Skip to main content

Want a detailed portfolio tracker?

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
201
GISGeneral Mills Inc0.08%$32.17$18BPackaged FoodsConsumer Defensive+10.62%7.179.9813.42N/AN/A51+22.26%$39-9.55%N/A
202
RSReliance Inc0.08%$393.95$19BSteelBasic Materials+11.31%24.4121.412.69N/AN/A50-9.92%$355+20.16%0.78
203
SWSmurfit Westrock Plc0.08%$42.12$21BPackaging & ContainersConsumer CyclicalN/A54.8517.060.28N/AN/A83+26.92%$530.00%1.22
204
CFCf Industries Holdings Inc0.08%$116.61$18BAgricultural InputsBasic Materials+32.49%9.426.530.13N/AN/A53+8.51%$127+18.53%0.09
205
LENLennar Corp Class A0.08%$89.49$22BResidential ConstructionConsumer Cyclical+10.89%12.5214.710.77N/AN/A35+2.25%$92+0.65%0.68
206
LYBLyondellbasell Industries Nv Class A0.08%$67.30$22BSpecialty ChemicalsBasic MaterialsN/AN/A8.421.53N/AN/A55+19.48%$80-3.94%0.80
207
ELThe Estee Lauder Companies Inc Class A0.08%$82.06$33BHousehold & Personal ProductsConsumer Defensive-27.12%72.1427.321.43N/AN/A65+16.29%$95-21.84%1.34
208
LNTAlliant Energy Corp0.08%$70.79$19BUtilities - Regulated ElectricUtilities+4.98%23.1220.452.33N/AN/A67+11.77%$79+7.43%0.15
209
TSCOTractor Supply Co0.08%$29.14$16BSpecialty RetailConsumer Cyclical+7.01%14.9914.7714.41N/AN/A65+60.54%$47-2.55%0.59
210
KHCThe Kraft Heinz Co0.08%$22.76$29BPackaged FoodsConsumer DefensiveN/AN/A11.520.99N/AN/A42+4.61%$24-8.24%0.22
211
KEYKeycorp0.08%$20.91$23BBanks - RegionalFinancial Services-0.83%12.7911.680.04N/AN/A67+19.73%$25+3.25%1.16
212
EVRGEvergy Inc0.08%$81.07$19BUtilities - Regulated ElectricUtilities+7.01%21.0218.872.28N/AN/A67+11.78%$91+9.50%0.13
213
DDDupont De Nemours Inc0.08%$47.99$20BSpecialty ChemicalsBasic Materials-21.58%N/A20.001.72N/AN/A73+18.93%$57+8.05%1.24
214
HPQHp Inc0.08%$26.07$23BComputer HardwareTechnology+2.11%9.449.782.11N/AN/A42-12.81%$23+0.38%1.10
215
LUVSouthwest Airlines Co0.07%$40.87$22BAirlinesIndustrials-30.83%62.4113.6810.75N/AN/A57+11.67%$46-5.50%1.30
216
EWBCEast West Bancorp Inc0.07%$121.15$17BBanks - RegionalFinancial Services+16.22%12.8414.900.82N/AN/A71+13.24%$137+13.16%1.16
217
IFFInternational Flavors & Fragrances Inc0.07%$73.56$20BSpecialty ChemicalsBasic Materials+8.97%23.8216.500.88N/AN/A76+23.86%$91-10.07%0.67
218
OVVOvintiv Inc0.07%$59.24$16BOil & Gas E&pEnergyN/A16.948.560.46N/AN/A75+19.77%$71+16.68%1.00
219
IPInternational Paper Co0.07%$33.40$19BPackaging & ContainersConsumer CyclicalN/AN/A22.781.58N/AN/A70+17.84%$39-7.41%0.95
220
VTRSViatris Inc0.07%$15.56$19BDrug Manufacturers - Specialty & GenericHealthcareN/AN/A6.410.14N/AN/A61+16.07%$18+4.52%0.80
221
TSNTyson Foods Inc Class A0.07%$57.09$23BFarm ProductsConsumer Defensive-27.89%56.6713.391.04N/AN/A60+24.51%$71-3.25%0.18
222
AMCRAmcor Plc Ordinary Shares0.07%$37.90$18BPackaging & ContainersConsumer Cyclical+5.63%24.129.380.54N/AN/A68+27.20%$48-4.44%0.59
223
ROLRollins Inc0.07%$45.79$24BPersonal ServicesConsumer Cyclical+11.25%45.9937.044.12N/AN/A72+37.45%$63+8.04%0.31
224
LVSLas Vegas Sands Corp0.07%$50.87$34BResorts & CasinosConsumer CyclicalN/A18.7116.560.37N/AN/A70+36.54%$69-0.96%0.98
225
CDWCdw Corp0.07%$137.30$15BInformation Technology ServicesTechnology+6.65%13.7611.209.27N/AN/A63+7.28%$147-2.62%0.97
226
BGBunge Global Sa0.07%$131.43$24BFarm ProductsConsumer DefensiveN/A22.7714.531.71N/AN/A80+8.05%$142+11.16%0.33
227
BRBroadridge Financial Solutions Inc0.07%$152.59$17BInformation Technology ServicesTechnology+16.10%15.5815.270.39N/AN/A72+35.33%$207+0.64%0.50
228
IEXIdex Corp0.07%$215.46$16BSpecialty Industrial MachineryIndustrials+1.90%33.5024.571.81N/AN/A65+10.33%$238+0.37%0.86
229
WSOWatsco Inc Ordinary Shares0.06%$368.36$15BIndustrial DistributionIndustrials+19.70%29.2427.251.75N/AN/A51+15.29%$425+8.00%0.90
230
APAApa Corp0.06%$38.33$13BOil & Gas E&pEnergyN/A8.216.020.25N/AN/A55+12.89%$43+13.61%0.99
231
GPNGlobal Payments Inc0.06%$67.85$20BSpecialty Business ServicesIndustrialsN/AN/A5.470.21N/AN/A56+39.90%$95-18.22%1.20
232
HIIHuntington Ingalls Industries Inc0.06%$287.71$13BAerospace & DefenseIndustrials-1.50%20.6216.371.95N/AN/A54+34.83%$388+7.61%0.69
233
EGEverest Group Ltd0.06%$318$14BInsurance - ReinsuranceFinancial Services+18.30%6.985.480.05N/AN/A64+22.05%$388+6.32%0.50
234
RLRalph Lauren Corp Class A0.06%$359.43$23BApparel ManufacturingConsumer Cyclical+15.61%24.4120.532.51N/AN/A75+18.80%$427+26.99%1.39
235
RGAReinsurance Group Of America Inc0.06%$195.11$13BInsurance - ReinsuranceFinancial Services+6.08%12.958.280.56N/AN/A67+29.27%$252+10.98%0.87
236
GPCGenuine Parts Co0.06%$98.33$14BAuto PartsConsumer Cyclical+2.21%246.3812.551.32N/AN/A62+34.68%$132-2.89%0.62
237
n/aN/A0.06%-N/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/A
238
UNMUnum Group0.06%$83.51$14BInsurance - LifeFinancial Services+11.95%17.998.221.03N/AN/A71+16.90%$98+25.43%0.76
239
PRPermian Resources Corp Class A0.06%$20.18$16BOil & Gas E&pEnergy+37.44%21.4810.091.24N/AN/A76+27.80%$26+30.42%0.99
240
HASHasbro Inc0.06%$84.13$12BLeisureConsumer CyclicalN/AN/A14.642.27N/AN/A75+34.95%$114+1.53%0.90
241
PNFPPinnacle Financial Partners Inc0.06%$93.50$15BBanks - RegionalFinancial ServicesN/A11.859.290.34N/AN/A73+24.91%$1170.00%0.98
242
WRBWr Berkley Corp0.06%$65.29$24BInsurance - Property & CasualtyFinancial Services+21.09%13.1213.931.41N/AN/A43+3.20%$67+16.41%0.21
243
SSNCSs&c Technologies Holdings Inc0.06%$67.97$16BSoftware - ApplicationTechnology+4.13%19.6710.1531.26N/AN/A77+39.44%$95-0.15%0.79
244
DTMDt Midstream Inc Ordinary Shares0.06%$141.35$15BOil & Gas MidstreamEnergyN/A31.8926.041.34N/AN/A62+9.04%$1540.00%0.65
245
SCCOSouthern Copper Corp0.06%$196.59$157BCopperBasic Materials+22.31%34.1738.760.81N/AN/A31-17.02%$163+29.15%1.39
246
DKSDick's Sporting Goods Inc0.06%$224.24$18BSpecialty RetailConsumer Cyclical+24.95%20.7215.201.53N/AN/A63+11.29%$250+21.74%1.34
247
FNFFidelity National Financial Inc0.06%$45.42$13BInsurance - SpecialtyFinancial Services-16.49%17.0712.820.85N/AN/A75+39.26%$63+4.84%0.56
248
MASMasco Corp0.06%$69.59$14BBuilding Products & EquipmentIndustrials+5.96%17.1916.581.73N/AN/A58+15.92%$81+5.02%0.94
249
n/aTrs:amgen Inc Usd 2026-aug-310.06%-N/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/A
250
AVYAvery Dennison Corp0.05%$155.98$12BPackaging & ContainersConsumer Cyclical+3.31%17.9915.029.11N/AN/A75+28.41%$200-5.13%0.62

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%