ALPS Sector Dividend Dogs ETF
SDOG
#1049
ETF rank
ยฃ0.98 B
Marketcap
๐Ÿ‡บ๐Ÿ‡ธ US
Market
ยฃ47.86
Share price
0.75%
Change (1 day)
8.67%
Change (1 year)
ALPS Sector Dividend Dogs ETF (SDOG) seeks to replicate the performance of the S-Network Sector Dividend Dogs Index (SDOGX). The fund applies the 'Dogs of the Dow Theory' on a sector-by-sector basis, selecting the five highest dividend-yielding large-cap securities from each of the ten market sectors.

ALPS Sector Dividend Dogs ETF - Holdings

Etf holdings as of March 20, 2026Number of holdings: 51

Full holdings list

Weight %NameTickerISINShares Held
2.13%
ONEOK Inc.OKEUS6826801036308982
2.12%
ConocoPhillipsCOPUS20825C1045216414
2.12%
EOG Resources Inc.EOGUS26875P1012197460
2.09%
KeyCorpKEYUS49326710881395505
2.09%
Chevron Corp.CVXUS1667641005134056
2.08%
AT&T Inc.TUS00206R1023951468
2.07%
Accenture PLCACNIE00B4BNMY34134101
2.07%
Microchip Technology Inc.MCHPUS5950171042425777
2.07%
Pfizer Inc.PFEUS7170811035992344
2.07%
LyondellBasell Industries NVLYBNL0009434992364795
2.06%
Watsco Inc.WSOUS942622200971554
2.06%
Prudential Financial Inc.PRUUS7443201022286680
2.05%
Truist Financial Corp.TFCUS89832Q1094601749
2.05%
Hewlett Packard Enterprise Co.HPEUS42824C10991222202
2.05%
US BancorpUSBUS9029733048517156
2.05%
Darden Restaurants Inc.DRIUS2371941053130360
2.05%
Best Buy Co. Inc.BBYUS0865161014421369
2.04%
The Dow Chemical Co.DOWUS2605571031720227
2.04%
Paychex Inc.PAYXUS7043261079284755
2.03%
Kenvue Inc.KVUEUS49177J10251508062
2.01%
Merck & Co. Inc.MRKUS58933Y1055228183
2.01%
Ford Motor Co.FUS34537086002260075
2.01%
United Parcel Service Inc.UPSUS9113121068271346
2.01%
Kinder Morgan Inc.KMIUS49456B1017789915
2.00%
Texas Instruments Inc.TXNUS8825081040138238
1.98%
T Rowe Price Group Inc.TROWUS74144T1088297773
1.98%
Bristol-Myers Squibb Co.BMYUS1101221083446473
1.98%
Verizon Communications Inc.VZUS92343V1044513368
1.98%
Edison InternationalEIXUS2810201077367743
1.98%
Snap-On Inc.SNAUS833034101271811
1.98%
Lockheed Martin Corp.LMTUS539830109440817
1.97%
HP Inc.HPQUS40434L10521393285
1.97%
Target Corp.TGTUS87612E1064224741
1.97%
Omnicom Group Inc.OMCUS6819191064339010
1.96%
Comcast Corp.CMCSAUS20030N1019874505
1.96%
T-Mobile US Inc.TMUSUS8725901040121312
1.95%
Kraft Heinz Co.KHCUS50075410641168073
1.94%
Evergy Inc.EVRGUS30034W1062319212
1.94%
Altria Group Inc.MOUS02209S1033388529
1.93%
FirstEnergy Corp.FEUS3379321074515540
1.92%
Amcor PLCAMCRJE00BV7DQ550650165
1.92%
General Mills Inc.GISUS3703341046669759
1.92%
Dominion Resources Inc.DUS25746U1097417276
1.91%
CVS Health Corp.CVSUS1266501006346466
1.90%
AbbVie Inc.ABBVUS00287Y1091120069
1.90%
Starbucks Corp.SBUXUS8552441094266000
1.86%
Eversource EnergyESUS30040W1080360796
1.86%
Genuine Parts Co.GPCUS3724601055249413
1.86%
Smurfit Westrock PLCSWIE00028FXN24663554
1.85%
International Paper Co.IPUS4601461035708021
0.20%
Cash Equivalent2369160.9