Amount | Holding |
---|---|
4.59% | Samsung Electronics Co Ltd |
4.00% | Verizon Communications Inc |
3.60% | PepsiCo Inc |
3.55% | Pfizer Inc |
3.11% | Novartis AG ADR |
2.86% | Merck & Co Inc |
2.72% | Bristol-Myers Squibb Company |
2.57% | International Business Machines Corp |
2.55% | GlaxoSmithKline PLC |
2.36% | Philip Morris International Inc |
2.18% | Deutsche Telekom AG |
2.15% | Lockheed Martin Corp |
2.10% | United Parcel Service Inc Class B |
1.94% | Taiwan Semiconductor Manufacturing Co Ltd |
1.94% | Unilever NV |
1.94% | American Electric Power Co Inc |
1.93% | Xcel Energy Inc |
1.91% | Wells Fargo & Co |
1.89% | British American Tobacco PLC |
1.84% | Nutrien Ltd |
1.83% | Johnson & Johnson |
1.80% | Schneider Electric SE |
1.68% | Reckitt Benckiser Group PLC |
1.62% | Nintendo Co Ltd |
1.57% | Prudential PLC |