Vanguard Value ETF Holdings
VTV was created on 2004-01-26 by Vanguard. The fund's investment portfolio concentrates primarily on large cap equity. The ETF currently has 135383.25m in AUM and 332 holdings. The fund tracks an index of large-cap stocks in the US. Holdings are selected and weighed based on five value factors.
Last Updated: 5 days ago
Last reported holdings - Vanguard Value ETF
Ticker | Name | Est. Value |
---|---|---|
BRK.B
|
Berkshire Hathaway Inc Class B | $6.8 billion |
JPM
|
JPMorgan Chase & Co | $6.4 billion |
XOM
|
Exxon Mobil Corp | $3.9 billion |
WMT
|
Walmart Inc | $3.8 billion |
PG
|
Procter & Gamble Co | $3.5 billion |
JNJ
|
Johnson & Johnson | $3.3 billion |
HD
|
The Home Depot Inc | $3.2 billion |
ABBV
|
AbbVie Inc | $2.9 billion |
BAC
|
Bank of America Corp | $2.5 billion |
PM
|
Philip Morris International Inc | $2.5 billion |
UNH
|
UnitedHealth Group Inc | $2.4 billion |
ORCL
|
Oracle Corp | $2.4 billion |
KO
|
Coca-Cola Co | $2.2 billion |
WFC
|
Wells Fargo & Co | $2.2 billion |
IBM
|
International Business Machines Corp | $2.1 billion |
ABT
|
Abbott Laboratories | $2.0 billion |
CVX
|
Chevron Corp | $2.0 billion |
CSCO
|
Cisco Systems Inc | $2.0 billion |
LIN
|
Linde PLC | $1.9 billion |
DIS
|
The Walt Disney Co | $1.8 billion |
T
|
AT&T Inc | $1.8 billion |
MRK
|
Merck & Co Inc | $1.7 billion |
RTX
|
RTX Corp | $1.6 billion |
PEP
|
PepsiCo Inc | $1.6 billion |
GS
|
The Goldman Sachs Group Inc | $1.6 billion |
PGR
|
Progressive Corp | $1.5 billion |
VZ
|
Verizon Communications Inc | $1.5 billion |
CAT
|
Caterpillar Inc | $1.5 billion |
QCOM
|
Qualcomm Inc | $1.4 billion |
MS
|
Morgan Stanley | $1.4 billion |
AMGN
|
Amgen Inc | $1.4 billion |
BRK.A
|
Berkshire Hathaway Inc Class A | $1.3 billion |
SCHW
|
Charles Schwab Corp | $1.3 billion |
TMO
|
Thermo Fisher Scientific Inc | $1.3 billion |
HON
|
Honeywell International Inc | $1.3 billion |
AXP
|
American Express Co | $1.3 billion |
NEE
|
NextEra Energy Inc | $1.2 billion |
GILD
|
Gilead Sciences Inc | $1.2 billion |
BLK
|
BlackRock Inc | $1.2 billion |
UNP
|
Union Pacific Corp | $1.2 billion |
PFE
|
Pfizer Inc | $1.2 billion |
C
|
Citigroup Inc | $1.2 billion |
DE
|
Deere & Co | $1.1 billion |
CMCSA
|
Comcast Corp Class A | $1.1 billion |
LOW
|
Lowe's Companies Inc | $1.1 billion |
ETN
|
Eaton Corp PLC | $1.1 billion |
GE
|
GE Aerospace | $1.1 billion |
DHR
|
Danaher Corp | $1.1 billion |
COF
|
Capital One Financial Corp | $1.1 billion |
MMC
|
Marsh & McLennan Companies Inc | $1.0 billion |
CB
|
Chubb Ltd | $1.0 billion |
LMT
|
Lockheed Martin Corp | $997.7 million |
COP
|
ConocoPhillips | $954.3 million |
MDT
|
Medtronic PLC | $935.2 million |
ADI
|
Analog Devices Inc | $932.6 million |
MU
|
Micron Technology Inc | $924.8 million |
CME
|
CME Group Inc Class A | $915.2 million |
ICE
|
Intercontinental Exchange Inc | $907.8 million |
MO
|
Altria Group Inc | $901.0 million |
PLD
|
Prologis Inc | $884.5 million |
ACN
|
Accenture PLC Class A | $870.7 million |
SO
|
Southern Co | $865.6 million |
BMY
|
Bristol-Myers Squibb Co | $860.9 million |
WM
|
Waste Management Inc | $852.0 million |
TT
|
Trane Technologies PLC Class A | $848.0 million |
CEG
|
Constellation Energy Corp | $847.8 million |
DUK
|
Duke Energy Corp | $797.5 million |
MCK
|
McKesson Corp | $792.4 million |
AJG
|
Arthur J. Gallagher & Co | $777.5 million |
CI
|
The Cigna Group | $774.0 million |
MDLZ
|
Mondelez International Inc Class A | $767.1 million |
ELV
|
Elevance Health Inc | $766.9 million |
PH
|
Parker Hannifin Corp | $752.0 million |
KKR
|
KKR & Co Inc Ordinary Shares | $711.0 million |
CVS
|
CVS Health Corp | $709.5 million |
MMM
|
3M Co | $707.7 million |
INTC
|
Intel Corp | $669.5 million |
CL
|
Colgate-Palmolive Co | $662.7 million |
WMB
|
Williams Companies Inc | $648.4 million |
UPS
|
United Parcel Service Inc Class B | $634.1 million |
NKE
|
Nike Inc Class B | $628.9 million |
NOC
|
Northrop Grumman Corp | $616.6 million |
PYPL
|
PayPal Holdings Inc | $611.0 million |
PNC
|
PNC Financial Services Group Inc | $605.0 million |
ITW
|
Illinois Tool Works Inc | $601.2 million |
USB
|
U.S. Bancorp | $597.3 million |
EMR
|
Emerson Electric Co | $591.5 million |
JCI
|
Johnson Controls International PLC Registered Shares | $588.0 million |
HCA
|
HCA Healthcare Inc | $582.6 million |
GD
|
General Dynamics Corp | $562.3 million |
BK
|
Bank of New York Mellon Corp | $557.8 million |
TRV
|
The Travelers Companies Inc | $550.9 million |
APD
|
Air Products and Chemicals Inc | $545.3 million |
CRH
|
CRH PLC | $541.9 million |
EOG
|
EOG Resources Inc | $537.2 million |
CSX
|
CSX Corp | $535.2 million |
NEM
|
Newmont Corp | $521.9 million |
CARR
|
Carrier Global Corp Ordinary Shares | $513.5 million |
DLR
|
Digital Realty Trust Inc | $507.4 million |
AFL
|
Aflac Inc | $497.2 million |
NSC
|
Norfolk Southern Corp | $491.7 million |
ALL
|
Allstate Corp | $488.7 million |
FCX
|
Freeport-McMoRan Inc | $486.0 million |
AEP
|
American Electric Power Co Inc | $485.0 million |
VST
|
Vistra Corp | $479.9 million |
KMI
|
Kinder Morgan Inc Class P | $465.4 million |
REGN
|
Regeneron Pharmaceuticals Inc | $463.2 million |
RSG
|
Republic Services Inc | $458.9 million |
TFC
|
Truist Financial Corp | $453.8 million |
SRE
|
Sempra | $449.9 million |
COR
|
Cencora Inc | $446.2 million |
SPG
|
Simon Property Group Inc | $444.2 million |
OKE
|
ONEOK Inc | $443.4 million |
LNG
|
Cheniere Energy Inc | $442.5 million |
MPC
|
Marathon Petroleum Corp | $441.6 million |
AIG
|
American International Group Inc | $441.2 million |
BDX
|
Becton Dickinson & Co | $435.5 million |
GM
|
General Motors Co | $433.8 million |
PCAR
|
PACCAR Inc | $432.8 million |
CTVA
|
Corteva Inc | $430.8 million |
AMP
|
Ameriprise Financial Inc | $430.1 million |
PSA
|
Public Storage | $427.7 million |
D
|
Dominion Energy Inc | $424.3 million |
TEL
|
TE Connectivity PLC Registered Shares | $419.5 million |
KMB
|
Kimberly-Clark Corp | $419.0 million |
FDX
|
FedEx Corp | $415.3 million |
PSX
|
Phillips 66 | $406.5 million |
URI
|
United Rentals Inc | $406.5 million |
EW
|
Edwards Lifesciences Corp | $405.4 million |
LHX
|
L3Harris Technologies Inc | $404.3 million |
FI
|
Fiserv Inc | $401.7 million |
KVUE
|
Kenvue Inc | $401.0 million |
MET
|
MetLife Inc | $399.7 million |
SLB
|
Schlumberger Ltd | $394.9 million |
CMI
|
Cummins Inc | $388.3 million |
EXC
|
Exelon Corp | $386.8 million |
CCI
|
Crown Castle Inc | $383.2 million |
KDP
|
Keurig Dr Pepper Inc | $381.6 million |
TGT
|
Target Corp | $378.5 million |
FIS
|
Fidelity National Information Services Inc | $370.8 million |
XEL
|
Xcel Energy Inc | $366.7 million |
AME
|
AMETEK Inc | $362.2 million |
VLO
|
Valero Energy Corp | $356.9 million |
F
|
Ford Motor Co | $355.0 million |
PEG
|
Public Service Enterprise Group Inc | $355.0 million |
CTSH
|
Cognizant Technology Solutions Corp Class A | $352.0 million |
NDAQ
|
Nasdaq Inc | $337.7 million |
GLW
|
Corning Inc | $335.9 million |
AON
|
Aon PLC Class A | $335.5 million |
OTIS
|
Otis Worldwide Corp Ordinary Shares | $332.3 million |
CBRE
|
CBRE Group Inc Class A | $329.6 million |
EA
|
Electronic Arts Inc | $329.2 million |
CAH
|
Cardinal Health Inc | $327.9 million |
HIG
|
The Hartford Insurance Group Inc | $325.3 million |
ED
|
Consolidated Edison Inc | $324.2 million |
PRU
|
Prudential Financial Inc | $323.8 million |
KR
|
The Kroger Co | $322.3 million |
CHTR
|
Charter Communications Inc Class A | $321.4 million |
FERG
|
Ferguson Enterprises Inc | $320.4 million |
PCG
|
PG&E Corp | $317.0 million |
ETR
|
Entergy Corp | $315.0 million |
SYY
|
Sysco Corp | $313.8 million |
ROK
|
Rockwell Automation Inc | $313.5 million |
EBAY
|
eBay Inc | $308.1 million |
None
|
Mktliq 12/31/2049 | $305.4 million |
MSI
|
Motorola Solutions Inc | $304.8 million |
WAB
|
Westinghouse Air Brake Technologies Corp | $303.7 million |
WEC
|
WEC Energy Group Inc | $300.0 million |
ACGL
|
Arch Capital Group Ltd | $298.3 million |
DELL
|
Dell Technologies Inc Ordinary Shares - Class C | $297.0 million |
DHI
|
D.R. Horton Inc | $294.2 million |
VICI
|
VICI Properties Inc Ordinary Shares | $290.5 million |
IR
|
Ingersoll Rand Inc | $289.1 million |
EXR
|
Extra Space Storage Inc | $281.4 million |
A
|
Agilent Technologies Inc | $280.5 million |
WTW
|
Willis Towers Watson PLC | $277.2 million |
DAL
|
Delta Air Lines Inc | $274.7 million |
GRMN
|
Garmin Ltd | $274.4 million |
MCHP
|
Microchip Technology Inc | $274.3 million |
RCL
|
Royal Caribbean Group | $273.4 million |
GEHC
|
GE HealthCare Technologies Inc Common Stock | $269.2 million |
XYL
|
Xylem Inc | $268.9 million |
MTB
|
M&T Bank Corp | $263.6 million |
GIS
|
General Mills Inc | $262.7 million |
AVB
|
AvalonBay Communities Inc | $258.3 million |
IRM
|
Iron Mountain Inc | $254.8 million |
HUM
|
Humana Inc | $247.1 million |
VTR
|
Ventas Inc | $247.0 million |
CNC
|
Centene Corp | $245.9 million |
AWK
|
American Water Works Co Inc | $245.0 million |
STZ
|
Constellation Brands Inc Class A | $240.5 million |
KEYS
|
Keysight Technologies Inc | $238.6 million |
RJF
|
Raymond James Financial Inc | $238.2 million |
OXY
|
Occidental Petroleum Corp | $235.5 million |
STT
|
State Street Corp | $231.8 million |
UAL
|
United Airlines Holdings Inc | $229.5 million |
AEE
|
Ameren Corp | $227.0 million |
TSCO
|
Tractor Supply Co | $226.0 million |
FITB
|
Fifth Third Bancorp | $223.3 million |
FANG
|
Diamondback Energy Inc | $222.4 million |
EQR
|
Equity Residential | $222.2 million |
O
|
Realty Income Corp | $221.8 million |
NUE
|
Nucor Corp | $221.6 million |
IP
|
International Paper Co | $221.1 million |
PPG
|
PPG Industries Inc | $221.1 million |
DD
|
DuPont de Nemours Inc | $220.8 million |
DRI
|
Darden Restaurants Inc | $220.6 million |
PPL
|
PPL Corp | $214.2 million |
DOV
|
Dover Corp | $214.2 million |
CNP
|
CenterPoint Energy Inc | $213.2 million |
LEN
|
Lennar Corp Class A | $212.2 million |
STE
|
Steris PLC | $211.7 million |
DTE
|
DTE Energy Co | $211.2 million |
CBOE
|
Cboe Global Markets Inc | $210.9 million |
CDW
|
CDW Corp | $209.9 million |
FTV
|
Fortive Corp | $209.8 million |
ES
|
Eversource Energy | $208.9 million |
HSY
|
The Hershey Co | $208.6 million |
MKL
|
Markel Group Inc | $207.7 million |
CINF
|
Cincinnati Financial Corp | $207.3 million |
HPQ
|
HP Inc | $206.4 million |
IQV
|
IQVIA Holdings Inc | $206.4 million |
TDY
|
Teledyne Technologies Inc | $205.3 million |
ADM
|
Archer-Daniels-Midland Co | $203.4 million |
CCL
|
Carnival Corp | $201.9 million |
FE
|
FirstEnergy Corp | $201.7 million |
K
|
Kellanova | $200.7 million |
HBAN
|
Huntington Bancshares Inc | $199.6 million |
HPE
|
Hewlett Packard Enterprise Co | $199.3 million |
SYF
|
Synchrony Financial | $196.8 million |
KHC
|
The Kraft Heinz Co | $196.4 million |
WBD
|
Warner Bros. Discovery Inc Ordinary Shares - Class A | $193.4 million |
ULTA
|
Ulta Beauty Inc | $192.1 million |
CPAY
|
Corpay Inc | $189.3 million |
EIX
|
Edison International | $189.3 million |
DG
|
Dollar General Corp | $187.9 million |
WRB
|
WR Berkley Corp | $186.5 million |
CMS
|
CMS Energy Corp | $184.3 million |
LH
|
Labcorp Holdings Inc | $183.2 million |
TROW
|
T. Rowe Price Group Inc | $183.0 million |
NVR
|
NVR Inc | $177.8 million |
NTAP
|
NetApp Inc | $177.1 million |
NTRS
|
Northern Trust Corp | $174.4 million |
PHM
|
PulteGroup Inc | $174.3 million |
LUV
|
Southwest Airlines Co | $173.9 million |
DVN
|
Devon Energy Corp | $172.5 million |
INVH
|
Invitation Homes Inc | $172.3 million |
IFF
|
International Flavors & Fragrances Inc | $171.9 million |
DOW
|
Dow Inc | $170.6 million |
RF
|
Regions Financial Corp | $170.3 million |
DGX
|
Quest Diagnostics Inc | $169.1 million |
ZM
|
Zoom Communications Inc | $168.5 million |
BIIB
|
Biogen Inc | $166.9 million |
WY
|
Weyerhaeuser Co | $165.2 million |
GPN
|
Global Payments Inc | $164.7 million |
DLTR
|
Dollar Tree Inc | $162.0 million |
MKC
|
McCormick & Co Inc Ordinary Shares (Non Voting) | $161.3 million |
ZBH
|
Zimmer Biomet Holdings Inc | $161.2 million |
BKR
|
Baker Hughes Co Class A | $161.1 million |
MAA
|
Mid-America Apartment Communities Inc | $161.0 million |
ESS
|
Essex Property Trust Inc | $160.4 million |
WDC
|
Western Digital Corp | $157.6 million |
ON
|
ON Semiconductor Corp | $155.8 million |
GPC
|
Genuine Parts Co | $154.2 million |
PFG
|
Principal Financial Group Inc | $154.2 million |
KEY
|
KeyCorp | $153.9 million |
TRMB
|
Trimble Inc | $153.8 million |
PKG
|
Packaging Corp of America | $152.3 million |
SSNC
|
SS&C Technologies Holdings Inc | $149.4 million |
MOH
|
Molina Healthcare Inc | $148.7 million |
SNA
|
Snap-on Inc | $147.7 million |
CFG
|
Citizens Financial Group Inc | $147.1 million |
TRU
|
TransUnion | $146.8 million |
MLM
|
Martin Marietta Materials Inc | $146.7 million |
CLX
|
Clorox Co | $142.7 million |
TSN
|
Tyson Foods Inc Class A | $141.3 million |
LNT
|
Alliant Energy Corp | $140.3 million |
GEN
|
Gen Digital Inc | $138.9 million |
BAX
|
Baxter International Inc | $137.2 million |
EXPD
|
Expeditors International of Washington Inc | $136.8 million |
HAL
|
Halliburton Co | $134.4 million |
L
|
Loews Corp | $133.5 million |
J
|
Jacobs Solutions Inc | $133.3 million |
BALL
|
Ball Corp | $133.2 million |
EG
|
Everest Group Ltd | $131.0 million |
ZBRA
|
Zebra Technologies Corp Ordinary Shares - Class A | $130.9 million |
LYB
|
LyondellBasell Industries NV Class A | $128.9 million |
OMC
|
Omnicom Group Inc | $126.9 million |
FNF
|
Fidelity National Financial Inc | $125.2 million |
EL
|
The Estee Lauder Companies Inc Class A | $124.0 million |
AVY
|
Avery Dennison Corp | $123.4 million |
COO
|
The Cooper Companies Inc | $120.0 million |
NWSA
|
News Corp Class A | $118.4 million |
MAS
|
Masco Corp | $116.3 million |
GDDY
|
GoDaddy Inc Class A | $113.1 million |
BBY
|
Best Buy Co Inc | $112.1 million |
STX
|
Seagate Technology Holdings PLC | $109.7 million |
ARE
|
Alexandria Real Estate Equities Inc | $106.8 million |
RPRX
|
Royalty Pharma PLC Class A | $106.4 million |
VLTO
|
Veralto Corp | $104.4 million |
IBKR
|
Interactive Brokers Group Inc Class A | $95.3 million |
HUBB
|
Hubbell Inc | $91.9 million |
FOXA
|
Fox Corp Class A | $91.3 million |
LDOS
|
Leidos Holdings Inc | $85.6 million |
BF.B
|
Brown-Forman Corp Registered Shs -B- Non Vtg | $85.6 million |
NI
|
NiSource Inc | $81.7 million |
HRL
|
Hormel Foods Corp | $81.5 million |
STLD
|
Steel Dynamics Inc | $78.2 million |
CTRA
|
Coterra Energy Inc Ordinary Shares | $77.6 million |
CRBG
|
Corebridge Financial Inc | $71.8 million |
SUI
|
Sun Communities Inc | $69.2 million |
CF
|
CF Industries Holdings Inc | $67.6 million |
APTV
|
Aptiv PLC | $67.4 million |
EVRG
|
Evergy Inc | $63.7 million |
HOLX
|
Hologic Inc | $61.2 million |
WPC
|
W.P. Carey Inc | $60.4 million |
UDR
|
UDR Inc | $60.3 million |
TXT
|
Textron Inc | $59.4 million |
ALGN
|
Align Technology Inc | $56.5 million |
FOX
|
Fox Corp Class B | $55.4 million |
DOC
|
Healthpeak Properties Inc | $53.6 million |
AKAM
|
Akamai Technologies Inc | $50.2 million |
JBHT
|
JB Hunt Transport Services Inc | $48.8 million |
VTRS
|
Viatris Inc | $46.2 million |
MRNA
|
Moderna Inc | $40.6 million |
ILMN
|
Illumina Inc | $28.6 million |
None
|
Slbbh1142 | $15.6 million |
RKT
|
Rocket Companies Inc Ordinary Shares Class A | $15.6 million |
None
|
Us Dollar | $14.7 million |
BF.A
|
Brown-Forman Corp Class A | $11.2 million |
NWS
|
News Corp Class B | $6.9 million |
LINE
|
Lineage Inc REIT | $5.4 million |
LEN.B
|
Lennar Corp Class B | $1.6 million |
AMTM
|
Amentum Holdings Inc | $6 |
Recent Changes - Vanguard Value ETF
Date | Ticker | Name | Change (Shares) |
---|---|---|---|
2022-06-30 |
AUR
|
Aurora Innovation Inc Class A | -197,960 |
2022-06-30 |
AXP
|
American Express Co | 55,869 |
2022-06-30 |
MQ
|
Marqeta Inc Class A | -682,834 |
2022-06-30 |
SSNC
|
SS&C Technologies Holdings Inc | 938,761 |
2022-06-30 |
UWMC
|
UWM Holdings Corp Ordinary Shares - Class A | -367,669 |
2022-06-30 |
CF
|
CF Industries Holdings Inc | 928,603 |
2022-06-30 |
PG
|
Procter & Gamble Co | 433,288 |
2022-06-30 |
COP
|
ConocoPhillips | 177,998 |
2022-06-30 |
HES
|
Hess Corp | -1.2 million |
2022-06-30 |
LLY
|
Eli Lilly and Co | 130,943 |
2022-06-30 |
PEP
|
PepsiCo Inc | 231,187 |
2022-06-30 |
CERN
|
Cerner Corp | -2.5 million |
2022-06-30 |
ALB
|
Albemarle Corp | -495,977 |
2022-06-30 |
JNJ
|
Johnson & Johnson | 472,880 |
2022-06-30 |
JPM
|
JPMorgan Chase & Co | 371,786 |
2022-06-30 |
CB
|
Chubb Ltd | 382,187 |
2022-06-30 |
MO
|
Altria Group Inc | 91,994 |
2022-06-30 |
IBM
|
International Business Machines Corp | 155,011 |
2022-06-30 |
C
|
Citigroup Inc | -377,010 |
2022-06-30 |
T
|
AT&T Inc | 1.4 million |
2022-06-30 |
RTX
|
Raytheon Technologies Corp | 215,961 |
2022-06-30 |
AVGO
|
Broadcom Inc | 54,663 |
2022-06-30 |
VICI
|
VICI Properties Inc Ordinary Shares | 5.1 million |
2022-06-30 |
KO
|
Coca-Cola Co | 674,366 |
2022-06-30 |
EXPD
|
Expeditors International of Washington Inc | 726,969 |
2022-06-30 |
OXY
|
Occidental Petroleum Corp | -1.0 million |
2022-06-30 |
BRK.B
|
Berkshire Hathaway Inc Class B | 119,823 |
2022-06-30 |
WFC
|
Wells Fargo & Co | 442,621 |
2022-06-30 |
CAT
|
Caterpillar Inc | 71,436 |
2022-06-30 |
BX
|
Blackstone Inc | -3.0 million |
2022-06-30 |
CVX
|
Chevron Corp | -1.2 million |
2022-06-30 |
TDG
|
TransDigm Group Inc | -223,027 |
2022-06-30 |
BAC
|
Bank of America Corp | 1.1 million |
2022-06-30 |
TMUS
|
T-Mobile US Inc | -2.6 million |
2022-06-30 |
UNH
|
UnitedHealth Group Inc | 138,664 |
2022-06-30 |
BMY
|
Bristol-Myers Squibb Co | -60,040 |
2022-06-30 |
FCX
|
Freeport-McMoRan Inc | 202,852 |
2022-06-30 |
PFE
|
Pfizer Inc | 860,691 |
2022-06-30 |
NEE
|
NextEra Energy Inc | 349,530 |
2022-06-30 |
VZ
|
Verizon Communications Inc | 2.5 million |
2022-06-30 |
MRK
|
Merck & Co Inc | 455,482 |
2022-06-30 |
HAL
|
Halliburton Co | -3.3 million |
2022-06-30 |
DVN
|
Devon Energy Corp | 79,245 |
2022-06-30 |
ABBV
|
AbbVie Inc | 287,639 |
2022-06-30 |
INTC
|
Intel Corp | 849,166 |
2022-06-30 |
CEG
|
Constellation Energy Corp | 1.4 million |
2022-06-30 |
CME
|
CME Group Inc Class A | 63,575 |
2022-05-31 |
TGT
|
Target Corp | 66,268 |
2022-05-31 |
LLY
|
Eli Lilly and Co | 112,629 |
2022-05-31 |
PFE
|
Pfizer Inc | 732,833 |
2022-05-31 |
XOM
|
Exxon Mobil Corp | 560,423 |
2022-05-31 |
WMT
|
Walmart Inc | 186,304 |
2022-05-31 |
COP
|
ConocoPhillips | 176,967 |
2022-05-31 |
DVN
|
Devon Energy Corp | 81,723 |
2022-05-31 |
CSCO
|
Cisco Systems Inc | 476,658 |
2022-05-31 |
UNH
|
UnitedHealth Group Inc | 123,508 |
2022-05-31 |
OXY
|
Occidental Petroleum Corp | 103,870 |
2022-05-31 |
CMCSA
|
Comcast Corp Class A | 586,913 |
2022-05-31 |
AMGN
|
Amgen Inc | 74,551 |
2022-05-31 |
JNJ
|
Johnson & Johnson | 342,957 |
2022-05-31 |
PEP
|
PepsiCo Inc | 182,987 |
2022-05-31 |
KO
|
Coca-Cola Co | 506,661 |
2022-05-31 |
ICE
|
Intercontinental Exchange Inc | 72,023 |
2022-05-31 |
PLD
|
Prologis Inc | 100,004 |
2022-05-31 |
BRK.B
|
Berkshire Hathaway Inc Class B | 212,805 |
2022-05-31 |
CVX
|
Chevron Corp | 258,874 |
2022-05-31 |
EOG
|
EOG Resources Inc | 76,866 |
2022-05-31 |
PG
|
Procter & Gamble Co | 316,923 |
2022-05-31 |
CME
|
CME Group Inc Class A | 45,300 |
2022-05-31 |
VZ
|
Verizon Communications Inc | 496,105 |
2022-05-31 |
T
|
AT&T Inc | 948,261 |
2022-05-31 |
JPM
|
JPMorgan Chase & Co | 389,513 |
2022-03-31 |
GE
|
General Electric Co | 218,138 |
2022-03-31 |
INTC
|
Intel Corp | 793,802 |
2022-03-31 |
PG
|
Procter & Gamble Co | 250,559 |
2022-03-31 |
WFC
|
Wells Fargo & Co | -703,585 |
2022-03-31 |
XOM
|
Exxon Mobil Corp | 772,981 |
2022-03-31 |
LVS
|
Las Vegas Sands Corp | -1.7 million |
2022-03-31 |
KO
|
Coca-Cola Co | 835,246 |
2022-03-31 |
VZ
|
Verizon Communications Inc | 689,607 |
2022-03-31 |
PEP
|
PepsiCo Inc | 260,584 |
2022-03-31 |
SCHW
|
Charles Schwab Corp | 303,091 |
2022-03-31 |
MRK
|
Merck & Co Inc | 464,342 |
2022-03-31 |
PFE
|
Pfizer Inc | 1.1 million |
2022-03-31 |
SO
|
Southern Co | 187,954 |
2022-03-31 |
MOS
|
The Mosaic Co | 1.5 million |
2022-03-31 |
UPS
|
United Parcel Service Inc Class B | 79,742 |
2022-03-31 |
LLY
|
Eli Lilly and Co | 125,145 |
2022-03-31 |
TGT
|
Target Corp | 86,189 |
2022-03-31 |
CVX
|
Chevron Corp | 518,131 |
2022-03-31 |
TMUS
|
T-Mobile US Inc | -2.0 million |
2022-03-31 |
BMY
|
Bristol-Myers Squibb Co | 73,364 |
2022-03-31 |
MS
|
Morgan Stanley | 174,026 |
2022-03-31 |
IBM
|
International Business Machines Corp | 182,057 |
2022-03-31 |
OXY
|
Occidental Petroleum Corp | 176,237 |
2022-03-31 |
VLO
|
Valero Energy Corp | 89,710 |
2022-03-31 |
LMT
|
Lockheed Martin Corp | 358,967 |
2022-03-31 |
WBD
|
Warner Bros.Discovery Inc Ordinary Shares - Class A | 16.9 million |
2022-03-31 |
DNA
|
Ginkgo Bioworks Holdings Inc | -720,268 |
2022-03-31 |
T
|
AT&T Inc | 1.3 million |
2022-03-31 |
IAC
|
IAC/InterActiveCorp Ordinary Shares - New | 331,694 |
2022-03-31 |
ACI
|
Albertsons Companies Inc Class A | 603,304 |
2022-03-31 |
CAT
|
Caterpillar Inc | 54,999 |
2022-03-31 |
ORCL
|
Oracle Corp | -1.1 million |
2022-03-31 |
CLR
|
Continental Resources Inc | 151,661 |
2022-03-31 |
WMT
|
Walmart Inc | 190,481 |
2022-03-31 |
TFC
|
Truist Financial Corp | 182,442 |
2022-03-31 |
AXP
|
American Express Co | 14,165 |
2022-03-31 |
F
|
Ford Motor Co | 770,152 |
2022-03-31 |
C
|
Citigroup Inc | 364,313 |
2022-03-31 |
GS
|
Goldman Sachs Group Inc | -24,825 |
2022-03-31 |
WM
|
Waste Management Inc | 47,575 |
2022-03-31 |
WU
|
The Western Union Co | -1.6 million |
2022-03-31 |
QCOM
|
Qualcomm Inc | 134,145 |
2022-03-31 |
PNC
|
PNC Financial Services Group Inc | 60,275 |
2022-03-31 |
PLD
|
Prologis Inc | 138,209 |
2022-03-31 |
DUK
|
Duke Energy Corp | 142,675 |
2022-03-31 |
BAC
|
Bank of America Corp | 474,775 |
2022-03-31 |
BX
|
Blackstone Inc | -2.7 million |
2022-03-31 |
VICI
|
VICI Properties Inc Ordinary Shares | 3.1 million |
2022-03-31 |
CSCO
|
Cisco Systems Inc | 240,434 |
2022-03-31 |
JPM
|
JPMorgan Chase & Co | 522,812 |
2022-03-31 |
NEE
|
NextEra Energy Inc | 371,900 |
2022-03-31 |
UNH
|
UnitedHealth Group Inc | 165,135 |
2022-03-31 |
BRK.B
|
Berkshire Hathaway Inc Class B | 339,258 |
2022-03-31 |
JNJ
|
Johnson & Johnson | 454,704 |
2022-03-31 |
ANTM
|
Anthem Inc | 32,295 |
2022-03-31 |
GSKY
|
GreenSky Inc Class A | -50,067 |
2022-03-31 |
BLK
|
BlackRock Inc | 24,525 |
2022-03-31 |
GM
|
General Motors Co | 244,734 |
2022-03-31 |
ATUS
|
Altice USA Inc Class A | -435,242 |
2022-03-31 |
TDG
|
TransDigm Group Inc | -209,407 |
2022-03-31 |
MO
|
Altria Group Inc | 339,408 |
2022-03-31 |
CMCSA
|
Comcast Corp Class A | 538,322 |
2022-03-31 |
COF
|
Capital One Financial Corp | -18,979 |
2022-02-28 |
GILD
|
Gilead Sciences Inc | 474,570 |
2022-02-28 |
NOC
|
Northrop Grumman Corp | 55,083 |
2022-02-28 |
BLK
|
BlackRock Inc | 51,858 |
2022-02-28 |
FIS
|
Fidelity National Information Services Inc | 229,759 |
2022-02-28 |
TMUS
|
T-Mobile US Inc | 216,304 |
2022-02-28 |
MS
|
Morgan Stanley | 541,503 |
2022-02-28 |
F
|
Ford Motor Co | 1.5 million |
2022-02-28 |
BRK.A
|
Berkshire Hathaway Inc Class A | -14 |
2022-02-28 |
LMT
|
Lockheed Martin Corp | 88,489 |
2022-02-28 |
COP
|
ConocoPhillips | 496,437 |
2022-02-28 |
APD
|
Air Products & Chemicals Inc | 83,932 |
2022-02-28 |
NUE
|
Nucor Corp | 109,638 |
2022-02-28 |
T
|
AT&T Inc | 2.7 million |
2022-02-28 |
AXP
|
American Express Co | 219,734 |
2022-02-28 |
C
|
Citigroup Inc | 748,054 |
2022-02-28 |
EXC
|
Exelon Corp | 396,417 |
2022-02-28 |
ABBV
|
AbbVie Inc | 667,389 |
2022-02-28 |
JNJ
|
Johnson & Johnson | 998,276 |
2022-02-28 |
UNH
|
UnitedHealth Group Inc | 357,393 |
2022-02-28 |
JPM
|
JPMorgan Chase & Co | 1.1 million |
2022-02-28 |
BRK.B
|
Berkshire Hathaway Inc Class B | 687,714 |
2022-02-28 |
BMY
|
Bristol-Myers Squibb Co | 841,020 |
2022-02-28 |
FCX
|
Freeport-McMoRan Inc | 549,952 |
2022-02-28 |
MRK
|
Merck & Co Inc | 963,253 |
2022-02-28 |
LHX
|
L3Harris Technologies Inc | 72,592 |
2022-02-28 |
XOM
|
Exxon Mobil Corp | 1.6 million |
2022-02-28 |
PFE
|
Pfizer Inc | 2.1 million |
2022-02-28 |
CMCSA
|
Comcast Corp Class A | 1.7 million |
2022-02-28 |
RTX
|
Raytheon Technologies Corp | 562,828 |
2022-02-28 |
PEP
|
PepsiCo Inc | 520,612 |
2022-02-28 |
CVX
|
Chevron Corp | 730,429 |
2022-01-31 |
BLK
|
BlackRock Inc | 19,951 |
2022-01-31 |
KO
|
Coca-Cola Co | 569,454 |
2022-01-31 |
MRK
|
Merck & Co Inc | 365,648 |
2022-01-31 |
C
|
Citigroup Inc | 294,087 |
2022-01-31 |
UNH
|
UnitedHealth Group Inc | 137,413 |
2022-01-31 |
BRK.B
|
Berkshire Hathaway Inc Class B | 228,996 |
2022-01-31 |
XOM
|
Exxon Mobil Corp | 622,139 |
2022-01-31 |
CVX
|
Chevron Corp | 282,144 |
2022-01-31 |
PFE
|
Pfizer Inc | 826,484 |
2022-01-31 |
BAC
|
Bank of America Corp | 1.0 million |
2022-01-31 |
NRG
|
NRG Energy Inc | -1,425 |
2022-01-31 |
XPO
|
XPO Logistics Inc | -570 |
2022-01-31 |
ARMK
|
Aramark | -1,466 |
2022-01-31 |
AXP
|
American Express Co | 85,584 |
2022-01-31 |
NEE
|
NextEra Energy Inc | 286,042 |
2022-01-31 |
MMC
|
Marsh & McLennan Companies Inc | 75,743 |
2022-01-31 |
SLB
|
Schlumberger Ltd | 209,179 |
2022-01-31 |
DHR
|
Danaher Corp | 47,450 |
2022-01-31 |
EOG
|
EOG Resources Inc | 84,342 |
2022-01-31 |
DE
|
Deere & Co | 41,639 |
2022-01-31 |
PM
|
Philip Morris International Inc | 230,916 |
2022-01-31 |
CSCO
|
Cisco Systems Inc | 550,569 |
2022-01-31 |
LLY
|
Eli Lilly and Co | 126,212 |
2022-01-31 |
WFC
|
Wells Fargo & Co | 584,925 |
2022-01-31 |
AVGO
|
Broadcom Inc | 57,893 |
2022-01-31 |
COP
|
ConocoPhillips | 196,181 |
2022-01-31 |
ABT
|
Abbott Laboratories | 260,964 |
2022-01-31 |
JPM
|
JPMorgan Chase & Co | 432,611 |
2021-12-31 |
DVN
|
Devon Energy Corp | 2.6 million |
2021-12-31 |
PG
|
Procter & Gamble Co | -96,922 |
2021-12-31 |
ATVI
|
Activision Blizzard Inc | 3.0 million |
2021-12-31 |
ON
|
ON Semiconductor Corp | 1.6 million |
2021-12-31 |
CERN
|
Cerner Corp | 1.1 million |
2021-12-31 |
WFC
|
Wells Fargo & Co | -977,317 |