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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 2024 · Filed January 16, 2025 · Accession 0000933429-25-000005

Total Value
$6.32B
Positions
2,930
Other Managers
0
Confidential Omitted
Yes
View on SEC.gov

Holdings (500)

#IssuerTicker / CUSIPSharesValue% of Filing
1UMB Financial Corp9027881083,663,991$413.5M6.69%
2ISHARES464287200546,683$321.8M5.21%
3Apple IncAAPL1,251,114$313.3M5.07%
4MICROSOFT CORPMSFT496,701$209.4M3.39%
5NVIDIA CorpNVDA1,394,540$187.3M3.03%
6Amazon.com IncAMZN701,013$153.8M2.49%
7BlackRock Fund Advisors4642875072,332,650$145.3M2.35%
8ALPHABET INCGOOG754,606$142.8M2.31%
9BERKSHIRE HATHAWAYBRK-A208$141.6M2.29%
10BlackRock Fund Advisors4642886121,113,837$116.1M1.88%
11JPMorgan Chase & CoVYLD451,128$108.1M1.75%
12Broadcom IncAVGO442,317$102.5M1.66%
13PROGRESSIVE CP(OH)743315103426,929$102.3M1.66%
14ISHARES46432F8421,388,305$97.6M1.58%
15BlackRock Fund Advisors464287804782,949$90.2M1.46%
16UMB Financial Corp902788108744,791$84.1M1.36%
17Costco Wholesale Corp22160K10589,174$81.7M1.32%
18Meta Platforms IncMETA138,687$81.2M1.31%
19BlackRock Fund Advisors46432F339430,332$76.6M1.24%
20Eli Lilly & CoLLY91,740$70.8M1.15%
21Home Depot Inc/TheHD165,659$64.4M1.04%
22Berkshire Hathaway IncBRK-A139,497$63.2M1.02%
23BlackRock Fund Advisors464287499703,010$62.1M1.01%
24Tesla IncTSLA150,587$60.8M0.98%
25Walmart IncWMT632,370$57.1M0.92%
26MASTERCARD INCMA106,697$56.2M0.91%
27Chevron CorpCVX364,965$52.9M0.86%
28Vanguard ETF/USA9219438581,045,439$50.0M0.81%
29Eaton Corp PLCETN143,573$47.6M0.77%
30Procter & Gamble Co/The742718109273,659$45.9M0.74%
31VISA INCV142,191$44.9M0.73%
32Exxon Mobil CorpXOM404,960$43.6M0.70%
33UnitedHealth Group IncUNH83,338$42.2M0.68%
34Johnson & JohnsonJNJ289,666$41.9M0.68%
35NEXTERA ENERGYNEE-PW576,553$41.3M0.67%
36O'Reilly Automotive Inc67103H10731,359$37.2M0.60%
37ISHARES464287655166,719$36.8M0.60%
38PARKER-HANNIFINPH57,604$36.6M0.59%
39MCDONALD'S CORPMCD122,059$35.4M0.57%
40TJX Cos Inc/The872540109289,835$35.0M0.57%
41ORACLE CORPORCL-PD204,575$34.1M0.55%
42Linde PLCLIN81,104$34.0M0.55%
43BK OF AMERICA CORP060505104734,159$32.3M0.52%
44NETFLIX INCNFLX33,901$30.2M0.49%
45TEXAS INSTRUMENTS882508104158,553$29.7M0.48%
46Salesforce IncCRM86,898$29.1M0.47%
47WELLTOWER INC COMWELL219,908$27.7M0.45%
48Abbott LaboratoriesABLZF238,181$26.9M0.44%
49TRAVELERS CO INCTRV111,815$26.9M0.44%
50Intuit IncINTU40,353$25.4M0.41%
51Union Pacific CorpUNP109,888$25.1M0.41%
52Danaher Corp235851102106,400$24.4M0.40%
53Honeywell International Inc438516106106,981$24.2M0.39%
54CONAGRA FOODS INCCAG859,844$23.9M0.39%
55MORGAN STANLEYMS-PQ186,391$23.4M0.38%
56TJX Cos Inc/The872540109190,518$23.0M0.37%
57LIBERTY GLOBAL LTDLBTYK1,755,987$22.9M0.37%
58Amphenol Corp032095101325,053$22.6M0.37%
59Accenture PLCACN63,654$22.4M0.36%
60Apple IncAAPL88,439$22.1M0.36%
61DUKE ENERGY CORPDUKB188,490$20.3M0.33%
62ISHARES464287309198,922$20.2M0.33%
63Lamb Weston Holdings IncLW289,146$19.3M0.31%
64Intuitive Surgical IncISRG36,638$19.1M0.31%
65Palo Alto Networks IncPANW101,615$18.5M0.30%
66BlackRock Fund Advisors46434G103349,668$18.3M0.30%
67Caterpillar IncCAT50,147$18.2M0.29%
68BlackRock Fund Advisors46428768954,219$18.1M0.29%
69Copart IncCPRT301,375$17.3M0.28%
70SSGA Funds Management Inc78464A763129,532$17.1M0.28%
71BlackRock Fund Advisors46428762251,391$16.6M0.27%
72CME Group IncCME70,946$16.5M0.27%
73Merck & Co IncMRK160,316$15.9M0.26%
74Paychex IncPAYX113,309$15.9M0.26%
75Broadcom IncAVGO66,873$15.5M0.25%
76AbbVie IncABBV86,108$15.3M0.25%
77Alphabet IncGOOG79,834$15.2M0.25%
78Dimensional ETF Trust25434V708424,960$14.7M0.24%
79PEPSICO INCPEP96,036$14.6M0.24%
80ServiceNow IncNOW13,484$14.3M0.23%
81Palantir Technologies IncPLTR188,773$14.3M0.23%
82EMERSON ELECTRICEMR114,698$14.2M0.23%
83Quanta Services Inc74762E10244,701$14.1M0.23%
84Marriott International Inc/MD57190320250,491$14.1M0.23%
85Regions Financial CorpRF-PF596,209$14.0M0.23%
86BlackRock Fund Advisors464287481106,108$13.4M0.22%
87Dimensional ETF Trust25434V708385,924$13.3M0.22%
88Vanguard ETF/USA92290874478,514$13.3M0.22%
89ISHARES46428740866,192$12.6M0.20%
90ISHARES/USA46428761431,340$12.6M0.20%
91CINTAS CORPCTAS68,539$12.5M0.20%
92MICROSOFT CORPMSFT29,502$12.4M0.20%
93Vanguard ETF/USA922907746242,646$12.2M0.20%
94Prologis IncPLDGP114,441$12.1M0.20%
95Thermo Fisher Scientific IncTMO23,232$12.1M0.20%
96First Trust ETFs/USA33738D101337,482$12.0M0.19%
97VANGUARD ETF/USA922042858272,308$12.0M0.19%
98BlackRock Fund Advisors464287465157,830$11.9M0.19%
99Brown & Brown IncBRO115,279$11.8M0.19%
100BlackRock Fund Advisors46428747389,632$11.6M0.19%
101ECOLAB INCECL48,758$11.4M0.18%
102Invesco ETFs/USAIVZ112,925$11.1M0.18%
103BRISTOL-MYRS SQUIBCELG-RI195,515$11.1M0.18%
104Amazon.com IncAMZN49,574$10.9M0.18%
105Zoetis IncZTS66,646$10.9M0.18%
106Comcast CorpCCZ285,857$10.7M0.17%
107INTL BUSINESS MCHNINTR47,814$10.5M0.17%
1082023 ETF Series Trust/The88339Y102365,626$10.2M0.16%
109AUTOMATIC DATA PROCESSINGADP34,673$10.1M0.16%
110ILLINOIS TOOL WKS45230810939,914$10.1M0.16%
111RTX CorpRTX87,259$10.1M0.16%
112Gilead Sciences IncGILD107,693$9.9M0.16%
113CHUBB LIMITED COMCB35,290$9.8M0.16%
114ISHARES GOLD TRUSTIAU196,779$9.7M0.16%
115Alphabet IncGOOG49,027$9.3M0.15%
116SEI INVESTMENTS784117103110,277$9.1M0.15%
117MASTERCARD INCMA17,239$9.1M0.15%
118WW Grainger Inc3848021048,525$9.0M0.15%
119Thermo Fisher Scientific IncTMO16,962$8.8M0.14%
120Commerce Bancshares Inc/MOCBSH136,108$8.5M0.14%
121ISHARES/USA46428788761,800$8.4M0.14%
122Canadian Pacific Kansas City LCP112,548$8.1M0.13%
123KKR & Co IncKKRT53,902$8.0M0.13%
124Commerce Bancshares Inc/MOCBSH125,126$7.8M0.13%
125VF CorpVFC361,241$7.8M0.13%
126Fastenal CoFAST107,547$7.7M0.13%
127ISHARES46428720013,040$7.7M0.12%
128Vanguard ETF/USA92193560758,530$7.6M0.12%
129Sherwin-Williams Co/TheSHW22,367$7.6M0.12%
130Trane Technologies PLCTT20,556$7.6M0.12%
131Lockheed Martin CorpLMT15,461$7.5M0.12%
132WASTE MANAGEMENT94106L10936,479$7.4M0.12%
133BK OF NY MELLON CP06405810095,071$7.3M0.12%
134CONOCOPHILLIPSCOP73,303$7.3M0.12%
135Truist Financial Corp89832Q109167,263$7.3M0.12%
136Raymond James Financial Inc75473010945,122$7.0M0.11%
137ALPHABET INCGOOG36,593$6.9M0.11%
138Amgen IncAMGN26,454$6.9M0.11%
139SSgA Funds Management IncSPY11,708$6.9M0.11%
140Vanguard ETF/USA92193580557,961$6.9M0.11%
141AXON ENTERPRISE INCAXON11,508$6.8M0.11%
142DEERE & CODE16,134$6.8M0.11%
143Vanguard ETF/USA92290873616,235$6.7M0.11%
144WELLS FARGO & CO94974610188,456$6.2M0.10%
145JPMorgan Chase & CoVYLD25,591$6.1M0.10%
146Vanguard ETF/USA92290851237,572$6.1M0.10%
147Public StoragePSA-PS20,265$6.1M0.10%
148CISCO SYSTEMSCSCO101,731$6.0M0.10%
149Autodesk IncADSK20,308$6.0M0.10%
150CoStar Group IncCSGP81,264$5.8M0.09%
151BlackRock Fund Advisors464288646112,276$5.8M0.09%
152APPLIED MATERIALS03822210535,552$5.8M0.09%
153Vanguard ETF/USA92290873613,968$5.7M0.09%
154STRYKER CORPSYK15,885$5.7M0.09%
155Constellation Energy CorpCEG25,139$5.6M0.09%
156Liberty Global LtdLBTYK422,820$5.6M0.09%
157Kinder Morgan IncEP-PC201,182$5.5M0.09%
158Costco Wholesale Corp22160K1055,906$5.4M0.09%
159Coca-Cola Co/TheKO83,300$5.2M0.08%
160iShares ETFs/USA46435U853140,063$5.2M0.08%
161Berkshire Hathaway IncBRK-A11,079$5.0M0.08%
162Invesco Capital Management LLCIVZ71,540$5.0M0.08%
163AMER EXPRESS COAXP16,861$5.0M0.08%
164QUALCOMM IncQCOM32,482$5.0M0.08%
165US BancorpUSB-PS104,130$5.0M0.08%
166Digital Realty Trust Inc25386810328,086$5.0M0.08%
167Southern Co/TheSOMN59,357$4.9M0.08%
168SSgA Funds Management IncSPY8,250$4.8M0.08%
169LPL FINL HLDGS INC50212V10014,702$4.8M0.08%
170ISHARES TRUST46428759825,907$4.8M0.08%
171FlexShares ETFs/USAFLEX205,499$4.8M0.08%
172Accenture PLCACN13,477$4.7M0.08%
173Block IncBSQKZ55,633$4.7M0.08%
174Vanguard ETF/USA92290855353,047$4.7M0.08%
175VANGUARD ETF/USA92290876915,835$4.6M0.07%
176STARBUCKS CORPSBUX49,523$4.5M0.07%
177KONTOOR BRANDS INC COM NPV WIKTB51,061$4.4M0.07%
178Pfizer IncPFE163,323$4.3M0.07%
179Citigroup IncC-PR61,524$4.3M0.07%
180Vanguard ETF/USA92193550826,199$4.3M0.07%
181Vanguard ETF/USA92193540935,711$4.3M0.07%
182Johnson & JohnsonJNJ29,734$4.3M0.07%
183Vanguard ETF/USA92194385887,895$4.2M0.07%
184Fortinet IncFTNT43,630$4.1M0.07%
185Deckers Outdoor CorpDECK20,261$4.1M0.07%
186BERKSHIRE HATHAWAYBRK-A6$4.1M0.07%
187Vanguard ETF/USA92193783555,557$4.0M0.06%
188ISHARES TRUST46428745747,340$3.9M0.06%
189PayPal Holdings IncPYPL45,358$3.9M0.06%
190AT&T INCT-PC167,339$3.8M0.06%
191Walt Disney Co/The25468710633,966$3.8M0.06%
192Phillips 66PSX32,956$3.8M0.06%
193Eagle Materials Inc26969P10815,119$3.7M0.06%
194VERIZON COMMUNVZ93,056$3.7M0.06%
195Adobe IncADBE8,204$3.6M0.06%
196MCDONALD'S CORPMCD12,493$3.6M0.06%
197GOLDMAN SACHS GRPGSCE6,306$3.6M0.06%
198Boston Scientific CorpBSX40,140$3.6M0.06%
199Novo Holdings A/SNONOF41,430$3.6M0.06%
200American Electric Power Co Inc02553710138,482$3.5M0.06%
201BlackRock Fund Advisors46428863868,816$3.5M0.06%
202UnitedHealth Group IncUNH6,972$3.5M0.06%
203Quest Diagnostics IncDGX23,123$3.5M0.06%
204AbbVie IncABBV19,553$3.5M0.06%
205PACCAR INCPCAR33,147$3.4M0.06%
206Hartford Financial Services GrHIG-PG31,506$3.4M0.06%
207VANGUARD ETF/USA92290861117,146$3.4M0.05%
208S&P Global IncSPGI6,771$3.4M0.05%
209ISHARES46428787930,794$3.3M0.05%
210BAKER HUGHES INCBKR81,435$3.3M0.05%
211FEDEX CORPFDX11,849$3.3M0.05%
212Nushares ETF TrustNU110,015$3.3M0.05%
213Marathon Petroleum CorpMARA23,622$3.3M0.05%
214VANGUARD ETF/USA92204274227,929$3.3M0.05%
215Allstate Corp/TheALL-PJ16,863$3.3M0.05%
216Target CorpTGT23,623$3.2M0.05%
217Procter & Gamble Co/The74271810918,783$3.1M0.05%
218Texas Pacific Land CorpTPL2,835$3.1M0.05%
219BOEING COBA-PA17,663$3.1M0.05%
220UTD PARCEL SERVUPS24,332$3.1M0.05%
221MCKESSON CORPMCK5,377$3.1M0.05%
222VANGUARD ETF/USA92190884415,232$3.0M0.05%
223Booking Holdings IncBKNG597$3.0M0.05%
224BlackRock Fund Advisors46428815828,040$3.0M0.05%
225PHILIP MORRIS INTL71817210924,174$2.9M0.05%
226Nushares ETF TrustNU33,522$2.9M0.05%
227Air Products and Chemicals IncAIIR9,320$2.7M0.04%
228Liberty Global LtdLBTYK211,409$2.7M0.04%
229Equity Bancshares IncEQBK61,830$2.6M0.04%
230Vanguard Group Inc/The92290853810,231$2.6M0.04%
231VANGUARD9229083634,787$2.6M0.04%
232Nucor CorpNUE21,485$2.5M0.04%
233ISHARES GOLD TRUSTIAU50,179$2.5M0.04%
234REALTY INCOME CORPO46,142$2.5M0.04%
235Heartland Financial USA Inc42234Q10239,673$2.4M0.04%
236Verisk Analytics IncVRSK8,821$2.4M0.04%
237Vanguard ETF/USA9229086299,192$2.4M0.04%
238Arthur J Gallagher & Co3635761098,529$2.4M0.04%
239HERSHEY CO (THE)HSY14,244$2.4M0.04%
240PNC Financial Services Group I69347510512,415$2.4M0.04%
2413M CoMMM18,015$2.3M0.04%
242LOWE'S COS INC5486611079,395$2.3M0.04%
243Chipotle Mexican Grill IncCMG38,191$2.3M0.04%
244BlackRock Fund Advisors46428827337,830$2.3M0.04%
245VANGUARD9229083634,258$2.3M0.04%
246Eli Lilly & CoLLY2,885$2.2M0.04%
247BlackRock Fund Advisors46428760624,290$2.2M0.04%
248PEPSICO INCPEP14,462$2.2M0.04%
249JP Morgan Investment Management Inc46641Q83743,426$2.2M0.04%
250GEN DYNAMICS CORPGD8,246$2.2M0.04%
251iShares ETFs/USA46435G42516,682$2.1M0.03%
252Chevron CorpCVX14,650$2.1M0.03%
253ANALOG DEVICES INCADI9,922$2.1M0.03%
254NEXTERA ENERGYNEE-PW29,374$2.1M0.03%
255Intuit IncINTU3,324$2.1M0.03%
256VANGUARD ETF/USA92204285847,292$2.1M0.03%
257Abbott LaboratoriesABLZF18,211$2.1M0.03%
258Nushares ETF TrustNU94,415$2.1M0.03%
259Invesco Capital Management LLCIVZ85,285$2.0M0.03%
260CISCO SYSTEMSCSCO33,713$2.0M0.03%
261CrossFirst Bankshares Inc22766M109129,694$2.0M0.03%
262NIKE INCNKE25,809$2.0M0.03%
263Direxion ETFs/USA25460E30768,189$1.9M0.03%
264SELECT SECTOR SPDR81369Y50622,533$1.9M0.03%
265Vanguard ETF/USA92290774637,007$1.9M0.03%
266SELECT SECTOR SPDR81369Y50621,520$1.8M0.03%
267BlackRock Fund Advisors46429B69720,724$1.8M0.03%
268Jack Henry & Associates Inc42628110110,483$1.8M0.03%
269Dover CorpDOV9,772$1.8M0.03%
270WASTE MANAGEMENT94106L1099,053$1.8M0.03%
271Walmart IncWMT20,105$1.8M0.03%
272Blackstone IncBX10,462$1.8M0.03%
273iShares ETFs/USA46435U37457,524$1.8M0.03%
274LIBERTY LATIN AMERICA INCLILAB282,937$1.8M0.03%
275Aflac IncAFL17,181$1.8M0.03%
276Booking Holdings IncBKNG355$1.8M0.03%
277Genuine Parts CoGPC14,961$1.7M0.03%
278United Rentals IncURI2,457$1.7M0.03%
279Caterpillar IncCAT4,752$1.7M0.03%
280iShares ETFs/USA46436E71817,025$1.7M0.03%
281Norfolk Southern Corp6558441087,248$1.7M0.03%
282Aflac IncAFL16,340$1.7M0.03%
283Zoetis IncZTS10,161$1.7M0.03%
284American Water Works Co Inc03042010313,297$1.7M0.03%
285TEXAS INSTRUMENTS8825081048,808$1.7M0.03%
286Vertex Pharmaceuticals IncVRTX4,089$1.6M0.03%
287Saia IncSAIA3,600$1.6M0.03%
288LOWE'S COS INC5486611076,622$1.6M0.03%
289Air Products and Chemicals IncAIIR5,630$1.6M0.03%
290Merk Investments LLCOUNZ64,539$1.6M0.03%
291Vanguard ETF/USA92191073315,562$1.6M0.03%
292American Century ETF Trust02507270326,517$1.6M0.03%
293Amgen IncAMGN6,231$1.6M0.03%
294BlackRock Fund Advisors46428770512,858$1.6M0.03%
295ADVANCED MICRO DEVAMD13,204$1.6M0.03%
296Invesco Capital Management LLCIVZ3,116$1.6M0.03%
297FISERV INCFISV7,733$1.6M0.03%
298Nushares ETF TrustNU40,319$1.6M0.03%
299Walt Disney Co/The25468710614,072$1.6M0.03%
300KIMBERLY-CLARK CPKMB11,916$1.6M0.03%
301ISHARES46428724214,488$1.5M0.03%
302NVIDIA CorpNVDA11,508$1.5M0.03%
303Mondelez International Inc60920710525,518$1.5M0.02%
304BlackRock Fund Advisors46428760616,742$1.5M0.02%
305Exxon Mobil CorpXOM14,118$1.5M0.02%
306INDEXIQ ETF TRUST/USA45409B10748,268$1.5M0.02%
307Mondelez International Inc60920710525,005$1.5M0.02%
308RTX CorpRTX12,894$1.5M0.02%
309Highwoods Properties Inc43128410848,770$1.5M0.02%
310AMER EXPRESS COAXP4,997$1.5M0.02%
311Union Pacific CorpUNP6,503$1.5M0.02%
312Evergy IncEVRG23,957$1.5M0.02%
313Marathon Petroleum CorpMPLXP30,664$1.5M0.02%
314iShares ETFs/USA46428653325,259$1.5M0.02%
315INTERCONTINENTAL EXCHANGE45866F1049,805$1.5M0.02%
316Coca-Cola Co/TheKO23,376$1.5M0.02%
317INTL BUSINESS MCHNINTR6,550$1.4M0.02%
318ISHARES TR46429B68920,244$1.4M0.02%
319WisdomTree Asset Management IncWT28,185$1.4M0.02%
320VANGUARD GROUP92193782718,294$1.4M0.02%
321ISHARES4642876308,606$1.4M0.02%
322American Century ETF Trust02507288514,513$1.4M0.02%
323Quanta Services Inc74762E1024,406$1.4M0.02%
324ORACLE CORPORCL-PD8,282$1.4M0.02%
325Valero Energy CorpVLO11,250$1.4M0.02%
326ECOLAB INCECL5,882$1.4M0.02%
327Autodesk IncADSK4,581$1.4M0.02%
328AUTOMATIC DATA PROCESSINGADP4,621$1.4M0.02%
329BlackRock Fund Advisors4642876484,637$1.3M0.02%
330IDEXX Laboratories Inc45168D1043,182$1.3M0.02%
331VISA INCV4,155$1.3M0.02%
332Microchip Technology IncMCHPP22,872$1.3M0.02%
333West Pharmaceutical Services I9553061053,958$1.3M0.02%
334Pfizer IncPFE48,190$1.3M0.02%
335VANGUARD WHITEHALL9219464069,879$1.3M0.02%
336Vanguard Group Inc/The9229085954,458$1.2M0.02%
337VANGUARD ETF/USA9229087694,288$1.2M0.02%
338BECTON DICKINSONBDX5,465$1.2M0.02%
339General Electric Co3696043017,346$1.2M0.02%
340Mohawk Industries Inc60819010410,216$1.2M0.02%
341PROGRESSIVE CP(OH)7433151035,076$1.2M0.02%
342GENERAL MILLS INC37033410418,767$1.2M0.02%
343DISCOVER FINL SVCS2547091086,865$1.2M0.02%
344Cigna Group/The1255231004,292$1.2M0.02%
345SEMPRA ENERGYSREA13,294$1.2M0.02%
346PULTE HOMES INC74586710110,696$1.2M0.02%
347PHILIP MORRIS INTL7181721099,656$1.2M0.02%
348Vanguard ETF/USA92191072520,420$1.2M0.02%
349WATSCO INCWSO-B2,410$1.1M0.02%
350BP PLCBPPFF38,627$1.1M0.02%
351Intel CorpINTC56,796$1.1M0.02%
352BlackRock Fund Advisors4642877059,046$1.1M0.02%
353FlexShares ETFs/USAFLEX20,713$1.1M0.02%
354Meta Platforms IncMETA1,898$1.1M0.02%
355American Century ETF Trust02507237223,921$1.1M0.02%
356Constellation Brands IncSTZ4,975$1.1M0.02%
357Virtus ETF Trust II92790A40545,805$1.1M0.02%
358TCW Etf Trust29287L70028,231$1.1M0.02%
359Norfolk Southern Corp6558441084,649$1.1M0.02%
360Nushares ETF TrustNU25,758$1.1M0.02%
361DTE Energy CoDTK8,928$1.1M0.02%
362LIBERTY LATIN AMERICA INCLILAB169,415$1.1M0.02%
363BK OF AMERICA CORP06050510424,443$1.1M0.02%
364Ameriprise Financial Inc03076C1062,015$1.1M0.02%
365ROPER INDUSTRIES INCROP2,055$1.1M0.02%
366PENTAIR PLCPNR10,582$1.1M0.02%
367Comcast CorpCCZ28,235$1.1M0.02%
368TRACTOR SUPPLY COTSCO19,900$1.1M0.02%
369Guggenheim ETFs/USAGOF69,122$1.1M0.02%
370American Century ETF Trust02507280216,144$1.1M0.02%
371Clorox Co/TheCLX6,433$1.0M0.02%
372Palantir Technologies IncPLTR13,808$1.0M0.02%
373Alliant Energy CorpLNT17,543$1.0M0.02%
374BlackRock Fund Advisors46428722610,666$1.0M0.02%
375O'Reilly Automotive Inc67103H107870$1.0M0.02%
376SELECT SECTOR SPDR81369Y8034,396$1.0M0.02%
377American Tower Corp03027X1005,501$1.0M0.02%
378Invesco Capital Management LLCIVZ5,756$1.0M0.02%
379Casey's General Stores Inc1475281032,542$1.0M0.02%
380Principal Exchange-Traded Fund74255Y88854,005$1.0M0.02%
381BK OF MONTREAL06367110110,308$1.0M0.02%
382AES CORPAES76,977$990,6940.02%
383BANK OF AMERICA CORP060505682798$972,9620.02%
384Preferred Income Funds/Closed-33848010686,373$970,8330.02%
385NXP Semiconductors NVNXPI4,581$952,1610.02%
386Charles Schwab Investment Management Inc80852430034,094$950,2000.02%
387CSX CORPCSX29,078$938,3470.02%
388CSX CORPCSX28,970$934,8620.02%
389ROCKWELL AUTOMATIONROK3,236$924,8160.01%
390STRYKER CORPSYK2,556$920,2880.01%
391CINTAS CORPCTAS5,011$915,5100.01%
392BROOKFIELD INFRASTRUCTURE PARTG1625210128,774$914,7250.01%
393Home Depot Inc/TheHD2,340$910,2370.01%
394American Century ETF Trust02507236417,454$905,8630.01%
395Hexcel Corp42829110814,343$899,3060.01%
396COLGATE-PALMOLIVECL9,834$894,0090.01%
397PPG Industries Inc6935061077,418$886,0800.01%
398EOG Resources IncEOG7,225$885,6410.01%
399BlackRock Fund Advisors4642885889,544$874,9940.01%
400AstraZeneca PLCAZN13,346$874,4300.01%
401Enterprise Products Partners L29379210727,816$872,3100.01%
402Charles Schwab Corp/TheSCHW-PJ11,732$868,2850.01%
403Fastenal CoFAST11,965$860,4030.01%
404Enterprise Products Partners L29379210727,314$856,5670.01%
405Adobe IncADBE1,922$854,6750.01%
406Invesco ETFs/USAIVZ29,000$849,7000.01%
407Dow IncDOW21,147$848,6290.01%
408Sysco CorpSYY11,028$843,2010.01%
409Vanguard Group Inc/The9229086524,417$839,1420.01%
410Danaher Corp2358511023,605$827,5280.01%
411PPG Industries Inc6935061076,920$826,5940.01%
412Synopsys IncSNPS1,692$821,2290.01%
413DOMINION RES(VIR)D15,210$819,2110.01%
414Entergy CorpENO10,792$818,2490.01%
415ENBRIDGE INCENNPF19,272$817,7110.01%
416TORONTO-DOMINIONTORO15,351$817,2870.01%
417NETFLIX INCNFLX901$803,0790.01%
418American Century ETF Trust02507234912,013$802,1080.01%
419DEERE & CODE1,892$801,6400.01%
420QUALCOMM IncQCOM5,210$800,3600.01%
421Consolidated Edison IncED8,952$798,7870.01%
422T Rowe Price Group IncTROW6,949$785,8620.01%
423PayPal Holdings IncPYPL9,160$781,8060.01%
424Frontier TopCo Partnership LP50012A10819,142$781,5680.01%
425Vanguard ETF/USA92204277513,596$780,5460.01%
426BlackRock Fund Advisors46429B26733,862$778,1490.01%
427CONOCOPHILLIPSCOP7,783$771,8400.01%
428BlackRock Fund Advisors46428824014,684$765,9170.01%
429MOODYS CORPMCO1,606$760,2320.01%
430BlackRock Fund Advisors46429B6978,499$754,6260.01%
431Selectquote IncSLQT200,000$744,0000.01%
432Public Service Enterprise Grou7445731068,718$736,5840.01%
433Lightwave Logic IncLWLG347,092$728,8930.01%
434MCCORMICK & CO INCMKC-V9,502$724,4320.01%
435COLGATE-PALMOLIVECL7,949$722,6440.01%
436ServiceNow IncNOW681$721,9420.01%
437iShares ETFs/USA46435G4255,576$718,3000.01%
438United Rentals IncURI1,017$716,4150.01%
439DR HORTON INC23331A1095,095$712,3830.01%
440VANGUARD ETF/USA9219378199,523$711,6540.01%
441Charles Schwab Corp/TheSCHW-PJ9,553$707,0180.01%
442CONAGRA FOODS INCCAG25,317$702,5470.01%
443Iron Mountain Inc46284V1016,664$700,4530.01%
444IDEXX Laboratories Inc45168D1041,657$685,0700.01%
445Jacobs Solutions IncJ5,126$684,9360.01%
446JBS Wisconsin Properties LLCPPC15,011$681,3490.01%
447ISHARES4642874083,565$680,4870.01%
448TSMC8740391003,428$676,9960.01%
449iShares ETFs/USA46435U54914,497$673,2410.01%
450BERKLEY(WR)CORPWRB-PH11,462$670,7560.01%
451ILLINOIS TOOL WKS4523081092,644$670,4130.01%
452ONEOK IncOKE6,659$668,5640.01%
453FirstService CorpFSV3,610$653,4820.01%
454EMERSON ELECTRICEMR5,240$649,3930.01%
455MARTIN MARIETTA M.5732841061,257$649,2410.01%
456Schlumberger NVSLB16,693$640,0100.01%
457CUMMINS INCCMI1,824$635,8460.01%
458iShares ETFs/USA46435G24325,603$632,3940.01%
459MCCORMICK & CO INCMKC-V8,260$629,7420.01%
460SoFi Technologies IncSOFI40,644$625,9180.01%
461ALTRIA GROUP INCMO11,869$620,6300.01%
462Crown Castle IncCCI6,780$615,3530.01%
463Weyerhaeuser CoWY21,778$613,0510.01%
464CHARLES SCHWAB INVESTMENT MANAGEMENT INC80852487023,346$603,0270.01%
465SELECT SECTOR SPDR81369Y60512,384$598,5190.01%
466CVS Health CorpCVS13,237$594,2090.01%
467WATSCO INCWSO-B1,236$585,7280.01%
468iShares ETFs/USA46435G19325,729$584,5630.01%
469KLA CorpKLAC922$580,9710.01%
470Merck & Co IncMRK5,837$580,6650.01%
471VANGUARD ETF/USA9219088442,956$578,8730.01%
472Ameriprise Financial Inc03076C1061,083$576,6220.01%
473Watsco IncWSO-B1,062$568,1700.01%
474Jefferies Financial Group Inc47233W1097,244$567,9300.01%
475Charles Schwab Investment Management Inc80852440921,726$566,3970.01%
476Kairos Pharma LtdKAPA371,115$564,0950.01%
477Liberty Media CorpFWONB6,085$563,8360.01%
478BRISTOL-MYRS SQUIBCELG-RI9,942$562,3200.01%
479Nucor CorpNUE4,812$561,6090.01%
480CARRIER GLOBAL CORPCARR8,101$552,9740.01%
481Elevance Health IncELV1,492$550,3990.01%
482Medtronic PLCMDT6,832$545,7400.01%
483SPDR GOLD TRUSTGLD2,252$545,2770.01%
484Invesco Capital Management LLCIVZ3,060$536,2040.01%
485INTERCONTINENTAL EXCHANGE45866F1043,594$535,5420.01%
486Nushares ETF TrustNU18,257$529,8180.01%
487S&P Global IncSPGI1,063$529,4060.01%
488Williams Cos Inc/The9694571009,770$528,7520.01%
489YUM BRANDS INCYUM3,929$527,1150.01%
490DuPont de Nemours IncDD6,762$515,6030.01%
491Lamb Weston Holdings IncLW7,666$512,3190.01%
492Invesco Capital Management LLCIVZ1,000$511,2300.01%
493Ross Stores IncROST3,355$507,5110.01%
494GE Vernova IncGEV1,541$506,8810.01%
495Vanguard Group Inc/The9229086522,652$503,8270.01%
496TSMC8740391002,548$503,2050.01%
497AvalonBay Communities IncAWX2,285$502,6310.01%
498Micron Technology IncMU5,961$501,6780.01%
499Invesco Capital Management LLCIVZ38,307$497,6080.01%
500BlackRock Fund Advisors4642886389,639$496,5050.01%