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VTV | Vanguard Value Index Fund ETF Holdings

(Stock Exchange: AMEX)
Symbol Name Market Cap Weight Valuation Profitability Growth Health 200SMA Price Change IV IV Rank
BRK-B Berkshire Hathaway Inc. 988.55B 3.22%
457.73 0.74% 16.08% 23.63%
JPM JPMorgan Chase & Co. 682.19B 3.12%
242.31 1.64% 25.77% 43.52%
UNH UnitedHealth Group Incorporated 463.40B 2.48%
503.54 -0.55% 34.30% 67.82%
XOM Exxon Mobil Corporation 469.20B 2.31%
106.76 0.43% 21.38% 34.92%
HD The Home Depot, Inc. 393.51B 1.87%
396.14 0.94% 20.09% 10.44%
PG The Procter & Gamble Company 397.86B 1.85%
168.94 0.49% 17.91% 60.87%
WMT Walmart Inc. 742.73B 1.80%
92.46 2.33% 19.36% 25.82%
AVGO Broadcom Inc. 1.12T 1.66%
239.68 3.15% 41.71% 35.78%
JNJ Johnson & Johnson 351.15B 1.64%
145.85 0.40% 20.46% 58.21%
BAC Bank of America Corporation 340.56B 1.46%
44.39 1.13% 29.95% 49.53%
ABBV AbbVie Inc. 317.73B 1.42%
179.80 0.79% 22.35% 30.76%
ORCL Oracle Corporation 479.43B 1.34%
171.41 1.34% 24.34% 13.16%
CVX Chevron Corporation 258.39B 1.24%
143.78 0.57% 18.44% 14.61%
WFC Wells Fargo & Company 237.64B 1.14%
71.38 1.18% 30.44% 56.24%
MRK Merck & Co., Inc. 251.57B 1.13%
99.45 0.08% 21.08% 34.13%
KO The Coca-Cola Company 270.70B 1.09%
62.84 0.74% 16.18% 38.92%
PEP PepsiCo, Inc. 209.65B 0.99%
152.81 1.00% 18.92% 37.42%
CSCO Cisco Systems, Inc. 238.37B 0.94%
59.85 1.48% 16.62% 4.04%
IBM International Business Machines Corporat... 207.50B 0.92%
224.41 1.12% 22.16% 23.76%
PM Philip Morris International Inc. 191.10B 0.91%
122.91 -0.70% 17.18% 33.95%
ABT Abbott Laboratories 198.87B 0.91%
114.66 0.31% 19.17% 28.91%
TMO Thermo Fisher Scientific Inc. 201.81B 0.89%
527.60 0.44% 25.51% 31.79%
CAT Caterpillar Inc. 176.49B 0.87%
365.56 0.05% 25.13% 11.17%
GS The Goldman Sachs Group, Inc. 182.94B 0.82%
582.79 2.10% 27.24% 40.30%
QCOM QUALCOMM Incorporated 177.05B 0.78%
159.36 0.71% 30.09% 16.77%
VZ Verizon Communications Inc. 167.86B 0.74%
39.88 -0.16% 28.52% 67.73%
CMCSA Comcast Corporation 146.58B 0.73%
38.40 1.11% 25.26% 21.15%
T AT&T Inc. 164.71B 0.73%
22.96 0.50% 19.88% 15.80%
RTX Raytheon Technologies Corporation 155.02B 0.71%
116.47 -0.14% 17.24% 40.93%
MS Morgan Stanley 204.70B 0.70%
127.06 2.10% 29.69% 48.39%
PGR The Progressive Corporation 142.49B 0.69%
243.24 0.93% 21.17% 6.88%
DHR Danaher Corporation 166.60B 0.69%
230.66 0.65% 24.82% 13.59%
LOW Lowe's Companies, Inc. 141.29B 0.68%
250.22 1.15% 20.41% 2.68%
NEE NextEra Energy, Inc. 149.93B 0.67%
72.91 0.58% 26.37% 18.33%
AMGN Amgen Inc. 142.17B 0.67%
264.49 0.19% 20.45% 6.68%
AXP American Express Company 213.50B 0.67%
303.07 1.43% 28.32% 47.00%
HON Honeywell International Inc. 148.84B 0.67%
228.90 0.77% 20.53% 42.77%
BRK-A Berkshire Hathaway Inc. 984.62B 0.66%
686,578.00 0.67% N/A N/A
ETN Eaton Corporation plc 134.98B 0.66%
341.54 1.13% 27.00% 17.75%
UNP Union Pacific Corporation 139.12B 0.66%
229.47 1.03% 22.77% 42.78%
PFE Pfizer Inc. 151.34B 0.65%
26.71 -0.02% 25.29% 50.00%
BLK BlackRock, Inc. 162.61B 0.63%
1,049.91 0.98% 22.59% 35.33%
COP ConocoPhillips 125.51B 0.62%
97.02 0.67% 25.75% 33.60%
LMT Lockheed Martin Corporation 115.70B 0.56%
488.13 0.34% 20.97% 57.01%
C Citigroup Inc. 134.52B 0.55%
71.13 1.94% 27.30% 24.58%
SCHW The Charles Schwab Corporation 133.01B 0.55%
74.74 0.04% 30.04% 43.82%
DE Deere & Company 117.40B 0.54%
432.30 -0.02% 22.03% 9.90%
BMY Bristol-Myers Squibb Company 116.38B 0.53%
57.38 -0.35% 21.83% 8.98%
GILD Gilead Sciences, Inc. 117.09B 0.51%
93.95 0.59% 19.94% 13.95%
MMC Marsh & McLennan Companies, Inc. 105.12B 0.50%
214.04 0.88% 19.14% 47.63%
ACN Accenture plc 225.76B 0.50%
360.93 0.60% 21.25% 19.57%
MDT Medtronic plc 104.56B 0.49%
81.54 0.17% 19.68% 7.21%
CB Chubb Limited 111.03B 0.49%
275.45 0.03% 19.60% 33.43%
MU Micron Technology, Inc. 99.47B 0.48%
89.28 -0.49% 40.00% 18.48%
KKR KKR & Co. Inc. 135.53B 0.48%
152.58 2.44% 29.66% 20.80%
ADI Analog Devices, Inc. 108.24B 0.48%
218.09 1.49% 26.87% 16.55%
PLD Prologis, Inc. 96.95B 0.48%
104.68 0.52% 27.08% 30.31%
DIS The Walt Disney Company 203.86B 0.47%
112.57 1.05% 20.56% 7.02%
UPS United Parcel Service, Inc. 107.53B 0.44%
126.01 0.21% 19.69% 4.81%
MO Altria Group, Inc. 90.62B 0.43%
53.47 -0.21% 19.06% 41.51%
SO The Southern Company 90.84B 0.43%
82.91 -0.16% 18.78% 35.05%
CI Cigna Corporation 77.31B 0.42%
277.95 -1.31% 35.46% 58.84%
ANTM Anthem Inc. 0.42%
TT Trane Technologies plc 85.12B 0.41%
378.25 0.20% 25.88% 20.72%
GE General Electric Company 185.60B 0.41%
171.49 1.46% 32.56% 48.50%
INTC Intel Corporation 87.99B 0.41%
20.40 0.99% 50.42% 43.30%
ICE Intercontinental Exchange, Inc. 86.39B 0.41%
150.46 0.20% 19.96% 31.83%
WM Waste Management, Inc. 82.20B 0.40%
204.81 0.50% 19.47% 41.67%
PH Parker-Hannifin Corporation 84.00B 0.40%
652.57 1.07% 22.60% 17.65%
DUK Duke Energy Corporation 84.04B 0.40%
108.79 0.21% 20.09% 51.89%
PYPL PayPal Holdings, Inc. 88.47B 0.39%
88.25 1.55% 29.15% 5.08%
MDLZ Mondelez International, Inc. 80.23B 0.38%
60.00 1.21% 17.57% 38.10%
CME CME Group Inc. 86.30B 0.38%
239.47 0.61% 21.63% 48.34%
PNC The PNC Financial Services Group, Inc. 76.95B 0.38%
193.93 0.42% 26.54% 36.45%
USB U.S. Bancorp 75.96B 0.37%
48.69 0.77% 26.34% 32.26%
MCK McKesson Corporation 73.51B 0.36%
579.13 0.41% 24.92% 30.50%
REGN Regeneron Pharmaceuticals, Inc. 77.21B 0.36%
714.47 -0.09% 32.81% 66.79%
CEG Constellation Energy Corporation 71.87B 0.36%
229.79 0.66% 40.06% 27.05%
ITW Illinois Tool Works Inc. 76.53B 0.34%
259.17 0.59% 17.17% 17.36%
EMR Emerson Electric Co. 71.89B 0.33%
126.23 1.86% 20.35% 17.75%
EOG EOG Resources, Inc. 67.96B 0.33%
120.83 0.82% 24.21% 29.76%
CVS CVS Health Corporation 55.60B 0.33%
44.18 0.09% 40.92% 60.45%
APD Air Products and Chemicals, Inc. 65.69B 0.33%
295.41 0.63% 25.47% 36.70%
MMM 3M Company 70.99B 0.32%
130.36 1.07% 25.21% 22.64%
NOC Northrop Grumman Corporation 68.64B 0.32%
471.09 0.83% 21.73% 29.33%
WMB The Williams Companies, Inc. 66.44B 0.31%
54.50 0.83% 23.03% 45.12%
CSX CSX Corporation 62.81B 0.31%
32.57 1.09% 23.42% 30.30%
COF Capital One Financial Corporation 69.34B 0.31%
181.75 0.99% 31.85% 42.11%
AJG Arthur J. Gallagher & Co. 71.89B 0.30%
287.77 1.15% 21.84% 33.58%
FDX FedEx Corporation 65.47B 0.29%
271.84 1.05% 21.22% 5.16%
CARR Carrier Global Corporation 62.16B 0.29%
69.28 0.71% 26.91% 14.60%
GD General Dynamics Corporation 73.11B 0.29%
265.90 0.27% 20.28% 53.80%
OKE ONEOK, Inc. 59.70B 0.29%
102.19 1.21% 25.56% 58.26%
BDX Becton, Dickinson and Company 65.75B 0.28%
226.71 0.12% 19.70% 22.93%
DLR Digital Realty Trust, Inc. 59.54B 0.28%
179.48 0.57% 24.62% 26.66%
TFC Truist Financial Corporation 58.19B 0.28%
43.84 0.68% 26.73% 33.91%
AFL Aflac Incorporated 57.27B 0.28%
103.09 0.34% 19.87% 29.41%
FCX Freeport-McMoRan Inc. 56.36B 0.28%
39.22 -0.08% 35.99% 41.38%
FI Fiserv, Inc. 119.16B 0.28%
209.45 1.33% 21.67% 30.00%
GM General Motors Company 58.84B 0.28%
53.51 1.81% 29.77% 29.50%
Total holdings: 335 Recognized Stocks: 328 Others: 7
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