C000192065 Holdings — JNL/Vanguard Equity Income Fund

All 75 reported holdings of JNL/Vanguard Equity Income Fund (C000192065) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Broadcom Inc.8.32%$76.39M
Merck & Co., Inc.3.12%$28.70M
Diamondback Energy, Inc.2.97%$27.30M
Johnson & Johnson2.32%$21.29M
Bank of America Corporation2.25%$20.69M
Huntington Bancshares Incorporated2.11%$19.34M
Unilever PLC1.99%$18.28M
TE Connectivity Public Limited Company1.87%$17.18M
Keurig Dr Pepper Inc.1.86%$17.09M
M&T Bank Corporation1.73%$15.90M
Elevance Health, Inc.1.71%$15.70M
American Electric Power Company, Inc.1.65%$15.12M
Microsoft Corporation1.61%$14.76M
CVS Health Corporation1.54%$14.18M
Anglo American PLC1.47%$13.51M
Crown Castle Inc.1.47%$13.51M
Ferguson Enterprises Inc.1.45%$13.36M
T-Mobile US, Inc.1.45%$13.35M
Williams Companies, Inc., The1.42%$13.08M
Walt Disney Company, The1.40%$12.90M
American International Group, Inc.1.34%$12.29M
Marsh & Mclennan Companies, Inc.1.34%$12.29M
Dick's Sporting Goods, Inc.1.33%$12.20M
Automatic Data Processing, Inc.1.33%$12.17M
American Water Works Company, Inc.1.32%$12.08M
Progressive Corporation, The1.29%$11.88M
Cisco Systems, Inc.1.28%$11.78M
NXP Semiconductors N.V.1.28%$11.72M
L3Harris Technologies, Inc.1.24%$11.42M
Targa Resources Corp.1.23%$11.25M
Gilead Sciences, Inc.1.22%$11.20M
Capital One Financial Corporation1.22%$11.19M
Raymond James Financial, Inc.1.20%$11.04M
NetApp, Inc.1.19%$10.97M
Philip Morris International Inc.1.19%$10.94M
Sempra1.17%$10.77M
Nasdaq, Inc.1.17%$10.74M
Visa Inc.1.16%$10.64M
Eaton Corporation Public Limited Company1.13%$10.37M
Intercontinental Exchange, Inc.1.11%$10.21M
Industria de Diseno Textil, S.A.1.11%$10.16M
Roche Holding AG1.10%$10.14M
AstraZeneca PLC1.10%$10.13M
Dominion Energy, Inc.1.09%$10.04M
Sunbelt Rental Holdings Inc.1.09%$10.02M
Eli Lilly and Company1.09%$10.01M
Archer-Daniels-Midland Company1.09%$9.98M
EQT Corporation1.08%$9.92M
Ares Management Corporation1.06%$9.77M
ConocoPhillips1.06%$9.76M
Avery Dennison Corporation1.04%$9.60M
NVIDIA Corporation1.04%$9.59M
Emerson Electric Co.1.04%$9.57M
Cardinal Health, Inc.1.04%$9.56M
Sun Communities, Inc.1.04%$9.52M
S&P Global Inc.1.02%$9.38M
Becton, Dickinson and Company1.02%$9.36M
PPL Corporation1.01%$9.32M
Charles Schwab Corporation, The1.01%$9.25M
Regions Financial Corporation1.01%$9.24M
PACCAR Inc0.98%$8.98M
Atmos Energy Corporation0.94%$8.63M
PPG Industries, Inc.0.91%$8.39M
Weyerhaeuser Company0.88%$8.09M
Kimberly-Clark Corporation0.85%$7.84M
Roper Technologies, Inc.0.85%$7.79M
Danaher Corporation0.76%$7.02M
Zoetis Inc.0.73%$6.71M
Pernod Ricard0.70%$6.46M
Pfizer Inc.0.70%$6.42M
Honeywell Aerospace Inc.0.69%$6.38M
Jackson National Asset Management, LLC0.68%$6.23M
Constellation Brands, Inc.0.48%$4.38M
Honeywell International Inc.0.37%$3.44M
JNL Government Money Market Fund0.26%$2.37M

C000192065 overview: performance, fees, allocation and SEC filings