FDVV vs. SCHV vs. DGRW vs. VIG vs. DGRO vs. VYM vs. CGDV vs. SCHD

FDVV
SCHV
DGRW
VIG
DGRO
VYM
CGDV
SCHD

Comparison

SymbolCompany NameStock Price% ChangeAssetsExp. RatioPE RatioDiv. Yield
FDVVFidelity High Dividend ETF60.59-0.43%9.80B0.15%19.352.85%
SCHVSchwab U.S. Large-Cap Value ETF34.560.55%15.49B0.04%22.521.74%
DGRWWisdomTree US Quality Dividend Growth Fund95.910.57%16.72B0.28%24.911.29%
VIGVanguard Dividend Appreciation ETF235.190.25%107.94B0.04%24.871.47%
DGROiShares Core Dividend Growth ETF74.82-0.23%40.58B0.08%21.981.98%
VYMVanguard High Dividend Yield Index ETF158.210.07%78.33B0.04%20.072.30%
CGDVCapital Group Dividend Value ETF48.991.03%35.45B0.33%26.541.16%
SCHDSchwab US Dividend Equity ETF31.86-0.22%95.17B0.06%17.993.31%

Average Return

Top 25 Holdings

FDVV - Fidelity High Dividend ETF
No.SymbolNameWeight
1 NVDA NVIDIA Corporation 7.09%
2 AAPL Apple Inc. 6.13%
3 MSFT Microsoft Corporation 4.10%
4 AVGO Broadcom Inc. 3.38%
5 DELL Dell Technologies Inc. 2.77%
6 JPM JPMorgan Chase & Co. 2.62%
7 GOOGL Alphabet Inc. 2.07%
8 GS The Goldman Sachs Group, Inc. 1.99%
9 BAC Bank of America Corporation 1.83%
10 KO The Coca-Cola Company 1.83%
11 PG The Procter & Gamble Company 1.81%
12 PM Philip Morris International Inc. 1.74%
13 TJX The TJX Companies, Inc. 1.69%
14 HD The Home Depot, Inc. 1.65%
15 MO Altria Group, Inc. 1.58%
16 SBUX Starbucks Corporation 1.55%
17 WFC Wells Fargo & Company 1.49%
18 TXN Texas Instruments Incorporated 1.48%
19 BBY Best Buy Co., Inc. 1.47%
20 BIT: BMPS Banca Monte dei Paschi di Siena S.p.A. 1.47%
21 BIT: BAMI Banco BPM S.p.A. 1.45%
22 MCD McDonald's Corporation 1.44%
23 F Ford Motor Company 1.43%
24 PEP PepsiCo, Inc. 1.43%
25 MTN Vail Resorts, Inc. 1.42%
View FDVV holdings
SCHV - Schwab U.S. Large-Cap Value ETF
No.SymbolNameWeight
1 MU Micron Technology, Inc. 4.02%
2 BRK.B Berkshire Hathaway Inc. 2.83%
3 JPM JPMorgan Chase & Co. 2.76%
4 INTC Intel Corporation 1.98%
5 XOM Exxon Mobil Corporation 1.82%
6 JNJ Johnson & Johnson 1.73%
7 WMT Walmart Inc. 1.62%
8 AMAT Applied Materials, Inc. 1.54%
9 LRCX Lam Research Corporation 1.53%
10 CSCO Cisco Systems, Inc. 1.49%
11 CAT Caterpillar Inc. 1.45%
12 ABBV AbbVie Inc. 1.21%
13 BAC Bank of America Corporation 1.18%
14 PG The Procter & Gamble Company 1.10%
15 HD The Home Depot, Inc. 1.05%
16 GS The Goldman Sachs Group, Inc. 1.04%
17 CVX Chevron Corporation 1.03%
18 ORCL Oracle Corporation 0.98%
19 KO The Coca-Cola Company 0.97%
20 TXN Texas Instruments Incorporated 0.92%
21 MRK Merck & Co., Inc. 0.89%
22 PM Philip Morris International Inc. 0.88%
23 MRVL Marvell Technology, Inc. 0.85%
24 MS Morgan Stanley 0.85%
25 WFC Wells Fargo & Company 0.80%
View SCHV holdings
DGRW - WisdomTree US Quality Dividend Growth Fund
No.SymbolNameWeight
1 NVDA NVIDIA Corporation 8.37%
2 MSFT Microsoft Corporation 5.84%
3 AAPL Apple Inc. 3.98%
4 META Meta Platforms, Inc. 3.04%
5 ORCL Oracle Corporation 2.93%
6 UNH UnitedHealth Group Incorporated 2.82%
7 KO The Coca-Cola Company 2.81%
8 HD The Home Depot, Inc. 2.66%
9 AVGO Broadcom Inc. 2.54%
10 GOOG Alphabet Inc. 2.40%
11 GOOGL Alphabet Inc. 2.37%
12 JNJ Johnson & Johnson 2.10%
13 ABBV AbbVie Inc. 1.78%
14 CAT Caterpillar Inc. 1.66%
15 MCD McDonald's Corporation 1.62%
16 XOM Exxon Mobil Corporation 1.60%
17 TMUS T-Mobile US, Inc. 1.60%
18 CSCO Cisco Systems, Inc. 1.46%
19 AMAT Applied Materials, Inc. 1.46%
20 CVX Chevron Corporation 1.44%
21 PG The Procter & Gamble Company 1.44%
22 IBM International Business Machines Corporation 1.41%
23 LLY Eli Lilly and Company 1.40%
24 V Visa Inc. 1.34%
25 GILD Gilead Sciences, Inc. 1.23%
View DGRW holdings
VIG - Vanguard Dividend Appreciation ETF
No.SymbolNameWeight
1 AVGO Broadcom Inc. 5.39%
2 AAPL Apple Inc. 4.55%
3 MSFT Microsoft Corporation 4.26%
4 LLY Eli Lilly and Company 3.83%
5 JPM JPMorgan Chase & Co. 3.31%
6 XOM Exxon Mobil Corporation 2.66%
7 JNJ Johnson & Johnson 2.38%
8 V Visa Inc. 2.24%
9 WMT Walmart Inc. 2.22%
10 CSCO Cisco Systems, Inc. 2.08%
11 COST Costco Wholesale Corporation 1.86%
12 CAT Caterpillar Inc. 1.78%
13 MA Mastercard Incorporated 1.76%
14 LRCX Lam Research Corporation 1.74%
15 ABBV AbbVie Inc. 1.69%
16 ORCL Oracle Corporation 1.68%
17 UNH UnitedHealth Group Incorporated 1.51%
18 BAC Bank of America Corporation 1.50%
19 PG The Procter & Gamble Company 1.46%
20 HD The Home Depot, Inc. 1.38%
21 KO The Coca-Cola Company 1.34%
22 MRK Merck & Co., Inc. 1.29%
23 GS The Goldman Sachs Group, Inc. 1.28%
24 IBM International Business Machines Corporation 1.22%
25 TXN Texas Instruments Incorporated 1.22%
View VIG holdings
DGRO - iShares Core Dividend Growth ETF
No.SymbolNameWeight
1 JPM JPMorgan Chase & Co. 3.04%
2 AAPL Apple Inc. 2.87%
3 JNJ Johnson & Johnson 2.84%
4 AVGO Broadcom Inc. 2.81%
5 MSFT Microsoft Corporation 2.75%
6 ABBV AbbVie Inc. 2.65%
7 XOM Exxon Mobil Corporation 2.65%
8 PG The Procter & Gamble Company 2.35%
9 HD The Home Depot, Inc. 2.24%
10 PM Philip Morris International Inc. 2.07%
11 KO The Coca-Cola Company 1.85%
12 UNH UnitedHealth Group Incorporated 1.77%
13 PEP PepsiCo, Inc. 1.76%
14 MRK Merck & Co., Inc. 1.74%
15 BAC Bank of America Corporation 1.73%
16 CSCO Cisco Systems, Inc. 1.43%
17 IBM International Business Machines Corporation 1.25%
18 WFC Wells Fargo & Company 1.25%
19 GS The Goldman Sachs Group, Inc. 1.25%
20 NEE NextEra Energy, Inc. 1.20%
21 MCD McDonald's Corporation 1.19%
22 LLY Eli Lilly and Company 1.18%
23 AMGN Amgen Inc. 1.18%
24 MS Morgan Stanley 1.13%
25 V Visa Inc. 1.02%
View DGRO holdings
VYM - Vanguard High Dividend Yield Index ETF
No.SymbolNameWeight
1 AVGO Broadcom Inc. 8.49%
2 JPM JPMorgan Chase & Co. 3.13%
3 XOM Exxon Mobil Corporation 2.52%
4 JNJ Johnson & Johnson 2.23%
5 CSCO Cisco Systems, Inc. 1.97%
6 CAT Caterpillar Inc. 1.67%
7 ABBV AbbVie Inc. 1.59%
8 ORCL Oracle Corporation 1.56%
9 UNH UnitedHealth Group Incorporated 1.42%
10 CVX Chevron Corporation 1.41%
11 BAC Bank of America Corporation 1.39%
12 PG The Procter & Gamble Company 1.39%
13 HD The Home Depot, Inc. 1.30%
14 KO The Coca-Cola Company 1.26%
15 MRK Merck & Co., Inc. 1.21%
16 GS The Goldman Sachs Group, Inc. 1.18%
17 TXN Texas Instruments Incorporated 1.14%
18 IBM International Business Machines Corporation 1.14%
19 PM Philip Morris International Inc. 1.14%
20 QCOM QUALCOMM Incorporated 1.10%
21 RTX RTX Corporation 0.99%
22 WFC Wells Fargo & Company 0.99%
23 MS Morgan Stanley 0.97%
24 LIN Linde plc 0.96%
25 C Citigroup Inc. 0.85%
View VYM holdings
CGDV - Capital Group Dividend Value ETF
No.SymbolNameWeight
1 NVDA NVIDIA Corporation 5.97%
2 MSFT Microsoft Corporation 5.06%
3 AVGO Broadcom Inc. 4.99%
4 AMAT Applied Materials, Inc. 4.05%
5 GOOGL Alphabet Inc. 3.82%
6 RCL Royal Caribbean Cruises Ltd. 3.81%
7 META Meta Platforms, Inc. 3.42%
8 GE GE Aerospace 3.40%
9 LLY Eli Lilly and Company 3.17%
10 RTX RTX Corporation 3.02%
11 CARR Carrier Global Corporation 2.87%
12 CSCO Cisco Systems, Inc. 2.87%
13 LON: BATS British American Tobacco p.l.c. 2.48%
14 SBUX Starbucks Corporation 2.27%
15 TSM Taiwan Semiconductor Manufacturing Company Limited 2.25%
16 WFC Wells Fargo & Company 2.17%
17 AAPL Apple Inc. 2.13%
18 JPM JPMorgan Chase & Co. 2.11%
19 UNP Union Pacific Corporation 2.08%
20 LIN Linde plc 2.02%
21 IP International Paper Company 1.86%
22 STX Seagate Technology Holdings plc 1.67%
23 AMZN Amazon.com, Inc. 1.65%
24 CMCSA Comcast Corporation 1.60%
25 PM Philip Morris International Inc. 1.42%
View CGDV holdings
SCHD - Schwab US Dividend Equity ETF
No.SymbolNameWeight
1 TXN Texas Instruments Incorporated 5.94%
2 QCOM QUALCOMM Incorporated 5.82%
3 UNH UnitedHealth Group Incorporated 5.45%
4 KO The Coca-Cola Company 4.08%
5 MRK Merck & Co., Inc. 3.82%
6 CVX Chevron Corporation 3.80%
7 PG The Procter & Gamble Company 3.79%
8 AMGN Amgen Inc. 3.59%
9 VZ Verizon Communications Inc. 3.57%
10 HD The Home Depot, Inc. 3.53%
11 COP ConocoPhillips 3.49%
12 PEP PepsiCo, Inc. 3.44%
13 ABT Abbott Laboratories 3.12%
14 MO Altria Group, Inc. 2.97%
15 BMY Bristol-Myers Squibb Company 2.88%
16 LMT Lockheed Martin Corporation 2.76%
17 ACN Accenture plc 2.46%
18 BX Blackstone Inc. 2.40%
19 ADP Automatic Data Processing, Inc. 2.26%
20 CMCSA Comcast Corporation 2.09%
21 UPS United Parcel Service, Inc. 1.99%
22 SLB SLB N.V. 1.93%
23 EOG EOG Resources, Inc. 1.85%
24 TGT Target Corporation 1.48%
25 F Ford Motor Company 1.40%
View SCHD holdings