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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

1ST SOURCE BANK

Quarter ended Q4 2024 · Filed February 10, 2025 · Accession 0000356264-25-000003

Total Value
$1.75B
Positions
404
Other Managers
0
Confidential Omitted
No
View on SEC.gov

Holdings (404)

#IssuerTicker / CUSIPSharesValue% of Filing
11st Source CorpSRCE4,106,403$239.7M13.71%
2ISHARES/USA464287614531,173$213.3M12.20%
3ISHARES TRUST464287598636,647$117.9M6.74%
4SSgA Funds Management IncSPY178,924$104.9M6.00%
5SSGA Funds Management Inc78464A763701,332$92.6M5.30%
61st Source CorpSRCE1,229,071$71.8M4.10%
7Apple IncAAPL152,324$38.1M2.18%
8BlackRock Fund Advisors46434G764678,006$37.6M2.15%
9BlackRock Fund Advisors464287465461,501$34.9M2.00%
10MICROSOFT CORPMSFT82,247$34.7M1.98%
11Eli Lilly & CoLLY34,789$26.9M1.54%
12Vanguard ETF/USA921943858549,173$26.3M1.50%
13BlackRock Fund Advisors464287804197,520$22.8M1.30%
14ISHARES/USA46428761453,442$21.5M1.23%
15ISHARES46428765596,323$21.3M1.22%
16Honeywell International Inc43851610691,275$20.6M1.18%
17STATE STREET ETF/USAMDY34,985$19.9M1.14%
18Amazon.com IncAMZN88,423$19.4M1.11%
19ALPHABET INCGOOG98,922$18.7M1.07%
20JPMorgan Chase & CoVYLD68,768$16.5M0.94%
21BlackRock Fund Advisors464287507230,359$14.4M0.82%
22Patrick Industries Inc703343103131,650$10.9M0.63%
23Costco Wholesale Corp22160K10511,770$10.8M0.62%
24NVIDIA CorpNVDA78,586$10.6M0.60%
25PEPSICO INCPEP67,542$10.3M0.59%
26Alphabet IncGOOG51,432$9.8M0.56%
27Merck & Co IncMRK98,080$9.8M0.56%
28Johnson & JohnsonJNJ62,776$9.1M0.52%
29AMER EXPRESS COAXP30,224$9.0M0.51%
30Procter & Gamble Co/The74271810953,460$9.0M0.51%
31AUTOMATIC DATA PROCESSINGADP29,646$8.7M0.50%
32Home Depot Inc/TheHD22,197$8.6M0.49%
33MCDONALD'S CORPMCD28,955$8.4M0.48%
34First Trust Advisors LP33734H106183,342$8.0M0.46%
35SSGA FUNDS MANAGEMENT INC78464A40989,947$7.9M0.45%
36Thermo Fisher Scientific IncTMO15,154$7.9M0.45%
37Palo Alto Networks IncPANW42,004$7.6M0.44%
38Broadcom IncAVGO32,278$7.5M0.43%
39ORACLE CORPORCL-PD44,495$7.4M0.42%
40Berkshire Hathaway IncBRK-A15,797$7.2M0.41%
41SSGA Funds Management Inc78464A76353,835$7.1M0.41%
42INTL BUSINESS MCHNINTR30,660$6.7M0.39%
43TJX Cos Inc/The87254010955,655$6.7M0.38%
44Norfolk Southern Corp65584410827,293$6.4M0.37%
45Exxon Mobil CorpXOM58,461$6.3M0.36%
46ISHARES464288877118,183$6.2M0.35%
47Allstate Corp/TheALL-PJ31,979$6.2M0.35%
48Chevron CorpCVX41,422$6.0M0.34%
49MASTERCARD INCMA10,805$5.7M0.33%
50Intuitive Surgical IncISRG10,778$5.6M0.32%
51Walmart IncWMT60,637$5.5M0.31%
52Blackstone IncBX31,612$5.5M0.31%
53AbbVie IncABBV27,452$4.9M0.28%
54Walt Disney Co/The25468710643,506$4.8M0.28%
55BlackRock Fund Advisors46428722649,862$4.8M0.28%
56Danaher Corp23585110220,478$4.7M0.27%
57CISCO SYSTEMSCSCO77,894$4.6M0.26%
58ISHARES TRUST46428759823,442$4.3M0.25%
59ISHARES TR464287234103,197$4.3M0.25%
60CONOCOPHILLIPSCOP43,306$4.3M0.25%
61Abbott LaboratoriesABLZF37,883$4.3M0.25%
62BK OF AMERICA CORP06050510496,037$4.2M0.24%
63BlackRock Fund Advisors46428861239,643$4.1M0.24%
64VISA INCV12,982$4.1M0.23%
65METLIFE INCMET-PF46,278$3.8M0.22%
66QUALCOMM IncQCOM23,621$3.6M0.21%
67TRAVELERS CO INCTRV14,600$3.5M0.20%
68VANGUARD ETF/USA92204285876,637$3.4M0.19%
69Lakeland Financial Corp51165610048,744$3.4M0.19%
70Caterpillar IncCAT9,147$3.3M0.19%
71SSgA Funds Management Inc81369Y86078,683$3.2M0.18%
72WASTE MANAGEMENT94106L10915,415$3.1M0.18%
73Meta Platforms IncMETA5,281$3.1M0.18%
74Vanguard ETF/USA92194385863,458$3.0M0.17%
75Microchip Technology IncMCHPP51,657$3.0M0.17%
76Lockheed Martin CorpLMT6,079$3.0M0.17%
773M CoMMM22,867$3.0M0.17%
78SPDR GOLD TRUSTGLD11,906$2.9M0.16%
79RTX CorpRTX24,810$2.9M0.16%
80DEERE & CODE6,175$2.6M0.15%
81LOWE'S COS INC54866110710,443$2.6M0.15%
82Apple IncAAPL10,189$2.6M0.15%
83First Trust ETFs/USA33740F85464,246$2.5M0.15%
84BlackRock Fund Advisors46434G76445,618$2.5M0.14%
85Air Products and Chemicals IncAIIR8,573$2.5M0.14%
86NEXTERA ENERGYNEE-PW33,969$2.4M0.14%
87Chipotle Mexican Grill IncCMG40,374$2.4M0.14%
88Invesco Capital Management LLCIVZ4,735$2.4M0.14%
89SSGA FUNDS MANAGEMENT INC78464A50846,024$2.4M0.13%
90ISHARES46428765510,506$2.3M0.13%
91American Electric Power Co Inc02553710125,079$2.3M0.13%
92HCA Healthcare IncHCA7,593$2.3M0.13%
93YUM BRANDS INCYUM16,653$2.2M0.13%
94American Water Works Co Inc03042010317,604$2.2M0.13%
95STARBUCKS CORPSBUX23,474$2.1M0.12%
96NIKE INCNKE28,070$2.1M0.12%
97MORGAN STANLEYMS-PQ15,925$2.0M0.11%
98ISHARES4642872003,376$2.0M0.11%
99iShares ETFs/USA46435G42515,378$2.0M0.11%
100STRYKER CORPSYK5,454$2.0M0.11%
101SPDR DOW JONES IND78467X1094,593$2.0M0.11%
102GEN DYNAMICS CORPGD7,398$1.9M0.11%
103ISHARES46428755614,434$1.9M0.11%
104Salesforce IncCRM5,292$1.8M0.10%
105Pfizer IncPFE66,076$1.8M0.10%
106Fortive CorpFTV23,210$1.7M0.10%
107SSgA Funds Management IncSPY2,963$1.7M0.10%
108BRISTOL-MYRS SQUIBCELG-RI30,429$1.7M0.10%
109Charles Schwab Corp/TheSCHW-PJ22,883$1.7M0.10%
110Sysco CorpSYY22,126$1.7M0.10%
111General Electric Co3696043019,846$1.6M0.09%
112Union Pacific CorpUNP7,096$1.6M0.09%
113BlackRock Fund Advisors46428748112,192$1.5M0.09%
114BlackRock Fund Advisors46428749917,405$1.5M0.09%
115SELECT SECTOR SPDR81369Y88619,407$1.5M0.08%
116US BancorpUSB-PS30,472$1.5M0.08%
117First Trust ETFs/USA33740F59932,542$1.4M0.08%
118BlackRock Fund Advisors46428750722,477$1.4M0.08%
119KIMBERLY-CLARK CPKMB10,614$1.4M0.08%
120BlackRock Fund Advisors46428780412,031$1.4M0.08%
121DuPont de Nemours IncDD17,912$1.4M0.08%
122WW Grainger Inc3848021041,262$1.3M0.08%
123VERIZON COMMUNVZ32,745$1.3M0.07%
124ISHARES46428730912,504$1.3M0.07%
125DUKE ENERGY CORPDUKB11,208$1.2M0.07%
126Coca-Cola Co/TheKO19,230$1.2M0.07%
127Johnson & JohnsonJNJ8,204$1.2M0.07%
128VANGUARD9229083632,148$1.2M0.07%
129PayPal Holdings IncPYPL12,934$1.1M0.06%
130Corteva IncCTVA19,089$1.1M0.06%
131Adobe IncADBE2,428$1.1M0.06%
132Cabot CorpCBT11,606$1.1M0.06%
133Blackrock IncBLK1,032$1.1M0.06%
134First Trust ETFs/USA33740F67225,981$1.0M0.06%
135First Trust ETFs/USA33740F84720,611$985,6180.06%
136BlackRock Fund Advisors4642886129,428$982,6800.06%
137Medtronic PLCMDT12,287$981,4860.06%
138BlackRock Fund Advisors46428746512,800$967,8080.06%
139FISERV INCFISV4,700$965,4740.06%
140CTS CorpCTS18,172$958,2100.05%
141ISHARES TRUST46428851312,080$950,0920.05%
142MICROSOFT CORPMSFT2,228$939,1020.05%
143PROSHARE ADVISORS LLC74348A4679,424$938,1590.05%
144Marvell Technology IncMRVL8,470$935,5120.05%
145ISHARES TRUST46428851311,874$933,8900.05%
146ILLINOIS TOOL WKS4523081093,677$932,3400.05%
147Vanguard ETF/USA9229087513,879$932,0460.05%
148Eaton Corp PLCETN2,781$922,9300.05%
149Nucor CorpNUE7,894$921,3090.05%
150Masco CorpMAS12,435$902,4080.05%
151Johnson Controls InternationalG5150210511,306$892,3830.05%
152NiSource IncNI24,041$883,7470.05%
153Comcast CorpCCZ23,209$871,0340.05%
154ISHARES4642874084,555$869,4580.05%
155Digital Realty Trust Inc2538681034,886$866,4340.05%
156Quanta Services Inc74762E1022,731$863,1330.05%
157Dow IncDOW21,466$861,4310.05%
158CHUBB LIMITED COMCB3,027$836,3600.05%
159BP PLCBPPFF28,282$836,0160.05%
160Zoetis IncZTS5,129$835,6680.05%
161EMERSON ELECTRICEMR6,640$822,8950.05%
162Vanguard ETF/USA9229087444,700$795,7100.05%
163ISHARES ETFS/USA46435G51610,420$793,3790.05%
164L3Harris Technologies IncLHX3,763$791,2840.05%
165ALPHABET INCGOOG4,172$789,7600.05%
166BOEING COBA-PA4,450$787,6500.05%
167ENBRIDGE INCENNPF18,501$784,9970.04%
168UnitedHealth Group IncUNH1,541$779,5300.04%
169Amgen IncAMGN2,988$778,7920.04%
170Edwards Lifesciences CorpEW10,420$771,3930.04%
171GE Vernova IncGEV2,344$771,0120.04%
172Eli Lilly & CoLLY998$770,4560.04%
173AT&T INCT-PC33,792$769,4440.04%
174ZIMMER HLDGS INCZBH7,273$768,2470.04%
175First Trust Advisors33733E2034,334$720,3540.04%
176WELLS FARGO & CO9497461019,647$677,6050.04%
177Elevance Health IncELV1,823$672,5050.04%
178First Trust ETFs/USA33740F58122,500$669,6000.04%
179STATE STREET ETF/USAMDY1,171$666,9780.04%
180EOG Resources IncEOG5,299$649,5510.04%
181UTD PARCEL SERVUPS5,148$649,1630.04%
182ISHARES/USA4642884146,010$640,3660.04%
183Marathon Petroleum CorpMARA4,544$633,8880.04%
184Alphabet IncGOOG3,322$632,6420.04%
185Phillips 66PSX5,523$629,2350.04%
186Intuit IncINTU983$617,8160.04%
187Invesco Capital Management LLCIVZ3,479$609,6250.03%
188Cardinal Health IncCAH5,056$597,9730.03%
189CARRIER GLOBAL CORPCARR8,704$594,1350.03%
190ADVANCED MICRO DEVAMD4,894$591,1460.03%
191SELECT SECTOR SPDR81369Y5066,789$581,5460.03%
192JPMorgan Chase & CoVYLD2,426$581,5360.03%
193Horizon Bancorp Inc/INHBNC36,000$579,9600.03%
194ESTEE LAUDER COS5184391047,436$557,5510.03%
195CORNING INCGLW11,693$555,6510.03%
196CVS Health CorpCVS12,336$553,7630.03%
197Accenture PLCACN1,554$546,6820.03%
198Intel CorpINTC27,168$544,7180.03%
199STARBUCKS CORPSBUX5,897$538,1010.03%
200EBAY INCEBAY8,590$532,1510.03%
201Valero Energy CorpVLO4,336$531,5500.03%
202FEDEX CORPFDX1,847$519,6170.03%
203LULULEMON ATHLETICLULU1,320$504,7810.03%
204Amazon.com IncAMZN2,300$504,5970.03%
205CUMMINS INCCMI1,430$498,4980.03%
206MGE Energy IncMGEE5,248$493,1020.03%
207BlackRock Fund Advisors4642874733,802$491,7510.03%
208NORTHROP GRUMMANNOC1,036$486,1840.03%
209Allstate Corp/TheALL-PJ2,519$485,6380.03%
210Yum China Holdings IncYUMC10,080$485,5540.03%
211MCDONALD'S CORPMCD1,653$479,1880.03%
212KeyCorp49326710827,638$473,7150.03%
213ROCKWELL AUTOMATIONROK1,657$473,5540.03%
214Kyndryl Holdings IncKD13,405$463,8130.03%
215BlackRock Fund Advisors4642876221,420$457,4670.03%
216Cigna Group/The1255231001,654$456,7360.03%
217TEXAS INSTRUMENTS8825081042,431$455,8370.03%
218Energy Transfer LPET-PI22,994$450,4520.03%
219COGNIZANT TECHNOLOCTSH5,761$443,0210.03%
220Walmart IncWMT4,882$441,0890.03%
221American Tower Corp03027X1002,371$434,8650.02%
222TJX Cos Inc/The8725401093,594$434,1910.02%
223GENERAL MILLS INC3703341046,748$430,3200.02%
224AUTOMATIC DATA PROCESSINGADP1,465$428,8490.02%
225CHARLES SCHWAB INVESTMENT MANA80852479715,565$425,2360.02%
226Thermo Fisher Scientific IncTMO809$420,8660.02%
227Tesla IncTSLA1,042$420,8010.02%
228Schlumberger NVSLB10,885$417,3310.02%
229BlackRock Fund Advisors46435U6639,834$413,5200.02%
230Old National Bancorp/IN68003310719,021$412,8510.02%
231IES HOLDINGSIESC2,000$401,9200.02%
232Otis Worldwide CorpOTIS4,324$400,4460.02%
233ANALOG DEVICES INCADI1,839$390,7140.02%
234SELECT SECTOR SPDR81369Y8031,668$387,8430.02%
235PARKER-HANNIFINPH606$385,4340.02%
236APPLIED MATERIALS0382221052,369$385,2700.02%
237GOLDMAN SACHS GRPGSCE653$373,9210.02%
238Solventum CorpSOLV5,654$373,5030.02%
239Vanguard ETF/USA9229086291,383$365,2920.02%
240PHILIP MORRIS INTL7181721092,988$359,6060.02%
241Veralto CorpVLTO3,507$357,1880.02%
242CME Group IncCME1,530$355,3120.02%
243Republic Services Inc7607591001,740$350,0530.02%
244Palo Alto Networks IncPANW1,918$348,9990.02%
245Jacobs Solutions IncJ2,603$347,8130.02%
246HUMANA INCHUM1,351$342,7620.02%
247PEPSICO INCPEP2,252$342,4390.02%
248NVIDIA CorpNVDA2,500$335,7250.02%
249Truist Financial Corp89832Q1097,735$335,5440.02%
250AMER EXPRESS COAXP1,130$335,3730.02%
251VANGUARD ETF/USA9229087691,130$327,4850.02%
252Walt Disney Co/The2546871062,922$325,3650.02%
253NETFLIX INCNFLX362$322,6580.02%
254PNC Financial Services Group I6934751051,655$319,1670.02%
255Chevron CorpCVX2,188$316,9100.02%
256VANGUARD ETF/USA9229086111,590$315,1060.02%
257DOMINION RES(VIR)D5,801$312,4420.02%
258SELECT SECTOR SPDR81369Y1003,709$312,0750.02%
259VANGUARD ETF/USA9219328852,954$311,6470.02%
260First Trust ETFs/USA33740F6158,104$309,3180.02%
261Mondelez International Inc6092071055,127$306,2360.02%
262ALTRIA GROUP INCMO5,822$304,4320.02%
263PROGRESSIVE CP(OH)7433151031,256$300,9500.02%
264BECTON DICKINSONBDX1,322$299,9220.02%
265Archer-Daniels-Midland CoADM5,845$295,2890.02%
266TSMC8740391001,470$290,3100.02%
267Southern Co/TheSOMN3,514$289,2720.02%
268BlackRock Fund Advisors4642871502,243$288,4950.02%
269Exxon Mobil CorpXOM2,658$285,9210.02%
270Target CorpTGT2,103$284,2840.02%
271SSgA Funds Management Inc81369Y8606,960$283,0630.02%
272First Trust ETFs/USA33740F6235,850$268,5160.02%
273Global Payments Inc37940X1022,315$259,4190.01%
274AMER INTL GRP0268747843,556$258,8770.01%
275VANGUARD922908363480$258,6290.01%
276CISCO SYSTEMSCSCO4,290$253,9680.01%
277Aflac IncAFL2,401$248,3590.01%
278First Trust ETFs/USA33740U8026,652$247,5160.01%
2793M CoMMM1,913$246,9490.01%
280Wendy's Co/The95058W10015,085$245,8860.01%
281WELLS FARGO & CO9497461013,498$245,7000.01%
282MCKESSON CORPMCK431$245,6310.01%
283Intuitive Surgical IncISRG460$240,1020.01%
284BAXTER INTL INC0718131098,214$239,5200.01%
285BlackRock Fund AdvisorsIBIT4,450$236,0730.01%
286Darden Restaurants IncDRI1,253$233,9230.01%
287GE HealthCare Technologies IncGEHC2,986$233,4450.01%
288ORACLE CORPORCL-PD1,398$232,9630.01%
289Vanguard ETF/USA922908736557$228,6150.01%
290BlackRock Fund Advisors46432F3961,080$223,4740.01%
291FIRST TRUST ADVISORS LP33733F1011,606$221,9600.01%
292Home Depot Inc/TheHD568$220,9460.01%
293Procter & Gamble Co/The7427181091,315$220,4600.01%
294Norfolk Southern Corp655844108900$211,2300.01%
295SELECT SECTOR SPDR81369Y6054,321$208,8340.01%
296ISHARES4642872421,938$207,0560.01%
297SELECT SECTOR SPDR81369Y2091,500$206,3550.01%
298Thor Industries Inc8851601012,148$205,5850.01%
299HCA Healthcare IncHCA675$202,6010.01%
300CONOCOPHILLIPSCOP2,042$202,5050.01%
301AUTOZONE INCAZO63$201,7260.01%
3025TH THIRD BANCORPFITBM4,676$197,7010.01%
303PayPal Holdings IncPYPL2,292$195,6220.01%
304Sysco CorpSYY2,454$187,6330.01%
305Darden Restaurants IncDRI1,002$187,0630.01%
306WEC Energy Group IncWEC1,988$186,9520.01%
307Honeywell International Inc438516106822$185,6820.01%
308MASTERCARD INCMA337$177,4540.01%
309Blackstone IncBX1,005$173,2820.01%
310CINTAS CORPCTAS904$165,1610.01%
311American Electric Power Co Inc0255371011,780$164,1690.01%
312VANGUARD ETF/USA9220428583,714$163,5650.01%
313WASTE MANAGEMENT94106L109800$161,4320.01%
314Costco Wholesale Corp22160K105176$161,2640.01%
315Danaher Corp235851102695$159,5370.01%
316SEMPRA ENERGYSREA1,800$157,8960.01%
317ISHARES4642888772,857$149,9070.01%
318Merck & Co IncMRK1,482$147,4290.01%
319AbbVie IncABBV818$145,3590.01%
320CUMMINS INCCMI414$144,3200.01%
321Abbott LaboratoriesABLZF1,138$128,7190.01%
322KIMBERLY-CLARK CPKMB966$126,5850.01%
323General Electric Co369604301750$125,0930.01%
324METLIFE INCMET-PF1,508$123,4750.01%
325WEC Energy Group IncWEC1,300$122,2520.01%
326Air Products and Chemicals IncAIIR418$121,2370.01%
327Royal Bank of Canada780087102996$120,0280.01%
328Adobe IncADBE269$119,6190.01%
329Quanta Services Inc74762E102368$116,3060.01%
330Microchip Technology IncMCHPP2,023$116,0190.01%
331GEN DYNAMICS CORPGD437$115,1450.01%
332DOMINION RES(VIR)D2,135$114,9910.01%
333Berkshire Hathaway IncBRK-A250$113,3200.01%
334CINTAS CORPCTAS600$109,6200.01%
335DEERE & CODE249$105,5010.01%
336SEMPRA ENERGYSREA1,184$103,8600.01%
337Cardinal Health IncCAH868$102,6580.01%
338AT&T INCT-PC4,178$95,1330.01%
339First Trust Advisors LP33734H1062,179$95,0920.01%
340ENBRIDGE INCENNPF2,197$93,2190.01%
341Medtronic PLCMDT1,153$92,1020.01%
342VERIZON COMMUNVZ2,270$90,7770.01%
343Mondelez International Inc6092071051,516$90,5510.01%
344Nucor CorpNUE754$87,9990.01%
345Royal Bank of Canada780087102721$86,8880.00%
346US BancorpUSB-PS1,626$77,7720.00%
347Aflac IncAFL743$76,8560.00%
348UnitedHealth Group IncUNH150$75,8790.00%
349Pfizer IncPFE2,859$75,8490.00%
350American Water Works Co Inc030420103550$68,4700.00%
351Phillips 66PSX600$68,3580.00%
352ISHARES464287556508$67,1630.00%
353QUALCOMM IncQCOM437$67,1320.00%
354First Trust ETFs/USA33740F6721,692$66,6140.00%
355SELECT SECTOR SPDR81369Y886869$65,7750.00%
356Intuit IncINTU100$62,8500.00%
357GE Vernova IncGEV187$61,5100.00%
358Salesforce IncCRM177$59,1760.00%
359Southern Co/TheSOMN709$58,3650.00%
360First Trust ETFs/USA33740F5991,346$58,2410.00%
361TRAVELERS CO INCTRV241$58,0540.00%
362NEXTERA ENERGYNEE-PW791$56,7070.00%
363Vanguard ETF/USA922908751235$56,4660.00%
364Johnson Controls InternationalG51502105710$56,0400.00%
365Charles Schwab Corp/TheSCHW-PJ750$55,5080.00%
366NIKE INCNKE706$53,4230.00%
367Intel CorpINTC2,504$50,2050.00%
368VANGUARD ETF/USA921932885450$47,4750.00%
369BlackRock Fund Advisors46435U6631,085$45,6240.00%
370EMERSON ELECTRICEMR366$45,3580.00%
371NiSource IncNI1,178$43,3030.00%
372EBAY INCEBAY683$42,3120.00%
373Caterpillar IncCAT112$40,6290.00%
374RTX CorpRTX350$40,5020.00%
375Elevance Health IncELV100$36,8900.00%
376DuPont de Nemours IncDD481$36,6760.00%
377UTD PARCEL SERVUPS283$35,6860.00%
378Meta Platforms IncMETA60$35,1310.00%
379STRYKER CORPSYK86$30,9640.00%
380Solventum CorpSOLV453$29,9250.00%
381BP PLCBPPFF979$28,9390.00%
382Marvell Technology IncMRVL250$27,6130.00%
383ISHARES TR464287234651$27,2250.00%
384ZIMMER HLDGS INCZBH250$26,4080.00%
385Lockheed Martin CorpLMT50$24,2970.00%
386CME Group IncCME100$23,2230.00%
387Fortive CorpFTV309$23,1750.00%
388BlackRock Fund Advisors464287481177$22,4350.00%
389Veralto CorpVLTO206$20,9810.00%
390TSMC874039100100$19,7490.00%
391GE HealthCare Technologies IncGEHC250$19,5450.00%
392BK OF AMERICA CORP060505104400$17,5800.00%
393ALTRIA GROUP INCMO293$15,3210.00%
394Global Payments Inc37940X102125$14,0080.00%
395SSGA FUNDS MANAGEMENT INC78464A508250$12,7850.00%
396Zoetis IncZTS78$12,7090.00%
397Coca-Cola Co/TheKO200$12,4520.00%
398CARRIER GLOBAL CORPCARR175$11,9460.00%
399AMER INTL GRP026874784150$10,9200.00%
4005TH THIRD BANCORPFITBM245$10,3590.00%
401BRISTOL-MYRS SQUIBCELG-RI150$8,4840.00%
402Otis Worldwide CorpOTIS87$8,0570.00%
403EOG Resources IncEOG50$6,1290.00%
404Chipotle Mexican Grill IncCMG100$6,0300.00%