas E&pEnergy+14.65%11.607.791.10N/AN/A61+15.64%$160+15.38%0.47
81
CIThe Cigna Group0.32%$272.72$76BHealthcare PlansHealthcare+12.77%11.649.030.13N/AN/A76+25.22%$342+3.04%0.18
82
NOCNorthrop Grumman Corp0.32%$536.59$78BAerospace & DefenseIndustrials+3.10%17.1719.270.66N/AN/A65+29.89%$697+9.68%0.06
83
NXPINxp Semiconductors Nv0.31%$323.62$83BSemiconductorsTechnologyN/A30.9521.980.84N/AN/A74-6.56%$302+12.00%1.75
84
MPCMarathon Petroleum Corp0.31%$263.55$73BOil & Gas Refining & MarketingEnergy+12.27%24.767.450.96N/AN/A66+0.57%$265+36.24%0.70
85
ITWIllinois Tool Works Inc0.31%$248.55$72BSpecialty Industrial MachineryIndustrials+10.26%23.1221.192.48N/AN/A43+10.46%$275+3.57%0.71
86
AEPAmerican Electric Power Co Inc0.30%$127.11$70BUtilities - Regulated ElectricUtilities+11.39%17.3919.840.87N/AN/A65+13.70%$145+12.10%N/A
87
PSXPhillips 660.30%$182.56$70BOil & Gas Refining & MarketingEnergy-15.36%41.6810.920.99N/AN/A65+4.39%$191+19.87%0.78
88
NSCNorfolk Southern Corp0.30%$307.55$73BRailroadsIndustrials+5.43%27.3825.004.77N/AN/A57+9.02%$335+4.07%0.72
89
BKRBaker Hughes Co Class A0.29%$64.54$51BOil & Gas Equipment & ServicesEnergyN/A20.4124.102.56N/AN/A72+10.81%$72+22.96%1.02
90
CLColgate-palmolive Co0.28%$88.28$73BHousehold & Personal ProductsConsumer Defensive+5.50%26.2223.42810.39N/AN/A73+8.56%$96+3.43%0.04
91
APDAir Products And Chemicals Inc0.28%$279.29$64BSpecialty ChemicalsBasic Materials-26.67%171.2519.802.35N/AN/A67+17.39%$328+0.80%0.58
92
RCLRoyal Caribbean Group0.28%$290.80$74BTravel ServicesConsumer Cyclical+11.52%16.7415.870.61N/AN/A72+15.87%$337+25.73%1.61
93
TFCTruist Financial Corp0.27%$48.12$60BBanks - RegionalFinancial Services+3.67%11.1210.420.63N/AN/A63+15.69%$56+0.11%1.05
94
TRVThe Travelers Companies Inc0.27%$291.86$64BInsurance - Property & CasualtyFinancial Services+25.35%8.6510.200.10N/AN/A53+7.75%$314+14.88%0.41
95
DELLN/A0.27%$435.36$199BComputer HardwareTechnology+15.50%34.1825.380.11N/AN/A71+7.83%$469+56.15%1.89
96
KMIKinder Morgan Inc Class P0.27%$31.45$72BOil & Gas MidstreamEnergy+12.98%21.6122.520.77N/AN/A64+12.34%$35+17.18%0.47
97
TELTe Connectivity Plc Registered Shares0.26%$214.73$61BElectronic ComponentsTechnology+6.29%27.2216.641.11N/AN/A68+22.63%$263+11.15%1.20
98
SRESempra0.26%$89.55$60BUtilities - DiversifiedUtilities+41.00%30.4516.980.82N/AN/A72+15.71%$104+8.89%0.54
99
PCARPaccar Inc0.25%$112.89$59BFarm & Heavy Construction MachineryIndustrials+1.88%24.3618.871.13N/AN/A59+11.72%$126+16.98%0.88
100
LHXL3harris Technologies Inc0.25%$308.25$58BAerospace & DefenseIndustrials+7.19%33.3526.953.60N/AN/A70+23.91%$382+9.04%0.38

VYM (VANGUARD HIGH DIVIDEND YIELD INDEX FUND ETF SHARES) Sector Allocation

FINANCIALS
19.80%
INFORMATION TECHNOLOGY
16.40%
INDUSTRIALS
12.60%
HEALTHCARE
12.10%
ENERGY
9.50%
CONSUMER STAPLES
8.10%
CONSUMER DISCRETIONARY
6.70%
UTILITIES
5.70%
MATERIALS
3.70%
COMMUNICATION SERVICES
3.50%
REAL ESTATE
0.00%