OCTOBER 2024 DIVIDEND REPORT

Hi everyone.
Here is a review of my portfolio’s performance so far!

Portfolio 1 (dividend4u-HYHR)

Portfolio Statistics
Portfolio cost value: $738,004
Portfolio market value: $823,131
Portfolio Net P/L: $85,126
Portfolio Net P/L%: 11.53%
Projected Annual Dividend Income (PADI): $36,385
Yield on Market: 4.42%
Yield on Cost: 4.77%

HYHR Portfolio – Dividend per Month ($)

 

Total

84,085

7,831

5,016

7,967

5,422

5,578

8,253

6,642

6,319

8,641

6,828

6,389

9,198

 

Total

January

February

March

April

May

June

July

August

September

October

November

December

2022

12,595

40

359

475

438

801

1,195

1,230

1,180

1,727

1,369

1,525

2,256

2023

32,628

1,897

1,800

3,269

2,246

2,358

3,557

2,743

2,598

3,492

2,712

2,515

3,440

2024

34,791

2,838

2,165

3,900

2,739

2,418

3,501

2,669

2,541

3,422

2,747

2,349

3,503

2025

4,072

3,056

692

324

0

0

0

0

0

0

0

0

0

October 2024 Dividend Income
In October I was paid $2,747 by the following companies:

Date

Symbol

Amount

Units

Dividend Payment

10/01/2024

CADE

0.25

230

57.5

10/01/2024

RF

0.25

262

65.5

10/01/2024

SFNC

0.21

257

53.97

10/01/2024

SNV

0.38

57

21.66

10/01/2024

UBSI

0.37

146

54.02

10/01/2024

UGI

0.375

149

55.88

10/01/2024

WSBC

0.36

157

56.52

10/02/2024

FISI

0.3

35

10.5

10/02/2024

HPQ

0.2756

151

41.62

10/2/2024

KMB

1.22

33

40.26

10/2/2024

SR

0.755

77

58.13

10/3/2024

HRB

0.375

113

42.38

10/3/2024

REG

0.67

17

11.39

10/4/2024

QSR

0.58

73

42.34

10/7/2024

EMN

0.81

55

44.55

10/7/2024

MRK

0.77

15

11.55

10/9/2024

IFF

0.4

62

24.8

10/9/2024

KRC

0.54

117

63.18

10/10/2024

BBY

0.94

62

58.28

10/10/2024

GTY

0.45

168

75.6

10/10/2024

MO

1.02

110

112.2

10/10/2024

MPW

0.08

322

25.76

10/10/2024

PM

1.35

53

71.55

10/11/2024

BEN

0.31

203

62.93

10/11/2024

ESS

2.45

20

49

10/11/2024

MDT

0.7

54

37.8

10/11/2024

OMC

0.7

27

18.9

10/11/2024

STT

0.76

62

47.12

10/11/2024

WASH

0.56

18

10.08

10/14/2024

GAIN

0.7

65

45.5

10/15/2024

ADC

0.25

60

15

10/15/2024

AQN

0.065

485

31.52

10/15/2024

ARE

1.3

34

44.2

10/15/2024

CAH

0.5056

38

19.21

10/15/2024

CTRE

0.29

218

63.22

10/15/2024

CUBE

0.51

99

50.49

10/15/2024

FCPT

0.345

80

27.6

10/15/2024

FITB

0.37

160

59.2

10/15/2024

FRT

1.1

39

42.9

10/15/2024

FULT

0.17

137

23.29

10/15/2024

GAIN

0.7

65

45.5

10/15/2024

IIPR

1.9

51

96.9

10/15/2024

LEG

0.05

144

7.2

10/15/2024

MAIN

0.245

50

12.25

10/15/2024

O

0.2635

79

20.82

10/15/2024

POR

0.5

89

44.5

10/15/2024

SLG

0.25

28

7

10/15/2024

STAG

0.1233

120

14.8

10/15/2024

USB

0.5

118

59

10/15/2024

WPC

0.875

65

56.88

10/18/2024

FNLC

0.36

35

12.6

10/18/2024

OZK

0.41

116

47.56

10/21/2024

FLIC

0.21

50

10.5

10/22/2024

INGR

0.8

13

10.4

10/23/2024

CMCSA

0.31

32

9.92

10/23/2024

CSCO

0.4

50

20

10/24/2024

WLY

0.3525

108

38.07

10/25/2024

BUSE

0.24

139

33.36

10/25/2024

OGE

0.4213

54

22.75

10/28/2024

CM

0.668

109

72.81

10/29/2024

BNS

0.78498

50

39.25

10/31/2024

EIX

0.78

62

48.36

10/31/2024

GAIN

0.08

65

5.2

10/31/2024

JPM

1.25

20

25

10/31/2024

MAA

1.47

28

41.16

10/31/2024

TD

0.744

81

60.26

10/31/2024

TRN

0.28

220

61.6

10/31/2024

UDR

0.425

102

43.35

10/31/2024

WSO

2.7

12

32.4

Transactions

None

Sectors Diversification
The chart below illustrates the diversification of the HYHR portfolio sectors and the profits/losses by sector.


Sector

Weight

Basic Materials

4.82%

Communication Services

4.36%

Consumer Cyclical

3.81%

Consumer Defensive

4.00%

Energy

7.21%

Financial Services

36.26%

Healthcare

4.07%

Industrials

4.23%

Real Estate

14.44%

Technology

4.19%

Utilities

12.60%

Grand Total

100.00%

Sectors Diversification – Detailed

Sector

Weight

Total Cost

market value

Basic Materials

4.82%

30,068

39,659

Agricultural Inputs

1.01%

5,121

8,350

SMG

1.01%

5,121

8,350

Aluminum

0.65%

5,187

5,347

KALU

0.65%

5,187

5,347

Gold

1.04%

4,141

8,543

AEM

1.04%

4,141

8,543

Specialty Chemicals

2.12%

15,620

17,420

EMN

0.70%

4,182

5,780

IFF

0.75%

5,038

6,165

LYB

0.60%

5,219

4,950

MATV

0.06%

1,181

525

Communication Services

4.36%

26,893

35,908

Advertising Agencies

0.80%

6,234

6,578

IPG

0.47%

4,166

3,851

OMC

0.33%

2,069

2,727

Publishing

0.65%

4,103

5,324

WLY

0.65%

4,103

5,324

Telecom Services

2.92%

16,556

24,006

CCOI

0.80%

5,160

6,582

CMCSA

0.17%

1,008

1,397

TDS

1.35%

5,202

11,097

VZ

0.60%

5,186

4,929

Consumer Cyclical

3.81%

38,759

31,335

Apparel Manufacturing

0.35%

5,125

2,899

VFC

0.35%

5,125

2,899

Auto Parts

0.08%

1,002

680

PLOW

0.08%

1,002

680

Furnishings, Fixtures & Appliances

0.64%

10,535

5,247

LEG

0.21%

5,151

1,728

WHR

0.43%

5,385

3,519

Personal Services

0.91%

8,496

7,485

HRB

0.82%

3,143

6,749

MED

0.09%

5,353

735

Recreational Vehicles

0.53%

4,169

4,340

LCII

0.53%

4,169

4,340

Restaurants

0.62%

4,259

5,077

QSR

0.62%

4,259

5,077

Specialty Retail

0.68%

5,173

5,607

BBY

0.68%

5,173

5,607

Consumer Defensive

4.00%

33,432

32,909

Household & Personal Products

0.64%

9,292

5,301

KMB

0.54%

4,228

4,428

NUS

0.11%

5,064

873

Packaged Foods

1.18%

8,393

9,697

FLO

0.35%

3,147

2,890

INGR

0.21%

1,067

1,726

K

0.62%

4,178

5,081

Tobacco

2.18%

15,747

17,912

MO

0.73%

5,135

5,991

PM

0.85%

5,272

7,033

UVV

0.59%

5,340

4,888

Energy

7.21%

50,116

59,360

Oil & Gas Integrated

1.17%

8,416

9,656

CVX

0.51%

4,256

4,167

XOM

0.67%

4,160

5,489

Oil & Gas Midstream

5.03%

33,348

41,386

CQP

0.63%

5,241

5,207

ENB

0.49%

4,238

4,040

EPD

0.74%

5,227

6,105

HESM

0.44%

3,108

3,638

KMI

0.86%

5,202

7,083

MPLX

0.87%

5,257

7,196

WMB

0.99%

5,074

8,117

Oil & Gas Refining & Marketing

1.01%

8,353

8,318

DKL

0.52%

5,144

4,281

PSX

0.36%

2,147

2,924

SGU

0.14%

1,062

1,113

Financial Services

36.26%

254,000

298,500

Asset Management

4.57%

30,334

37,637

BEN

0.51%

5,438

4,216

BK

0.91%

4,094

7,461

CNS

0.80%

4,096

6,618

GAIN

0.11%

1,062

887

MAIN

0.31%

2,157

2,567

PFG

0.59%

4,151

4,862

STT

0.70%

4,058

5,754

TROW

0.64%

5,278

5,273

Banks—Diversified

3.41%

25,106

28,095

BMO

0.59%

5,223

4,829

BNS

0.31%

3,115

2,575

CM

0.83%

5,267

6,819

JPM

0.54%

2,155

4,438

RY

0.60%

4,195

4,956

TD

0.54%

5,152

4,477

Banks—Regional

17.74%

133,333

146,006

ASB

0.74%

5,122

6,125

ATLO

0.09%

1,094

765

AUB

0.55%

4,070

4,536

BOH

0.67%

5,135

5,489

BRKL

0.40%

4,011

3,263

BUSE

0.41%

3,228

3,379

CADE

0.93%

5,086

7,689

CPF

0.11%

1,027

943

FCF

0.61%

4,044

5,014

FIBK

0.55%

5,229

4,528

FISI

0.10%

1,117

840

FITB

0.85%

5,085

6,989

FLIC

0.08%

1,104

629

FNLC

0.11%

1,163

907

FULT

0.30%

2,098

2,481

KEY

0.64%

5,098

5,244

MSBI

0.11%

1,062

868

NWBI

0.63%

5,149

5,170

NWFL

0.14%

1,106

1,173

OZK

0.62%

4,127

5,075

PEBO

0.12%

1,073

1,016

PFC

0.32%

3,126

2,663

PNC

0.82%

5,347

6,778

PRK

0.78%

4,162

6,393

RF

0.76%

5,042

6,254

SASR

0.65%

5,112

5,349

SBSI

0.44%

4,105

3,661

SFNC

0.72%

5,058

5,962

SNV

0.35%

2,044

2,843

STBA

0.80%

5,212

6,571

TFC

0.63%

5,204

5,209

TFSL

0.54%

5,117

4,433

UBSI

0.67%

5,099

5,501

UNB

0.12%

1,106

1,014

USB

0.69%

5,107

5,701

WASH

0.07%

1,059

614

WSBC

0.60%

5,208

4,938

Capital Markets

1.65%

8,174

13,589

JEF

0.99%

4,087

8,125

MS

0.66%

4,087

5,464

Credit Services

1.59%

11,370

13,090

AGM

0.49%

2,070

4,032

ALLY

0.77%

5,134

6,379

WU

0.33%

4,167

2,679

Insurance—Diversified

0.75%

4,262

6,148

ORI

0.75%

4,262

6,148

Insurance—Life

3.08%

18,711

25,357

LNC

0.60%

5,111

4,969

MFC

0.95%

5,143

7,799

PRU

0.79%

5,375

6,491

UNM

0.74%

3,082

6,097

Insurance—Property & Casualty

1.91%

13,353

15,689

CNA

0.72%

5,099

5,941

DGICA

0.14%

1,067

1,137

HMN

0.52%

4,044

4,283

MCY

0.53%

3,143

4,328

Insurance—Specialty

1.57%

9,356

12,890

FAF

0.62%

4,140

5,068

FNF

0.95%

5,216

7,822

Healthcare

4.07%

32,057

33,491

Drug Manufacturers—General

2.81%

19,378

23,135

ABBV

0.74%

4,210

6,116

AMGN

0.78%

4,707

6,403

GILD

0.69%

4,249

5,684

MRK

0.19%

1,149

1,535

PFE

0.41%

5,064

3,396

Medical Devices

0.59%

4,206

4,820

MDT

0.59%

4,206

4,820

Medical Distribution

0.50%

2,086

4,124

CAH

0.50%

2,086

4,124

Pharmaceutical Retailers

0.17%

6,387

1,413

PETS

0.02%

1,018

164

WBA

0.15%

5,369

1,249

Industrials

4.23%

27,332

34,836

Business Equipment & Supplies

0.99%

5,135

8,131

HNI

0.99%

5,135

8,131

Conglomerates

0.66%

5,416

5,396

MMM

0.66%

5,416

5,396

Industrial Distribution

0.69%

3,198

5,676

WSO

0.69%

3,198

5,676

Integrated Freight & Logistics

0.41%

4,354

3,352

UPS

0.41%

4,354

3,352

Railroads

0.92%

5,121

7,542

TRN

0.92%

5,121

7,542

Tools & Accessories

0.58%

4,108

4,740

SWK

0.58%

4,108

4,740

Real Estate

14.44%

120,627

118,899

REIT—Diversified

0.44%

5,194

3,622

WPC

0.44%

5,194

3,622

REIT—Healthcare Facilities

1.41%

15,461

11,601

CHCT

0.22%

4,112

1,820

CTRE

0.87%

4,093

7,122

HR

0.14%

2,112

1,168

MPW

0.18%

5,144

1,491

REIT—Industrial

3.05%

23,099

25,092

CUBE

0.58%

4,120

4,736

EXR

0.56%

4,437

4,572

IIPR

0.80%

5,261

6,589

NSA

0.57%

5,094

4,721

STAG

0.54%

4,187

4,474

REIT—Mortgage

0.57%

5,100

4,732

ABR

0.57%

5,100

4,732

REIT—Office

1.92%

16,706

15,781

ARE

0.46%

4,221

3,793

HIW

0.63%

5,186

5,165

KRC

0.57%

5,151

4,706

SLG

0.26%

2,148

2,117

REIT—Residential

2.21%

16,995

18,217

ESS

0.69%

4,484

5,677

MAA

0.51%

4,317

4,238

NXRT

0.49%

4,108

3,998

UDR

0.52%

4,086

4,303

REIT—Retail

3.31%

27,436

27,287

ADC

0.54%

4,077

4,455

FCPT

0.27%

2,231

2,205

FRT

0.53%

4,326

4,323

GTY

0.64%

5,119

5,274

NNN

0.62%

5,297

5,126

O

0.57%

5,250

4,690

REG

0.15%

1,135

1,214

REIT—Specialty

1.53%

10,636

12,569

CCI

0.51%

5,244

4,192

DLR

1.02%

5,392

8,377

Technology

4.19%

19,727

34,504

Communication Equipment

0.33%

2,039

2,739

CSCO

0.33%

2,039

2,739

Computer Hardware

0.65%

4,079

5,364

HPQ

0.65%

4,079

5,364

Information Technology Services

1.03%

5,445

8,476

IBM

1.03%

5,445

8,476

Semiconductors

2.18%

8,164

17,926

AVGO

1.86%

4,101

15,279

INTC

0.32%

4,063

2,647

Utilities

12.60%

104,993

103,730

Utilities—Diversified

2.93%

24,838

24,080

ALE

0.68%

5,253

5,560

AVA

0.60%

5,195

4,910

BIP

0.61%

5,114

5,016

BKH

0.45%

4,120

3,729

NWE

0.59%

5,156

4,865

Utilities—Regulated Electric

6.33%

42,854

52,073

AEP

0.58%

4,261

4,740

DUK

0.62%

4,301

5,072

ED

0.58%

4,135

4,779

EIX

0.62%

4,158

5,109

ETR

0.75%

4,237

6,191

EVRG

0.26%

2,179

2,115

OGE

0.26%

2,061

2,159

PEG

0.74%

4,086

6,080

PNW

0.75%

5,280

6,147

POR

0.51%

4,101

4,219

SO

0.66%

4,056

5,462

Utilities—Regulated Gas

2.36%

20,644

19,435

NI

0.68%

4,051

5,590

NWN

0.41%

4,166

3,345

RGCO

0.11%

1,006

921

SR

0.60%

5,185

4,917

SWX

0.13%

1,054

1,099

UGI

0.43%

5,183

3,563

Utilities—Renewable

0.99%

16,656

8,142

AQN

0.29%

5,227

2,347

AY

0.43%

5,161

3,574

BEP

0.09%

1,031

770

NEP

0.18%

5,237

1,451

Grand Total

100.00%

738,004

823,131

 

Portfolio 2 (dividend4u-MPDGI)

     Portfolio Statistics
Portfolio cost value: $764,222
Portfolio market value: $880,544
Portfolio Net P/L: $116,322
Portfolio Net P/L%: 15.22%
Projected Annual Dividend Income (PADI): $26,959
Yield on Market: 3.06%
Yield on Cost: 3.37%

MPDGI Portfolio – Dividend per Month ($)

Total

60,045

5,916

2,942

5,932

4,391

2,782

6,588

4,775

3,183

7,459

5,226

3,267

7,582

 

Total

January

February

March

April

May

June

July

August

September

October

November

December

2022

8,334

0

48

294

310

309

821

692

584

1,529

1,161

746

1,841

2023

23,373

1,456

952

2,457

1,929

1,195

2,876

2,072

1,355

2,943

2,023

1,271

2,844

2024

25,018

2,168

1,266

2,853

2,130

1,278

2,891

2,011

1,244

2,987

2,043

1,250

2,897

2025

3,320

2,292

676

328

23

0

0

0

0

0

0

0

0

 

October 2024 Dividend Income
In October I was paid $2,043 by the following companies:

Date

Symbol

Amout

Units

Dividend Payment

10/01/2024

ADP

1.4

15

21

10/01/2024

ALB

0.405

15

6.07

10/01/2024

ALL

0.92

24

22.08

10/01/2024

CHRW

0.62

32

19.84

10/01/2024

CMA

0.71

13

9.23

10/01/2024

FDX

1.38

5

6.9

10/01/2024

GPC

1

21

21

10/01/2024

HBAN

0.155

324

50.22

10/01/2024

KO

0.485

51

24.74

10/01/2024

LRCX

0.23

80

18.4

10/01/2024

MCK

0.71

10

7.1

10/01/2024

MDU

0.2347

154.442

36.25

10/01/2024

NJR

0.45

65

29.25

10/01/2024

NKE

0.37

29

10.73

10/01/2024

PB

0.56

43

24.08

10/01/2024

PPL

0.2575

40

10.3

10/01/2024

SNV

0.38

28

10.64

10/01/2024

UGI

0.375

114

42.75

10/01/2024

UMBF

0.39

42

16.38

10/02/2024

HPQ

0.2756

101

27.84

10/02/2024

KMB

1.22

24

29.28

10/03/2024

BR

0.88

22

19.36

10/03/2024

IRM

0.715

25

17.88

10/04/2024

CB

0.91

16

14.56

10/04/2024

CNQ

0.387

120

46.44

10/04/2024

QSR

0.58

55

31.9

10/04/2024

SPTN

0.2175

99

21.53

10/07/2024

EMN

0.81

34

27.54

10/07/2024

MRK

0.77

35

26.95

10/09/2024

APH

0.165

84

13.86

10/09/2024

TSM

0.6248

11

6.87

10/10/2024

BBY

0.94

54

50.76

10/10/2024

CBU

0.46

49

22.54

10/10/2024

MO

1.02

90

91.8

10/10/2024

MPW

0.08

321

25.68

10/10/2024

PM

1.35

44

59.4

10/11/2024

BEN

0.31

107

33.17

10/11/2024

EQR

0.675

14

9.45

10/11/2024

ESS

2.45

13

31.85

10/11/2024

ITW

1.5

16

24

10/11/2024

MDT

0.7

35

24.5

10/11/2024

OMC

0.7

30

21

10/11/2024

STLD

0.46

35

16.1

10/11/2024

STT

0.76

43

32.68

10/11/2024

TTE

0.875

18

15.75

10/14/2024

MDLZ

0.47

51

23.97

10/15/2024

ADC

0.25

43

10.75

10/15/2024

AQN

0.065

288

18.72

10/15/2024

AVB

1.7

5

8.5

10/15/2024

BANF

0.46

36

16.56

10/15/2024

BCE

0.73456

20

14.69

10/15/2024

CAH

0.5056

48

24.27

10/15/2024

CINF

0.81

29

23.49

10/15/2024

ECL

0.57

21

11.97

10/15/2024

FITB

0.37

129

47.73

10/15/2024

FRT

1.1

29

31.9

10/15/2024

IIPR

1.9

15

28.5

10/15/2024

LECO

0.71

22

15.62

10/15/2024

LEG

0.05

120

6

10/15/2024

MAIN

0.245

25

6.13

10/15/2024

O

0.2635

45

11.86

10/15/2024

POR

0.5

64

32

10/15/2024

SRE

0.62

42

26.04

10/15/2024

STAG

0.1233

91

11.22

10/15/2024

WPC

0.875

54

47.25

10/17/2024

DEO

2.5192

6

15.12

10/17/2024

VTR

0.45

20

9

10/18/2024

OZK

0.41

72

29.52

10/20/2024

XEL

0.5475

46

25.19

10/21/2024

MKC

0.42

38

15.96

10/22/2024

ERIE

1.275

15

19.13

10/22/2024

INGR

0.8

34

27.2

10/23/2024

CMCSA

0.31

23

7.13

10/23/2024

CSCO

0.4

60

24

10/23/2024

NTAP

0.52

42

21.84

10/24/2024

ORCL

0.4

37

14.8

10/25/2024

AMT

1.62

15

24.3

10/25/2024

DHR

0.27

14.664

3.96

10/25/2024

SYY

0.51

40

20.4

10/28/2024

CM

0.668

106

70.81

10/29/2024

BNS

0.78498

33

25.9

10/31/2024

CIM

0.37

28.333334

10.48

10/31/2024

JPM

1.25

24

30

10/31/2024

MGRC

0.475

35

16.63

10/31/2024

SYK

0.8

13

10.4

10/31/2024

TD

0.744

45

33.48

10/31/2024

WSO

2.7

15

40.5

Transactions

None

Sectors Diversification
The chart below illustrates the diversification of the MPDGI portfolio sectors and the profits/losses by sector.


Sector

Weight

Basic Materials

5.47%

Communication Services

1.41%

Consumer Cyclical

7.00%

Consumer Defensive

10.61%

Energy

4.01%

Financial Services

24.01%

Healthcare

7.60%

Industrials

16.63%

Real Estate

5.28%

Technology

9.06%

Utilities

8.91%

Grand Total

100.00%

Sectors Diversification – Detailed

Sectors

Weight

Total Cost

market value

Basic Materials

5.47%

41,962

48,132

Agricultural Inputs

0.61%

4,196

5,359

CTVA

0.12%

1,087

1,097

SMG

0.48%

3,109

4,262

Chemicals

0.08%

1,029

741

DOW

0.08%

1,029

741

Gold

0.20%

2,061

1,772

NEM

0.20%

2,061

1,772

Other Industrial Metals & Mining

0.24%

2,073

2,141

RIO

0.24%

2,073

2,141

Specialty Chemicals

3.81%

29,468

33,552

ALB

0.16%

3,283

1,421

APD

0.46%

3,513

4,037

DD

0.14%

1,027

1,245

ECL

0.59%

3,334

5,160

EMN

0.41%

3,258

3,573

LYB

0.47%

4,241

4,169

PPG

0.52%

4,232

4,607

SHW

0.61%

3,490

5,382

WLK

0.45%

3,089

3,958

Steel

0.52%

3,136

4,568

STLD

0.52%

3,136

4,568

Communication Services

1.41%

12,699

12,377

Advertising Agencies

0.66%

5,334

5,823

IPG

0.32%

3,112

2,793

OMC

0.34%

2,222

3,030

Telecom Services

0.74%

7,365

6,554

BCE

0.07%

1,052

645

CMCSA

0.11%

1,091

1,004

T

0.10%

1,079

902

VZ

0.45%

4,144

4,002

Consumer Cyclical

7.00%

61,060

61,670

Apparel Manufacturing

0.30%

4,209

2,630

VFC

0.30%

4,209

2,630

Apparel Retail

0.22%

1,113

1,922

TJX

0.22%

1,113

1,922

Footwear & Accessories

0.25%

3,332

2,237

NKE

0.25%

3,332

2,237

Furnishings, Fixtures & Appliances

0.50%

8,424

4,442

LEG

0.16%

4,177

1,440

WHR

0.34%

4,246

3,002

Home Improvement Retail

1.00%

6,669

8,782

HD

0.49%

3,288

4,331

LOW

0.51%

3,381

4,451

Personal Services

0.49%

7,446

4,336

MED

0.08%

4,285

662

SCI

0.42%

3,161

3,674

Recreational Vehicles

0.25%

3,214

2,167

PII

0.25%

3,214

2,167

Residential Construction

0.71%

3,118

6,253

DHI

0.71%

3,118

6,253

Restaurants

1.21%

9,598

10,652

MCD

0.40%

3,141

3,505

QSR

0.43%

3,229

3,825

SBUX

0.38%

3,228

3,322

Specialty Retail

2.07%

13,938

18,249

BBY

0.55%

4,198

4,883

GPC

0.27%

3,239

2,409

TSCO

0.45%

3,216

3,983

WSM

0.79%

3,285

6,975

Consumer Defensive

10.61%

91,931

93,464

Beverages—Non-Alcoholic

0.74%

6,294

6,486

KO

0.38%

3,075

3,331

PEP

0.36%

3,220

3,156

Beverages—Wineries & Distilleries

0.45%

4,454

3,998

DEO

0.08%

1,067

745

STZ

0.37%

3,386

3,253

Confectioners

0.68%

6,370

5,979

HSY

0.28%

3,216

2,486

MDLZ

0.40%

3,154

3,492

Discount Stores

1.15%

9,735

10,131

COST

0.60%

3,102

5,245

TGT

0.34%

3,381

3,001

WMT

0.21%

3,252

1,885

Farm Products

0.54%

6,242

4,790

ADM

0.24%

3,077

2,153

TSN

0.30%

3,165

2,637

Food Distribution

0.58%

6,176

5,081

SPTN

0.24%

3,062

2,083

SYY

0.34%

3,114

2,998

Grocery Stores

0.44%

3,148

3,904

KR

0.44%

3,148

3,904

Household & Personal Products

1.83%

14,021

16,101

CL

0.48%

3,238

4,217

CLX

0.41%

3,263

3,647

KMB

0.37%

3,257

3,220

PG

0.43%

3,247

3,799

UL

0.14%

1,016

1,218

Packaged Foods

2.87%

26,043

25,310

CAG

0.10%

1,013

868

FLO

0.29%

3,088

2,556

GIS

0.12%

1,020

1,020

HRL

0.24%

3,129

2,139

INGR

0.51%

3,117

4,514

K

0.40%

3,032

3,549

KHC

0.09%

1,054

837

LANC

0.37%

3,080

3,298

MKC

0.34%

3,153

2,973

NSRGY

0.11%

1,108

945

SJM

0.30%

3,249

2,611

Tobacco

1.33%

9,449

11,685

BTI

0.11%

1,076

944

MO

0.56%

4,155

4,901

PM

0.66%

4,218

5,839

Energy

4.01%

29,161

35,346

Oil & Gas E&P

0.46%

3,239

4,082

CNQ

0.46%

3,239

4,082

Oil & Gas Integrated

1.21%

9,376

10,613

BP

0.12%

1,041

1,028

CVX

0.35%

3,151

3,125

SU

0.14%

1,067

1,246

TTE

0.13%

934

1,126

XOM

0.46%

3,183

4,087

Oil & Gas Midstream

1.84%

13,216

16,246

ENB

0.22%

2,009

1,980

EPD

0.53%

4,062

4,672

KMI

0.66%

4,056

5,833

PBA

0.43%

3,088

3,761

Oil & Gas Refining & Marketing

0.50%

3,330

4,405

PSX

0.21%

1,180

1,827

VLO

0.13%

1,113

1,168

VVV

0.16%

1,037

1,410

Financial Services

24.01%

165,592

211,457

Asset Management

3.60%

26,085

31,732

AMP

0.70%

3,760

6,124

BEN

0.25%

3,115

2,222

BK

0.58%

3,106

5,124

BLK

0.67%

4,251

5,886

IVZ

0.10%

1,077

867

MAIN

0.15%

1,088

1,284

PFG

0.38%

3,225

3,378

STT

0.45%

3,186

3,990

TROW

0.32%

3,278

2,856

Banks – Diversified

0.34%

3,285

3,007

BMO

0.34%

3,285

3,007

Banks—Diversified

2.87%

21,041

25,268

BAC

0.41%

3,106

3,597

BNS

0.19%

2,114

1,699

C

0.15%

1,104

1,283

CM

0.63%

4,152

5,505

JPM

0.60%

3,224

5,326

RY

0.43%

3,184

3,748

TD

0.28%

3,073

2,487

WFC

0.18%

1,085

1,623

Banks—Regional

6.54%

49,706

57,547

BANF

0.44%

3,123

3,914

BOH

0.54%

4,155

4,767

CBSH

0.33%

3,079

2,938

CBU

0.34%

3,067

2,996

CFR

0.35%

3,125

3,056

CMA

0.09%

1,156

828

FITB

0.64%

4,092

5,635

HBAN

0.57%

4,046

5,051

MTB

0.44%

3,351

3,894

OZK

0.36%

3,005

3,150

PB

0.36%

3,060

3,148

SBSI

0.44%

4,129

3,856

SNV

0.16%

1,031

1,396

SRCE

0.43%

3,060

3,791

UMBF

0.52%

3,137

4,609

WTFC

0.51%

3,090

4,520

Capital Markets

0.61%

4,291

5,389

MS

0.48%

3,247

4,185

SCHW

0.14%

1,044

1,204

Credit Services

1.98%

13,912

17,445

AXP

0.21%

1,137

1,891

DFS

0.52%

3,188

4,601

MA

0.51%

3,219

4,496

V

0.49%

3,332

4,348

WU

0.24%

3,036

2,109

Financial Data & Stock Exchanges

0.50%

3,132

4,364

ICE

0.50%

3,132

4,364

Insurance Brokers

0.76%

3,293

6,733

ERIE

0.76%

3,293

6,733

Insurance—Diversified

0.65%

4,147

5,691

AIG

0.15%

1,081

1,290

ORI

0.50%

3,067

4,401

Insurance—Life

2.82%

16,610

24,819

AFL

0.60%

3,117

5,240

MET

0.28%

2,074

2,431

MFC

0.72%

4,089

6,368

PRU

0.61%

4,246

5,389

UNM

0.61%

3,084

5,391

Insurance—Property & Casualty

1.99%

12,770

17,507

ALL

0.51%

3,283

4,476

CB

0.51%

3,206

4,519

CINF

0.46%

3,163

4,084

TRV

0.50%

3,119

4,427

Insurance—Reinsurance

0.60%

3,180

5,277

RGA

0.60%

3,180

5,277

Insurance—Specialty

0.76%

4,140

6,679

FNF

0.76%

4,140

6,679

Healthcare

7.60%

60,120

66,948

Diagnostics & Research

0.36%

3,238

3,194

DHR

0.36%

3,238

3,194

Drug Manufacturers—General

2.79%

22,372

24,544

ABBV

0.53%

3,272

4,689

AMGN

0.51%

3,326

4,482

BMY

0.29%

3,094

2,510

GILD

0.46%

3,068

4,086

JNJ

0.38%

3,372

3,357

MRK

0.41%

3,160

3,581

PFE

0.21%

3,079

1,840

Healthcare Plans

0.77%

7,508

6,792

CVS

0.06%

1,043

565

ELV

0.32%

3,384

2,840

UNH

0.38%

3,082

3,387

Medical Devices

1.29%

9,758

11,383

ABT

0.41%

3,239

3,628

MDT

0.35%

3,169

3,124

SYK

0.53%

3,350

4,632

Medical Distribution

1.93%

9,963

16,986

CAH

0.59%

3,028

5,209

CAT

0.77%

3,439

6,772

MCK

0.57%

3,497

5,006

Medical Instruments & Supplies

0.34%

3,161

3,037

BDX

0.34%

3,161

3,037

Pharmaceutical Retailers

0.11%

4,120

1,012

WBA

0.11%

4,120

1,012

Industrials

16.63%

114,536

146,418

Aerospace & Defense

2.75%

20,818

24,208

GD

0.50%

3,368

4,374

HII

0.32%

3,265

2,774

LHX

0.45%

3,481

3,960

LMT

0.56%

3,726

4,914

NOC

0.46%

3,771

4,072

RTX

0.47%

3,207

4,114

Conglomerates

1.10%

9,594

9,689

HON

0.26%

2,139

2,262

MDU

0.35%

3,090

3,058

MMM

0.50%

4,364

4,368

Farm & Heavy Construction Machinery

0.14%

1,237

1,214

DE

0.14%

1,237

1,214

Industrial Distribution

2.22%

11,907

19,547

FAST

0.54%

3,086

4,769

GWW

0.76%

3,520

6,655

MSM

0.12%

1,103

1,028

WSO

0.81%

4,198

7,095

Integrated Freight & Logistics

0.79%

7,468

6,946

CHRW

0.37%

3,100

3,297

FDX

0.16%

1,057

1,369

UPS

0.26%

3,311

2,279

Railroads

0.89%

7,563

7,850

CNI

0.10%

1,037

863

NSC

0.40%

3,230

3,506

UNP

0.40%

3,296

3,481

Rental & Leasing Services

0.45%

3,061

3,980

MGRC

0.45%

3,061

3,980

Specialty Industrial Machinery

5.16%

30,295

45,468

AOS

0.41%

3,131

3,605

CMI

0.52%

3,227

4,606

CR

0.21%

1,070

1,887

DCI

0.45%

3,039

3,951

DOV

0.47%

3,239

4,165

EMR

0.45%

3,097

4,006

ETN

0.87%

3,325

7,626

ITW

0.47%

3,410

4,178

PH

0.94%

3,627

8,243

ROK

0.36%

3,131

3,201

Staffing & Employment Services

1.23%

9,529

10,822

ADP

0.49%

3,288

4,339

PAYX

0.41%

3,117

3,623

RHI

0.32%

3,124

2,861

Tools & Accessories

1.38%

9,714

12,162

LECO

0.48%

3,228

4,236

SNA

0.56%

3,361

4,952

SWK

0.34%

3,125

2,974

Waste Management

0.51%

3,350

4,533

WM

0.51%

3,350

4,533

Real Estate

5.28%

47,591

46,498

REIT—Diversified

0.34%

4,191

3,009

WPC

0.34%

4,191

3,009

REIT—Healthcare Facilities

0.49%

6,288

4,282

MPW

0.17%

4,114

1,486

OHI

0.17%

1,068

1,486

VTR

0.15%

1,106

1,310

REIT—Industrial

0.72%

6,399

6,318

IIPR

0.22%

2,117

1,938

PSA

0.11%

1,189

987

STAG

0.39%

3,093

3,392

REIT—Mortgage

0.05%

1,004

428

CIM

0.05%

1,004

428

REIT—Residential

0.66%

5,346

5,783

AVB

0.13%

1,030

1,108

EQR

0.11%

1,046

985

ESS

0.42%

3,270

3,690

REIT—Retail

1.54%

13,567

13,598

ADC

0.36%

3,115

3,193

FRT

0.37%

3,114

3,214

NNN

0.34%

3,105

2,997

O

0.30%

3,114

2,672

SPG

0.17%

1,119

1,522

REIT—Specialty

1.49%

10,797

13,080

AMT

0.36%

3,238

3,203

CCI

0.24%

3,232

2,150

DLR

0.53%

3,256

4,634

IRM

0.35%

1,072

3,093

Technology

9.06%

52,628

79,747

Communication Equipment

0.37%

3,031

3,287

CSCO

0.37%

3,031

3,287

Computer Hardware

0.96%

6,160

8,431

HPQ

0.41%

3,063

3,588

NTAP

0.55%

3,096

4,843

Consumer Electronics

0.49%

3,114

4,292

AAPL

0.49%

3,114

4,292

Electronic Components

1.12%

6,181

9,865

APH

0.64%

3,127

5,630

GLW

0.48%

3,053

4,236

Information Technology Services

1.46%

8,698

12,840

ACN

0.16%

1,150

1,379

BR

0.53%

3,233

4,639

IBM

0.77%

4,315

6,822

Semiconductor Equipment & Materials

0.83%

4,866

7,293

ASML

0.15%

1,045

1,345

LRCX

0.68%

3,821

5,948

Semiconductors

2.53%

13,936

22,246

AVGO

1.16%

3,330

10,186

INTC

0.21%

3,065

1,872

QCOM

0.48%

3,278

4,232

TSM

0.24%

1,048

2,096

TXN

0.44%

3,214

3,860

Software—Infrastructure

1.31%

6,643

11,493

MSFT

0.60%

3,537

5,283

ORCL

0.71%

3,106

6,210

Utilities

8.91%

86,940

78,486

Utilities—Diversified

1.44%

15,753

12,722

AVA

0.31%

3,100

2,774

BIP

0.32%

3,062

2,825

BKH

0.28%

3,133

2,486

NWE

0.33%

3,105

2,887

SRE

0.20%

3,353

1,751

Utilities—Regulated Electric

4.72%

39,123

41,535

AEP

0.36%

3,160

3,160

D

0.09%

1,101

774

DUK

0.39%

3,252

3,458

ED

0.40%

3,174

3,559

ES

0.28%

3,168

2,436

EXC

0.09%

1,031

825

FE

0.11%

1,082

962

FTS

0.35%

3,245

3,113

NEE

0.39%

3,172

3,408

PEG

0.51%

3,152

4,471

PNW

0.44%

3,170

3,864

POR

0.34%

3,086

3,034

PPL

0.15%

1,066

1,302

SO

0.47%

3,160

4,096

XEL

0.35%

3,105

3,073

Utilities—Regulated Gas

1.39%

13,421

12,205

ATO

0.47%

3,216

4,163

NJR

0.34%

3,052

2,983

NWN

0.26%

3,074

2,333

UGI

0.31%

4,079

2,726

Utilities—Regulated Water

0.65%

6,272

5,714

AWR

0.35%

3,191

3,051

WTRG

0.30%

3,081

2,663

Utilities—Renewable

0.72%

12,370

6,310

AQN

0.16%

3,078

1,394

AY

0.36%

4,112

3,133

BEP

0.07%

1,002

642

NEP

0.13%

4,179

1,142

Grand Total

100.00%

764,222

880,544