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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%21.1416.630.51+12.24%+15.48%0.83
151
NRGNrg Energy Inc0.13%$133.76$29BUtilities - Independent Power ProducersUtilities-1.11%115.9212.641.25N/AN/A73+50.13%$201+35.20%1.58
152
CCLN/A0.13%$27.17$39BTravel ServicesConsumer Cyclical-14.63%14.2111.781.09N/AN/A75+27.26%$35-2.11%1.85
153
OTISOtis Worldwide Corp Ordinary Shares0.13%$69.92$28BSpecialty Industrial MachineryIndustrialsN/A20.8516.501.35N/AN/A59+35.25%$95-1.06%0.44
154
DVNDevon Energy Corp0.13%$46.19$55BOil & Gas E&pEnergy-6.52%25.518.312.93N/AN/AN/AN/AN/A+13.08%N/A
155
DTEDte Energy Co0.13%$141.88$30BUtilities - Regulated ElectricUtilities-3.75%23.8718.252.02N/AN/A69+11.99%$159+7.42%0.18
156
NTRSNorthern Trust Corp0.13%$168.45$31BAsset ManagementFinancial Services+11.13%16.8616.101.32N/AN/A48+1.51%$171+10.24%1.04
157
ATOAtmos Energy Corp0.13%$168.34$29BUtilities - Regulated GasUtilities+8.45%21.5818.801.62N/AN/A55+11.95%$188+13.60%0.14
158
AEEAmeren Corp0.13%$106.25$31BUtilities - Regulated ElectricUtilities+7.75%19.8319.650.84N/AN/A60+12.82%$120+7.38%0.15
159
HUMHumana Inc0.12%$327.61$37BHealthcare PlansHealthcare+8.85%11.6436.100.69N/AN/A56-16.12%$275-4.19%0.39
160
CNPCenterpoint Energy Inc0.12%$41.55$28BUtilities - Regulated ElectricUtilitiesN/A25.4922.172.11N/AN/AN/AN/AN/A+13.15%N/A
161
DOWDow Inc0.12%$35.40$25BChemicalsBasic MaterialsN/AN/A11.7938.89N/AN/A61+20.41%$43-7.98%1.01
162
XYLXylem Inc0.12%$109.69$27BSpecialty Industrial MachineryIndustrials+5.41%32.8519.532.46N/AN/A71+37.34%$151-0.46%0.88
163
TPRTapestry Inc0.12%$139.61$28BLuxury GoodsConsumer Cyclical+22.17%41.8218.250.28N/AN/A71+18.22%$165+29.96%1.25
164
PAYXPaychex Inc0.12%$98.45$34BSoftware - ApplicationTechnology+9.22%20.7317.271.64N/AN/A47+3.27%$102+2.21%0.51
165
CFGCitizens Financial Group Inc0.12%$61.54$27BBanks - RegionalFinancial Services+3.71%13.7211.850.43N/AN/A81+19.08%$73+8.71%1.18
166
HSYThe Hershey Co0.11%$183.25$43BConfectionersConsumer DefensiveN/A83.4822.621.14N/AN/A60+18.49%$217+3.46%0.05
167
CTSHN/A0.11%$53.51$25BInformation Technology ServicesTechnology+10.11%11.4710.010.91N/AN/A62+35.08%$72-4.07%0.78
168
DGDollar General Corp0.11%$105.10$23BDiscount StoresConsumer Defensive+2.98%15.1915.340.61N/AN/A62+31.24%$138-11.16%0.02
169
EIXEdison International0.11%$70.88$28BUtilities - Regulated ElectricUtilities+46.95%7.7611.290.26N/AN/A58+5.76%$75+9.73%0.46
170
SYFSynchrony Financial0.11%$68.72$24BCredit ServicesFinancial Services+22.71%7.117.620.22N/AN/A68+29.83%$89+9.06%1.50
171
FEFirstenergy Corp0.11%$45.57$27BUtilities - Regulated ElectricUtilities-5.68%25.4016.471.65N/AN/A66+14.63%$52+7.82%0.07
172
RJFRaymond James Financial Inc0.11%$146.56$28BAsset ManagementFinancial Services+16.38%13.3611.039.11N/AN/A66+18.72%$174+12.25%0.97
173
ESEversource Energy0.11%$68.21$26BUtilities - Regulated ElectricUtilities+5.26%14.8514.490.15N/AN/A53+5.81%$72+0.29%0.25
174
n/aCoterra Energy Inc Ordinary Shares0.11%-N/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/A
175
PPLPpl Corp0.11%$35.02$27BUtilities - Regulated ElectricUtilitiesN/A21.9517.701.04N/AN/A73+18.02%$41+7.75%0.12
176
HUBBHubbell Inc0.11%$484.89$26BElectrical Equipment & PartsIndustrials+17.78%30.5223.533.35N/AN/A58+13.59%$551+22.29%1.20
177
RFRegions Financial Corp0.10%$27.40$24BBanks - RegionalFinancial Services+8.57%11.4410.520.51N/AN/A56+12.15%$31+8.57%1.02
178
AWKAmerican Water Works Co Inc0.10%$123.84$24BUtilities - Regulated WaterUtilities+9.38%22.5820.002.23N/AN/A50+9.60%$136-2.55%N/A
179
DRIDarden Restaurants Inc0.10%$198.20$24BRestaurantsConsumer Cyclical+12.07%21.2917.540.99N/AN/A66+13.62%$225+11.74%0.59
180
EXEExpand Energy Corp Ordinary Shares New0.10%$91.07$22BOil & Gas E&pEnergyN/A9.149.6421.63N/AN/A72+42.79%$130+16.09%0.48
181
FISN/A0.10%$40.87$22BInformation Technology ServicesTechnology+16.27%9.666.950.04N/AN/A67+43.77%$59-20.72%0.57
182
ALBAlbemarle Corp0.10%$168.41$21BSpecialty ChemicalsBasic MaterialsN/AN/A16.751.15N/AN/A64+26.33%$213+0.59%1.60
183
OMCOmnicom Group Inc0.10%$73.74$22BAdvertising AgenciesCommunication Services+4.59%20.617.3411.40N/AN/A66+34.01%$99+1.21%0.71
184
CMSCms Energy Corp0.10%$70.24$23BUtilities - Regulated ElectricUtilities+3.94%20.4718.253.28N/AN/A65+15.12%$81+5.66%0.05
185
CINFCincinnati Financial Corp0.10%$158.01$25BInsurance - Property & CasualtyFinancial Services+22.45%12.7718.281.10N/AN/A65+14.86%$182+7.55%0.58
186
NINisource Inc0.10%$45.53$23BUtilities - Regulated GasUtilities+31.83%23.5922.122.35N/AN/A70+12.80%$51+16.03%0.32
187
PPGPpg Industries Inc0.10%$111.39$25BSpecialty ChemicalsBasic Materials+5.77%15.3914.141.72N/AN/A63+10.20%$123-7.48%0.94
188
ARESN/A0.09%$123.20$40BAsset ManagementFinancial Services-11.79%199.8421.051.04N/AN/A72+17.98%$145+20.58%1.61
189
VRSNVerisign Inc0.09%$297.08$27BSoftware - InfrastructureTechnology+10.44%32.4731.753.14N/AN/A50+3.09%$306+6.58%0.37
190
DGXQuest Diagnostics Inc0.09%$193.76$21BDiagnostics & ResearchHealthcare+8.13%21.6217.891.49N/AN/A65+15.32%$223+10.64%0.20
191
CHRWC.h. Robinson Worldwide Inc0.09%$180.74$21BIntegrated Freight & LogisticsIndustrials+2.50%34.8629.241.95N/AN/A67+9.02%$197+15.95%0.64
192
PFGPrincipal Financial Group Inc0.09%$101.19$23BAsset ManagementFinancial Services+3.72%14.679.390.30N/AN/A52+0.31%$102+12.89%1.04
193
BAPCredicorp Ltd0.09%$327.70$28BBanks - RegionalFinancial Services+42.63%13.3812.640.39N/AN/A75+10.90%$363+22.30%0.67
194
TROWT. Rowe Price Group Inc0.09%$104.01$23BAsset ManagementFinancial Services+3.28%10.7310.563.80N/AN/A36-6.34%$97-7.67%1.14
195
STZConstellation Brands Inc Class A0.09%$135.40$25BBeverages - BrewersConsumer Defensive-1.25%14.9911.402.66N/AN/A61+30.52%$177-9.16%0.36
196
NTAPNetapp Inc0.09%$181.08$28BSoftware - InfrastructureTechnology+17.86%23.4620.242.53N/AN/A60-9.95%$163+20.31%1.25
197
WSMWilliams-sonoma Inc0.09%$207.11$24BSpecialty RetailConsumer Cyclical+9.75%22.3221.747.18N/AN/A59-0.05%$207+22.29%1.39
198
PKGPackaging Corp Of America0.08%$224.39$19BPackaging & ContainersConsumer Cyclical+2.75%23.0521.372.35N/AN/A65+5.13%$236+12.13%0.76
199
SNASnap-on Inc0.08%$377.39$19BTools & AccessoriesIndustrials+8.94%19.3418.422.07N/AN/A55+4.18%$393+11.06%0.75
200
RPRXRoyalty Pharma Plc Class A0.08%$54.97$24BBiotechnologyHealthcareN/A27.5045.661.27N/AN/A80+7.79%$59+6.45%0.28

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%