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MDDVX

BlackRock Equity Dividend Fund
1W: -1.9% 1M: -3.5% 3M: -7.7% YTD: +4.3% 1Y: +10.3% 3Y: +33.7% 5Y: +10.7%
$21.89
+0.11 (+0.51%)
 
Weekly Expected Move ±1.2%
$21 $22 $22 $22 $22
ETF NASDAQ · AUM $19.8B
Key Statistics
AUM$19.8B
Holdings59
Top 10 Wt30.2%
Volume0
Avg Volume0
Beta0.69
Portfolio Fundamentals
P/E355.3
P/B131.5
Div Yield2.22%
ROE40.1%
% Profitable49%
Inception1994-10-21
Sector Allocation
Other 34.1%
Healthcare 13.3%
Consumer Cyclical 11.6%
Technology 9.0%
Industrials 8.3%
Consumer Defensive 6.3%
+6 more
Top 10 Holdings
# Name Ticker Weight % Market Value Shares
1 MICROSOFT — 8.18% $1.7B 3,289,653
2 AMAZON.COM INC AMZN.TO 7.12% $1.5B 5,596,295
3 APPLE AAPL 5.17% $1.1B 3,328,376
4 MERCK & CO INC MRK 2.81% $572.6M 3,875,290
5 CVS HEALTH CVS 2.79% $569.2M 6,060,710
6 CHEVRON — 2.50% $509.3M 2,470,735
7 JOHNSON & JOHNSON JNJ 2.36% $482.7M 1,815,562
8 WELLS FARGO — 2.34% $477.4M 5,526,447
9 CITIGROUP — 2.33% $476.5M 3,620,032
10 UNITEDHEALTH GROUP INC UNH.TO 2.15% $439.8M 1,129,469

Recent Holding Changes

Date Holding Change Details
2026-09-18 EPD Changed 3905752 → 3884647
2026-09-18 DG Changed 1644855 → 1635967
2026-09-18 COST.BA Changed 51749 → 51469
2026-09-18 HAS Changed 2258219 → 2011447
2026-09-18 INTC Changed 2111301 → 2099893

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For informational purposes only. Not investment advice. Data sourced from SEC filings. Privacy Terms