Wall Street Experts

Vanguard Dividend Appreciation Index Fund VIG

Cena: 192.5598 -0.07264425
AMEX 05-09 17:38

Doradca stosuje podejście inwestycyjne indeksujące mające na celu śledzenie wyników indeksu, które składają się z akcji zwykłych spółek, które z czasem odnotowują rosnące dywidendy. Doradca próbuje powtórzyć wskaźnik docelowy, inwestując wszystkie lub zasadniczo wszystkie aktywa w akcje składające się z indeksu, utrzymując każdy zapas w przybliżeniu takiej samej proporcji jak jego ważenie w indeksie.
Wartość aktywów (mln USD): 105 700
Liczba spółek: 337
Stopa dywidendy: 1.77 %
Opłata za zarządzanie:: 0.05 %
Klasa aktywów: Domestic Stock - General

ISIN: US9219088443

Wystawca ETF: Vanguard

https://investor.vanguard.com/investment-products/etfs/profile/VIG



NOTOWANIA
ZMIANA CEN

Nazwa Symbol Klasa_aktywów Wartość_aktywów 5D 1M 3M 6M 2024 1R 3L 5L 10L

STRUKTURA SEKTOROWA PORTFELA ETF







Sektor Udział %
Technologia Elektroniczna 16.2
Finanse 12.3
Usługi Technologiczne 12.1
Technologie Medyczne 9.3
Dobra Nietrwałego Użytku 8.1
Handel Detaliczny 7.6
Usługi Komercyjne 6.6
Usługi Zdrowotne 4.5
Produkcja Przemysłowa 4.1
Przemysł Procesowy 3.9
Usługi Konsumenckie 3.8
Minerały Energetyczne 2.7

STRUKTURA PORTFELA ETF
Aktualizacja danych: 2025-04-06 12:04:09
Nazwa firmy Symbol Wartość Udział % w portfelu Ilość akcji
Apple Inc. AAPL 5 168 538 457 4.9 21 371 727
Broadcom Inc. AVGO 5 120 780 463 4.8 25 677 082
JPMorgan Chase & Co. JPM 4 106 543 879 3.9 15 516 886
Microsoft Corp. MSFT 3 627 444 516 3.4 9 137 370
Visa Inc. Class A V 3 320 357 603 3.1 9 154 304
Exxon Mobil Corp. XOM 2 720 390 855 2.6 24 435 380
Mastercard Inc. Class A MA 2 613 316 307 2.5 4 534 567
Costco Wholesale Corp. COST 2 555 041 028 2.4 2 436 598
UnitedHealth Group Inc. UNH 2 409 077 863 2.3 5 072 170
Walmart Inc. WMT 2 358 555 853 2.2 23 918 019
Procter & Gamble Co. PG 2 260 199 187 2.1 13 001 606
Johnson & Johnson JNJ 2 189 782 230 2.1 13 269 799
Home Depot Inc. HD 2 181 712 860 2.1 5 501 041
AbbVie Inc. ABBV 2 035 872 350 1.9 9 739 618
Bank of America Corp. BAC 1 696 111 568 1.6 36 792 008
Coca-Cola Co. KO 1 521 655 584 1.4 21 368 566
Oracle Corp. ORCL 1 465 883 025 1.4 8 827 430
Cisco Systems Inc. CSCO 1 403 992 523 1.3 21 899 743
Abbott Laboratories ABT 1 318 793 749 1.2 9 555 784
Merck & Co. Inc. MRK 1 286 162 599 1.2 13 942 142
International Business Machines Corp. IBM 1 283 822 495 1.2 5 085 654
Linde plc LIN 1 225 702 667 1.2 2 624 350
McDonald's Corp. MCD 1 217 814 392 1.1 3 949 711
Accenture plc Class A ACN 1 201 385 792 1.1 3 447 305
PepsiCo Inc. PEP 1 160 889 744 1.1 7 564 278
Goldman Sachs Group Inc. GS 1 076 650 687 1.0 1 730 143
Texas Instruments Inc. TXN 984 221 798 0.9 5 021 796
QUALCOMM Inc. QCOM 959 817 072 0.9 6 106 872
Intuit Inc. INTU 949 376 606 0.9 1 546 619
S&P Global Inc. SPGI 941 860 554 0.9 1 764 643
Caterpillar Inc. CAT 917 117 566 0.9 2 666 427
Amgen Inc. AMGN 912 957 990 0.9 2 963 572
Union Pacific Corp. UNP 824 033 655 0.8 3 340 361
NextEra Energy Inc. NEE 795 292 395 0.7 11 333 795
Blackrock Inc. BLK 784 563 827 0.7 802 393
Lowe's Cos. Inc. LOW 780 136 593 0.7 3 137 615
Comcast Corp. Class A CMCSA 764 976 633 0.7 21 320 419
Honeywell International Inc. HON 762 945 601 0.7 3 583 755
Danaher Corp. DHR 736 092 848 0.7 3 542 996
Starbucks Corp. SBUX 730 147 886 0.7 6 304 705
Stryker Corp. SYK 730 199 942 0.7 1 890 779
Automatic Data Processing Inc. ADP 708 707 444 0.7 2 248 580
Medtronic plc MDT 650 877 888 0.6 7 073 222
Marsh & McLennan Cos. Inc. MMC 645 216 870 0.6 2 712 819
Eaton Corp. plc ETN 638 898 184 0.6 2 178 161
Analog Devices Inc. ADI 632 694 677 0.6 2 750 129
Chubb Ltd. CB 593 805 251 0.6 2 080 024
Intercontinental Exchange Inc. ICE 547 963 734 0.5 3 163 215
Lockheed Martin Corp. LMT 537 655 759 0.5 1 193 809
KLA Corp. KLAC 525 257 528 0.5 741 010
NIKE Inc. Class B NKE 524 140 301 0.5 6 598 770
Anthem Inc. ELV 507 299 556 0.5 1 278 219
CME Group Inc. CME 504 029 853 0.5 1 986 168
Aon plc Class A AON 487 664 903 0.5 1 191 985
Mondelez International Inc. Class A MDLZ 478 282 721 0.5 7 446 407
Waste Management Inc. WM 468 610 814 0.4 2 013 106
Arthur J Gallagher & Co. AJG 463 067 545 0.4 1 371 077
Sherwin-Williams Co. SHW 462 614 805 0.4 1 276 989
McKesson Corp. MCK 453 592 197 0.4 708 450
Amphenol Corp. Class A APH 441 390 501 0.4 6 627 485
Moody's Corp. MCO 432 808 869 0.4 858 850
PNC Financial Services Group Inc. PNC 420 015 576 0.4 2 188 493
Zoetis Inc. ZTS 415 854 301 0.4 2 486 572
Colgate-Palmolive Co. CL 410 561 120 0.4 4 503 248
Motorola Solutions Inc. MSI 405 506 892 0.4 921 146
Cintas Corp. CTAS 393 919 660 0.4 1 898 408
Illinois Tool Works Inc. ITW 393 625 593 0.4 1 491 119
Air Products & Chemicals Inc. APD 387 100 383 0.4 1 224 420
Emerson Electric Co. EMR 381 111 633 0.4 3 133 884
Ecolab Inc. ECL 373 627 989 0.4 1 388 900
Becton Dickinson and Co. BDX 360 796 128 0.3 1 599 770
Bank of New York Mellon Corp. BK 361 021 987 0.3 4 058 707
General Dynamics Corp. GD 358 420 707 0.3 1 418 926
Northrop Grumman Corp. NOC 350 288 892 0.3 758 628
Roper Technologies Inc. ROP 345 434 824 0.3 590 992
CSX Corp. CSX 340 189 155 0.3 10 627 590
Travelers Cos. Inc. TRV 323 697 204 0.3 1 252 262
Target Corp. TGT 315 400 012 0.3 2 538 635
Aflac Inc. AFL 304 727 588 0.3 2 783 663
Phillips 66 PSX 302 011 826 0.3 2 328 721
Allstate Corp. ALL 289 739 750 0.3 1 454 882
Ameriprise Financial Inc. AMP 290 144 149 0.3 540 004
MetLife Inc. MET 279 795 693 0.3 3 246 643
Cummins Inc. CMI 278 240 253 0.3 755 718
Discover Financial Services DFS 270 076 205 0.3 1 383 658
Paychex Inc. PAYX 268 795 640 0.3 1 772 240
Republic Services Inc. Class A RSG 265 925 774 0.2 1 121 955
TE Connectivity plc TEL 255 579 360 0.2 1 659 283
WW Grainger Inc. GWW 249 413 181 0.2 244 233
Sempra Energy SRE 249 826 178 0.2 3 490 655
AmerisourceBergen Corp. Class A COR 246 756 030 0.2 973 243
Fastenal Co. FAST 238 721 028 0.2 3 152 265
Xcel Energy Inc. XEL 228 175 158 0.2 3 164 704
L3Harris Technologies Inc. LHX 215 441 630 0.2 1 045 275
Corning Inc. GLW 212 988 103 0.2 4 247 021
Sysco Corp. SYY 207 127 356 0.2 2 741 956
DR Horton Inc. DHI 205 643 211 0.2 1 621 664
Hartford Financial Services Group Inc. HIG 190 391 294 0.2 1 609 666
Nasdaq Inc. NDAQ 188 799 657 0.2 2 280 740
ResMed Inc. RMD 188 936 828 0.2 809 082
Humana Inc. HUM 180 757 381 0.2 668 432
Vulcan Materials Co. VMC 179 961 056 0.2 727 674
Nucor Corp. NUE 177 836 690 0.2 1 293 640
Rockwell Automation Inc. ROK 178 797 680 0.2 622 663
Xylem Inc./NY XYL 175 223 751 0.2 1 338 710
Cardinal Health Inc. CAH 175 010 088 0.2 1 351 638
Microchip Technology Inc. MCHP 174 411 833 0.2 2 963 164
Kroger Co. KR 172 927 833 0.2 2 667 816
HP Inc. HPQ 163 520 859 0.2 5 297 080
State Street Corp. STT 163 835 477 0.2 1 651 068
Tractor Supply Co. TSCO 162 960 141 0.2 2 944 176
Fifth Third Bancorp FITB 160 637 038 0.2 3 695 354
Raymond James Financial Inc. RJF 155 785 789 0.1 1 007 214
Broadridge Financial Solutions Inc. BR 155 217 350 0.1 643 468
Brown & Brown Inc. BRO 155 040 955 0.1 1 307 921
DTE Energy Co. DTE 152 353 021 0.1 1 139 514
Dover Corp. DOV 150 222 812 0.1 755 762
Church & Dwight Co. Inc. CHD 150 128 451 0.1 1 350 076
Texas Pacific Land Corp. TPL 148 306 887 0.1 103 860
American Water Works Co. Inc. AWK 145 984 870 0.1 1 073 655
PPG Industries Inc. PPG 144 736 145 0.1 1 278 362
Hershey Co. HSY 140 627 217 0.1 814 239
Veralto Corp. VLTO 135 922 401 0.1 1 362 494
Williams-Sonoma Inc. WSM 135 487 416 0.1 696 307
CDW Corp./DE CDW 130 868 298 0.1 734 390
Atmos Energy Corp. ATO 128 092 090 0.1 841 991
Cincinnati Financial Corp. CINF 127 231 300 0.1 860 776
Archer-Daniels-Midland Co. ADM 124 371 905 0.1 2 634 998
Cboe Global Markets Inc. CBOE 121 626 751 0.1 576 977
CMS Energy Corp. CMS 119 226 658 0.1 1 632 124
STERIS plc STE 119 259 679 0.1 543 919
McCormick & Co. Inc./MD MKC 114 752 890 0.1 1 389 092
Hubbell Inc. Class B HUBB 109 910 376 0.1 295 784
Quest Diagnostics Inc. DGX 107 746 438 0.1 623 172
Clorox Co. CLX 106 618 413 0.1 681 747
Lennox International Inc. LII 106 052 267 0.1 176 445
Watsco Inc. WSO 104 789 687 0.1 207 780
WR Berkley Corp. WRB 105 171 391 0.1 1 667 270
Packaging Corp. of America PKG 105 488 073 0.1 495 040
Steel Dynamics Inc. STLD 105 328 126 0.1 779 804
RB Global Inc. RBA 104 064 355 0.1 1 016 452
Principal Financial Group Inc. PFG 103 258 708 0.1 1 159 689
Snap-on Inc. SNA 98 743 809 0.1 289 427
FactSet Research Systems Inc. FDS 96 433 475 0.1 208 848
Tyson Foods Inc. Class A TSN 96 265 278 0.1 1 569 372
Genuine Parts Co. GPC 95 684 554 0.1 766 212
Domino's Pizza Inc. DPZ 93 203 076 0.1 190 323
West Pharmaceutical Services Inc. WST 92 733 864 0.1 399 130
Fidelity National Financial Inc. FNF 92 443 290 0.1 1 432 563
Alliant Energy Corp. LNT 91 250 905 0.1 1 414 085
Masco Corp. MAS 91 302 200 0.1 1 214 448
Expeditors International of Washington Inc. EXPD 90 544 178 0.1 771 508
Reliance Steel & Aluminum Co. RS 88 704 637 0.1 298 508
RPM International Inc. RPM 87 828 470 0.1 708 923
HEICO Corp. Class A HEI.A 87 408 602 0.1 410 061
Pentair plc PNR 85 769 005 0.1 910 499
Casey's General Stores Inc. CASY 85 091 160 0.1 205 430
Carlisle Cos. Inc. CSL 85 086 408 0.1 249 696
Avery Dennison Corp. AVY 83 205 296 0.1 442 652
Graco Inc. GGG 80 981 281 0.1 930 071
IDEX Corp. IEX 81 168 337 0.1 417 683
Unum Group UNM 76 860 341 0.1 934 018
Booz Allen Hamilton Holding Corp. Class A BAH 75 049 965 0.1 707 618
Pool Corp. POOL 72 782 556 0.1 209 748
Reinsurance Group of America Inc. Class A RGA 73 572 010 0.1 362 978
Stanley Black & Decker Inc. SWK 73 505 763 0.1 849 483
Comfort Systems USA Inc. FIX 71 243 926 0.1 196 086
JB Hunt Transport Services Inc. JBHT 70 701 157 0.1 438 620
Jack Henry & Associates Inc. JKHY 69 762 002 0.1 401 878
RenaissanceRe Holdings Ltd. RNR 67 767 560 0.1 285 193
CH Robinson Worldwide Inc. CHRW 66 209 596 0.1 651 541
Lincoln Electric Holdings Inc. LECO 64 228 297 0.1 310 747
JM Smucker Co. SJM 64 808 270 0.1 586 341
Service Corp. International/US SCI 64 583 811 0.1 797 331
ITT Inc. ITT 63 383 992 0.1 448 768
Nordson Corp. NDSN 62 804 580 0.1 298 657
Eastman Chemical Co. EMN 63 164 816 0.1 645 527
Allegion plc ALLE 61 651 575 0.1 478 996
Assurant Inc. AIZ 59 500 404 0.1 286 211
Globe Life Inc. GL 58 950 264 0.1 462 609
Erie Indemnity Co. Class A ERIE 58 840 789 0.1 137 456
HEICO Corp. HEI 58 439 226 0.1 220 792
Amdocs Ltd. DOX 54 911 572 0.1 629 359
SouthState Corp. SSB 54 524 232 0.1 540 915
Applied Industrial Technologies Inc. AIT 53 252 760 0.0 212 518
AptarGroup Inc. ATR 53 601 905 0.0 365 260
Primerica Inc. PRI 53 331 290 0.0 183 901
Royal Gold Inc. RGLD 53 206 944 0.0 361 952
Essential Utilities Inc. WTRG 52 861 665 0.0 1 391 829
Lithia Motors Inc. Class A LAD 50 564 480 0.0 146 802
Chemed Corp. CHE 49 605 052 0.0 82 565
Old Republic International Corp. ORI 49 501 177 0.0 1 285 411
Albemarle Corp. ALB 49 884 396 0.0 647 597
American Financial Group Inc./OH AFG 50 307 300 0.0 398 379
Cullen/Frost Bankers Inc. CFR 48 334 180 0.0 352 727
Churchill Downs Inc. CHDN 48 010 749 0.0 405 154
Regal Beloit Corp. RRX 47 257 138 0.0 365 202
Evercore Inc. Class A EVR 47 194 282 0.0 195 179
Ingredion Inc. INGR 46 910 279 0.0 359 163
Morningstar Inc. MORN 46 760 279 0.0 149 051
Wintrust Financial Corp. WTFC 45 676 133 0.0 366 965
Hormel Foods Corp. HRL 45 823 088 0.0 1 600 527
Donaldson Co. Inc. DCI 45 778 826 0.0 662 597
AES Corp./VA AES 45 410 605 0.0 3 918 085
Toro Co. TTC 45 100 879 0.0 562 285
AO Smith Corp. AOS 43 616 663 0.0 656 087
Commerce Bancshares Inc./MO CBSH 44 010 423 0.0 676 563
SEI Investments Co. SEIC 43 352 518 0.0 541 568
Zions Bancorp NA ZION 44 026 009 0.0 814 693
UMB Financial Corp. UMBF 41 357 200 0.0 374 850
Prosperity Bancshares Inc. PB 40 266 300 0.0 524 574
MarketAxess Holdings Inc. MKTX 40 062 147 0.0 207 802
Ensign Group Inc. ENSG 40 693 744 0.0 315 089
Axis Capital Holdings Ltd. AXS 40 624 399 0.0 419 327
Huntington Ingalls Industries Inc. HII 37 972 159 0.0 216 267
National Fuel Gas Co. NFG 37 718 289 0.0 501 573
Ryder System Inc. R 38 359 831 0.0 233 233
Simpson Manufacturing Co. Inc. SSD 38 164 473 0.0 232 144
First American Financial Corp. FAF 37 335 765 0.0 568 363
Oshkosh Corp. OSK 36 658 591 0.0 358 344
UFP Industries Inc. UFPI 35 772 347 0.0 334 321
RLI Corp. RLI 34 987 855 0.0 459 822
MSA Safety Inc. MSA 35 442 850 0.0 216 511
IDACORP Inc. IDA 34 600 571 0.0 293 449
Brown-Forman Corp. Class B BF-B 33 610 060 0.0 1 015 103
Badger Meter Inc. BMI 34 087 341 0.0 162 066
Robert Half International Inc. RHI 33 592 546 0.0 568 498
Hanover Insurance Group Inc. THG 33 811 665 0.0 198 274
AGCO Corp. AGCO 33 089 073 0.0 341 230
Cadence Bank CADE 33 398 155 0.0 1 007 182
GATX Corp. GATX 32 693 021 0.0 195 708
Watts Water Technologies Inc. Class A WTS 32 346 647 0.0 150 744
Littelfuse Inc. LFUS 31 712 725 0.0 136 628
Home BancShares Inc./AR HOMB 30 528 184 0.0 1 019 305
Balchem Corp. BCPC 31 139 709 0.0 178 933
Selective Insurance Group Inc. SIGI 28 778 782 0.0 334 462
Thor Industries Inc. THO 29 054 678 0.0 292 330
Timken Co. TKR 28 580 931 0.0 352 851
Air Lease Corp. Class A AL 27 328 057 0.0 570 285
Bank OZK OZK 27 888 432 0.0 580 888
Matson Inc. MATX 26 358 326 0.0 182 955
New Jersey Resources Corp. NJR 26 195 157 0.0 541 446
First Financial Bankshares Inc. FFIN 26 653 526 0.0 707 741
Cabot Corp. CBT 25 864 586 0.0 300 751
Sonoco Products Co. SON 25 988 496 0.0 543 465
Avnet Inc. AVT 24 216 443 0.0 479 154
CNO Financial Group Inc. CNO 24 321 362 0.0 583 386
Kadant Inc. KAI 24 299 632 0.0 64 889
Silgan Holdings Inc. SLGN 24 394 748 0.0 449 176
Assured Guaranty Ltd. AGO 23 026 650 0.0 263 674
Exponent Inc. EXPO 23 637 325 0.0 279 203
Franklin Electric Co. Inc. FELE 22 029 566 0.0 215 659
Perrigo Co. plc PRGO 21 814 554 0.0 752 226
Brunswick Corp./DE BC 22 108 934 0.0 363 335
Westlake Chemical Corp. WLK 20 739 227 0.0 184 677
Avient Corp. AVNT 21 638 326 0.0 505 923
Flowers Foods Inc. FLO 20 205 449 0.0 1 078 199
Lancaster Colony Corp. LANC 20 304 866 0.0 106 222
International Bancshares Corp. IBOC 19 665 170 0.0 293 510
ABM Industries Inc. ABM 19 571 078 0.0 360 226
Power Integrations Inc. POWI 19 023 529 0.0 312 887
Atlantic Union Bankshares Corp. AUB 17 655 865 0.0 494 978
Brady Corp. Class A BRC 17 580 859 0.0 242 595
Community Bank System Inc. CBU 18 381 061 0.0 290 426
Graham Holdings Co. Class B GHC 18 232 209 0.0 18 533
MGE Energy Inc. MGEE 18 405 469 0.0 200 539
Otter Tail Corp. OTTR 18 449 601 0.0 231 401
WD-40 Co. WDFC 17 793 177 0.0 74 567
WSFS Financial Corp. WSFS 17 639 526 0.0 324 913
Griffon Corp. GFF 16 983 985 0.0 234 780
McGrath RentCorp MGRC 16 620 182 0.0 136 231
Insperity Inc. NSP 17 221 535 0.0 195 766
HB Fuller Co. FUL 17 050 994 0.0 300 511
Ashland Global Holdings Inc. ASH 16 698 313 0.0 274 553
Independent Bank Corp. INDB 16 363 900 0.0 238 680
American States Water Co. AWR 15 861 154 0.0 207 227
Chesapeake Utilities Corp. CPK 15 635 872 0.0 123 185
ManpowerGroup Inc. MAN 15 026 388 0.0 260 739
California Water Service Group CWT 15 034 678 0.0 330 796
Innospec Inc. IOSP 14 295 294 0.0 138 239
Towne Bank/Portsmouth VA TOWN 14 208 720 0.0 385 269
First Merchants Corp. FRME 14 107 060 0.0 322 079
BOK Financial Corp. BOKF 13 563 558 0.0 124 482
BancFirst Corp. BANF 13 099 640 0.0 109 749
HNI Corp. HNI 12 318 023 0.0 264 392
NBT Bancorp Inc. NBTB 12 434 720 0.0 260 413
Polaris Inc. PII 12 974 558 0.0 288 837
Standex International Corp. SXI 12 466 425 0.0 67 031
Cohen & Steers Inc. CNS 12 891 937 0.0 147 505
Hillenbrand Inc. HI 11 788 583 0.0 394 267
J&J Snack Foods Corp. JJSF 11 207 494 0.0 85 267
LeMaitre Vascular Inc. LMAT 10 340 564 0.0 112 581
Stock Yards Bancorp Inc. SYBT 10 808 853 0.0 148 351
Materion Corp. MTRN 10 725 024 0.0 117 393
Quaker Chemical Corp. KWR 10 509 772 0.0 75 599
Hawkins Inc. HWKN 10 986 783 0.0 104 646
Federal Agricultural Mortgage Corp. AGM 10 732 399 0.0 51 334
City Holding Co. CHCO 9 799 064 0.0 82 352
CSG Systems International Inc. CSGS 9 882 845 0.0 153 699
Horace Mann Educators Corp. HMN 9 565 606 0.0 225 977
Lakeland Financial Corp. LKFN 9 327 417 0.0 140 452
Tennant Co. TNC 9 050 713 0.0 104 560
John Wiley & Sons Inc. Class A WLY 9 111 583 0.0 228 475
SJW Group SJW 8 796 258 0.0 167 007
Andersons Inc. ANDE 7 599 439 0.0 177 640
Lindsay Corp. LNN 7 913 327 0.0 59 895
Stepan Co. SCL 7 124 757 0.0 115 362
TriCo Bancshares TCBK 7 863 216 0.0 179 854
Westamerica Bancorporation WABC 7 771 352 0.0 149 105
Worthington Industries Inc. WOR 7 167 063 0.0 170 685
German American Bancorp Inc. GABC 6 461 810 0.0 161 869
National HealthCare Corp. NHC 6 308 913 0.0 67 714
1st Source Corp. SRCE 5 975 992 0.0 92 080
Dillard's Inc. Class A DDS 6 426 210 0.0 16 516
Apogee Enterprises Inc. APOG 6 077 305 0.0 126 769
Cable One Inc. CABO 6 590 359 0.0 25 330
AMERISAFE Inc. AMSF 5 519 805 0.0 107 264
Middlesex Water Co. MSEX 4 873 688 0.0 97 221
Worthington Steel Inc. WS 5 105 891 0.0 191 447
Embecta Corp. EMBC 4 264 515 0.0 315 890
First Community Bankshares Inc. FCBC 3 904 572 0.0 93 099
First Mid Bancshares Inc. FMBH 4 174 007 0.0 109 554
Gorman-Rupp Co. GRC 4 457 421 0.0 116 870
Matthews International Corp. Class A MATW 4 184 815 0.0 167 930
SpartanNash Co. SPTN 3 737 734 0.0 185 128
Monro Inc. MNRO 3 074 041 0.0 172 602
Tootsie Roll Industries Inc. TR 2 800 163 0.0 90 357
Southern Missouri Bancorp Inc. SMBC 2 933 597 0.0 50 319
Cass Information Systems Inc. CASS 2 930 974 0.0 67 055
Hyster-Yale Materials Handling Inc. HY 3 110 590 0.0 61 208
Hingham Institution for Savings HIFS 2 667 221 0.0 10 270
Great Southern Bancorp Inc. GSBC 2 872 724 0.0 48 682
Artesian Resources Corp. Class A ARTNA 1 629 426 0.0 52 410
Haverty Furniture Cos. Inc. HVT 1 649 147 0.0 72 236
Shoe Carnival Inc. SCVL 2 154 421 0.0 97 309
York Water Co. YORW 2 526 629 0.0 78 834
Johnson Outdoors Inc. Class A JOUT 794 088 0.0 29 520