TADGX
T. Rowe Price Dividend Growth Fund, Inc.
T. ROWE PRICE DIVIDEND GROWTH FUND, INC.

Portfolio moves

Net position changes between two of this fund's N-PORT snapshots. These are differences between point-in-time reports — not a trade log — and share counts can be affected by splits and other corporate actions.

Dec 31, 2025 → Mar 31, 2026

Expand a category to see the positions behind it, ranked by weight.

Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
ASTRAZENECA PLC 0 1,612,528 1,612,528 1.40% $318.02M
JOHNSON&JOHNSON 0 308,200 308,200 0.33% $75.34M
MARTIN MAR MTLS 0 109,160 109,160 0.28% $64.26M
KKR & CO INC 0 598,000 598,000 0.24% $55.32M
TREASURY RESERVE FUND - Collateral 0 554,500 554,500 0.00% $554.50K
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
ASTRAZENECA PLC SPONS ADR 3,238,744 0 -3,238,744 0.00% -$297.74M
GE HEALTHCARE TECHNOLOGIES INC WI 986,439 0 -986,439 0.00% -$80.91M
RPM INTL INC 388,746 0 -388,746 0.00% -$40.43M
ILLINOIS TOOL WORKS INC 163,750 0 -163,750 0.00% -$40.33M
THE CIGNA GROUP 41,887 0 -41,887 0.00% -$11.53M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
CONOCOPHILLIPS 2,399,300 2,482,862 83,562 1.45% $103.14M
ABBVIE INC 1,346,801 1,368,001 21,200 1.31% -$10.20M
GILEAD SCIENCES INC 1,752,495 1,933,095 180,600 1.19% $54.31M
T-MOBILE US INC 1,248,800 1,267,719 18,919 1.18% $12.70M
MCDONALDS CORP 838,375 849,410 11,035 1.17% $7.76M
UNITEDHEALTH GRP 755,289 963,599 208,310 1.15% $11.41M
COLGATE-PALMOLIVE CO 2,809,586 2,857,558 47,972 1.08% $21.54M
WASTE CONNECTIONS INC 1,344,372 1,399,772 55,400 1.00% -$8.37M
CISCO SYSTEMS INC 1,452,000 2,880,400 1,428,400 0.99% $111.64M
TE CONNECTIVITY PLC 1,042,564 1,062,664 20,100 0.98% -$15.08M
MONDELEZ INTL INC 3,375,751 3,616,214 240,463 0.92% $26.72M
NEXTERA ENERGY INC 2,073,178 2,145,273 72,095 0.88% $32.82M
WILLIAMS COS INC 2,121,200 2,259,510 138,310 0.73% $36.94M
SOUTHERN CO 875,200 1,028,735 153,535 0.44% $22.98M
WW GRAINGER INC 68,080 90,253 22,173 0.43% $29.75M
TRACTOR SUPPLY CO. 1,433,300 1,920,842 487,542 0.38% $15.33M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
APPLE INC 4,703,039 4,600,139 -102,900 5.15% -$111.10M
MICROSOFT CORP 3,084,245 2,702,956 -381,289 4.42% -$491.05M
BROADCOM INC 2,387,740 2,371,860 -15,880 3.24% -$92.28M
JPMORGAN CHASE and CO 2,420,868 2,357,320 -63,548 3.06% -$86.62M
VISA INC-CLASS A 1,983,139 1,952,970 -30,169 2.61% -$105.24M
EXXON MOBIL CORP 2,909,808 2,866,311 -43,497 2.15% $136.13M
CHUBB LTD 1,468,522 1,462,316 -6,206 2.10% $18.26M
GENERAL ELECTRIC CO 1,799,232 1,604,722 -194,510 2.01% -$98.85M
WALMART INC 3,777,764 3,430,210 -347,554 1.88% $5.43M
BANK OF AMERICA CORPORATION 8,348,897 8,313,614 -35,283 1.79% -$53.90M
ROSS STORES INC 1,849,684 1,702,073 -147,611 1.63% $35.52M
LILLY ELI and CO 404,560 388,231 -16,329 1.58% -$77.69M
LINDE PLC 718,581 705,865 -12,716 1.55% $43.54M
KLA CORP 306,964 230,884 -76,080 1.50% -$33.03M
ANALOG DEVICES INC 1,189,000 1,064,506 -124,494 1.50% $16.21M
COCA-COLA CO/THE 4,440,121 4,424,589 -15,532 1.49% $26.08M
MORGAN STANLEY 2,127,009 2,007,820 -119,189 1.46% -$47.18M
AMERICAN EXPRESS CO 1,100,174 1,067,378 -32,796 1.43% -$84.15M
SCHWAB CHARLES CORP 3,391,746 3,377,412 -14,334 1.40% -$21.46M
MCKESSON CORP 375,150 363,605 -11,545 1.39% $6.92M
HILTON WORLDWIDE HOLDINGS INC 1,114,803 1,006,847 -107,956 1.35% -$14.07M
AMEREN CORP 2,724,941 2,713,425 -11,516 1.32% $26.15M
NORTHROP GRUMMAN CORP 490,268 436,852 -53,416 1.32% $18.48M
MARSH & MCLENNAN 1,759,285 1,711,222 -48,063 1.31% -$29.57M
HOME DEPOT INC 903,435 899,618 -3,817 1.31% -$15.00M
DEERE & CO 535,800 510,536 -25,264 1.27% $38.13M
HOWMET AEROSPACE INC 1,507,571 1,217,076 -290,495 1.24% -$28.59M
THERMO FISHER SCIENTIFIC INC 552,429 535,158 -17,271 1.16% -$57.06M
PHILIP MORRIS INTL INC 1,559,700 1,553,108 -6,592 1.13% $6.61M
AMPHENOL CORPORATION CL A 2,701,256 1,903,077 -798,179 1.06% -$124.59M
UNION PACIFIC CORP 991,454 987,264 -4,190 1.06% $10.19M
STRYKER CORP 690,072 687,156 -2,916 1.00% -$16.75M
CATERPILLAR INC 310,800 309,487 -1,313 0.97% $41.21M
ATMOS ENERGY CORP 1,179,183 1,174,199 -4,984 0.96% $19.23M
TAIWAN SEMIC MFG CO LTD SP ADR 708,600 634,634 -73,966 0.95% -$861.89K
SHERWIN WILLIAMS CO 661,289 658,495 -2,794 0.93% -$3.20M
EQUITY RESIDENTIAL REIT 3,614,790 3,444,044 -170,746 0.90% -$24.16M
PROGRESSIVE CORP OHIO 1,030,138 1,025,784 -4,354 0.90% -$31.23M
DANAHER CORP 1,100,293 984,617 -115,676 0.82% -$65.20M
SLB LTD 3,580,400 3,565,269 -15,131 0.81% $45.80M
T Rowe Price Government Reserve Investment Fund 200,624,743 181,892,097 -18,732,646 0.80% -$18.73M
CSX CORP 4,418,900 4,400,225 -18,675 0.80% $20.44M
APPLIED MATERIALS INC 670,329 523,121 -147,208 0.79% $6.53M
SCHNEIDER ELECTR 664,631 635,524 -29,107 0.76% -$8.72M
TEXAS INSTRUMENTS INC 901,988 874,976 -27,012 0.75% $13.38M
EOG RESOURCES INC 1,163,259 1,158,343 -4,916 0.74% $45.31M
TRANE TECHNOLOGIES PLC 419,424 395,532 -23,892 0.73% $1.59M
OLD DOMINION FRT 865,950 834,110 -31,840 0.72% $27.20M
HARTFORD INSURANCE GROUP INC/THE 1,275,970 1,184,577 -91,393 0.71% -$15.64M
AMERICAN TOWER CORP 841,785 812,127 -29,658 0.62% -$7.64M
COSTCO WHOLESALE CORP 138,329 137,745 -584 0.61% $17.97M
YUM! BRANDS INC 900,361 865,786 -34,575 0.59% -$1.59M
GOLDMAN SACHS GROUP INC 200,990 155,059 -45,931 0.58% -$45.49M
S&P GLOBAL INC 330,852 307,658 -23,194 0.58% -$42.04M
HONEYWELL INTL INC 618,750 568,750 -50,000 0.57% $7.84M
AVERY DENNISON CORP 721,930 679,147 -42,783 0.52% -$14.03M
BROADRIDGE FINL 1,143,166 700,480 -442,686 0.50% -$141.31M
CME GROUP INC CL A 403,300 371,595 -31,705 0.48% -$382.58K
WELLS FARGO & CO 2,402,606 1,331,545 -1,071,061 0.47% -$117.92M
AUTOMATIC DATA PROCESSING INC 505,300 443,801 -61,499 0.40% -$39.81M
GE VERNOVA LLC 95,218 94,816 -402 0.37% $20.53M
INTUIT INC 191,400 190,592 -808 0.36% -$44.38M
ROCKWELL AUTOMATION INC 251,380 226,328 -25,052 0.36% -$16.58M
QUALCOMM INC 749,248 615,635 -133,613 0.35% -$48.88M
MARRIOTT INTL-A 233,153 232,167 -986 0.34% $3.60M
NIKE INC CL B 1,307,399 1,301,873 -5,526 0.30% -$14.53M
ACCENTURE PLC CL A 428,190 342,480 -85,710 0.30% -$46.97M
ROPER TECHNOLOGIES INC 257,777 186,307 -71,470 0.29% -$48.82M
ELEVANCE HEALTH INC 276,633 211,543 -65,090 0.27% -$35.04M
BECTON DICKINSON and CO 458,192 379,858 -78,334 0.26% -$29.20M
CMS ENERGY CORP 1,651,741 742,386 -909,355 0.25% -$57.91M
AON PLC 188,547 151,716 -36,831 0.22% -$17.56M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
QUEST DIAGNOSTICS INC 1,145,100 1,145,100 0 0.99% $25.71M

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