schd stock returns by year

The top 3 holdings of SCHD are Verizon Communications (VZ) (4.327%), Coca-Cola (KO) (4.288%) and ConocoPhillips (COP) (4.23%).

FUND HOLDING % OF FUND VALUE ($)
SCHD
Verizon Communications (VZ)
4.327%
$2.9B
SCHD
Coca-Cola (KO)
4.288%
$2.9B
SCHD
ConocoPhillips (COP)
4.23%
$2.8B
SCHD
Altria (MO)
4.212%
$2.8B
SCHD
Lockheed Martin (LMT)
4.164%
$2.8B
SCHD
Cisco Systems (CSCO)
4.156%
$2.8B
SCHD
Home Depot (HD)
4.091%
$2.8B
SCHD
Texas Instruments (TXN)
4.044%
$2.7B
SCHD
Chevron (CVX)
3.815%
$2.6B
SCHD
AbbVie (ABBV)
3.663%
$2.5B
SCHD
Amgen (AMGN)
3.641%
$2.4B
SCHD
PepsiCo (PEP)
3.59%
$2.4B
SCHD
Merck (MRK)
3.507%
$2.4B
SCHD
Bristol-Myers Squibb (BMY)
3.354%
$2.3B
SCHD
United Parcel Service (UPS)
2.96%
$2B
SCHD
EOG Resources (EOG)
2.627%
$1.8B
SCHD
ONEOK (OKE)
2.155%
$1.4B
SCHD
Paychex (PAYX)
2.095%
$1.4B
SCHD
Schlumberger (SLB)
2.025%
$1.4B
SCHD
Kimberly-Clark (KMB)
1.959%
$1.3B
SCHD
Fastenal (FAST)
1.947%
$1.3B
SCHD
Target (TGT)
1.875%
$1.3B
SCHD
Valero Energy (VLO)
1.736%
$1.2B
SCHD
Ford Motor (F)
1.736%
$1.2B
SCHD
General Mills (GIS)
1.262%
$848.9M
Holdings are tracked for approximately 2000 ETFs.