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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

ARROW FINANCIAL CORP

Quarter ended Q4 2024 · Filed February 14, 2025 · Accession 0000717538-25-000018

Total Value
$1.05B
Positions
486
Other Managers
2
Confidential Omitted
No
View on SEC.gov

Holdings (486)

#IssuerTicker / CUSIPSharesValue% of Filing
1VANGUARD S&P 500 ETF922908363195,116$105.1M9.98%
2INVESCO QQQ TRUST SERIES 1IVZ143,747$73.5M6.98%
3ARROW FINANCIAL CORPORATION0427441021,858,229$53.3M5.06%
4ISHARES CORE S&P MID-CAP ETF464287507793,819$49.5M4.70%
5ISHARES CORE S&P SMALL-CAP ETF464287804344,957$39.7M3.77%
6SPDR PORTFOLIO S&P 500 VALUE ETF78464A508727,045$37.2M3.53%
7ISHARES IBONDS 2025 H/Y INC ETF46435U1681,321,469$30.7M2.91%
8ISHARES CORE MSCI DEV MKTS ETF46435G326414,947$26.8M2.54%
9VANGUARD MID-CAP ETF92290862995,698$25.3M2.40%
10APPLE INCAAPL61,304$15.4M1.46%
11MICROSOFT CORPMSFT31,272$13.2M1.25%
12ISHARES IBONDS DEC 2032 TC ETF46436E312524,071$12.9M1.22%
13ISHARES IBONDS DEC 2031 TERM CORP46436E486621,887$12.7M1.20%
14ISHARES IBONDS DEC 2030 TERM CORP46436E726591,412$12.6M1.20%
15ISHARES IBONDS DEC 2026 TERM CORP46435GAA0521,975$12.6M1.19%
16ISHARES IBONDS DEC 2033 CORP46436E130500,404$12.6M1.19%
17ISHARES IBONDS DEC 2029 TERM CORP46436E205548,489$12.5M1.19%
18ISHARES IBONDS DEC 2028 TERM CORP46435U515497,831$12.4M1.18%
19ISHARES IBONDS DEC 2025 TERM CORP46434VBD1493,672$12.4M1.17%
20ISHARES IBONDS DEC 2027 TERM CORP46435UAA9513,073$12.3M1.17%
21NVIDIA CORPNVDA90,747$12.2M1.16%
22VANGUARD SMALL-CAP ETF92290875144,364$10.7M1.01%
23VANGUARD S&P 500 ETF92290836319,469$10.5M1.00%
24NVIDIA CORPNVDA77,000$10.3M0.98%
25APPLE INCAAPL40,200$10.1M0.96%
26ALPHABET INC CL AGOOG51,592$9.8M0.93%
27MICROSOFT CORPMSFT20,350$8.6M0.81%
28AMAZON.COM INCAMZN36,018$7.9M0.75%
29SPDR S&P HOMEBUILDERS ETF78464A88869,751$7.3M0.69%
30ISHARES 10-20 YEAR TREASURY BOND ETF46428865371,152$7.1M0.67%
31ISHARES CORE U.S. AGGREGATE46428722666,961$6.5M0.62%
32INVESCO QQQ TRUST SERIES 1IVZ12,197$6.2M0.59%
33AMAZON.COM INCAMZN25,300$5.6M0.53%
34ALPHABET INC CL AGOOG27,800$5.3M0.50%
35SALESFORCE INCCRM14,921$5.0M0.47%
36VANGUARD SHORT TERM CORP BOND ETF92206C40963,376$4.9M0.47%
37ORACLE CORPORATIONORCL-PD29,533$4.9M0.47%
38JP MORGAN CHASE & COVYLD20,103$4.8M0.46%
39ISHARES NEW YORK MUNI BOND ETF46428832390,283$4.8M0.46%
40REAL ESTATE SELECT SECTOR SPDR FUND81369Y860117,995$4.8M0.46%
41HOME DEPOT INCHD11,647$4.5M0.43%
42META PLATFORMS INC CL AMETA7,153$4.2M0.40%
43ISHARES CORE S&P MID-CAP ETF46428750766,543$4.1M0.39%
44SPDR S&P 500 ETF TRUSTSPY6,955$4.1M0.39%
45VISA INC CL AV11,932$3.8M0.36%
46BERKSHIRE HATHAWAY INC-CL BBRK-A8,050$3.6M0.35%
47ISHARES CORE S&P SMALL-CAP ETF46428780430,163$3.5M0.33%
48BLACKROCK INCBLK3,245$3.3M0.32%
49SALESFORCE INCCRM9,900$3.3M0.31%
50META PLATFORMS INC CL AMETA5,500$3.2M0.31%
51SPDR PORTFOLIO S&P 500 VALUE ETF78464A50862,875$3.2M0.31%
52AMPHENOL CORP CL A03209510145,620$3.2M0.30%
53COSTCO WHOLESALE CORP22160K1053,448$3.2M0.30%
54VANGUARD MID-CAP ETF92290862911,671$3.1M0.29%
55CISCO SYSTEMS INCCSCO51,364$3.0M0.29%
56HOME DEPOT INCHD7,800$3.0M0.29%
57JP MORGAN CHASE & COVYLD12,500$3.0M0.28%
58NETFLIX INCNFLX3,155$2.8M0.27%
59LILLY ELI & COLLY3,596$2.8M0.26%
60STRYKER CORPORATIONSYK7,635$2.7M0.26%
61ISHARES IBONDS 2025 H/Y INC ETF46435U168118,108$2.7M0.26%
62WALMART INCWMT30,167$2.7M0.26%
63INTERCONTINENTAL EXCHANGE GROUP, INC45866F10418,167$2.7M0.26%
64AMGEN INCAMGN10,299$2.7M0.25%
65PROCTER & GAMBLE CO74271810915,717$2.6M0.25%
66BANK OF AMERICA CORP06050510459,865$2.6M0.25%
67LILLY ELI & COLLY3,400$2.6M0.25%
68ADOBE INCADBE5,861$2.6M0.25%
69EXXON MOBIL CORPXOM23,811$2.6M0.24%
70WALMART INCWMT28,200$2.5M0.24%
71DISNEY WALT CO NEW25468710622,009$2.5M0.23%
72BANK OF AMERICA CORP06050510455,500$2.4M0.23%
73TJX COS INC87254010920,116$2.4M0.23%
74MCDONALDS CORPMCD8,334$2.4M0.23%
75T-MOBILE US INCTMUSZ10,805$2.4M0.23%
76THERMO FISHER SCIENTIFIC INCTMO4,500$2.3M0.22%
77BERKSHIRE HATHAWAY INC-CL BBRK-A5,100$2.3M0.22%
78CATERPILLAR INCCAT6,300$2.3M0.22%
79BLACKROCK INCBLK2,200$2.3M0.21%
80CATERPILLAR INCCAT6,135$2.2M0.21%
81MARVELL TECHNOLOGY INCMRVL20,000$2.2M0.21%
82DIGITAL REALTY TRUST INC REIT25386810312,300$2.2M0.21%
83JOHNSON & JOHNSONJNJ14,931$2.2M0.20%
84HONEYWELL INTERNATIONAL INC4385161069,479$2.1M0.20%
85TRAVELERS COMPANIES INCTRV8,756$2.1M0.20%
86ABBOTT LABSABLZF18,457$2.1M0.20%
87WILLIAMS COS INC96945710038,396$2.1M0.20%
88TECHNOLOGY SELECT SECTOR SPDR FUND81369Y8038,748$2.0M0.19%
89HONEYWELL INTERNATIONAL INC4385161069,000$2.0M0.19%
90PROCTER & GAMBLE CO74271810912,125$2.0M0.19%
91ALPHABET INC CL CGOOG10,666$2.0M0.19%
92MICROSOFT CORPMSFT4,801$2.0M0.19%
93MASCO CORPMAS27,500$2.0M0.19%
94UNITEDHEALTH GROUP INCUNH3,890$2.0M0.19%
95ADOBE INCADBE4,400$2.0M0.19%
96MORGAN STANLEYMS-PQ15,370$1.9M0.18%
97MASTERCARD INC CL AMA3,609$1.9M0.18%
98WILLIAMS COS INC96945710034,400$1.9M0.18%
99ISHARES CORE MSCI DEV MKTS ETF46435G32628,648$1.8M0.18%
100ORACLE CORPORATIONORCL-PD11,000$1.8M0.17%
101UNION PAC CORPUNP7,960$1.8M0.17%
102AMPHENOL CORP CL A03209510126,000$1.8M0.17%
103VISA INC CL AV5,700$1.8M0.17%
104COCA COLA COKO28,578$1.8M0.17%
105PIMCO ENHANCED SHORT MATURITY ETF72201R83317,638$1.8M0.17%
106MARVELL TECHNOLOGY INCMRVL15,993$1.8M0.17%
107APPLE INCAAPL7,002$1.8M0.17%
108DANAHER CORP2358511027,567$1.7M0.16%
109TESLA INCTSLA4,200$1.7M0.16%
110INTERCONTINENTAL EXCHANGE GROUP, INC45866F10411,350$1.7M0.16%
111APPLE INCAAPL6,641$1.7M0.16%
112VANGUARD TOTAL BOND MARKET ETF92193783522,948$1.7M0.16%
113TESLA INCTSLA4,086$1.7M0.16%
114PALO ALTO NETWORKS INCPANW8,961$1.6M0.15%
115GENERAL DYNAMICS CORPGD6,161$1.6M0.15%
116UNITEDHEALTH GROUP INCUNH3,200$1.6M0.15%
117WASTE MANAGEMENT INC94106L1098,000$1.6M0.15%
118THERMO FISHER SCIENTIFIC INCTMO3,100$1.6M0.15%
119CUMMINS INCCMI4,543$1.6M0.15%
120STRYKER CORPORATIONSYK4,300$1.5M0.15%
121MASCO CORPMAS21,330$1.5M0.15%
122NETFLIX INCNFLX1,700$1.5M0.14%
123INGERSOLL-RAND INCIR16,613$1.5M0.14%
124GOLDMAN SACHS GROUP INCGSCE2,600$1.5M0.14%
125ABBOTT LABSABLZF13,000$1.5M0.14%
126ISHARES IBONDS 2026 TERM HIGH YIELD AND INC46436E52862,871$1.5M0.14%
127JP MORGAN CHASE & COVYLD6,055$1.5M0.14%
128ISHARES IBONDS DEC 2032 TC ETF46436E31258,481$1.4M0.14%
129MORGAN STANLEYMS-PQ11,300$1.4M0.13%
130ISHARES IBONDS DEC 2033 CORP46436E13055,288$1.4M0.13%
131JOHNSON & JOHNSONJNJ9,500$1.4M0.13%
132ISHARES IBONDS DEC 2028 TERM CORP46435U51554,966$1.4M0.13%
133TERADYNE INCTER10,867$1.4M0.13%
134CONOCOPHILLIPSCOP13,757$1.4M0.13%
135NVIDIA CORPNVDA9,720$1.3M0.12%
136INGERSOLL-RAND INCIR14,300$1.3M0.12%
137COSTCO WHOLESALE CORP22160K1051,400$1.3M0.12%
138TJX COS INC87254010910,600$1.3M0.12%
139ISHARES IBONDS DEC 2027 TERM CORP46435UAA953,057$1.3M0.12%
140ISHARES IBONDS DEC 2029 TERM CORP46436E20555,035$1.3M0.12%
141ISHARES NATIONAL MUNI BOND ETF46428841411,733$1.3M0.12%
142ISHARES IBONDS DEC 2034 TM CORP46438G65348,919$1.2M0.12%
143ISHARES IBONDS DEC 2026 TERM CORP46435GAA051,639$1.2M0.12%
144ISHARES IBONDS DEC 2030 TERM CORP46436E72658,111$1.2M0.12%
145AMGEN INCAMGN4,700$1.2M0.12%
146YUM BRANDS INCYUM9,117$1.2M0.12%
147ISHARES IBONDS DEC 2025 TERM CORP46434VBD148,463$1.2M0.12%
148CAPITAL ONE FINANCIAL CORP14040H1056,800$1.2M0.12%
149ISHARES IBONDS DEC 2031 TERM CORP46436E48659,428$1.2M0.11%
150QUANTA SERVICES INC74762E1023,764$1.2M0.11%
151VERTEX PHARMACEUTICALS INCVRTX2,849$1.1M0.11%
152PEPSICO INCPEP7,350$1.1M0.11%
153ISHARES CORE S&P SMALL-CAP ETF4642878049,621$1.1M0.11%
154VANGUARD SMALL-CAP ETF9229087514,598$1.1M0.10%
155LILLY ELI & COLLY1,414$1.1M0.10%
156PEPSICO INCPEP7,000$1.1M0.10%
157VANGUARD S&P 500 ETF9229083631,970$1.1M0.10%
158LOWES COS INC5486611074,179$1.0M0.10%
159ALPHABET INC CL AGOOG5,394$1.0M0.10%
160LENNAR CORP CL ALEN-B7,459$1.0M0.10%
161UTILITIES SELECT SECTOR SPDR FUND81369Y88613,430$1.0M0.10%
162MATERIALS SELECT SECTOR SPDR FUND81369Y10011,983$1.0M0.10%
163FINANCIAL SELECT SECTOR SPDR FUND81369Y60519,862$959,9300.09%
164CHEVRON CORPORATIONCVX6,600$955,9440.09%
165VANGUARD MID-CAP ETF9229086293,617$955,3580.09%
166ISHARES IBONDS 2025 H/Y INC ETF46435U16840,078$929,8100.09%
167SYSCO CORPSYY11,697$894,3530.08%
168VERTEX PHARMACEUTICALS INCVRTX2,200$885,9400.08%
169EXXON MOBIL CORPXOM8,200$882,0740.08%
170CHEVRON CORPORATIONCVX6,048$875,9920.08%
171DANAHER CORP2358511023,800$872,2900.08%
172ARROW FINANCIAL CORPORATION04274410229,649$851,2230.08%
173EXXON MOBIL CORPXOM7,696$827,8590.08%
174ORACLE CORPORATIONORCL-PD4,945$824,0350.08%
175ABBVIE INCABBV4,613$819,7300.08%
176INTL. BUSINESS MACHINES CORPINTR3,723$818,4270.08%
177DOMINION ENERGY INCD14,851$799,8750.08%
178AMERICAN WATER WORKS CO INC0304201036,397$796,3630.08%
179CONS DISC SELECT SECTOR SPDR FUND81369Y4073,503$785,8980.07%
180AIR PRODUCTS & CHEMICALS INCAIIR2,700$783,1080.07%
181ISHARES CORE MSCI DEV MKTS ETF46435G32611,732$756,3620.07%
182MCDONALDS CORPMCD2,600$753,7140.07%
183SOUTHERN COMPANYSOMN9,150$753,2280.07%
184HEALTH CARE SELECT SECTOR SPDR FUND81369Y2095,392$741,7770.07%
185JOHNSON & JOHNSONJNJ5,099$737,4170.07%
186SHERWIN WILLIAMS COSHW2,150$730,8500.07%
187EASTMAN CHEMICAL COEMN7,917$722,9800.07%
188DISNEY WALT CO NEW2546871066,300$701,5050.07%
189LYONDELLBASELL INDUSTRIES NVLYB9,314$691,7510.07%
190AUTOMATIC DATA PROCESSING INCADP2,361$691,1360.07%
191TEXAS INSTRUMENTS INC8825081043,618$678,4110.06%
192COMM. SERV. SELECT SECTOR SPDR FUND81369Y8526,548$633,9120.06%
193TERADYNE INCTER5,000$629,6000.06%
194TECHNOLOGY SELECT SECTOR SPDR FUND81369Y8032,680$623,1540.06%
195ISHARES ESG AWARE 1-5 YEAR USD ETF46435G24324,545$606,2620.06%
196RTX CORPORATIONRTX5,195$601,1650.06%
197ISHARES 10-20 YEAR TREASURY BOND ETF4642886536,037$600,9230.06%
198MICROSOFT CORPMSFT1,368$576,6120.05%
199SYSCO CORPSYY7,500$573,4500.05%
200PUBLIC STORAGE INC REITPSA-PS1,900$568,9360.05%
201INDUSTRIAL SELECT SECTOR SPDR FUND81369Y7044,064$535,4730.05%
202PROCTER & GAMBLE CO7427181093,178$532,7920.05%
203SPDR S&P HOMEBUILDERS ETF78464A8885,068$529,6060.05%
204FINANCIAL SELECT SECTOR SPDR FUND81369Y60510,871$525,3950.05%
205HOME DEPOT INCHD1,333$518,5240.05%
206NVIDIA CORPNVDA3,770$506,2730.05%
207COLGATE PALMOLIVE COCL5,515$501,3690.05%
208VANGUARD SMALL-CAP ETF9229087512,085$500,9840.05%
209VANGUARD SHORT TERM CORP BOND ETF92206C4096,127$477,9670.05%
210AMAZON.COM INCAMZN2,170$476,0760.05%
211INTUIT INCINTU750$471,3750.04%
212NEXTERA ENERGY INCNEE-PW6,563$470,5010.04%
213ECOLAB INCECL1,983$464,6570.04%
214FISERV INCFISV2,250$462,1950.04%
215AMERICAN EXPRESS COAXP1,540$457,0570.04%
216VANGUARD REAL ESTATE ETF9229085535,064$451,1010.04%
217LENNAR CORP CL ALEN-B3,300$450,0210.04%
218GE AEROSPACE3696043012,684$447,6640.04%
219THE HERSHEY COMPANYHSY2,600$440,3100.04%
220PEPSICO INCPEP2,851$433,5230.04%
221SNOWFLAKE INC CL ASNOW2,792$431,1130.04%
222AMERICAN TOWER CORP REIT03027X1002,350$431,0140.04%
223ISHARES IBONDS DEC 2031 TERM CORP46436E48621,094$429,2630.04%
224BERKSHIRE HATHAWAY INC-CL BBRK-A945$428,3500.04%
225ISHARES IBONDS DEC 2032 TC ETF46436E31217,391$427,4710.04%
226ISHARES 10-20 YEAR TREASURY BOND ETF4642886534,278$425,8320.04%
227ISHARES IBONDS DEC 2033 CORP46436E13016,961$425,7210.04%
228SPDR PORTFOLIO S&P 500 GROWTH ETF78464A4094,842$425,6120.04%
229STRYKER CORPORATIONSYK1,173$422,3390.04%
230VISA INC CL AV1,265$399,7910.04%
231VANGUARD TOTAL STOCK MARKET ETF9229087691,378$399,3580.04%
232CONS STAPLES SELECT SECT SPDR FUND81369Y3085,066$398,2380.04%
233NEXTERA ENERGY INCNEE-PW5,500$394,2950.04%
234PHILIP MORRIS INTERNATIONAL7181721093,230$388,7310.04%
235AMAZON.COM INCAMZN1,766$387,4430.04%
236VANGUARD SHORT TERM CORP BOND ETF92206C4094,918$383,6530.04%
2373M COMMM2,950$380,8160.04%
238ISHARES IBONDS DEC 2029 TERM CORP46436E20516,619$378,9130.04%
239ISHARES IBONDS DEC 2030 TERM CORP46436E72617,721$378,5210.04%
240ISHARES CORE S&P MID-CAP ETF4642875076,007$374,2960.04%
241AMERICAN WATER WORKS CO INC0304201033,000$373,4700.04%
242CATERPILLAR INCCAT1,029$373,2800.04%
243MERCK & CO INCMRK3,750$373,0500.04%
244ECOLAB INCECL1,500$351,4800.03%
245INDUSTRIAL SELECT SECTOR SPDR FUND81369Y7042,590$341,2580.03%
246SPDR GOLD TRUSTGLD1,399$338,7400.03%
247WELLS FARGO & CO9497461014,785$336,0980.03%
248ARROW FINANCIAL CORPORATION04274410211,691$335,6490.03%
249HEALTH CARE SELECT SECTOR SPDR FUND81369Y2092,406$330,9930.03%
250ISHARES IBONDS DEC 2027 TERM CORP46435UAA913,595$325,7360.03%
251EMERSON ELEC COEMR2,620$324,6970.03%
252CARRIER GLOBAL CORPCARR4,700$320,8220.03%
253MERCK & CO INCMRK3,216$319,9280.03%
254MERCK & CO INCMRK3,155$313,8590.03%
255BRISTOL MYERS SQUIBB COCELG-RI5,408$305,8760.03%
256CHESAPEAKE UTILITIES CORP1653031082,480$300,9480.03%
257AMERICAN EXPRESS COAXP1,000$296,7900.03%
258INTL. BUSINESS MACHINES CORPINTR1,342$295,0120.03%
259PAYCHEX INCPAYX2,098$294,1820.03%
260PALO ALTO NETWORKS INCPANW1,600$291,1360.03%
261REAL ESTATE SELECT SECTOR SPDR FUND81369Y8606,967$283,3480.03%
262VULCAN MATERIALS CO9291601091,100$282,9530.03%
263CHEVRON CORPORATIONCVX1,949$282,2930.03%
264ISHARES IBONDS DEC 2026 TERM CORP46435GAA011,443$275,4330.03%
265APPLIED MATERIALS INC0382221051,685$274,0320.03%
266ISHARES IBONDS DEC 2025 TERM CORP46434VBD110,927$273,7210.03%
267ISHARES IBONDS DEC 2028 TERM CORP46435U51510,939$272,3810.03%
268ISHARES IBONDS 2026 TERM HIGH YIELD AND INC46436E52811,589$268,2850.03%
269SALESFORCE INCCRM802$268,1330.03%
270META PLATFORMS INC CL AMETA454$265,8220.03%
271ORACLE CORPORATIONORCL-PD1,585$264,1240.03%
272INVESCO QQQ TRUST SERIES 1IVZ514$262,7720.02%
273PFIZER INCPFE9,580$254,1570.02%
274DOLLAR TREE INCDLTR3,376$252,9970.02%
275MATERIALS SELECT SECTOR SPDR FUND81369Y1002,953$248,4320.02%
276ALTRIA GROUP INCMO4,650$243,1490.02%
277STARBUCKS CORPSBUX2,647$241,5390.02%
278ISHARES IBONDS DEC 2026 MUNI ETF46435U2599,451$240,6220.02%
279RTX CORPORATIONRTX2,078$240,4660.02%
280ISHARES IBONDS DEC 2025 MUNI ETF46435U4329,006$239,6950.02%
281ISHARES IBONDS DEC 2027 MUNI ETF46435U2839,517$239,2570.02%
282JP MORGAN CHASE & COVYLD998$239,2310.02%
283ISHARES IBONDS DEC 2028 TERM MUNI46435U3259,448$237,9010.02%
284ISHARES 1-5Y INV GRADE CORP ETF4642886464,547$235,0800.02%
285TJX COS INC8725401091,945$234,9750.02%
286TECHNOLOGY SELECT SECTOR SPDR FUND81369Y8031,000$232,5200.02%
287SPDR S&P 500 ETF TRUSTSPY396$232,0880.02%
288ABBVIE INCABBV1,300$231,0100.02%
289PAYPAL HOLDINGS INCPYPL2,702$230,6160.02%
290ENERGY SELECT SECTOR SPDR FUND81369Y5062,690$230,4250.02%
2913M COMMM1,780$229,7800.02%
292HOME DEPOT INCHD589$229,1150.02%
293VISA INC CL AV724$228,8130.02%
294VERIZON COMMUNICATIONSVZ5,705$228,1430.02%
295ALPHABET INC CL AGOOG1,183$223,9420.02%
296GE VERNOVA LLCGEV677$222,6860.02%
297META PLATFORMS INC CL AMETA373$218,3950.02%
298SPDR S&P DIVIDEND ETF78464A7631,642$216,9080.02%
299MORGAN STANLEYMS-PQ1,700$213,7240.02%
300VANGUARD GROWTH ETF922908736516$211,7870.02%
301ISHARES RUSSELL MIDCAP ETF4642874992,390$211,2760.02%
302ALPHABET INC CL CGOOG1,095$208,5320.02%
303BLACKROCK INCBLK199$203,9970.02%
304SALESFORCE INCCRM600$200,5980.02%
305VERIZON COMMUNICATIONSVZ4,994$199,7100.02%
306ECOLAB INCECL850$199,1720.02%
307PIMCO ENHANCED SHORT MATURITY ETF72201R8331,955$196,1650.02%
308GOLDMAN SACHS GROUP INCGSCE337$192,9730.02%
309VULCAN MATERIALS CO929160109742$190,8650.02%
310NETFLIX INCNFLX210$187,1770.02%
311COLGATE PALMOLIVE COCL2,001$181,9110.02%
312SHERWIN WILLIAMS COSHW530$180,1630.02%
313BANK OF AMERICA CORP0605051044,055$178,2170.02%
314EMERSON ELEC COEMR1,421$176,1050.02%
315COSTCO WHOLESALE CORP22160K105192$175,9240.02%
316NETFLIX INCNFLX197$175,5900.02%
317VERTEX PHARMACEUTICALS INCVRTX436$175,5770.02%
318ENERGY SELECT SECTOR SPDR FUND81369Y5061,968$168,5790.02%
319THERMO FISHER SCIENTIFIC INCTMO320$166,4740.02%
320AT&T INCT-PC7,276$165,6750.02%
321STARBUCKS CORPSBUX1,815$165,6190.02%
322BERKSHIRE HATHAWAY INC-CL BBRK-A364$164,9940.02%
323WALMART INCWMT1,795$162,1780.02%
324ISHARES IBONDS DEC 2034 TM CORP46438G6536,244$158,9100.02%
325EATON CORP PLCETN475$157,6380.01%
326UTILITIES SELECT SECTOR SPDR FUND81369Y8862,080$157,4350.01%
327NUVEEN ESG SMALL-CAP ETFNU3,750$157,0580.01%
328ISHARES RUSSELL MIDCAP ETF4642874991,776$156,9980.01%
329AMPHENOL CORP CL A0320951012,251$156,3320.01%
330T ROWE PRICE GROUP INCTROW1,349$152,5580.01%
331UNITEDHEALTH GROUP INCUNH298$150,7460.01%
332NEXTERA ENERGY INCNEE-PW2,054$147,2510.01%
333EXXON MOBIL CORPXOM1,357$145,9720.01%
334LOWES COS INC548661107575$141,9100.01%
335SPDR S&P HOMEBUILDERS ETF78464A8881,354$141,4930.01%
336BLACKROCK INCBLK137$140,4400.01%
337MARVELL TECHNOLOGY INCMRVL1,255$138,6150.01%
338AUTOMATIC DATA PROCESSING INCADP472$138,1690.01%
339WILLIAMS COS INC9694571002,537$137,3020.01%
340STRYKER CORPORATIONSYK380$136,8190.01%
341DISNEY WALT CO NEW2546871061,219$135,7360.01%
342VANGUARD REAL ESTATE ETF9229085531,515$134,9560.01%
343CONSTELLATION BRANDS INC CL ASTZ599$132,3790.01%
344ALPHABET INC CL CGOOG690$131,4040.01%
345HEALTH CARE SELECT SECTOR SPDR FUND81369Y209950$130,6920.01%
346COCA COLA COKO2,025$126,0770.01%
347TJX COS INC8725401091,043$126,0050.01%
348ISHARES BARCLAYS 1-3 YEAR TR ETF4642874571,500$122,9700.01%
349LILLY ELI & COLLY159$122,7480.01%
350ISHARES BARCLAYS 1-3 YEAR TR ETF4642874571,484$121,6580.01%
351PROCTER & GAMBLE CO742718109713$119,5340.01%
352INTERCONTINENTAL EXCHANGE GROUP, INC45866F104796$118,6120.01%
353CISCO SYSTEMS INCCSCO1,963$116,2100.01%
354BANK OF AMERICA CORP0605051042,634$115,7640.01%
355CONS DISC SELECT SECTOR SPDR FUND81369Y407515$115,5400.01%
356DISNEY WALT CO NEW2546871061,035$115,2470.01%
357CONS DISC SELECT SECTOR SPDR FUND81369Y407500$112,1750.01%
358CONOCOPHILLIPSCOP1,131$112,1610.01%
359WALMART INCWMT1,240$112,0340.01%
360HONEYWELL INTERNATIONAL INC438516106492$111,1380.01%
361THE HERSHEY COMPANYHSY645$109,2310.01%
362INTERCONTINENTAL EXCHANGE GROUP, INC45866F104724$107,8830.01%
363MCDONALDS CORPMCD371$107,5490.01%
364COCA COLA COKO1,716$106,8380.01%
365JOHNSON & JOHNSONJNJ735$106,2960.01%
366HONEYWELL INTERNATIONAL INC438516106464$104,8130.01%
367FORD MOTOR CO DEL34537086010,500$103,9500.01%
368PALO ALTO NETWORKS INCPANW564$102,6250.01%
369MARVELL TECHNOLOGY INCMRVL910$100,5100.01%
370T ROWE PRICE GROUP INCTROW875$98,9540.01%
371PIMCO ENHANCED SHORT MATURITY ETF72201R833985$98,8350.01%
372CONSTELLATION BRANDS INC CL ASTZ446$98,5660.01%
373SPDR GOLD TRUSTGLD403$97,5780.01%
374UNION PAC CORPUNP427$97,3730.01%
375ADOBE INCADBE217$96,4960.01%
376THERMO FISHER SCIENTIFIC INCTMO184$95,7220.01%
377UNITEDHEALTH GROUP INCUNH188$95,1020.01%
378UNION PAC CORPUNP410$93,4960.01%
379CATERPILLAR INCCAT249$90,3270.01%
380ABBOTT LABSABLZF792$89,5830.01%
381TESLA INCTSLA218$88,0370.01%
382INDUSTRIAL SELECT SECTOR SPDR FUND81369Y704660$86,9620.01%
383BRISTOL MYERS SQUIBB COCELG-RI1,535$86,8200.01%
384ADOBE INCADBE191$84,9340.01%
385T-MOBILE US INCTMUSZ383$84,5400.01%
386AMGEN INCAMGN321$83,6650.01%
387TRAVELERS COMPANIES INCTRV347$83,5890.01%
388PAYCHEX INCPAYX595$83,4310.01%
389GE AEROSPACE369604301500$83,3950.01%
390MASTERCARD INC CL AMA158$83,1980.01%
391SPDR PORTFOLIO S&P 500 VALUE ETF78464A5081,626$83,1540.01%
392COSTCO WHOLESALE CORP22160K10590$82,4640.01%
393DANAHER CORP235851102351$80,5720.01%
394AMPHENOL CORP CL A0320951011,148$79,7290.01%
395VERIZON COMMUNICATIONSVZ1,976$79,0200.01%
396MASCO CORPMAS1,079$78,3030.01%
397REAL ESTATE SELECT SECTOR SPDR FUND81369Y8601,917$77,9640.01%
398ISHARES 1-5Y INV GRADE CORP ETF4642886461,500$77,5500.01%
399CISCO SYSTEMS INCCSCO1,265$74,8880.01%
400AMGEN INCAMGN277$72,1970.01%
401MATERIALS SELECT SECTOR SPDR FUND81369Y100848$71,3510.01%
402UTILITIES SELECT SECTOR SPDR FUND81369Y886924$69,9380.01%
403INGERSOLL-RAND INCIR760$68,7500.01%
404WILLIAMS COS INC9694571001,268$68,6240.01%
405GENERAL DYNAMICS CORPGD259$68,2440.01%
406PALO ALTO NETWORKS INCPANW374$68,0530.01%
407COMM. SERV. SELECT SECTOR SPDR FUND81369Y852700$67,7670.01%
408PFIZER INCPFE2,540$67,3860.01%
409SOUTHERN COMPANYSOMN810$66,6790.01%
410WELLS FARGO & CO949746101925$64,9720.01%
411TERADYNE INCTER497$62,5820.01%
412SNOWFLAKE INC CL ASNOW394$60,8380.01%
413TERADYNE INCTER482$60,6930.01%
414INGERSOLL-RAND INCIR670$60,6080.01%
415WASTE MANAGEMENT INC94106L109299$60,3350.01%
416CUMMINS INCCMI173$60,3080.01%
417NUVEEN ESG SMALL-CAP ETFNU1,400$58,6350.01%
418AIR PRODUCTS & CHEMICALS INCAIIR199$57,7180.01%
419ISHARES IBONDS DEC 2034 TM CORP46438G6532,258$57,4660.01%
420TESLA INCTSLA141$56,9410.01%
421T-MOBILE US INCTMUSZ249$54,9620.01%
422CONOCOPHILLIPSCOP547$54,2460.01%
423YUM BRANDS INCYUM390$52,3220.00%
424AT&T INCT-PC2,265$51,5740.00%
425CUMMINS INCCMI146$50,8960.00%
426MCDONALDS CORPMCD175$50,7310.00%
427VERTEX PHARMACEUTICALS INCVRTX120$48,3240.00%
428ABBOTT LABSABLZF426$48,1850.00%
429CHEVRON CORPORATIONCVX329$47,6520.00%
430AMERICAN EXPRESS COAXP158$46,8930.00%
431CARRIER GLOBAL CORPCARR675$46,0760.00%
432GOLDMAN SACHS GROUP INCGSCE80$45,8100.00%
433QUANTA SERVICES INC74762E102144$45,5110.00%
434LENNAR CORP CL ALEN-B331$45,1380.00%
435MORGAN STANLEYMS-PQ359$45,1330.00%
436INTL. BUSINESS MACHINES CORPINTR205$45,0650.00%
437EATON CORP PLCETN130$43,1430.00%
438THE HERSHEY COMPANYHSY243$41,1520.00%
439GE VERNOVA LLCGEV125$41,1160.00%
440BRISTOL MYERS SQUIBB COCELG-RI725$41,0060.00%
441CONS STAPLES SELECT SECT SPDR FUND81369Y308470$36,9470.00%
442NEXTERA ENERGY INCNEE-PW510$36,5620.00%
443PEPSICO INCPEP236$35,8860.00%
444QUANTA SERVICES INC74762E102107$33,8170.00%
445SNOWFLAKE INC CL ASNOW207$31,9630.00%
446AMERICAN WATER WORKS CO INC030420103254$31,6200.00%
447MASTERCARD INC CL AMA60$31,5940.00%
448AMERICAN WATER WORKS CO INC030420103244$30,3760.00%
449ENERGY SELECT SECTOR SPDR FUND81369Y506344$29,4670.00%
450CONS STAPLES SELECT SECT SPDR FUND81369Y308371$29,1640.00%
451VANGUARD TOTAL BOND MARKET ETF921937835405$29,1240.00%
452ISHARES 1-5Y INV GRADE CORP ETF464288646560$28,9520.00%
453RTX CORPORATIONRTX240$27,7730.00%
454LOWES COS INC548661107110$27,1480.00%
455ISHARES CORE U.S. AGGREGATE464287226275$26,6480.00%
456GENERAL DYNAMICS CORPGD100$26,3490.00%
457DOMINION ENERGY INCD473$25,4760.00%
458DANAHER CORP235851102109$25,0210.00%
459PAYPAL HOLDINGS INCPYPL280$23,8980.00%
460EASTMAN CHEMICAL COEMN258$23,5610.00%
461TRAVELERS COMPANIES INCTRV93$22,4030.00%
462AMERICAN TOWER CORP REIT03027X100122$22,3760.00%
463COLGATE PALMOLIVE COCL241$21,9090.00%
464COMM. SERV. SELECT SECTOR SPDR FUND81369Y852220$21,2980.00%
465MASCO CORPMAS291$21,1180.00%
466CONSTELLATION BRANDS INC CL ASTZ95$20,9950.00%
467SYSCO CORPSYY270$20,6440.00%
468SYSCO CORPSYY260$19,8800.00%
469ISHARES BARCLAYS 1-3 YEAR TR ETF464287457242$19,8390.00%
470T ROWE PRICE GROUP INCTROW174$19,6780.00%
471WELLS FARGO & CO949746101273$19,1760.00%
472ALTRIA GROUP INCMO345$18,0400.00%
473PAYCHEX INCPAYX125$17,5280.00%
474AUTOMATIC DATA PROCESSING INCADP55$16,1000.00%
475LENNAR CORP CL ALEN-B115$15,6830.00%
476LYONDELLBASELL INDUSTRIES NVLYB173$12,8490.00%
477STARBUCKS CORPSBUX133$12,1360.00%
478ABBVIE INCABBV64$11,3730.00%
479DOMINION ENERGY INCD182$9,8030.00%
480YUM BRANDS INCYUM72$9,6600.00%
481TEXAS INSTRUMENTS INC88250810450$9,3760.00%
482SHERWIN WILLIAMS COSHW25$8,4980.00%
483LYONDELLBASELL INDUSTRIES NVLYB103$7,6500.00%
484ECOLAB INCECL30$7,0300.00%
485PFIZER INCPFE250$6,6330.00%
486CAPITAL ONE FINANCIAL CORP14040H10510$1,7830.00%