Episode
How Dividend ETFs Manage ESG Momentum in July 2026
- Published
- Jul 11, 2026
- Duration seconds
- 462
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Summary
In this episode of Dividend Investing with Fexingo, Lucas and Luna explore how the ESG tilt inside popular dividend ETFs has quietly shifted over the past quarter. With VYM up 0.6% in the last five days and the S&P 500 hovering near 7,575, they drill into specific holdings data: why Vanguard High Dividend Yield ETF now has 18% in ESG-screened stocks versus 11% a year ago, and what that means for yield-focused investors. They discuss the recent rebalance of the Dow Jones U.S. Dividend 100 index, which underlies DVY, and how that ETF's exposure to 'sin' stocks like Altria has dropped from 4% to 2.7%. Luna questions whether this drift aligns with fiduciary duty or reflects passive fund managers preempting future regulation. Lucas argues it's mostly about demand from institutional allocators, but warns that retail investors might not realize their 'plain vanilla' dividend fund now carries an implicit values overlay. The conversation is grounded in real ticker data and index methodology changes, making it a must-listen for anyone holding SCHD, VYM, or DVY in a rising-rate environment. #DividendInvesting #ESG #VYM #SCHD #DVY #PassiveInvesting #IndexRebalancing #SectorRisk #YieldChasing #Finance #ETFs #PortfolioConstruction #FiduciaryDuty #InstitutionalAllocators #July2026 #FexingoBusiness #BusinessPodcast #SustainableInvesting Keep every episode free: buymeacoffee.com/fexingo