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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 131749.51m 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: 2 days, 18 hours ago

Last reported holdings - Vanguard Value ETF

Ticker Name Est. Value
BRK.B
Berkshire Hathaway Inc Class B $7.1 billion
JPM
JPMorgan Chase & Co $5.9 billion
XOM
Exxon Mobil Corp $4.0 billion
WMT
Walmart Inc $3.8 billion
PG
Procter & Gamble Co $3.3 billion
UNH
UnitedHealth Group Inc $3.3 billion
JNJ
Johnson & Johnson $3.3 billion
HD
The Home Depot Inc $3.1 billion
ABBV
AbbVie Inc $3.0 billion
PM
Philip Morris International Inc $2.3 billion
BAC
Bank of America Corp $2.3 billion
KO
Coca-Cola Co $2.2 billion
ORCL
Oracle Corp $2.1 billion
WFC
Wells Fargo & Co $2.0 billion
CVX
Chevron Corp $2.0 billion
ABT
Abbott Laboratories $2.0 billion
IBM
International Business Machines Corp $2.0 billion
MRK
Merck & Co Inc $1.9 billion
LIN
Linde PLC $1.9 billion
CSCO
Cisco Systems Inc $1.8 billion
T
AT&T Inc $1.7 billion
PEP
PepsiCo Inc $1.6 billion
RTX
RTX Corp $1.5 billion
VZ
Verizon Communications Inc $1.5 billion
GS
The Goldman Sachs Group Inc $1.5 billion
PGR
Progressive Corp $1.4 billion
DIS
The Walt Disney Co $1.4 billion
QCOM
Qualcomm Inc $1.4 billion
TMO
Thermo Fisher Scientific Inc $1.4 billion
BRK.A
Berkshire Hathaway Inc Class A $1.4 billion
AMGN
Amgen Inc $1.4 billion
CAT
Caterpillar Inc $1.3 billion
SCHW
Charles Schwab Corp $1.2 billion
MS
Morgan Stanley $1.2 billion
PFE
Pfizer Inc $1.2 billion
HON
Honeywell International Inc $1.2 billion
GILD
Gilead Sciences Inc $1.2 billion
AXP
American Express Co $1.1 billion
UNP
Union Pacific Corp $1.1 billion
NEE
NextEra Energy Inc $1.1 billion
CMCSA
Comcast Corp Class A $1.1 billion
DHR
Danaher Corp $1.1 billion
BLK
BlackRock Inc $1.1 billion
LOW
Lowe's Companies Inc $1.1 billion
DE
Deere & Co $1.0 billion
C
Citigroup Inc $1.0 billion
ETN
Eaton Corp PLC $1.0 billion
COP
ConocoPhillips $994.8 million
LMT
Lockheed Martin Corp $986.1 million
MMC
Marsh & McLennan Companies Inc $971.5 million
CB
Chubb Ltd $961.9 million
MDT
Medtronic PLC $953.8 million
GE
GE Aerospace $901.3 million
BMY
Bristol-Myers Squibb Co $893.7 million
SO
Southern Co $882.3 million
MO
Altria Group Inc $877.2 million
CME
CME Group Inc Class A $876.7 million
ADI
Analog Devices Inc $848.3 million
ICE
Intercontinental Exchange Inc $847.4 million
ELV
Elevance Health Inc $838.8 million
PLD
Prologis Inc $831.1 million
CI
The Cigna Group $829.7 million
DUK
Duke Energy Corp $825.2 million
WM
Waste Management Inc $822.9 million
ACN
Accenture PLC Class A $820.6 million
MCK
McKesson Corp $783.5 million
MDLZ
Mondelez International Inc Class A $772.9 million
TT
Trane Technologies PLC Class A $754.6 million
MU
Micron Technology Inc $752.0 million
CVS
CVS Health Corp $737.6 million
AJG
Arthur J. Gallagher & Co $717.1 million
INTC
Intel Corp $686.9 million
PH
Parker Hannifin Corp $683.0 million
KKR
KKR & Co Inc Ordinary Shares $668.4 million
MMM
3M Co $661.2 million
CL
Colgate-Palmolive Co $656.0 million
WMB
Williams Companies Inc $626.2 million
NOC
Northrop Grumman Corp $618.5 million
UPS
United Parcel Service Inc Class B $618.4 million
CEG
Constellation Energy Corp $618.3 million
ITW
Illinois Tool Works Inc $587.2 million
NKE
Nike Inc Class B $584.2 million
COF
Capital One Financial Corp $573.4 million
PYPL
PayPal Holdings Inc $572.1 million
CRH
CRH PLC $566.7 million
REGN
Regeneron Pharmaceuticals Inc $564.5 million
PNC
PNC Financial Services Group Inc $557.4 million
USB
U.S. Bancorp $551.7 million
GD
General Dynamics Corp $549.3 million
EOG
EOG Resources Inc $544.0 million
APD
Air Products & Chemicals Inc $529.6 million
HCA
HCA Healthcare Inc $526.8 million
TRV
The Travelers Companies Inc $525.7 million
BDX
Becton Dickinson & Co $522.3 million
AFL
Aflac Inc $521.5 million
NEM
Newmont Corp $520.6 million
EMR
Emerson Electric Co $520.5 million
AEP
American Electric Power Co Inc $507.3 million
BK
Bank of New York Mellon Corp $505.7 million
JCI
Johnson Controls International PLC Registered Shares $486.2 million
CSX
CSX Corp $475.3 million
DLR
Digital Realty Trust Inc $474.5 million
ALL
Allstate Corp $461.6 million
FI
Fiserv Inc $455.2 million
FCX
Freeport-McMoRan Inc $454.9 million
CARR
Carrier Global Corp Ordinary Shares $450.6 million
OKE
ONEOK Inc $450.4 million
COR
Cencora Inc $448.1 million
RSG
Republic Services Inc $446.7 million
NSC
Norfolk Southern Corp $445.4 million
TFC
Truist Financial Corp $439.1 million
KMI
Kinder Morgan Inc Class P $436.1 million
LNG
Cheniere Energy Inc $431.1 million
SPG
Simon Property Group Inc $428.2 million
None
Mktliq 12/31/2049 $427.2 million
AIG
American International Group Inc $424.7 million
SRE
Sempra $423.7 million
PSA
Public Storage $416.4 million
PCAR
PACCAR Inc $415.7 million
EXC
Exelon Corp $413.8 million
D
Dominion Energy Inc $406.9 million
CCI
Crown Castle Inc $403.8 million
DFS
Discover Financial Services $403.6 million
FDX
FedEx Corp $400.2 million
AMP
Ameriprise Financial Inc $397.5 million
SLB
Schlumberger Ltd $397.1 million
KVUE
Kenvue Inc $396.1 million
GM
General Motors Co $395.2 million
EW
Edwards Lifesciences Corp $390.9 million
TGT
Target Corp $388.6 million
VST
Vistra Corp $387.2 million
KMB
Kimberly-Clark Corp $383.6 million
TEL
TE Connectivity PLC Registered Shares $383.5 million
MET
MetLife Inc $383.2 million
MPC
Marathon Petroleum Corp $377.2 million
CTVA
Corteva Inc $376.8 million
PSX
Phillips 66 $372.6 million
KDP
Keurig Dr Pepper Inc $370.9 million
XEL
Xcel Energy Inc $369.4 million
FIS
Fidelity National Information Services Inc $366.3 million
LHX
L3Harris Technologies Inc $364.0 million
URI
United Rentals Inc $362.0 million
CMI
Cummins Inc $354.7 million
PEG
Public Service Enterprise Group Inc $349.8 million
ED
Consolidated Edison Inc $349.5 million
AME
AMETEK Inc $343.2 million
F
Ford Motor Co $342.2 million
KR
The Kroger Co $340.8 million
OTIS
Otis Worldwide Corp Ordinary Shares $335.1 million
EA
Electronic Arts Inc $332.1 million
MSI
Motorola Solutions Inc $322.8 million
CBRE
CBRE Group Inc Class A $321.7 million
VLO
Valero Energy Corp $321.1 million
CTSH
Cognizant Technology Solutions Corp Class A $319.6 million
AON
Aon PLC Class A $319.4 million
PRU
Prudential Financial Inc $319.3 million
CHTR
Charter Communications Inc Class A $317.7 million
ETR
Entergy Corp $314.3 million
DHI
D.R. Horton Inc $313.7 million
PCG
PG&E Corp $310.0 million
NDAQ
Nasdaq Inc $307.8 million
HIG
The Hartford Insurance Group Inc $307.2 million
SYY
Sysco Corp $306.9 million
WEC
WEC Energy Group Inc $305.3 million
GLW
Corning Inc $300.5 million
CAH
Cardinal Health Inc $299.7 million
FERG
Ferguson Enterprises Inc $297.7 million
VICI
VICI Properties Inc Ordinary Shares $293.1 million
EBAY
eBay Inc $286.8 million
ACGL
Arch Capital Group Ltd $284.4 million
HUM
Humana Inc $277.8 million
WAB
Westinghouse Air Brake Technologies Corp $276.9 million
GIS
General Mills Inc $274.6 million
EXR
Extra Space Storage Inc $272.7 million
A
Agilent Technologies Inc $269.6 million
WTW
Willis Towers Watson PLC $269.4 million
VTR
Ventas Inc $268.9 million
GEHC
GE HealthCare Technologies Inc Common Stock $267.9 million
IR
Ingersoll Rand Inc $266.8 million
AVB
AvalonBay Communities Inc $262.0 million
CNC
Centene Corp $260.2 million
XYL
Xylem Inc $257.2 million
STZ
Constellation Brands Inc Class A $252.9 million
GRMN
Garmin Ltd $252.4 million
AWK
American Water Works Co Inc $251.5 million
ROK
Rockwell Automation Inc $245.9 million
MTB
M&T Bank Corp $244.7 million
DELL
Dell Technologies Inc Ordinary Shares - Class C $244.3 million
NUE
Nucor Corp $241.2 million
TSCO
Tractor Supply Co $236.3 million
DAL
Delta Air Lines Inc $236.2 million
AEE
Ameren Corp $231.9 million
IRM
Iron Mountain Inc $231.2 million
RCL
Royal Caribbean Group $228.5 million
OXY
Occidental Petroleum Corp $227.4 million
IQV
IQVIA Holdings Inc $227.4 million
O
Realty Income Corp $225.5 million
PPL
PPL Corp $224.7 million
EQR
Equity Residential $222.3 million
CNP
CenterPoint Energy Inc $221.9 million
RJF
Raymond James Financial Inc $221.8 million
KEYS
Keysight Technologies Inc $220.9 million
FANG
Diamondback Energy Inc $218.1 million
DD
DuPont de Nemours Inc $218.1 million
MCHP
Microchip Technology Inc $217.8 million
LEN
Lennar Corp Class A $217.2 million
HSY
The Hershey Co $217.0 million
PPG
PPG Industries Inc $216.4 million
KHC
The Kraft Heinz Co $213.9 million
STT
State Street Corp $212.0 million
DTE
DTE Energy Co $211.5 million
HPQ
HP Inc $211.3 million
IP
International Paper Co $211.0 million
FITB
Fifth Third Bancorp $210.0 million
FTV
Fortive Corp $208.2 million
DRI
Darden Restaurants Inc $206.4 million
FE
FirstEnergy Corp $206.3 million
DOV
Dover Corp $205.5 million
CBOE
Cboe Global Markets Inc $203.9 million
ADM
Archer-Daniels-Midland Co $201.1 million
K
Kellanova $200.7 million
UAL
United Airlines Holdings Inc $198.7 million
STE
Steris PLC $194.0 million
MKL
Markel Group Inc $193.8 million
CMS
CMS Energy Corp $192.8 million
TDY
Teledyne Technologies Inc $191.7 million
ES
Eversource Energy $191.6 million
CINF
Cincinnati Financial Corp $191.2 million
CPAY
Corpay Inc $189.4 million
DOW
Dow Inc $188.2 million
HPE
Hewlett Packard Enterprise Co $187.1 million
CDW
CDW Corp $186.8 million
HBAN
Huntington Bancshares Inc $185.4 million
PHM
PulteGroup Inc $182.3 million
EIX
Edison International $181.9 million
DG
Dollar General Corp $180.9 million
ZBH
Zimmer Biomet Holdings Inc $180.1 million
WRB
WR Berkley Corp $179.1 million
NVR
NVR Inc $177.6 million
SYF
Synchrony Financial $177.4 million
LH
Labcorp Holdings Inc $177.2 million
IFF
International Flavors & Fragrances Inc $176.2 million
INVH
Invitation Homes Inc $174.5 million
DGX
Quest Diagnostics Inc $173.7 million
DVN
Devon Energy Corp $172.9 million
TROW
T. Rowe Price Group Inc $172.4 million
MKC
McCormick & Co Inc Registered Shs Non Vtg $169.9 million
WBD
Warner Bros. Discovery Inc Ordinary Shares - Class A $167.7 million
GPN
Global Payments Inc $166.1 million
WY
Weyerhaeuser Co $165.1 million
MAA
Mid-America Apartment Communities Inc $163.5 million
RF
Regions Financial Corp $162.2 million
ULTA
Ulta Beauty Inc $161.1 million
ZM
Zoom Communications Inc $160.6 million
NTAP
NetApp Inc $160.4 million
MOH
Molina Healthcare Inc $159.4 million
CCL
Carnival Corp $159.4 million
ESS
Essex Property Trust Inc $157.4 million
BIIB
Biogen Inc $155.8 million
BKR
Baker Hughes Co Class A $154.0 million
TSN
Tyson Foods Inc Class A $153.9 million
CLX
Clorox Co $153.9 million
NTRS
Northern Trust Corp $153.5 million
PFG
Principal Financial Group Inc $147.0 million
DLTR
Dollar Tree Inc $146.6 million
ON
ON Semiconductor Corp $146.3 million
PKG
Packaging Corp of America $146.2 million
FNF
Fidelity National Financial Inc $145.5 million
LUV
Southwest Airlines Co $145.5 million
SNA
Snap-on Inc $144.4 million
KEY
KeyCorp $143.9 million
COO
The Cooper Companies Inc $143.4 million
GPC
Genuine Parts Co $143.3 million
TRU
TransUnion $142.1 million
MLM
Martin Marietta Materials Inc $140.5 million
SSNC
SS&C Technologies Holdings Inc $139.6 million
BAX
Baxter International Inc $139.4 million
LNT
Alliant Energy Corp $137.7 million
HAL
Halliburton Co $135.5 million
EG
Everest Group Ltd $135.5 million
CFG
Citizens Financial Group Inc $134.4 million
WDC
Western Digital Corp $134.2 million
TRMB
Trimble Inc $134.0 million
J
Jacobs Solutions Inc $133.3 million
EXPD
Expeditors International of Washington Inc $133.2 million
LYB
LyondellBasell Industries NV Class A $132.1 million
OMC
Omnicom Group Inc $131.7 million
BALL
Ball Corp $129.2 million
L
Loews Corp $128.9 million
GEN
Gen Digital Inc $126.0 million
AVY
Avery Dennison Corp $118.9 million
GDDY
GoDaddy Inc Class A $116.9 million
NWSA
News Corp Class A $114.1 million
ZBRA
Zebra Technologies Corp Ordinary Shares - Class A $112.9 million
MAS
Masco Corp $112.8 million
BBY
Best Buy Co Inc $112.7 million
EL
The Estee Lauder Companies Inc Class A $111.0 million
ARE
Alexandria Real Estate Equities Inc $110.6 million
RPRX
Royalty Pharma PLC Class A $106.0 million
VLTO
Veralto Corp $99.2 million
BF.B
Brown-Forman Corp Registered Shs -B- Non Vtg $89.5 million
LDOS
Leidos Holdings Inc $84.9 million
STX
Seagate Technology Holdings PLC $84.8 million
HUBB
Hubbell Inc $84.7 million
FOXA
Fox Corp Class A $83.1 million
STLD
Steel Dynamics Inc $82.7 million
NI
NiSource Inc $80.6 million
HRL
Hormel Foods Corp $79.2 million
CTRA
Coterra Energy Inc Ordinary Shares $78.2 million
IBKR
Interactive Brokers Group Inc Class A $78.0 million
None
Us Dollar $77.2 million
SUI
Sun Communities Inc $69.7 million
EVRG
Evergy Inc $66.3 million
CRBG
Corebridge Financial Inc $65.1 million
UDR
UDR Inc $61.0 million
WPC
W.P. Carey Inc $60.1 million
CF
CF Industries Holdings Inc $58.3 million
APTV
Aptiv PLC $57.6 million
HOLX
Hologic Inc $57.5 million
TXT
Textron Inc $56.6 million
DOC
Healthpeak Properties Inc $54.9 million
ALGN
Align Technology Inc $54.1 million
AKAM
Akamai Technologies Inc $53.3 million
FOX
Fox Corp Class B $50.8 million
JBHT
JB Hunt Transport Services Inc $46.0 million
VTRS
Viatris Inc $44.2 million
MRNA
Moderna Inc $43.7 million
ILMN
Illumina Inc $27.0 million
RKT
Rocket Companies Inc Ordinary Shares Class A $15.8 million
BF.A
Brown-Forman Corp Class A $11.5 million
None
Slbbh1142 $10.8 million
NWS
News Corp Class B $6.6 million
LINE
Lineage Inc REIT $6.1 million
LEN.B
Lennar Corp Class B $1.6 million

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