C000017424 Holdings — TCW Relative Value Dividend Appreciation Fund

All 48 reported holdings of TCW Relative Value Dividend Appreciation Fund (C000017424) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Wells Fargo & Co4.65%$13.35M
Broadcom Inc4.17%$11.96M
General Electric Co4.10%$11.78M
JPMorgan Chase & Co4.09%$11.75M
nVent Electric PLC3.50%$10.06M
McKesson Corp3.50%$10.04M
Lennar Corp3.33%$9.56M
International Business Machines Corp3.26%$9.36M
Ameriprise Financial Inc3.17%$9.11M
Elevance Health Inc2.91%$8.35M
Exxon Mobil Corp2.73%$7.85M
PepsiCo Inc2.62%$7.51M
Simon Property Group Inc2.58%$7.42M
Intercontinental Exchange Inc2.53%$7.28M
AbbVie Inc2.52%$7.24M
Morgan Stanley2.51%$7.20M
Novartis AG2.49%$7.15M
Baker Hughes Co2.47%$7.08M
MetLife Inc2.44%$7.01M
Dick's Sporting Goods Inc2.40%$6.90M
Amgen Inc2.34%$6.73M
Bank of New York Mellon Corp/The2.18%$6.27M
Carlisle Cos Inc2.11%$6.07M
United Parcel Service Inc2.01%$5.78M
DuPont de Nemours Inc1.86%$5.34M
Blackstone Inc1.81%$5.19M
Comcast Corp1.80%$5.16M
Johnson Controls International plc1.68%$4.82M
Gilead Sciences Inc1.66%$4.77M
AES Corp/The1.64%$4.71M
Darden Restaurants Inc1.50%$4.31M
Salesforce Inc1.48%$4.24M
Chevron Corp1.45%$4.17M
Freeport-McMoRan Inc1.41%$4.04M
GE HealthCare Technologies Inc1.35%$3.88M
Target Corp1.33%$3.83M
Seagate Technology Holdings PLC1.22%$3.50M
Xylem Inc/NY1.12%$3.23M
Johnson & Johnson1.09%$3.14M
Textron Inc1.05%$3.02M
Merck & Co Inc0.98%$2.82M
GE Vernova Inc0.97%$2.80M
Marathon Petroleum Corp0.80%$2.29M
NiSource Inc0.75%$2.15M
Corteva Inc0.68%$1.95M
Walt Disney Co/The0.50%$1.44M
State Street Global Advisors0.20%$575.57K
Sandoz Group AG0.17%$489.90K

C000017424 overview: performance, fees, allocation and SEC filings