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NDVG

Nuveen Dividend Growth
1W: +0.0% 1M: -5.1% 3M: -2.0% YTD: -2.3% 1Y: +8.8% 3Y: +48.5%
$34.61
+0.00 (+0.00%)
After Hours: $34.69 (+0.08, +0.22%)
ETF AMEX · AUM $14.3M
ETF-Level Metrics
AUM$14M
Holdings42
Top 10 Wt41.3%
Beta0.79
% Profitable98%
Coverage97%
Portfolio Valuation
P/E11.1
P/B3.6
P/S3.3
EV/EBITDA17.0
P/FCF14.8
PEG1.20
Profitability & Returns
Gross Margin52.3%
Net Margin29.8%
ROE35.9%
ROA13.7%
ROIC38.9%
Div Yield1.87%
Leverage & Liquidity
Debt/Equity0.43
Debt/Assets0.17
Net Debt/EBITDA-0.3x
Interest Cov15.6x
Current Ratio2.07
Quick Ratio1.93
Growth (YoY)
Revenue+11.1%
Net Income+16.7%
EPS+17.6%
FCF+22.7%
EBITDA+14.4%
Rev CAGR 3Y+8.5%
Quality Scores
Piotroski F7.0
Altman Z5.25
IS Quality75.5
IS Overall62.6
IS Value45.2
Median P/E27.9

Sector Breakdown

12 sectors
Sector # Holdings Total Weight % Avg P/E
Technology 8 30.9% 33.3
Financial Services 5 14.2% 22.3
Healthcare 6 11.7% 29.5
Consumer Cyclical 5 9.1% 37.1
Industrials 5 8.3% 28.1
Consumer Defensive 4 7.2% 30.7
Utilities 2 4.0% 25.7
Real Estate 2 4.0% 33.9
Energy 2 3.7% 28.8
Basic Materials 1 2.8% 33.1
Other 1 2.6%
Communication Services 1 1.5% 5.3

Smart Money Overlap

11 holdings with signals
Symbol Company Weight % Signals Badge Insider Buys Congress Since Signal
AVGO Broadcom Inc. 5.03% 4 Bullish 1 10 -0.9%
JPM JPMorgan Chase & Co. 3.92% 4 Bullish 14 9 -3.5%
MA Mastercard Incorporated 3.01% 4 Bullish 13 3 -2.8%
UNH UnitedHealth Group Incorporated 2.87% 4 Bullish 7 8 -4.1%
WMT Walmart Inc. 2.80% 4 Bullish 21 3 +2.2%
LIN Linde plc 2.80% 4 Bullish 10 3 +2.1%
MCD McDonald's Corporation 2.32% 4 Bullish 11 1 -4.3%
ETN Eaton Corporation plc 2.10% 4 Bullish 10 12 +0.7%
SPGI S&P Global Inc. 2.06% 4 Bullish 3 1 +4.8%
HON Honeywell International Inc. 1.69% 4 Bullish 11 3 -5.8%
UNP Union Pacific Corporation 1.41% 4 Bullish 37 3 -3.5%
Showing 42 of 42 holdings · Page 1 of 1
# Name Ticker Weight % ▼ Mkt Value Shares P/E Mkt Cap Sector
1 APPLE INC. AAPL 7.35% $883,348 3,743 31.6 $3.7T Technology
2 MICROSOFT CORP MSFT 7.21% $867,060 2,089 23.1 $2.8T Technology
3 BROADCOM INC AVGO 5.03% $604,731 2,733 60.5 $1.5T Technology
4 JPMORGAN CHASE & CO JPM 3.92% $470,983 1,762 14.4 $796.8B Financial Services
5 AMERICAN EXPRESS CO. AXP 3.16% $380,305 1,198 19.0 $206.8B Financial Services
6 MASTERCARD, INC - A MA 3.01% $362,140 652 30.1 $448.7B Financial Services
7 MOTOROLA SOLUTIONS, INC. MSI 3.00% $360,384 768 34.8 $75.1B Technology
8 ACCENTURE PLC ACN 2.92% $351,074 912 15.4 $118.3B Technology
9 UNITEDHEALTH GROUP, INC. UNH 2.87% $345,024 636 20.4 $245.6B Healthcare
10 WALMART INC. WMT 2.80% $337,180 3,435 44.8 $981.1B Consumer Defensive
11 NEW LINDE PLC LIN 2.80% $336,821 755 33.1 $228.1B Basic Materials
12 TAIWAN SEMICONDUCTOR MANU TSM 2.57% $309,166 1,477 27.9 $1.8T Technology
13 U.S. DOLLARS Private 2.56% $308,382 308,382
14 ABBOTT LABORATORIES ABT 2.34% $281,702 2,202 28.1 $182.2B Healthcare
15 MCDONALD'S CORP. MCD 2.32% $279,173 967 26.0 $222.4B Consumer Cyclical
16 ABBVIE INC. ABBV 2.24% $269,965 1,468 87.3 $366.3B Healthcare
17 NEXTERA ENERGY INC NEE 2.19% $263,198 3,678 27.9 $189.9B Utilities
18 PROLOGIS, INC. PLD 2.14% $256,864 2,154 36.8 $121.2B Real Estate
19 TJX COMPANIES, INC. TJX 2.13% $256,693 2,057 32.7 $177.8B Consumer Cyclical
20 EATON CORP PLC ETN 2.10% $252,665 774 35.6 $145.5B Industrials
21 MARSH & MCLENNAN COS, INC MMC 2.07% $249,412 1,150 20.4 $89.8B Financial Services
22 S&P GLOBAL INC SPGI 2.06% $247,148 474 27.6 $123.7B Financial Services
23 LOWE'S COS INC LOW 2.03% $244,698 941 19.8 $132.5B Consumer Cyclical
24 PHILIP MORRIS INTL PM 2.00% $240,219 1,845 22.7 $257.6B Consumer Defensive
25 AMPHENOL CORP CLASS A APH 1.96% $235,485 3,327 36.9 $158.2B Technology
26 ZOETIS INC ZTS 1.91% $229,177 1,341 19.1 $51.4B Healthcare
27 EXXON MOBIL CORP. XOM 1.90% $228,403 2,138 24.5 $680.3B Energy
28 TRANE TECHNOLOGIES PLC TT 1.83% $220,189 607 33.2 $96.2B Industrials
29 WEC ENERGY GROUP WEC 1.83% $219,861 2,215 23.5 $36.7B Utilities
30 AMERICAN TOWER CORP. REIT AMT 1.82% $219,351 1,186 31.0 $78.3B Real Estate
31 CHEVRON CORP. CVX 1.79% $215,729 1,446 33.2 $410.2B Energy
32 HONEYWELL INTERNATIONAL HON 1.69% $202,914 907 27.9 $143.5B Industrials
33 COMCAST CORP NEW CL A CMCSA 1.52% $182,370 5,418 5.3 $104.7B Communication Services
34 SMURFIT WESTROCK PLC SW 1.45% $174,878 3,294 30.0 $21.3B Consumer Cyclical
35 ELEVANCE HEALTH INC ELV 1.41% $170,151 430 11.6 $65.3B Healthcare
36 UNION PAC CORP. UNP 1.41% $168,993 682 20.0 $143.2B Industrials
37 NORTHROP GRUMMAN CORP. NOC 1.25% $150,566 309 23.6 $98.1B Industrials
38 PEPSICO, INC. PEP 1.22% $146,621 973 25.2 $207.5B Consumer Defensive
39 STARBUCKS CORP SBUX 1.20% $144,291 1,340 77.1 $105.6B Consumer Cyclical
40 MONDELEZ INTL MDLZ 1.18% $142,423 2,456 30.2 $74.1B Consumer Defensive
41 NOVO NORDISK A/S-ADR NVO 0.92% $110,461 1,308 10.2 $161.5B Healthcare
42 TEXAS INSTRUMENTS, INC. TXN 0.83% $99,320 538 35.8 $179.2B Technology

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