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VOL. XII · NO. 117Established MMXIV · George Town, Grand CaymanAtlantic Edition · $4.50

The Cayman Journal

Finance · Business · Technology · Caribbean & Global Affairs
13F HOLDINGS REPORT

TRUIST FINANCIAL CORP

Quarter ended Q1 2025 · Filed April 29, 2025 · Accession 0000092230-25-000046

Total Value
$62.52B
Positions
4,983
Other Managers
2
Confidential Omitted
No
View on SEC.gov

Holdings (500)

#IssuerTicker / CUSIPSharesValue% of Filing
1ISHARES TR4642872004,294,827$2.41B4.57%
2ISHARES TR4642872002,766,130$1.55B2.94%
3SPDR S&P 500 ETF TRSPY2,165,640$1.21B2.29%
4COCA COLA COKO13,814,016$989.4M1.87%
5APPLE INCAAPL4,071,139$904.3M1.71%
6MICROSOFT CORPMSFT2,276,073$854.4M1.62%
7ISHARES TR46429B26735,958,477$826.5M1.57%
8VANGUARD INDEX FDS9229083631,520,415$781.4M1.48%
9ISHARES TR46429B26733,008,217$758.7M1.44%
10MICROSOFT CORPMSFT1,754,502$658.6M1.25%
11NVIDIA CORPORATIONNVDA5,610,594$608.1M1.15%
12ISHARES TR4642872265,876,495$581.3M1.10%
13SPDR S&P 500 ETF TRSPY1,026,639$574.3M1.09%
14APPLE INCAAPL2,502,782$555.9M1.05%
15INVESCO EXCHANGE TRADED FD TIVZ2,934,164$508.3M0.96%
16ISHARES TR4642876141,401,843$506.2M0.96%
17SELECT SECTOR SPDR TR81369Y8032,357,437$486.8M0.92%
18SELECT SECTOR SPDR TR81369Y6059,569,951$476.7M0.90%
19ISHARES TR46432F8425,945,057$449.7M0.85%
20SELECT SECTOR SPDR TR81369Y2093,009,162$439.4M0.83%
21NVIDIA CORPORATIONNVDA3,773,563$409.0M0.77%
22AMAZON COM INCAMZN2,140,333$407.2M0.77%
23INVESCO QQQ TRIVZ868,394$407.2M0.77%
24AMAZON COM INCAMZN2,049,020$389.8M0.74%
25ISHARES TR46432F8424,825,503$365.0M0.69%
26ISHARES TR4642875076,212,477$362.5M0.69%
27JPMORGAN CHASE & CO.VYLD1,405,859$344.9M0.65%
28JPMORGAN CHASE & CO.VYLD1,378,004$338.0M0.64%
29ALPHABET INCGOOG2,015,974$315.0M0.60%
30VISA INCV890,366$312.0M0.59%
31VANGUARD INDEX FDS9229087441,782,044$307.8M0.58%
32ISHARES TR4642874993,509,974$298.6M0.57%
33ISHARES TR4642885883,049,231$286.0M0.54%
34META PLATFORMS INCMETA479,871$276.6M0.52%
35ISHARES TR4642878042,643,440$276.4M0.52%
36ISHARES TR4642875981,406,665$264.7M0.50%
37VANGUARD INDEX FDS922908363505,920$260.0M0.49%
38ISHARES TR464287614704,208$254.3M0.48%
39META PLATFORMS INCMETA436,818$251.8M0.48%
40BROADCOM INCAVGO1,447,859$242.4M0.46%
41INVESCO EXCHANGE TRADED FD TIVZ1,392,853$241.3M0.46%
42BROADCOM INCAVGO1,412,038$236.4M0.45%
43ISHARES TR4642886204,611,593$235.6M0.45%
44ALPHABET INCGOOG1,505,731$235.2M0.45%
45SELECT SECTOR SPDR TR81369Y8522,432,125$234.6M0.44%
46BERKSHIRE HATHAWAY INC DELBRK-A439,420$234.0M0.44%
47HOME DEPOT INCHD637,894$233.8M0.44%
48SPDR SER TR78468R6632,529,927$232.1M0.44%
49VISA INCV647,702$227.0M0.43%
50ABBVIE INCABBV1,062,765$222.7M0.42%
51VANGUARD INDEX FDS922908736595,312$220.8M0.42%
52SELECT SECTOR SPDR TR81369Y3082,698,268$220.4M0.42%
53VANGUARD INDEX FDS9229087441,263,360$218.2M0.41%
54ALPHABET INCGOOG1,390,798$215.1M0.41%
55ISHARES TR4642875073,677,235$214.6M0.41%
56ISHARES TR4642876551,041,712$207.8M0.39%
57SELECT SECTOR SPDR TR81369Y4071,049,895$207.3M0.39%
58WALMART INCWMT2,191,810$192.4M0.36%
59COSTCO WHSL CORP NEW22160K105198,069$187.3M0.35%
60PHILIP MORRIS INTL INC7181721091,175,299$186.6M0.35%
61ISHARES GOLD TRIAU3,124,236$184.2M0.35%
62PHILIP MORRIS INTL INC7181721091,122,210$178.1M0.34%
63UNITEDHEALTH GROUP INCUNH338,781$177.4M0.34%
64ABBVIE INCABBV843,475$176.7M0.33%
65ELI LILLY & COLLY212,838$175.8M0.33%
66ISHARES TR4642874652,126,367$173.8M0.33%
67ISHARES TR4642886611,453,972$171.8M0.33%
68VANGUARD SCOTTSDALE FDS92206C6801,815,975$168.5M0.32%
69RTX CORPORATIONRTX1,271,266$168.4M0.32%
70TRUIST FINL CORP89832Q1093,949,932$162.5M0.31%
71ISHARES TR464287598850,983$160.1M0.30%
72ALPHABET INCGOOG1,016,158$157.1M0.30%
73ISHARES TR4642886202,994,625$153.0M0.29%
74ISHARES TR4642875151,691,173$150.5M0.29%
75HOME DEPOT INCHD407,651$149.4M0.28%
76ISHARES TR4642874571,789,290$148.0M0.28%
77VANGUARD INTL EQUITY INDEX F9220428662,018,156$146.2M0.28%
78VANGUARD INDEX FDS922908736393,788$146.0M0.28%
79ORACLE CORPORCL-PD984,501$137.6M0.26%
80WALMART INCWMT1,554,416$136.5M0.26%
81UNION PAC CORPUNP563,764$133.2M0.25%
82JOHNSON & JOHNSONJNJ799,033$132.5M0.25%
83SPDR S&P 500 ETF TRSPY236,800$132.5M0.25%
84SCHWAB CHARLES CORPSCHW-PJ1,650,336$129.2M0.24%
85CHEVRON CORP NEWCVX769,823$128.8M0.24%
86VANGUARD INTL EQUITY INDEX F9220427752,116,960$128.4M0.24%
87ELI LILLY & COLLY152,469$125.9M0.24%
88EXXON MOBIL CORPXOM1,056,541$125.7M0.24%
89ISHARES INC46434G1032,325,857$125.5M0.24%
90ANALOG DEVICES INCADI621,307$125.3M0.24%
91UNITEDHEALTH GROUP INCUNH237,096$124.2M0.24%
92ISHARES TR4642874811,054,803$123.9M0.23%
93VANGUARD SCOTTSDALE FDS92206C4091,568,794$123.8M0.23%
94CISCO SYS INCCSCO1,989,470$122.8M0.23%
95BERKSHIRE HATHAWAY INC DELBRK-A228,254$121.6M0.23%
96INTERNATIONAL BUSINESS MACHSINTR486,499$121.0M0.23%
97ALTRIA GROUP INCMO1,979,853$118.8M0.23%
98CHEVRON CORP NEWCVX706,826$118.2M0.22%
99RTX CORPORATIONRTX886,432$117.4M0.22%
100BLACKROCK INCBLK122,751$116.2M0.22%
101ISHARES TR46434V6211,874,518$115.8M0.22%
102ISHARES TR464289438544,366$114.8M0.22%
103ORACLE CORPORCL-PD817,323$114.3M0.22%
104VANGUARD SPECIALIZED FUNDS921908844587,837$114.0M0.22%
105PEPSICO INCPEP754,588$113.1M0.21%
106MASTERCARD INCORPORATEDMA205,824$112.8M0.21%
107EXXON MOBIL CORPXOM947,641$112.7M0.21%
108JANUS DETROIT STR TR47103U8452,206,241$111.9M0.21%
109JOHNSON & JOHNSONJNJ674,537$111.9M0.21%
110MERCK & CO INCMRK1,205,750$108.2M0.21%
111AT&T INCT-PC3,752,706$106.1M0.20%
112ISHARES INC46434G1031,966,188$106.1M0.20%
113ISHARES TR464287622341,787$104.8M0.20%
114QUALCOMM INCQCOM681,696$104.7M0.20%
115PNC FINL SVCS GROUP INC693475105591,841$104.0M0.20%
116COSTCO WHSL CORP NEW22160K105106,898$101.1M0.19%
117MEDTRONIC PLCMDT1,117,246$100.4M0.19%
118TESLA INCTSLA386,218$100.1M0.19%
119AMGEN INCAMGN320,059$99.7M0.19%
120PROCTER AND GAMBLE CO742718109584,336$99.6M0.19%
121SCHWAB STRATEGIC TR8085247973,537,805$98.9M0.19%
122QUANTA SVCS INC74762E102389,149$98.9M0.19%
123ENTERGY CORP NEWENO1,153,719$98.6M0.19%
124ISHARES TR464287804942,525$98.6M0.19%
125VANGUARD INDEX FDS922908769356,241$97.9M0.19%
126ISHARES GOLD TRIAU1,642,891$96.9M0.18%
127ISHARES TR4642874571,147,437$94.9M0.18%
128T-MOBILE US INCTMUSZ354,300$94.5M0.18%
129AMGEN INCAMGN302,651$94.3M0.18%
130BANK NEW YORK MELLON CORP0640581001,123,378$94.2M0.18%
131PNC FINL SVCS GROUP INC693475105535,632$94.1M0.18%
132TARGA RES CORPTRGP467,586$93.7M0.18%
133FIRST TR EXCHANGE-TRADED FD33741X1022,797,009$93.7M0.18%
134BLACKROCK INCBLK97,067$91.9M0.17%
135ELEVANCE HEALTH INCELV210,481$91.6M0.17%
136ISHARES TR464287309979,973$91.0M0.17%
137GENUINE PARTS COGPC763,368$90.9M0.17%
138TRANE TECHNOLOGIES PLCTT269,542$90.8M0.17%
139ENTERGY CORP NEWENO1,053,661$90.1M0.17%
140NETFLIX INCNFLX96,553$90.0M0.17%
141ISHARES TR464287432982,099$89.4M0.17%
142MEDTRONIC PLCMDT994,789$89.4M0.17%
143ISHARES TR464287440934,379$89.1M0.17%
144CISCO SYS INCCSCO1,440,299$88.9M0.17%
145ABBOTT LABSABLZF669,421$88.8M0.17%
146NETFLIX INCNFLX95,051$88.6M0.17%
147VANGUARD TAX-MANAGED FDS9219438581,713,606$87.1M0.17%
148EATON CORP PLCETN319,612$86.9M0.16%
149SALESFORCE INCCRM322,523$86.6M0.16%
150WELLS FARGO CO NEW9497461011,205,499$86.5M0.16%
151INTUITIVE SURGICAL INCISRG174,080$86.2M0.16%
152ISHARES TR4642874651,051,053$85.9M0.16%
153VANGUARD INDEX FDS922908769310,217$85.3M0.16%
154LOCKHEED MARTIN CORPLMT190,616$85.1M0.16%
155SPDR GOLD TRGLD294,782$84.9M0.16%
156TESLA INCTSLA323,484$83.8M0.16%
157ISHARES TR464288653807,972$83.8M0.16%
158ISHARES TR464287168623,961$83.8M0.16%
159INVESCO QQQ TRIVZ178,544$83.7M0.16%
160VANGUARD BD INDEX FDS9219378351,116,048$82.0M0.16%
161ANALOG DEVICES INCADI402,379$81.1M0.15%
162TARGA RES CORPTRGP402,345$80.7M0.15%
163ISHARES TR464288661675,237$79.8M0.15%
164SCHWAB STRATEGIC TR8085243003,179,734$79.6M0.15%
165SPDR GOLD TRGLD275,280$79.3M0.15%
166INTERNATIONAL BUSINESS MACHSINTR318,780$79.3M0.15%
167PROCTER AND GAMBLE CO742718109464,525$79.2M0.15%
168KLA CORPKLAC116,105$78.9M0.15%
169VANGUARD WHITEHALL FDS921946406611,980$78.9M0.15%
170ECOLAB INCECL310,332$78.7M0.15%
171GOLDMAN SACHS GROUP INCGSCE143,763$78.5M0.15%
172ACCENTURE PLC IRELANDACN250,545$78.2M0.15%
173UNION PAC CORPUNP330,900$78.2M0.15%
174ISHARES TR46434V6131,694,412$78.1M0.15%
175COCA COLA COKO1,090,066$78.1M0.15%
176ISHARES TR464288679697,002$77.0M0.15%
177BOOKING HOLDINGS INCBKNG16,646$76.7M0.15%
178PEPSICO INCPEP509,698$76.4M0.14%
179VANGUARD INDEX FDS922908629295,393$76.4M0.14%
180PROGRESSIVE CORP743315103269,118$76.2M0.14%
181KLA CORPKLAC111,876$76.1M0.14%
182CARLISLE COS INC142339100222,475$75.8M0.14%
183ISHARES TR464287226763,616$75.5M0.14%
184VANGUARD BD INDEX FDS921937827964,450$75.5M0.14%
185ABBOTT LABSABLZF568,725$75.4M0.14%
186VANGUARD SCOTTSDALE FDS92206C870920,030$75.2M0.14%
187AUTOMATIC DATA PROCESSING INADP245,029$74.9M0.14%
188PALO ALTO NETWORKS INCPANW436,172$74.4M0.14%
189VANGUARD SCOTTSDALE FDS92206C714897,720$74.1M0.14%
190LOWES COS INC548661107312,681$72.9M0.14%
191MERCK & CO INCMRK799,831$71.8M0.14%
192VERIZON COMMUNICATIONS INCVZ1,576,618$71.5M0.14%
193BANK NEW YORK MELLON CORP064058100849,680$71.3M0.13%
194VANGUARD INDEX FDS922908751321,228$71.2M0.13%
195HCA HEALTHCARE INCHCA205,908$71.2M0.13%
196SELECT SECTOR SPDR TR81369Y803341,588$70.5M0.13%
197BERKLEY W R CORPWRB-PH990,216$70.5M0.13%
198DIAMONDBACK ENERGY INCFANG439,501$70.3M0.13%
199EMERSON ELEC COEMR633,300$69.4M0.13%
200WILLIAMS COS INC9694571001,160,976$69.4M0.13%
201VANGUARD INDEX FDS922908629267,324$69.1M0.13%
202ISHARES TR46434V6211,118,255$69.1M0.13%
203VERTEX PHARMACEUTICALS INCVRTX141,643$68.7M0.13%
204CMS ENERGY CORPCMS-PC913,022$68.6M0.13%
205EBAY INC.EBAY1,004,191$68.0M0.13%
206DISNEY WALT CO254687106686,158$67.7M0.13%
207MCDONALDS CORPMCD216,694$67.7M0.13%
208ISHARES TR464287168503,063$67.6M0.13%
209VERIZON COMMUNICATIONS INCVZ1,483,138$67.3M0.13%
210BANK AMERICA CORP0605051041,609,598$67.2M0.13%
211WELLS FARGO CO NEW949746101921,327$66.1M0.13%
212FIRST TR EXCHANGE-TRADED FD33739Q7051,301,502$65.8M0.12%
213VANGUARD WORLD FD92204A702121,194$65.7M0.12%
214MARSH & MCLENNAN COS INC571748102267,461$65.3M0.12%
215SPDR DOW JONES INDL AVERAGE78467X109154,507$64.9M0.12%
216EASTMAN CHEM COEMN727,080$64.1M0.12%
217DUKE ENERGY CORP NEWDUKB513,406$62.6M0.12%
218CMS ENERGY CORPCMS-PC831,076$62.4M0.12%
219BOOKING HOLDINGS INCBKNG13,539$62.4M0.12%
220VANGUARD INDEX FDS922908595246,772$62.1M0.12%
221ARES MANAGEMENT CORPORATIONARES-PB422,046$61.9M0.12%
222VANGUARD BD INDEX FDS921937819806,482$61.8M0.12%
223PACER FDS TR69374H8811,125,856$61.7M0.12%
224ISHARES TR4642886461,175,125$61.5M0.12%
225FIRST TR EXCHNG TRADED FD VI33740F7552,050,671$60.9M0.12%
226SPDR SER TR78468R663663,002$60.8M0.12%
227FIRST TR VALUE LINE DIVID IN33734H1061,356,074$60.5M0.11%
228CENCORA INCCOR216,008$60.1M0.11%
229LINDE PLCLIN128,424$59.8M0.11%
230APPLIED MATLS INC038222105410,979$59.6M0.11%
231VANGUARD INDEX FDS922908538242,721$59.4M0.11%
232VANGUARD SPECIALIZED FUNDS921908844305,733$59.3M0.11%
233APPLE INCAAPL266,809$59.3M0.11%
234VANGUARD SCOTTSDALE FDS92206C706994,044$59.0M0.11%
235PARKER-HANNIFIN CORPPH96,419$58.6M0.11%
236SPDR SER TR78464A763426,776$57.9M0.11%
237NOVARTIS AGNVSEF518,577$57.8M0.11%
238ENTERPRISE PRODS PARTNERS L2937921071,673,821$57.1M0.11%
239ISHARES TR464287408299,470$57.1M0.11%
240BRISTOL-MYERS SQUIBB COCELG-RI933,226$56.9M0.11%
241FIRST TR EXCHANGE TRADED FD33738R506970,908$56.8M0.11%
242AMERIPRISE FINL INC03076C106116,628$56.5M0.11%
243VANGUARD TAX-MANAGED FDS9219438581,096,745$55.7M0.11%
244ISHARES TR464288588591,209$55.4M0.11%
245PALO ALTO NETWORKS INCPANW322,543$55.0M0.10%
246MCDONALDS CORPMCD175,914$55.0M0.10%
247FIRST TR EXCHNG TRADED FD VI33740F8051,235,134$54.1M0.10%
248EATON CORP PLCETN198,180$53.9M0.10%
249MICROSOFT CORPMSFT143,427$53.8M0.10%
250CARLISLE COS INC142339100157,834$53.7M0.10%
251HONEYWELL INTL INC438516106253,371$53.7M0.10%
252VANGUARD INDEX FDS922908512333,890$53.6M0.10%
253QUALCOMM INCQCOM348,406$53.5M0.10%
254BANK AMERICA CORP0605051041,275,723$53.2M0.10%
255TAIWAN SEMICONDUCTOR MFG LTD874039100318,656$52.9M0.10%
256ISHARES TR4642886461,001,035$52.4M0.10%
257ISHARES TR464288414481,242$50.7M0.10%
258DEERE & CODE107,786$50.6M0.10%
259ISHARES TR464287655253,544$50.6M0.10%
260J P MORGAN EXCHANGE TRADED F46641Q332881,395$50.4M0.10%
261VANGUARD INTL EQUITY INDEX F9220428581,112,539$50.4M0.10%
262FIRST TR EXCHANGE-TRADED FD33733E104559,150$50.1M0.09%
263ISHARES TR464288638953,214$50.1M0.09%
264CATERPILLAR INCCAT150,369$49.6M0.09%
265VANGUARD SCOTTSDALE FDS92206C847858,957$49.5M0.09%
266PHILLIPS 66PSX398,645$49.2M0.09%
267RALPH LAUREN CORPRL222,237$49.1M0.09%
268CROWDSTRIKE HLDGS INCCRWD138,117$48.7M0.09%
269ACCENTURE PLC IRELANDACN155,900$48.6M0.09%
270FISERV INCFISV219,671$48.5M0.09%
271ISHARES TR46432F339283,441$48.4M0.09%
272SPDR SER TR78464A763354,780$48.1M0.09%
273SPDR SER TR78468R1011,644,334$48.1M0.09%
274LOWES COS INC548661107205,592$48.0M0.09%
275PIMCO ETF TR72201R833474,547$47.7M0.09%
276DANAHER CORPORATION235851102230,002$47.2M0.09%
277COCA COLA COKO657,247$47.1M0.09%
278EASTMAN CHEM COEMN533,007$47.0M0.09%
279CENCORA INCCOR168,781$46.9M0.09%
280DISNEY WALT CO254687106473,757$46.8M0.09%
281LPL FINL HLDGS INC50212V100142,632$46.7M0.09%
282ISHARES TR4642886871,500,862$46.1M0.09%
283ISHARES TR464287499538,295$45.8M0.09%
284GENERAL DYNAMICS CORPGD167,690$45.7M0.09%
285FIRST TR EXCHNG TRADED FD VI33740F8881,844,932$45.7M0.09%
286SERVICENOW INCNOW57,328$45.6M0.09%
287SERVICENOW INCNOW57,087$45.4M0.09%
288ALTRIA GROUP INCMO749,192$45.0M0.09%
289ISHARES TR464288414422,362$44.5M0.08%
290VANGUARD WHITEHALL FDS921946406343,642$44.3M0.08%
291BLACKROCK ETF TRUSTBLK908,720$44.3M0.08%
292REALTY INCOME CORPO763,693$44.3M0.08%
293ISHARES TR464287150361,389$44.1M0.08%
294NVIDIA CORPORATIONNVDA405,950$44.0M0.08%
295PROGRESSIVE CORP743315103155,194$43.9M0.08%
296HONEYWELL INTL INC438516106206,677$43.8M0.08%
297EMERSON ELEC COEMR398,261$43.7M0.08%
298MCKESSON CORPMCK64,322$43.3M0.08%
299ADOBE INCADBE112,055$43.0M0.08%
300SPDR S&P MIDCAP 400 ETF TRMDY80,449$42.9M0.08%
301STARBUCKS CORPSBUX436,558$42.8M0.08%
302WILLIAMS SONOMA INCWSM269,866$42.7M0.08%
303BERKSHIRE HATHAWAY INC DELBRK-A53$42.3M0.08%
304AVERY DENNISON CORPAVY236,915$42.2M0.08%
305AT&T INCT-PC1,489,600$42.1M0.08%
306NEXTERA ENERGY INCNEE-PW588,716$41.7M0.08%
307METLIFE INCMET-PF518,955$41.7M0.08%
308COREBRIDGE FINL INC21871X1091,307,171$41.3M0.08%
309ISHARES TR464288653397,638$41.3M0.08%
310CAPITAL GROUP DIVIDEND VALUE14020W1061,157,484$41.3M0.08%
311BELLRING BRANDS INCBRBR552,638$41.1M0.08%
312DIAMONDBACK ENERGY INCFANG256,459$41.0M0.08%
313ISHARES TR46429B663337,265$40.8M0.08%
314AMPLIFY ETF TR032108409999,548$40.8M0.08%
315COTERRA ENERGY INCCTRA1,408,924$40.7M0.08%
316KINDER MORGAN INC DELEP-PC1,426,965$40.7M0.08%
317ROCKWELL AUTOMATION INCROK157,097$40.6M0.08%
3183M COMMM275,047$40.4M0.08%
319BECTON DICKINSON & COBDX176,093$40.3M0.08%
320VANGUARD SCOTTSDALE FDS92206C102685,104$40.2M0.08%
321NEXTERA ENERGY INCNEE-PW566,591$40.2M0.08%
322SCHWAB STRATEGIC TR8085241021,860,667$40.1M0.08%
323PALANTIR TECHNOLOGIES INCPLTR470,068$39.7M0.08%
324SELECT SECTOR SPDR TR81369Y506422,837$39.5M0.07%
325ISHARES TR46429B655773,584$39.5M0.07%
326INTUITIVE SURGICAL INCISRG78,848$39.1M0.07%
327ISHARES TR46434V738646,874$38.9M0.07%
328AMERICAN EXPRESS COAXP144,316$38.8M0.07%
329COCA COLA CONS INCCOKE28,651$38.7M0.07%
330PARKER-HANNIFIN CORPPH63,150$38.4M0.07%
331VERTEX PHARMACEUTICALS INCVRTX78,847$38.2M0.07%
332BOOZ ALLEN HAMILTON HLDG CORBAH361,887$37.8M0.07%
333VALERO ENERGY CORPVLO286,278$37.8M0.07%
334ISHARES TR464287408198,237$37.8M0.07%
335MORGAN STANLEYMS-PQ322,594$37.6M0.07%
336CHUBB LIMITEDCB123,124$37.2M0.07%
337EVEREST GROUP LTDEG102,018$37.1M0.07%
338VICTORY PORTFOLIOS II92647P126937,620$36.4M0.07%
339PFIZER INCPFE1,420,958$36.0M0.07%
340VANGUARD INDEX FDS922908751162,353$36.0M0.07%
341BERKLEY W R CORPWRB-PH502,575$35.8M0.07%
342INTUITINTU58,146$35.7M0.07%
343TJX COS INC NEW872540109292,346$35.6M0.07%
344COMCAST CORP NEWCCZ963,687$35.6M0.07%
345LOCKHEED MARTIN CORPLMT78,771$35.2M0.07%
346TRANE TECHNOLOGIES PLCTT104,231$35.1M0.07%
347SOUTHERN COSOMN381,320$35.1M0.07%
348STARBUCKS CORPSBUX357,390$35.1M0.07%
349MASTERCARD INCORPORATEDMA63,833$35.0M0.07%
350BRISTOL-MYERS SQUIBB COCELG-RI572,285$34.9M0.07%
351ISHARES TR464288679314,903$34.8M0.07%
352S&P GLOBAL INCSPGI68,272$34.7M0.07%
353J P MORGAN EXCHANGE TRADED F46654Q203668,973$34.6M0.07%
354VANGUARD INTL EQUITY INDEX F922042858763,130$34.5M0.07%
355DEERE & CODE73,270$34.4M0.07%
356UBER TECHNOLOGIES INCUBER469,798$34.2M0.06%
357JONES LANG LASALLE INCJLL137,676$34.1M0.06%
358HCA HEALTHCARE INCHCA98,760$34.1M0.06%
359ISHARES TR46428720060,728$34.1M0.06%
360PFIZER INCPFE1,337,783$33.9M0.06%
361BLOCK H & R INCBSQKZ615,136$33.8M0.06%
362MOHAWK INDS INC608190104295,192$33.7M0.06%
363VANGUARD CHARLOTTE FDS92203J407690,219$33.7M0.06%
364ISHARES TR46429B663276,971$33.5M0.06%
365FIRST TR EXCHANGE-TRADED FD33733E302148,368$33.0M0.06%
366GOLDMAN SACHS GROUP INCGSCE60,290$32.9M0.06%
367US BANCORP DELUSB-PS773,800$32.7M0.06%
368THERMO FISHER SCIENTIFIC INCTMO65,382$32.5M0.06%
369CONOCOPHILLIPSCOP308,960$32.4M0.06%
370ISHARES TR464287242293,621$31.9M0.06%
371UNILEVER PLCUNLYF533,770$31.8M0.06%
372ISHARES TR464287473251,626$31.7M0.06%
373FIRST TR EXCHANGE-TRADED FD33738D8791,332,375$31.6M0.06%
374ISHARES TR464287432347,010$31.6M0.06%
375ISHARES TR464288877532,132$31.4M0.06%
376GENERAL DYNAMICS CORPGD115,012$31.3M0.06%
377SELECT SECTOR SPDR TR81369Y605628,820$31.3M0.06%
378FIRST TR EXCHANGE-TRADED FD33739Q408520,287$31.1M0.06%
379SPDR SER TR78464A6641,141,214$31.1M0.06%
380APPLIED MATLS INC038222105211,870$30.7M0.06%
381NOVO-NORDISK A SNONOF442,227$30.7M0.06%
382PROCTER AND GAMBLE CO742718109179,666$30.6M0.06%
383WILLIAMS COS INC969457100508,534$30.4M0.06%
384CHIPOTLE MEXICAN GRILL INCCMG605,043$30.4M0.06%
385SOUTHERN COSOMN329,946$30.3M0.06%
386FERGUSON ENTERPRISES INCFERG189,148$30.3M0.06%
387ISHARES TR464287606361,391$30.1M0.06%
388THERMO FISHER SCIENTIFIC INCTMO60,203$30.0M0.06%
389VANGUARD MUN BD FDS922907746603,226$29.9M0.06%
390EQUINIX INCEQIX36,626$29.9M0.06%
391VANGUARD INDEX FDS922908611159,645$29.7M0.06%
392ASTRAZENECA PLCAZN401,715$29.5M0.06%
393GENUINE PARTS COGPC246,287$29.3M0.06%
394SPDR SER TR78468R853705,704$28.8M0.05%
395WASTE MGMT INC DEL94106L109123,727$28.6M0.05%
396BOEING COBA-PA167,346$28.5M0.05%
397ARISTA NETWORKS INCANET368,196$28.5M0.05%
398CONOCOPHILLIPSCOP270,542$28.4M0.05%
399HOME DEPOT INCHD77,074$28.2M0.05%
400ABBVIE INCABBV134,609$28.2M0.05%
401T-MOBILE US INCTMUSZ105,700$28.2M0.05%
402CSX CORPCSX950,579$28.0M0.05%
403SELECT SECTOR SPDR TR81369Y704213,223$27.9M0.05%
404ISHARES TR46435UAA91,151,811$27.9M0.05%
405FIRST TR EXCHNG TRADED FD VI33740U7031,110,855$27.7M0.05%
406ECOLAB INCECL108,615$27.5M0.05%
407DIMENSIONAL ETF TRUST25434V708834,618$27.5M0.05%
408UNITED PARCEL SERVICE INCUPS250,097$27.5M0.05%
409INVESCO QQQ TRIVZ58,100$27.2M0.05%
410LINDE PLCLIN58,447$27.2M0.05%
411APOLLO GLOBAL MGMT INC03769M106198,611$27.2M0.05%
412DIMENSIONAL ETF TRUST25434V401448,935$27.2M0.05%
413CUBESMARTCUBE634,244$27.1M0.05%
414FIRST TR EXCH TRADED FD III33739P103421,986$27.0M0.05%
415NOVARTIS AGNVSEF242,381$27.0M0.05%
416ADOBE INCADBE70,164$26.9M0.05%
417MONDELEZ INTL INC609207105395,757$26.9M0.05%
418GLOBUS MED INCGMED363,661$26.6M0.05%
419AFLAC INCAFL238,971$26.6M0.05%
420BLACKROCK ETF TRUST IIBLK501,990$26.3M0.05%
421EXXON MOBIL CORPXOM220,111$26.2M0.05%
422AIR PRODS & CHEMS INCAIIR88,320$26.0M0.05%
423DBX ETF TR233051200599,617$26.0M0.05%
424CORE & MAIN INCCNM535,554$25.9M0.05%
425INVESCO EXCH TRADED FD TR IIIVZ133,582$25.8M0.05%
426CAPITAL ONE FINL CORP14040H105143,745$25.8M0.05%
427DUKE ENERGY CORP NEWDUKB210,882$25.7M0.05%
428SANOFISNYNF460,643$25.5M0.05%
429ERIE INDTY CO29530P10260,696$25.4M0.05%
430GILEAD SCIENCES INCGILD226,831$25.4M0.05%
431ISHARES TR464287440266,365$25.4M0.05%
432NORFOLK SOUTHN CORP655844108106,610$25.3M0.05%
433TJX COS INC NEW872540109206,618$25.2M0.05%
434DANAHER CORPORATION235851102122,444$25.1M0.05%
435FIRST TR MORNINGSTAR DIVID L336917109577,231$25.1M0.05%
436J P MORGAN EXCHANGE TRADED F46641Q670532,739$25.1M0.05%
437SHOPIFY INCSHOP260,479$24.9M0.05%
438PROLOGIS INC.PLDGP221,564$24.8M0.05%
439CHECK POINT SOFTWARE TECH LTM22465104108,353$24.7M0.05%
440GALLAGHER ARTHUR J & CO36357610971,276$24.6M0.05%
441AMERICAN TOWER CORP NEW03027X100112,740$24.5M0.05%
442VANGUARD BD INDEX FDS921937835332,402$24.4M0.05%
443NORFOLK SOUTHN CORP655844108102,432$24.3M0.05%
444SPDR S&P 500 ETF TRSPY43,336$24.2M0.05%
445PAYCHEX INCPAYX156,918$24.2M0.05%
446ENBRIDGE INCENNPF538,322$23.9M0.05%
447JPMORGAN CHASE & CO.VYLD97,201$23.8M0.05%
448ASML HOLDING N VASMLF35,872$23.8M0.05%
449ISHARES TR464287721168,503$23.7M0.04%
450PROSHARES TR74348A467231,322$23.6M0.04%
451VANGUARD WORLD FD92204A70243,518$23.6M0.04%
452AMERICAN EXPRESS COAXP87,567$23.6M0.04%
453SELECT SECTOR SPDR TR81369Y886297,758$23.5M0.04%
454ISHARES TR464287705195,632$23.4M0.04%
455ISHARES TR46428764891,437$23.4M0.04%
456ONEOK INC NEWOKE233,350$23.2M0.04%
457DIMENSIONAL ETF TRUST25434V500386,973$23.1M0.04%
458ISHARES TR464287309249,070$23.1M0.04%
459SALESFORCE INCCRM85,986$23.1M0.04%
460ELEVANCE HEALTH INCELV52,906$23.0M0.04%
461ARES MANAGEMENT CORPORATIONARES-PB156,473$22.9M0.04%
462ISHARES TR46428710184,550$22.9M0.04%
463UNILEVER PLCUNLYF384,112$22.9M0.04%
464STRYKER CORPORATIONSYK61,281$22.8M0.04%
465VANGUARD SCOTTSDALE FDS92206C813297,964$22.6M0.04%
466MARSH & MCLENNAN COS INC57174810292,640$22.6M0.04%
467PHILLIPS 66PSX182,510$22.5M0.04%
468NASDAQ INCNDAQ296,272$22.5M0.04%
469ISHARES TR464289511446,312$22.4M0.04%
470MONDELEZ INTL INC609207105329,755$22.4M0.04%
471SPDR SER TR78464A672782,334$22.4M0.04%
472TEXAS INSTRS INC882508104124,244$22.3M0.04%
473ISHARES TR464289438105,631$22.3M0.04%
474PRUDENTIAL FINL INCPUKPF199,463$22.3M0.04%
475WISDOMTREE TRWT278,603$22.2M0.04%
476BLACKSTONE INCBX158,197$22.1M0.04%
477ASTRAZENECA PLCAZN299,041$22.0M0.04%
478VANGUARD SCOTTSDALE FDS92206C771474,016$22.0M0.04%
479ISHARES TR46429B697234,255$21.9M0.04%
480QUANTA SVCS INC74762E10286,296$21.9M0.04%
481JANUS DETROIT STR TR47103U852481,252$21.8M0.04%
482VANGUARD WORLD FD921910873107,890$21.7M0.04%
483VANGUARD WORLD FD92204A884146,106$21.7M0.04%
484GE AEROSPACE369604301108,199$21.7M0.04%
485ISHARES TR46435U515852,481$21.5M0.04%
486FIRST TR NASDAQ 100 TECH IND337345102123,733$21.5M0.04%
487SPDR SER TR78464A409267,082$21.5M0.04%
488AUTODESK INCADSK81,565$21.4M0.04%
489SPDR SER TR78464A607215,398$21.4M0.04%
490ISHARES TR46435GAA0881,521$21.3M0.04%
491ISHARES TR464287481181,380$21.3M0.04%
492ISHARES TR464288885212,729$21.3M0.04%
493MORGAN STANLEYMS-PQ181,922$21.2M0.04%
494ISHARES TR464287473167,954$21.2M0.04%
495UNITED STATES STL CORP NEWUNTCW500,224$21.1M0.04%
496FIRST TR EXCH TRADED FD III33739P8551,112,715$20.8M0.04%
497CATERPILLAR INCCAT62,737$20.7M0.04%
498ARCH CAP GROUP LTDG0450A105212,769$20.5M0.04%
499CITIGROUP INCC-PR288,049$20.4M0.04%
500IQVIA HLDGS INCIQV115,403$20.3M0.04%