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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

UMB Bank, n.a.

Quarter ended Q4 2023 · Filed October 18, 2023 · Accession 0000933429-23-000010

Total Value
$6.23B
Positions
2,434
Other Managers
0
Confidential Omitted
Yes
View on SEC.gov

Holdings (500)

#IssuerTicker / CUSIPSharesValue% of Filing
1BERKSHIRE HATHAWAYBRK-A577$306.7M5.04%
2UMB Financial Corp9027881084,786,835$297.0M4.88%
3Apple IncAAPL1,287,061$220.4M3.62%
4ISHARES464287200507,767$218.1M3.58%
5MICROSOFT CORPMSFT543,148$171.5M2.82%
6BlackRock Fund Advisors464287507499,364$124.5M2.04%
7IDEXX Laboratories Inc45168D104279,842$122.4M2.01%
8ALPHABET INCGOOG834,776$109.2M1.79%
9BlackRock Fund Advisors4642886121,011,357$102.5M1.68%
10TJX Cos Inc/The8725401091,136,502$101.0M1.66%
11Amazon.com IncAMZN755,052$96.0M1.58%
12BlackRock Fund Advisors464287804923,236$87.1M1.43%
13ISHARES46432F8421,299,562$83.6M1.37%
14VANGUARD ETF/USA922908769369,257$78.4M1.29%
15Costco Wholesale Corp22160K105127,761$72.2M1.19%
16Eli Lilly & CoLLY133,439$71.7M1.18%
17JPMorgan Chase & CoVYLD488,750$70.9M1.16%
18UnitedHealth Group IncUNH130,876$66.0M1.08%
19Fastenal CoFAST1,205,231$65.9M1.08%
20Chevron CorpCVX389,144$65.6M1.08%
21PROGRESSIVE CP(OH)743315103426,711$59.4M0.98%
22Intuit IncINTU100,745$51.5M0.85%
23ALPHABET INCGOOG387,784$50.7M0.83%
24Broadcom IncAVGO60,929$50.6M0.83%
25O'Reilly Automotive Inc67103H10755,386$50.3M0.83%
26Home Depot Inc/TheHD164,701$49.8M0.82%
27Vanguard ETF/USA9219438581,134,429$49.6M0.81%
28Exxon Mobil CorpXOM412,499$48.5M0.80%
29Alphabet IncGOOG366,314$48.3M0.79%
30MORGAN STANLEYMS-PQ582,992$47.6M0.78%
31UMB Financial Corp902788108762,707$47.3M0.78%
32Johnson & JohnsonJNJ302,523$47.1M0.77%
33MASTERCARD INCMA113,024$44.7M0.73%
34NVIDIA CorpNVDA94,991$41.3M0.68%
35BlackRock Fund Advisors46432F339309,088$40.7M0.67%
36VISA INCV175,143$40.3M0.66%
37Walmart IncWMT235,662$37.7M0.62%
38Procter & Gamble Co/The742718109254,529$37.1M0.61%
39BlackRock Fund Advisors464287499535,769$37.1M0.61%
40PEPSICO INCPEP217,541$36.9M0.61%
41Berkshire Hathaway IncBRK-A105,112$36.8M0.60%
42MASTERCARD INCMA92,583$36.7M0.60%
43MCDONALD'S CORPMCD138,000$36.4M0.60%
44Eaton Corp PLCETN166,688$35.6M0.58%
45O'Reilly Automotive Inc67103H10739,051$35.5M0.58%
46ISHARES464287655196,910$34.8M0.57%
47Linde PLCLIN87,437$32.6M0.53%
48NEXTERA ENERGY NEE-PW555,047$31.8M0.52%
49VISA INCV134,031$30.8M0.51%
50Costco Wholesale Corp22160K10553,500$30.2M0.50%
51Liberty Global PLCLBTYK1,755,987$30.1M0.49%
52Accenture PLCACN96,591$29.7M0.49%
53Apple IncAAPL171,828$29.4M0.48%
54Berkshire Hathaway IncBRK-A81,850$28.7M0.47%
55TEXAS INSTRUMENTS882508104177,230$28.2M0.46%
56DUKE ENERGY CORPDUKB317,837$28.1M0.46%
57Coca-Cola Co/TheKO500,248$28.0M0.46%
58INTL BUSINESS MCHNINTR192,368$27.0M0.44%
59Lamb Weston Holdings IncLW287,662$26.6M0.44%
60Marriott International Inc/MD571903202128,908$25.3M0.42%
61Tesla IncTSLA100,301$25.1M0.41%
62Union Pacific CorpUNP122,628$25.0M0.41%
63FACEBOOK INCMETA83,048$24.9M0.41%
64Merck & Co IncMRK235,837$24.3M0.40%
65SSGA Funds Management Inc78464A763207,052$23.8M0.39%
66CONAGRA FOODS INCCAG866,328$23.8M0.39%
67Abbott LaboratoriesABLZF243,085$23.5M0.39%
68Danaher Corp23585110292,429$22.9M0.38%
69UTD PARCEL SERVUPS147,086$22.9M0.38%
70BK OF AMERICA CORP060505104832,154$22.8M0.37%
71PARKER-HANNIFINPH58,201$22.7M0.37%
72BlackRock IncBLK34,428$22.3M0.37%
73AMER EXPRESS COAXP146,808$21.9M0.36%
74BOEING COBA-PA103,607$19.9M0.33%
75Honeywell International Inc438516106105,514$19.5M0.32%
76Waters Corp94184810370,147$19.2M0.32%
77AbbVie IncABBV127,425$19.0M0.31%
78TRAVELERS CO INCTRV115,843$18.9M0.31%
79Palo Alto Networks IncPANW78,380$18.4M0.30%
80SALESFORCE.COM INCCRM88,270$17.9M0.29%
81INTL BUSINESS MCHNINTR127,574$17.9M0.29%
82STARBUCKS CORPSBUX196,081$17.9M0.29%
83Caterpillar IncCAT64,671$17.7M0.29%
84EMCOR Group IncEME82,454$17.3M0.28%
85Amphenol Corp032095101198,127$16.6M0.27%
86MICROSOFT CORPMSFT52,435$16.6M0.27%
87Nucor CorpNUE101,952$15.9M0.26%
88DEERE & CODE41,895$15.8M0.26%
89Pfizer IncPFE473,768$15.7M0.26%
90REALTY INCOME CORPO313,791$15.7M0.26%
91ISHARES464287309227,666$15.6M0.26%
92BlackRock Fund Advisors46434G103312,923$14.9M0.24%
93BlackRock Fund Advisors46428762262,822$14.8M0.24%
94Quanta Services Inc74762E10278,261$14.6M0.24%
95ON Semiconductor CorpON155,658$14.5M0.24%
96VANGUARD ETF/USA922042858365,171$14.3M0.24%
97Danaher Corp23585110256,623$14.0M0.23%
98ISHARES/USA46428761452,722$14.0M0.23%
99Schlumberger NVSLB236,784$13.8M0.23%
100Comcast CorpCCZ308,558$13.7M0.22%
101Amgen IncAMGN50,605$13.6M0.22%
102Thermo Fisher Scientific IncTMO26,672$13.5M0.22%
103ServiceNow IncNOW23,861$13.3M0.22%
104Vertex Pharmaceuticals IncVRTX37,978$13.2M0.22%
105iShares ETFs/USA464287440142,073$13.0M0.21%
106ISHARES46428740884,009$12.9M0.21%
107NETFLIX INCNFLX34,095$12.9M0.21%
108BlackRock Fund Advisors464287473123,140$12.8M0.21%
109MCDONALD'S CORPMCD48,194$12.7M0.21%
110BlackRock Fund Advisors464287465183,461$12.6M0.21%
111Canadian Pacific Kansas City LCP169,158$12.6M0.21%
112CISCO SYSTEMSCSCO233,956$12.6M0.21%
113PHILIP MORRIS INTL718172109132,994$12.3M0.20%
114Prologis IncPLDGP109,579$12.3M0.20%
115First Trust Advisors LP33738D101456,699$12.1M0.20%
116Procter & Gamble Co/The74271810979,984$11.7M0.19%
117VERIZON COMMUNVZ358,220$11.6M0.19%
118Dimensional ETF Trust25434V708435,634$11.4M0.19%
119Jacobs Solutions IncJ81,888$11.2M0.18%
120Vanguard ETF/USA92290874480,846$11.2M0.18%
121American Water Works Co Inc03042010389,708$11.1M0.18%
122Alphabet IncGOOG84,041$11.1M0.18%
123WELLS FARGO & CO949746101266,031$10.9M0.18%
124MCKESSON CORPMCK24,805$10.8M0.18%
125Linde PLCLIN28,820$10.7M0.18%
126CONOCOPHILLIPSCOP88,427$10.6M0.17%
127Dimensional ETF Trust25434V708387,565$10.2M0.17%
128BlackRock Fund Advisors464287481109,509$10.0M0.16%
129Gilead Sciences IncGILD130,653$9.8M0.16%
130WisdomTree Asset Management IncWT193,722$9.7M0.16%
131Thermo Fisher Scientific IncTMO18,995$9.6M0.16%
132ISHARES TRUST46428759862,943$9.6M0.16%
133Booking Holdings IncBKNG3,015$9.3M0.15%
134TJX Cos Inc/The872540109103,846$9.2M0.15%
135BlackRock Fund Advisors46428768937,636$9.2M0.15%
136AbbVie IncABBV61,322$9.1M0.15%
137CINTAS CORPCTAS18,549$8.9M0.15%
138Paychex IncPAYX77,051$8.9M0.15%
139Eli Lilly & CoLLY16,220$8.7M0.14%
140EMERSON ELECTRICEMR89,556$8.6M0.14%
141ISHARES GOLD TRUSTIAU244,208$8.5M0.14%
142ISHARES/USA46428788777,851$8.5M0.14%
143Bausch Health Cos Inc0717341071,037,746$8.5M0.14%
144Brown & Brown IncBRO121,040$8.5M0.14%
145ORACLE CORPORCL-PD74,581$7.9M0.13%
146Amazon.com IncAMZN61,922$7.9M0.13%
147Johnson & JohnsonJNJ50,497$7.9M0.13%
148Vanguard Group Inc/The922907746163,344$7.9M0.13%
149Liberty Global PLCLBTYK422,820$7.8M0.13%
150GOLDMAN SACHS GRPGSCE23,659$7.7M0.13%
151BlackRock Fund Advisors464288646149,889$7.5M0.12%
152VANGUARD ETF/USA92190884447,527$7.4M0.12%
153RTX CorpRTX101,865$7.3M0.12%
154BRISTOL-MYRS SQUIBCELG-RI123,221$7.2M0.12%
155VF CorpVFC399,716$7.1M0.12%
156KRAFT FOODS INC609207105101,472$7.0M0.12%
157Northern Trust Investments IncFLEX328,877$7.0M0.12%
158State Street ETF/USASPY16,259$7.0M0.11%
159Intuitive Surgical IncISRG23,167$6.8M0.11%
160Commerce Bancshares Inc/MOCBSH138,848$6.7M0.11%
161Chipotle Mexican Grill IncCMG3,555$6.5M0.11%
162Delta Air Lines IncDAL172,823$6.4M0.11%
163Commerce Bancshares Inc/MOCBSH132,961$6.4M0.10%
164WW Grainger Inc3848021049,162$6.3M0.10%
165Vanguard ETF/USA92290855383,598$6.3M0.10%
166US BancorpUSB-PS189,393$6.3M0.10%
167Southern Co/TheSOMN96,365$6.2M0.10%
168Vanguard Group Inc/The92193560760,190$6.2M0.10%
169Broadcom IncAVGO7,432$6.2M0.10%
170BERKSHIRE HATHAWAYBRK-A11$5.8M0.10%
171Mohawk Industries Inc60819010467,467$5.8M0.10%
172Vanguard ETF/USA92193580556,926$5.7M0.09%
173CME Group IncCME27,054$5.4M0.09%
174Walt Disney Co/The25468710666,617$5.4M0.09%
175Invesco Capital Management LLCIVZ91,610$5.4M0.09%
176Vanguard ETF/USA92290851240,624$5.3M0.09%
177Dimensional ETF Trust25434V302233,237$5.3M0.09%
178Vanguard ETF/USA921943858120,258$5.3M0.09%
179Target CorpTGT47,437$5.2M0.09%
180Vanguard Group Inc/The92193783575,073$5.2M0.09%
181OMNICOM GROUP INCOMC68,817$5.1M0.08%
182Coca-Cola Co/TheKO90,336$5.1M0.08%
183Genuine Parts CoGPC33,452$4.8M0.08%
184PENTAIR PLCPNR74,402$4.8M0.08%
185ISHARES46428720011,033$4.7M0.08%
186Vanguard ETF/USA92290873616,991$4.6M0.08%
187NIKE INCNKE48,387$4.6M0.08%
188UnitedHealth Group IncUNH9,068$4.6M0.08%
189Lockheed Martin CorpLMT11,084$4.5M0.07%
190Fastenal CoFAST82,262$4.5M0.07%
191BlackRock Fund Advisors46428827379,093$4.5M0.07%
192SHOPIFY INCSHOP81,419$4.4M0.07%
193Intel CorpINTC122,338$4.3M0.07%
194Vanguard ETF/USA92194681060,750$4.3M0.07%
195BlackRock Fund Advisors46428863888,924$4.3M0.07%
196FEDEX CORPFDX16,314$4.3M0.07%
197Novo Holdings A/SNONOF47,334$4.3M0.07%
198Accenture PLCACN13,837$4.2M0.07%
199JP Morgan ETFs/USA46641Q83784,583$4.2M0.07%
200Phillips 66PSX35,244$4.2M0.07%
201Vanguard ETF/USA92290873615,325$4.2M0.07%
202ISHARES46428787945,079$4.0M0.07%
203Leggett & Platt IncLEG153,186$3.9M0.06%
204JPMorgan Chase & CoVYLD26,646$3.9M0.06%
205CHUBB LIMITED COMCB18,304$3.8M0.06%
206Exxon Mobil CorpXOM32,254$3.8M0.06%
207PEPSICO INCPEP22,330$3.8M0.06%
208ILLINOIS TOOL WKS45230810916,426$3.8M0.06%
209ALTRIA GROUP INCMO89,595$3.8M0.06%
210VANGUARD9229083639,566$3.8M0.06%
211Digital Realty Trust Inc25386810330,472$3.7M0.06%
212Adobe IncADBE7,194$3.7M0.06%
213PACCAR INCPCAR42,630$3.6M0.06%
214LIBERTY PLCLBTYK211,409$3.6M0.06%
215Chevron CorpCVX21,116$3.6M0.06%
216QUALCOMM IncQCOM31,927$3.5M0.06%
217Kinder Morgan IncEP-PC212,370$3.5M0.06%
218Union Pacific CorpUNP17,243$3.5M0.06%
219State Street ETF/USASPY8,046$3.4M0.06%
220Vanguard Group Inc/The92193540935,371$3.4M0.06%
221ORACLE CORPORCL-PD32,051$3.4M0.06%
222Marathon Petroleum CorpMARA22,332$3.4M0.06%
223VANGUARD ETF/USA92290861121,124$3.4M0.06%
224WELLS FARGO & CO94974610181,300$3.3M0.05%
225Air Products and Chemicals IncAIIR11,634$3.3M0.05%
226Nuveen ETFs/USANU118,299$3.2M0.05%
227WASTE MANAGEMENT94106L10921,187$3.2M0.05%
228LOWE'S COS INC54866110715,288$3.2M0.05%
229Vanguard Group Inc/The92193550827,464$3.1M0.05%
230AUTOMATIC DATA PROCESSINGADP12,913$3.1M0.05%
231CISCO SYSTEMSCSCO57,337$3.1M0.05%
232Abbott LaboratoriesABLZF31,627$3.1M0.05%
233Nuveen ETFs/USANU50,236$3.0M0.05%
234American Electric Power Co Inc02553710139,640$3.0M0.05%
235AT&T INCT-PC197,171$3.0M0.05%
236AUTOMATIC DATA PROCESSINGADP12,234$2.9M0.05%
237DEERE & CODE7,774$2.9M0.05%
238iShares ETFs/USA46428722630,843$2.9M0.05%
2395TH THIRD BANCORPFITBM113,592$2.9M0.05%
240Sherwin-Williams Co/TheSHW11,138$2.8M0.05%
241S&P Global IncSPGI7,617$2.8M0.05%
242ISHARES46428763020,483$2.8M0.05%
243Eagle Materials Inc26969P10816,673$2.8M0.05%
244Globe Life IncGL-PD25,458$2.8M0.05%
245Walt Disney Co/The25468710634,114$2.8M0.05%
246CVS Health CorpCVS39,347$2.7M0.05%
247SELECT SECTOR SPDR81369Y50630,379$2.7M0.05%
248TEXAS INSTRUMENTS88250810417,131$2.7M0.04%
249COLGATE-PALMOLIVECL37,488$2.7M0.04%
250ISHARES46428724224,754$2.5M0.04%
251DENTSPLY SIRONA XRAY73,668$2.5M0.04%
252Merck & Co IncMRK24,057$2.5M0.04%
253iShares ETFs/USA46435U85370,525$2.4M0.04%
254AMER EXPRESS COAXP16,372$2.4M0.04%
255CONOCOPHILLIPSCOP19,929$2.4M0.04%
256Nuveen ETFs/USANU70,760$2.4M0.04%
257VANGUARD GROUP92193782730,399$2.3M0.04%
258Vanguard ETF/USA92290853811,571$2.3M0.04%
259VANGUARD ETF/USA92204274224,016$2.2M0.04%
260Direxion ETFs/USA25460E30775,288$2.2M0.04%
261KONTOOR BRANDS INC COM NPV WIKTB50,241$2.2M0.04%
262Vanguard ETF/USA92290862910,491$2.2M0.04%
263Pfizer IncPFE64,960$2.2M0.04%
264Verisk Analytics IncVRSK9,101$2.2M0.04%
265EMERSON ELECTRICEMR22,052$2.1M0.03%
266Nuveen ETFs/USANU100,565$2.1M0.03%
267Arthur J Gallagher & Co3635761099,286$2.1M0.03%
2683M CoMMM22,280$2.1M0.03%
269Pfizer IncZTS11,964$2.1M0.03%
270Allstate Corp/TheALL-PJ18,647$2.1M0.03%
271KIMBERLY-CLARK CPKMB16,754$2.0M0.03%
272BHP BILLITON LTDBHPLF35,434$2.0M0.03%
273VANGUARD9229083635,110$2.0M0.03%
274ENBRIDGE INCENNPF60,054$2.0M0.03%
275Amgen IncAMGN7,275$2.0M0.03%
276Invesco ETFs/USAIVZ5,427$1.9M0.03%
277ILLINOIS TOOL WKS4523081098,394$1.9M0.03%
278Booking Holdings IncBKNG625$1.9M0.03%
279ISHARES TRUST46428745723,739$1.9M0.03%
280BECTON DICKINSONBDX7,432$1.9M0.03%
281BlackRock Fund Advisors46428760626,545$1.9M0.03%
282Microchip Technology IncMCHPP24,418$1.9M0.03%
283Equity Bancshares IncEQBK79,152$1.9M0.03%
284Dropbox IncDBX69,940$1.9M0.03%
285Intuit IncINTU3,714$1.9M0.03%
286ADVANCED MICRO DEVAMD18,324$1.9M0.03%
287ECOLAB INCECL11,100$1.9M0.03%
288STATE STREET ETF/USAMDY4,085$1.9M0.03%
289Valero Energy CorpVLO13,118$1.9M0.03%
290Cable One IncCABO3,002$1.8M0.03%
291Comcast CorpCCZ41,500$1.8M0.03%
292Alliant Energy CorpLNT37,302$1.8M0.03%
293ANALOG DEVICES INCADI10,266$1.8M0.03%
294Caterpillar IncCAT6,549$1.8M0.03%
295First Trust Advisors LP33738D10167,100$1.8M0.03%
296CrossFirst Bankshares Inc22766M109174,981$1.8M0.03%
297United Rentals IncURI3,916$1.7M0.03%
298Citigroup IncC-PR41,324$1.7M0.03%
299GOLDMAN SACHS GRPGSCE5,228$1.7M0.03%
300Aflac IncAFL21,765$1.7M0.03%
301Adobe IncADBE3,273$1.7M0.03%
302Walmart IncWMT10,398$1.7M0.03%
303VANGUARD ETF/USA92190884410,701$1.7M0.03%
304Jack Henry & Associates Inc42628110110,947$1.7M0.03%
305WASTE MANAGEMENT94106L10910,653$1.6M0.03%
306PNC Financial Services Group I69347510513,188$1.6M0.03%
307iShares ETFs/USA46435U54935,356$1.6M0.03%
308ROPER INDUSTRIES INCROP3,307$1.6M0.03%
309Constellation Brands IncSTZ6,370$1.6M0.03%
310Dow IncDOW30,990$1.6M0.03%
311Saia IncSAIA4,000$1.6M0.03%
312Air Products and Chemicals IncAIIR5,602$1.6M0.03%
313GENERAL MILLS INC37033410424,738$1.6M0.03%
314BlackRock Fund Advisors46428770515,463$1.6M0.03%
315LOWE'S COS INC5486611077,505$1.6M0.03%
316BlackRock Fund Advisors46428653329,235$1.6M0.03%
317Charles Schwab Corp/TheSCHW-PJ28,370$1.6M0.03%
318BK OF MONTREAL06367110118,334$1.5M0.03%
319Norfolk Southern Corp6558441087,846$1.5M0.03%
320VANGUARD ETF/USA92204285839,047$1.5M0.03%
321NVIDIA CorpNVDA3,517$1.5M0.03%
322Vanguard ETF/USA9229085956,985$1.5M0.02%
323Dover CorpDOV10,660$1.5M0.02%
324Shell PLCRYDAF22,992$1.5M0.02%
325ECOLAB INCECL8,573$1.5M0.02%
326INDEXIQ ETF TRUST/USA45409B10748,271$1.4M0.02%
327ISHARES TR46429B68922,131$1.4M0.02%
328Vanguard ETF/USA92191073319,183$1.4M0.02%
329KRAFT FOODS INC60920710520,699$1.4M0.02%
330West Pharmaceutical Services I9553061053,825$1.4M0.02%
331American Century ETF Trust02507237232,254$1.4M0.02%
332Highwoods Properties Inc43128410867,926$1.4M0.02%
333Clorox Co/TheCLX10,577$1.4M0.02%
334Lightwave Logic IncLWLG310,092$1.4M0.02%
335Stryker CorpSYK5,030$1.4M0.02%
336ROCKWELL AUTOMATIONROK4,726$1.4M0.02%
337Home Depot Inc/TheHD4,433$1.3M0.02%
338BlackRock Fund Advisors46429B69718,367$1.3M0.02%
339Aflac IncAFL17,255$1.3M0.02%
340Principal ETFs/USA74255Y88878,325$1.3M0.02%
341Blackstone IncBX12,282$1.3M0.02%
342PIONEER NATURAL RESOURCE7237871075,703$1.3M0.02%
343NextEra Energy Equity PartnersNEE-PW44,070$1.3M0.02%
344Truist Financial Corp89832Q10945,730$1.3M0.02%
345American Century ETF Trust02507270323,393$1.3M0.02%
346QUALCOMM IncQCOM11,620$1.3M0.02%
347BlackRock Fund Advisors4642876485,755$1.3M0.02%
348NEXTERA ENERGY NEE-PW22,211$1.3M0.02%
349Vanguard ETF/USA9229086296,048$1.3M0.02%
350Merk ETFs/USAOUNZ69,969$1.3M0.02%
351APPLIED MATERIALS0382221058,926$1.2M0.02%
352American Century ETF Trust02507288516,780$1.2M0.02%
353Medtronic PLCMDT15,654$1.2M0.02%
354SPDR DOW JONES IND78467X1093,635$1.2M0.02%
355Consolidated Edison IncED14,212$1.2M0.02%
356DOMINION RES(VIR)D27,093$1.2M0.02%
357BlackRock Fund Advisors46428760616,742$1.2M0.02%
358Evergy IncEVRG23,640$1.2M0.02%
359FACEBOOK INCMETA3,970$1.2M0.02%
360TORONTO-DOMINIONTORO19,644$1.2M0.02%
361General Electric Co36960430110,571$1.2M0.02%
362Heartland Financial USA Inc42234Q10239,673$1.2M0.02%
363BlackRock Fund Advisors4642875074,628$1.2M0.02%
364Cigna Group/The1255231003,911$1.1M0.02%
365Invesco Capital Management LLCIVZ52,220$1.1M0.02%
366Archer-Daniels-Midland CoADM14,518$1.1M0.02%
367Marathon Petroleum CorpMPLXP30,664$1.1M0.02%
368Vanguard Group Inc/The92290774622,666$1.1M0.02%
369Public StoragePSA-PS4,132$1.1M0.02%
370RTX CorpRTX15,107$1.1M0.02%
371Perrigo Co PLCPRGO33,947$1.1M0.02%
372Microchip Technology IncMCHPP13,877$1.1M0.02%
373NXP Semiconductors NVNXPI5,352$1.1M0.02%
374ServiceNow IncNOW1,905$1.1M0.02%
375VANGUARD ETF/USA92206C40914,000$1.1M0.02%
376Casey's General Stores Inc1475281033,868$1.1M0.02%
377Vanguard Group Inc/The9229086527,319$1.0M0.02%
378INTERCONTINENTAL EXCHANGE45866F1049,517$1.0M0.02%
379Elevance Health IncELV2,393$1.0M0.02%
380iShares ETFs/USA4642886619,200$1.0M0.02%
381BlackRock Fund Advisors46429B69714,270$1.0M0.02%
382Vanguard ETF/USA92191072520,420$1.0M0.02%
383T Rowe Price Group IncTROW9,761$1.0M0.02%
384VANGUARD WHITEHALL9219464069,879$1.0M0.02%
385HERSHEY CO (THE)HSY5,061$1.0M0.02%
386American Century ETF Trust02507280217,490$1.0M0.02%
387Quanta Services Inc74762E1025,402$1.0M0.02%
388VERIZON COMMUNVZ30,729$995,9270.02%
389VANGUARD ETF/USA92193781913,720$992,0930.02%
390Crown Castle IncCCI10,749$989,2300.02%
391FISERV INCFISV8,708$983,6560.02%
392Hexcel Corp42829110815,093$983,1580.02%
393American Tower Corp03027X1005,936$976,1750.02%
394IDEXX Laboratories Inc45168D1042,232$975,9870.02%
395Nuveen ETFs/USANU27,792$967,7170.02%
396Vanguard ETF/USA9229087447,002$965,7860.02%
397CSX CORPCSX31,113$956,7250.02%
398WATSCO INCWSO-B2,530$955,6320.02%
399SEMPRA ENERGYSREA14,000$952,4200.02%
400Autodesk IncADSK4,593$950,3380.02%
401MCCORMICK & CO INCMKC-V12,486$944,4410.02%
402iShares ETFs/USA46435G19343,106$937,9870.02%
403BlackRock Fund Advisors46432F38810,323$936,5030.02%
404Norfolk Southern Corp6558441084,739$933,2510.02%
405EOG Resources IncEOG7,309$926,4890.02%
406ROCKWELL AUTOMATIONROK3,230$923,3600.02%
407PPG Industries Inc6935061077,040$913,7920.02%
408BlackRock Fund Advisors4642877059,046$913,0130.01%
409Principal Financial Group IncPFG12,519$902,2440.01%
410Phillips 66PSX7,506$901,8460.01%
411PPG Industries Inc6935061076,912$897,1780.01%
412MCCORMICK & CO INCMKC-V11,737$887,7870.01%
4133M CoMMM9,431$882,9300.01%
414Crowdstrike Holdings IncCRWD5,257$879,9170.01%
415Unilever PLCUNLYF17,589$868,8970.01%
416WW Grainger Inc3848021041,243$859,9570.01%
417Weyerhaeuser CoWY27,838$853,5130.01%
418TRACTOR SUPPLY COTSCO4,159$844,4850.01%
419ISHARES46432F84213,080$841,6980.01%
420Northern Trust Investments IncFLEX17,318$838,7510.01%
421BRISTOL-MYRS SQUIBCELG-RI14,435$837,8070.01%
422BlackRock Fund Advisors46432F3965,913$826,0460.01%
423NIKE INCNKE8,617$823,9580.01%
424Genuine Parts CoGPC5,705$823,6880.01%
425SELECT SECTOR SPDR81369Y2096,396$823,4210.01%
426Charles Schwab Investment Management Inc80852430011,303$821,9540.01%
427NETFLIX INCNFLX2,160$815,6160.01%
428PROGRESSIVE CP(OH)7433151035,842$813,7910.01%
429DIAGEODGEAF5,437$811,0920.01%
430Nuveen ETFs/USANU30,734$805,8450.01%
431PayPal Holdings IncPYPL13,700$800,9020.01%
432Invesco ETFs/USAIVZ29,000$794,6000.01%
433STARBUCKS CORPSBUX8,658$790,2160.01%
434American Tower Corp03027X1004,789$787,5510.01%
435GENERAL MILLS INC37033410412,243$783,4300.01%
436Vanguard ETF/USA92204277515,013$778,7240.01%
437Invesco Capital Management LLCIVZ52,058$778,2670.01%
438American Century ETF Trust02507236415,969$768,7880.01%
439Nucor CorpNUE4,892$764,8640.01%
440DaVita IncDVA8,086$764,3700.01%
441Walgreens Boots Alliance Inc93142710834,356$764,0770.01%
442PULTE HOMES INC74586710110,299$762,6410.01%
443FISERV INCFISV6,717$758,7520.01%
444Synopsys IncSNPS1,648$756,3830.01%
445Stryker CorpSYK2,737$747,9400.01%
446Dover CorpDOV5,360$747,7740.01%
447Invesco ETFs/USAIVZ2,087$747,7090.01%
448Enterprise Products Partners L29379210727,314$747,5840.01%
449PTC IncPTC5,250$743,8200.01%
450Novartis AGNVSEF7,295$743,0690.01%
451BK OF AMERICA CORP06050510427,115$742,4090.01%
452PHILIP MORRIS INTL7181721098,000$740,6400.01%
453Plains All American Pipeline L72650310548,125$737,2750.01%
454First Trust Advisors LP33739E10845,814$731,6500.01%
455Intel CorpINTC20,560$730,9080.01%
456Enterprise Products Partners L29379210726,692$730,5600.01%
457DR HORTON INC23331A1096,768$727,3570.01%
458Elevance Health IncELV1,664$724,5390.01%
459Entergy CorpENO7,820$723,3500.01%
460Edwards Lifesciences CorpEW10,318$714,8310.01%
461DISCOVER FINL SVCS2547091088,212$711,4060.01%
462United Rentals IncURI1,561$693,9740.01%
463iShares ETFs/USA46428824014,684$690,2950.01%
464Jacobs Solutions IncJ5,018$684,9570.01%
465SELECT SECTOR SPDR81369Y8034,162$682,2770.01%
466Fortive CorpFTV9,150$678,5640.01%
467BP PLCBPPFF17,466$676,2840.01%
468Devon Energy Corp25179M10314,114$673,2380.01%
469KLA CorpKLAC1,449$664,5980.01%
470Target CorpTGT6,002$663,6410.01%
471iShares ETFs/USA46435G24327,781$660,3540.01%
472CINTAS CORPCTAS1,372$659,9460.01%
473BlackRock Fund Advisors46428863813,372$650,5480.01%
474CSX CORPCSX21,082$648,2720.01%
475MOODYS CORPMCO2,050$648,1490.01%
476Archer-Daniels-Midland CoADM8,556$645,2940.01%
477SOUTHWEST AIRLINES84474110823,630$639,6640.01%
478Corteva IncCTVA12,439$636,3790.01%
479PayPal Holdings IncPYPL10,864$635,1090.01%
480KIMBERLY-CLARK CPKMB5,214$630,1120.01%
481General Electric Co3696043015,673$627,1500.01%
482ZIMMER HLDGS INCZBH5,458$612,4970.01%
483Medtronic PLCMDT7,751$607,3680.01%
484Cigna Group/The1255231002,118$605,8960.01%
485AstraZeneca PLCAZN8,947$605,8910.01%
486LyondellBasell Industries NVLYB6,323$598,7880.01%
487YUM BRANDS INCYUM4,682$584,9690.01%
488Kraft Heinz Co/TheKHC17,343$583,4190.01%
489CDW Corp/DECDW2,874$579,8580.01%
490Ross Stores IncROST5,102$576,2710.01%
491GEN DYNAMICS CORPGD2,601$574,7430.01%
492Vanguard ETF/USA9229087513,032$573,2600.01%
493Murphy Oil CorpMUR12,637$573,0880.01%
494Sysco CorpSYY8,617$569,1530.01%
495BlackRock Fund Advisors4642885886,374$566,0110.01%
496Sysco CorpSYY8,563$565,5860.01%
497BAXTER INTL INC07181310914,685$554,2120.01%
498ISHARES4642874083,565$548,4400.01%
499Aon PLCAON1,687$546,9590.01%
500UTD PARCEL SERVUPS3,505$546,3240.01%