Live Markets
Wednesday, July 29, 2026·George Town, KY·29°·Partly Cloudy
Markets Open · NYSE·Newsletter·Masthead·
VOL. XII · NO. 117Established MMXIV · George Town, Grand CaymanAtlantic Edition · $4.50

The Cayman Journal

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

M&T Bank Corp

Quarter ended Q1 2024 · Filed May 7, 2024 · Accession 0000950123-24-003966

Total Value
$28.74B
Positions
13,141
Other Managers
8
Confidential Omitted
No
View on SEC.gov

Holdings (500)

#IssuerTicker / CUSIPSharesValue% of Filing
1ISHARES TR4642876221,562,825$450.1M2.18%
2ISHARES TR46432F8425,321,257$394.9M1.91%
3ISHARES TR464287614980,434$330.5M1.60%
4ISHARES TR464287200566,210$297.7M1.44%
5ISHARES TR4642873093,453,181$291.6M1.41%
6ISHARES TR46432F8423,837,667$284.8M1.38%
7APPLE INCAAPL1,583,004$271.5M1.31%
8MICROSOFT CORPMSFT626,234$263.5M1.28%
9ISHARES TR464287614758,754$255.7M1.24%
10APPLE INCAAPL1,464,056$251.1M1.22%
11ISHARES TR464287200475,718$250.1M1.21%
12ISHARES TR4642876551,135,642$238.8M1.16%
13ISHARES TR464287622823,071$237.1M1.15%
14MICROSOFT CORPMSFT521,125$219.2M1.06%
15ISHARES TR4642875981,214,727$217.6M1.05%
16ISHARES INC46434G1033,978,808$205.3M0.99%
17VANGUARD INDEX FDS922908363396,034$190.4M0.92%
18VANGUARD TAX-MANAGED FDS9219438583,766,483$189.0M0.91%
19ISHARES TR46432F3391,075,177$176.7M0.86%
20ISHARES TR46432F8422,375,792$176.3M0.85%
21SPDR S&P 500 ETF TRSPY336,320$175.9M0.85%
22ISHARES TR46432F339959,687$157.7M0.76%
23ISHARES INC46434G1032,795,415$144.2M0.70%
24ISHARES TR464287598788,376$141.2M0.68%
25MICROSOFT CORPMSFT313,855$132.0M0.64%
26AMAZON COM INCAMZN715,256$129.0M0.62%
27DUPONT DE NEMOURS INCDD1,654,798$126.9M0.61%
28ISHARES TR46432F339763,128$125.4M0.61%
29MERCK & CO INCMRK927,816$122.4M0.59%
30M & T BK CORP55261F104815,648$118.6M0.57%
31M & T BK CORP55261F104815,423$118.6M0.57%
32ISHARES TR464287655563,729$118.6M0.57%
33JOHNSON & JOHNSONJNJ746,264$118.1M0.57%
34APPLE INCAAPL665,053$114.0M0.55%
35CONOCOPHILLIPSCOP891,094$113.4M0.55%
36DOW INCDOW1,897,821$109.9M0.53%
37CORTEVA INCCTVA1,871,590$107.9M0.52%
38AMAZON COM INCAMZN596,838$107.7M0.52%
39ISHARES TR464287408536,372$100.2M0.49%
40JPMORGAN CHASE & COVYLD488,270$97.8M0.47%
41SPDR S&P 500 ETF TRSPY186,499$97.6M0.47%
42MICROSOFT CORPMSFT231,152$97.3M0.47%
43ISHARES TR4642873091,097,474$92.7M0.45%
44VANGUARD SCOTTSDALE FDS92206C1021,579,601$91.7M0.44%
45VANGUARD SCOTTSDALE FDS92206C1021,548,119$89.9M0.44%
46VANGUARD BD INDEX FDS9219378351,234,254$89.6M0.43%
47ALPHABET INCGOOG577,734$88.0M0.43%
48ISHARES TR46432F8421,180,249$87.6M0.42%
49PROCTER AND GAMBLE CO742718109538,393$87.4M0.42%
50ISHARES TR464287614253,802$85.5M0.41%
51JPMORGAN CHASE & COVYLD425,499$85.2M0.41%
52ISHARES TR46432F339514,497$84.6M0.41%
53ISHARES TR464287614243,849$82.2M0.40%
54ISHARES INC46434G1031,587,132$81.9M0.40%
55ISHARES TR464287598450,262$80.6M0.39%
56VANGUARD BD INDEX FDS9219378351,092,909$79.4M0.38%
57ALPHABET INCGOOG520,733$79.3M0.38%
58ISHARES TR464287655374,043$78.7M0.38%
59NVIDIA CORPORATIONNVDA84,630$76.5M0.37%
60ISHARES TR464287598420,881$75.4M0.37%
61PHILLIPS 66PSX460,503$75.2M0.36%
62VANGUARD TAX-MANAGED FDS9219438581,494,569$75.0M0.36%
63EXXON MOBIL CORPXOM632,863$73.6M0.36%
64APPLE INCAAPL423,621$72.6M0.35%
65EXXON MOBIL CORPXOM619,530$72.0M0.35%
66ISHARES TR464287622244,706$70.5M0.34%
67ISHARES INC46434G1031,344,253$69.4M0.34%
68ABBVIE INCABBV376,295$68.5M0.33%
69APPLE INCAAPL398,342$68.3M0.33%
70ISHARES TR464287408350,850$65.5M0.32%
71MERCK & CO INCMRK495,027$65.3M0.32%
72ISHARES TR464287465812,645$64.9M0.31%
73ISHARES TR464287622225,199$64.9M0.31%
74VANGUARD INTL EQUITY INDEX F9220428581,552,086$64.8M0.31%
75ISHARES TR464287614191,815$64.7M0.31%
76ISHARES INC46434G1031,252,057$64.6M0.31%
77PEPSICO INCPEP366,331$64.1M0.31%
78MASTERCARD INCORPORATEDMA131,162$63.2M0.31%
79ISHARES TR464287655299,906$63.1M0.31%
80HOME DEPOT INCHD160,977$61.8M0.30%
81BROADCOM INCAVGO46,251$61.3M0.30%
82ISHARES TR464287622208,840$60.2M0.29%
83AUTOMATIC DATA PROCESSING INADP238,119$59.5M0.29%
84ALPHABET INCGOOG392,272$59.2M0.29%
85JPMORGAN CHASE & COVYLD294,171$58.9M0.29%
86ISHARES TR464287598324,433$58.1M0.28%
87SPDR S&P 500 ETF TRSPY109,001$57.0M0.28%
88ISHARES TR464287655269,970$56.8M0.27%
89ISHARES TR46432F842750,433$55.7M0.27%
90ISHARES TR46432F339338,444$55.6M0.27%
91MASTERCARD INCORPORATEDMA115,492$55.6M0.27%
92APPLIED MATLS INC038222105268,069$55.3M0.27%
93ISHARES TR464287200104,839$55.1M0.27%
94ISHARES TR464287804498,013$55.0M0.27%
95PEPSICO INCPEP308,831$54.0M0.26%
96QUALCOMM INCQCOM318,857$54.0M0.26%
97NVIDIA CORPORATIONNVDA59,111$53.4M0.26%
98BERKSHIRE HATHAWAY INC DELBRK-A126,535$53.2M0.26%
99MICROSOFT CORPMSFT125,741$52.9M0.26%
100HOME DEPOT INCHD137,099$52.6M0.25%
101JPMORGAN CHASE & COVYLD261,798$52.4M0.25%
102ELI LILLY & COLLY66,221$51.5M0.25%
103JOHNSON & JOHNSONJNJ323,553$51.2M0.25%
104ISHARES TR464287648187,497$50.8M0.25%
105BROADCOM INCAVGO38,104$50.5M0.24%
106ISHARES TR464287614149,787$50.5M0.24%
107JOHNSON & JOHNSONJNJ316,421$50.1M0.24%
108PROCTER AND GAMBLE CO742718109303,425$49.2M0.24%
109VANGUARD INDEX FDS922908751212,306$48.5M0.23%
110ISHARES TR464287630304,083$48.3M0.23%
111ISHARES TR46432F842648,759$48.2M0.23%
112ISHARES TR464287804432,569$47.8M0.23%
113ISHARES TR46432F842627,950$46.6M0.23%
114COSTCO WHSL CORP NEW22160K10563,585$46.6M0.23%
115ALPHABET INCGOOG308,409$46.5M0.23%
116MICROSOFT CORPMSFT110,118$46.3M0.22%
117ISHARES TR46434V6471,945,315$46.1M0.22%
118COCA COLA COKO745,038$45.6M0.22%
119INVESCO QQQ TRIVZ102,177$45.4M0.22%
120ISHARES TR46428720086,192$45.3M0.22%
121PROCTER AND GAMBLE CO742718109272,216$44.2M0.21%
122ISHARES TR46432F388407,325$44.1M0.21%
123ISHARES TR464287630275,713$43.8M0.21%
124ELI LILLY & COLLY56,127$43.7M0.21%
125HOME DEPOT INCHD113,043$43.4M0.21%
126ISHARES TR464287465541,462$43.2M0.21%
127ORACLE CORPORCL-PD338,631$42.5M0.21%
128ISHARES TR464288877779,213$42.4M0.21%
129META PLATFORMS INCMETA87,110$42.3M0.20%
130BERKSHIRE HATHAWAY INC DELBRK-A100,370$42.2M0.20%
131ISHARES TR46432F339251,050$41.3M0.20%
132ISHARES TR464287879396,882$40.8M0.20%
133ISHARES TR464287879396,100$40.7M0.20%
134ISHARES TR464287879395,525$40.6M0.20%
135ISHARES TR464287507663,985$40.3M0.20%
136VANGUARD INDEX FDS92290836383,833$40.3M0.20%
137MICROSOFT CORPMSFT95,598$40.2M0.19%
138NVIDIA CORPORATIONNVDA44,411$40.1M0.19%
139ISHARES TR464287630252,289$40.1M0.19%
140ISHARES TR46432F834582,995$39.6M0.19%
141CISCO SYS INCCSCO792,134$39.5M0.19%
142CHEVRON CORP NEWCVX249,071$39.3M0.19%
143ISHARES TR46428720074,501$39.2M0.19%
144BROADCOM INCAVGO28,864$38.3M0.19%
145ABBVIE INCABBV206,345$37.6M0.18%
146ISHARES TR464287465468,968$37.5M0.18%
147VANGUARD TAX-MANAGED FDS921943858745,131$37.4M0.18%
148MICROSOFT CORPMSFT88,749$37.3M0.18%
149AMAZON COM INCAMZN206,031$37.2M0.18%
150ELI LILLY & COLLY47,317$36.8M0.18%
151UNION PAC CORPUNP149,007$36.6M0.18%
152EXXON MOBIL CORPXOM313,093$36.4M0.18%
153PEPSICO INCPEP207,123$36.2M0.18%
154JOHNSON & JOHNSONJNJ228,420$36.1M0.17%
155ISHARES TR46434V6471,525,857$36.1M0.17%
156VANGUARD SCOTTSDALE FDS92206C102620,382$36.0M0.17%
157INTEL CORPINTC810,098$35.8M0.17%
158AMAZON COM INCAMZN196,723$35.5M0.17%
159CISCO SYS INCCSCO696,535$34.8M0.17%
160ALPHABET INCGOOG227,685$34.7M0.17%
161LOWES COS INC548661107135,438$34.5M0.17%
162INTERNATIONAL BUSINESS MACHSINTR180,115$34.4M0.17%
163APPLE INCAAPL200,208$34.3M0.17%
164BANK AMERICA CORP060505104899,531$34.1M0.17%
165JPMORGAN CHASE & COVYLD169,987$34.0M0.16%
166VANGUARD WORLD FD92204A70263,867$33.5M0.16%
167ISHARES TR464287499396,296$33.3M0.16%
168ALPHABET INCGOOG216,858$33.0M0.16%
169AMAZON COM INCAMZN180,862$32.6M0.16%
170ISHARES TR464288885313,060$32.5M0.16%
171ISHARES TR464287887246,619$32.2M0.16%
172CHEVRON CORP NEWCVX202,926$32.0M0.15%
173RTX CORPORATIONRTX328,189$32.0M0.15%
174MASTERCARD INCORPORATEDMA65,980$31.8M0.15%
175ALPHABET INCGOOG209,730$31.7M0.15%
176META PLATFORMS INCMETA64,910$31.5M0.15%
177NVIDIA CORPORATIONNVDA34,882$31.5M0.15%
178ISHARES TR46428720059,634$31.4M0.15%
179ISHARES TR46432F388287,564$31.1M0.15%
180APPLE INCAAPL180,288$30.9M0.15%
181ISHARES TR464287598172,124$30.8M0.15%
182ORACLE CORPORCL-PD243,999$30.6M0.15%
183EMERSON ELEC COEMR267,337$30.3M0.15%
184BANK AMERICA CORP060505104797,014$30.2M0.15%
185CHEVRON CORP NEWCVX191,580$30.2M0.15%
186HOME DEPOT INCHD78,763$30.2M0.15%
187VANGUARD WORLD FD92204A70257,619$30.2M0.15%
188QUALCOMM INCQCOM177,990$30.1M0.15%
189AIR PRODS & CHEMS INCAIIR124,044$30.1M0.15%
190DANAHER CORPORATION235851102119,923$29.9M0.15%
191ISHARES TR464287879291,011$29.9M0.14%
192BRISTOL-MYERS SQUIBB COCELG-RI550,214$29.8M0.14%
193APPLE INCAAPL173,810$29.8M0.14%
194ABBOTT LABSABLZF261,544$29.7M0.14%
195ISHARES TR46429B663268,597$29.6M0.14%
196MCDONALDS CORPMCD104,739$29.5M0.14%
197MICROSOFT CORPMSFT70,117$29.5M0.14%
198COSTCO WHSL CORP NEW22160K10540,256$29.5M0.14%
199DISNEY WALT CO254687106241,002$29.5M0.14%
200ISHARES TR464287481254,727$29.1M0.14%
201BLACKROCK INCBLK34,670$28.9M0.14%
202VANGUARD INTL EQUITY INDEX F922042858691,361$28.9M0.14%
203ISHARES TR464288877527,398$28.7M0.14%
204BLACKROCK INCBLK34,305$28.6M0.14%
205AMERICAN EXPRESS COAXP125,153$28.5M0.14%
206MICROSOFT CORPMSFT67,660$28.5M0.14%
207ISHARES TR464288877520,305$28.3M0.14%
208ISHARES TR464287648102,512$27.8M0.13%
209COCA COLA COKO452,796$27.7M0.13%
210ISHARES TR46428761481,641$27.5M0.13%
211BLACKROCK INCBLK32,984$27.5M0.13%
212ISHARES TR464287655130,166$27.4M0.13%
213ISHARES TR464287309323,692$27.3M0.13%
214VISA INCV97,936$27.3M0.13%
215CHEVRON CORP NEWCVX172,680$27.2M0.13%
216META PLATFORMS INCMETA55,886$27.1M0.13%
217COSTCO WHSL CORP NEW22160K10536,338$26.6M0.13%
218MERCK & CO INCMRK201,745$26.6M0.13%
219ISHARES TR464288877483,945$26.3M0.13%
220CATERPILLAR INCCAT71,457$26.2M0.13%
221ISHARES TR464287655124,181$26.1M0.13%
222ADOBE INCADBE51,342$25.9M0.13%
223ISHARES TR46429B663233,748$25.8M0.12%
224NVIDIA CORPORATIONNVDA28,390$25.7M0.12%
225TARGET CORPTGT143,357$25.4M0.12%
226ISHARES TR46434V6471,070,065$25.3M0.12%
227WEST PHARMACEUTICAL SVSC INC95530610563,929$25.3M0.12%
228ISHARES TR464288885240,648$25.0M0.12%
229COSTCO WHSL CORP NEW22160K10534,092$25.0M0.12%
230ISHARES TR464287598139,055$24.9M0.12%
231NVIDIA CORPORATIONNVDA27,526$24.9M0.12%
232ISHARES TR464287887187,184$24.5M0.12%
233NVIDIA CORPORATIONNVDA27,057$24.4M0.12%
234APPLE INCAAPL141,933$24.3M0.12%
235THERMO FISHER SCIENTIFIC INCTMO41,488$24.1M0.12%
236ALPHABET INCGOOG156,978$23.9M0.12%
237PFIZER INCPFE860,065$23.9M0.12%
238ISHARES TR464287226243,445$23.8M0.12%
239MERCK & CO INCMRK178,928$23.6M0.11%
240LOCKHEED MARTIN CORPLMT50,995$23.2M0.11%
241AUTOMATIC DATA PROCESSING INADP92,753$23.2M0.11%
242VANGUARD WHITEHALL FDS921946406190,980$23.1M0.11%
243LOCKHEED MARTIN CORPLMT50,359$22.9M0.11%
244HOME DEPOT INCHD59,401$22.8M0.11%
245APPLE INCAAPL132,705$22.8M0.11%
246AMGEN INCAMGN79,794$22.7M0.11%
247ISHARES INC46434G103439,080$22.7M0.11%
248AMGEN INCAMGN79,584$22.6M0.11%
249UNITED PARCEL SERVICE INCUPS150,042$22.3M0.11%
250DANAHER CORPORATION23585110289,302$22.3M0.11%
251MCDONALDS CORPMCD79,021$22.3M0.11%
252MORGAN STANLEYMS-PQ236,180$22.2M0.11%
253ISHARES TR464287507365,648$22.2M0.11%
254JPMORGAN CHASE & COVYLD110,608$22.2M0.11%
255ABBOTT LABSABLZF192,435$21.9M0.11%
256ISHARES TR46429B598422,200$21.8M0.11%
257AMAZON COM INCAMZN120,552$21.7M0.11%
258ISHARES TR464287168175,902$21.7M0.10%
259MCDONALDS CORPMCD76,692$21.6M0.10%
260ANALOG DEVICES INCADI108,846$21.5M0.10%
261NORFOLK SOUTHN CORP65584410884,265$21.5M0.10%
262ISHARES TR46428764878,602$21.3M0.10%
263ISHARES TR46432F388196,397$21.3M0.10%
264WASTE MGMT INC DEL94106L10999,747$21.3M0.10%
265GENERAL ELECTRIC CO369604301121,019$21.2M0.10%
266CVS HEALTH CORPCVS264,476$21.1M0.10%
267CISCO SYS INCCSCO420,176$21.0M0.10%
268ACCENTURE PLC IRELANDACN60,383$20.9M0.10%
269DISNEY WALT CO254687106169,205$20.7M0.10%
270VANGUARD WORLD FD92204A70239,371$20.6M0.10%
271BROADCOM INCAVGO15,528$20.6M0.10%
272VANGUARD INDEX FDS922908744126,167$20.5M0.10%
273AMERICAN TOWER CORP NEW03027X100103,774$20.5M0.10%
274JOHNSON & JOHNSONJNJ127,404$20.2M0.10%
275UNITEDHEALTH GROUP INCUNH40,567$20.1M0.10%
276ISHARES TR464287226204,518$20.0M0.10%
277EOG RES INCEOG155,114$19.8M0.10%
278MERCK & CO INCMRK149,855$19.8M0.10%
279QUALCOMM INCQCOM116,682$19.8M0.10%
280TARGET CORPTGT111,277$19.7M0.10%
281ISHARES TR46428710179,442$19.7M0.10%
282NEXTERA ENERGY INCNEE-PW305,271$19.5M0.09%
283PFIZER INCPFE699,727$19.4M0.09%
284ANALOG DEVICES INCADI98,066$19.4M0.09%
285AMAZON COM INCAMZN107,275$19.4M0.09%
286PHILIP MORRIS INTL INC718172109211,123$19.3M0.09%
287DISNEY WALT CO254687106157,987$19.3M0.09%
288ZOETIS INCZTS112,809$19.1M0.09%
289CVS HEALTH CORPCVS239,185$19.1M0.09%
290PEPSICO INCPEP108,869$19.1M0.09%
291COMCAST CORP NEWCCZ438,418$19.0M0.09%
292SCHWAB STRATEGIC TR808524847934,000$19.0M0.09%
293LOWES COS INC54866110774,374$18.9M0.09%
294BROADCOM INCAVGO14,257$18.9M0.09%
295ABBVIE INCABBV103,720$18.9M0.09%
296WISDOMTREE TRWT577,317$18.9M0.09%
297ISHARES TR464288802171,383$18.7M0.09%
298EATON CORP PLCETN59,698$18.7M0.09%
299BROADCOM INCAVGO14,039$18.6M0.09%
300EXXON MOBIL CORPXOM159,903$18.6M0.09%
301ISHARES TR464288802169,958$18.6M0.09%
302ISHARES TR464288414172,141$18.5M0.09%
303VANGUARD INTL EQUITY INDEX F922042858438,714$18.3M0.09%
304ISHARES TR46429B663165,881$18.3M0.09%
3053M COMMM172,003$18.2M0.09%
306VISA INCV65,244$18.2M0.09%
307ACCENTURE PLC IRELANDACN52,295$18.1M0.09%
308ISHARES TR46428762262,786$18.1M0.09%
309LOCKHEED MARTIN CORPLMT39,508$18.0M0.09%
310DEERE & CODE43,727$18.0M0.09%
311JOHNSON CTLS INTL PLCG51502105271,931$17.8M0.09%
312ISHARES TR46428720033,745$17.7M0.09%
313VALERO ENERGY CORPVLO103,666$17.7M0.09%
314VANGUARD BD INDEX FDS921937835241,782$17.6M0.09%
315VALERO ENERGY CORPVLO102,686$17.5M0.08%
316UNITED PARCEL SERVICE INCUPS117,238$17.4M0.08%
317JPMORGAN CHASE & COVYLD86,730$17.4M0.08%
318ISHARES TR46428740892,497$17.3M0.08%
319ABBVIE INCABBV94,763$17.3M0.08%
320VISA INCV61,812$17.3M0.08%
321ISHARES TR464287465209,860$16.8M0.08%
322VANGUARD SPECIALIZED FUNDS92190884491,730$16.8M0.08%
323OMNICOM GROUP INCOMC172,787$16.7M0.08%
324VANGUARD SPECIALIZED FUNDS92190884491,343$16.7M0.08%
325ISHARES INC46434G103323,026$16.7M0.08%
326TRAVELERS COMPANIES INCTRV72,075$16.6M0.08%
327VANGUARD INDEX FDS92290875172,405$16.6M0.08%
328VISA INCV59,304$16.6M0.08%
329NEXTERA ENERGY INCNEE-PW257,405$16.5M0.08%
330UNION PAC CORPUNP66,484$16.4M0.08%
331VANGUARD INTL EQUITY INDEX F922042858390,277$16.3M0.08%
332ABBOTT LABSABLZF143,067$16.3M0.08%
333SYSCO CORPSYY199,727$16.2M0.08%
334VANGUARD MUN BD FDS922907746318,646$16.1M0.08%
335UNITEDHEALTH GROUP INCUNH32,472$16.1M0.08%
336COMCAST CORP NEWCCZ370,499$16.1M0.08%
337OMNICOM GROUP INCOMC165,850$16.0M0.08%
338NVIDIA CORPORATIONNVDA17,735$16.0M0.08%
339AVALONBAY CMNTYS INCAWX85,894$15.9M0.08%
340CATERPILLAR INCCAT43,369$15.9M0.08%
341AMERICAN ELEC PWR CO INC025537101183,819$15.8M0.08%
342METLIFE INCMET-PF212,367$15.7M0.08%
343DANAHER CORPORATION23585110262,965$15.7M0.08%
344ADOBE INCADBE31,112$15.7M0.08%
345ISHARES TR46428761446,322$15.6M0.08%
346META PLATFORMS INCMETA32,085$15.6M0.08%
347CISCO SYS INCCSCO310,670$15.5M0.08%
348NEXTERA ENERGY INCNEE-PW242,469$15.5M0.08%
349ISHARES TR464287473123,000$15.4M0.07%
350SHERWIN WILLIAMS COSHW44,211$15.4M0.07%
351SPDR NUVEEN BLOOMBERG HIGH YIELD MUNICIPAL BOND ETF78464A284597,700$15.4M0.07%
352TAIWAN SEMICONDUCTOR MFG LTD874039100112,044$15.2M0.07%
353RTX CORPORATIONRTX156,272$15.2M0.07%
354TJX COS INC NEW872540109150,057$15.2M0.07%
355PNC FINL SVCS GROUP INC69347510594,161$15.2M0.07%
356ISHARES TR464287457185,181$15.1M0.07%
357AIR PRODS & CHEMS INCAIIR62,134$15.1M0.07%
358ANALOG DEVICES INCADI75,984$15.0M0.07%
359MICROCHIP TECHNOLOGY INC.MCHPP167,474$15.0M0.07%
360VANGUARD INDEX FDS92290836331,058$14.9M0.07%
361INTERNATIONAL BUSINESS MACHSINTR78,081$14.9M0.07%
362SPDR SER TR78464A375455,760$14.9M0.07%
363ISHARES TR464287564257,883$14.9M0.07%
364ABBOTT LABSABLZF129,680$14.7M0.07%
365ISHARES TR46435U549310,594$14.6M0.07%
366ISHARES TR46435U549310,594$14.6M0.07%
367DANAHER CORPORATION23585110257,827$14.4M0.07%
368VANGUARD WORLD FD92204A405140,775$14.4M0.07%
369US BANCORP DELUSB-PS322,441$14.4M0.07%
370BERKSHIRE HATHAWAY INC DELBRK-A34,186$14.4M0.07%
371PROCTER AND GAMBLE CO74271810988,258$14.3M0.07%
372UNION PAC CORPUNP58,156$14.3M0.07%
373IQVIA HLDGS INCIQV56,455$14.3M0.07%
374VANGUARD SCOTTSDALE FDS92206C680164,266$14.2M0.07%
375BROADCOM INCAVGO10,732$14.2M0.07%
376CHUBB LIMITEDCB54,796$14.2M0.07%
377ALPHABET INCGOOG92,832$14.1M0.07%
378CATERPILLAR INCCAT38,311$14.0M0.07%
379WALMART INCWMT233,198$14.0M0.07%
380EOG RES INCEOG109,173$14.0M0.07%
381NVIDIA CORPORATIONNVDA15,439$14.0M0.07%
382TJX COS INC NEW872540109137,488$13.9M0.07%
383THERMO FISHER SCIENTIFIC INCTMO23,936$13.9M0.07%
384CONSTELLATION BRANDS INCSTZ50,886$13.8M0.07%
385ISHARES TR464287234336,589$13.8M0.07%
386BANK AMERICA CORP060505104362,562$13.7M0.07%
387NUCOR CORPNUE69,340$13.7M0.07%
388AMERICAN ELEC PWR CO INC025537101158,984$13.7M0.07%
389VANGUARD INDEX FDS92290873639,673$13.7M0.07%
390VANGUARD INDEX FDS922908553157,868$13.7M0.07%
391ISHARES TR464287309160,869$13.6M0.07%
392VERIZON COMMUNICATIONS INCVZ323,183$13.6M0.07%
393MASTERCARD INCORPORATEDMA28,034$13.5M0.07%
394MASTERCARD INCORPORATEDMA27,929$13.4M0.07%
395VANGUARD INTL EQUITY INDEX F922042676318,500$13.4M0.06%
396ALTRIA GROUP INCMO306,632$13.4M0.06%
397NIKE INCNKE142,229$13.4M0.06%
398ISHARES TR464287234320,484$13.2M0.06%
399AMPHENOL CORP NEW032095101113,915$13.1M0.06%
400META PLATFORMS INCMETA26,920$13.1M0.06%
401CHEMOURS COCC496,775$13.0M0.06%
402SCHWAB CHARLES CORPSCHW-PJ180,236$13.0M0.06%
403AMERICAN TOWER CORP NEW03027X10065,881$13.0M0.06%
404CONOCOPHILLIPSCOP101,821$13.0M0.06%
405COMCAST CORP NEWCCZ298,943$13.0M0.06%
406CVS HEALTH CORPCVS162,262$12.9M0.06%
407ISHARES TR46428759872,255$12.9M0.06%
408ISHARES TR464287457158,115$12.9M0.06%
409VANGUARD WORLD FD92204A405125,061$12.8M0.06%
410META PLATFORMS INCMETA26,355$12.8M0.06%
411AMAZON COM INCAMZN70,825$12.8M0.06%
412ACCENTURE PLC IRELANDACN36,752$12.7M0.06%
413UNION PAC CORPUNP51,750$12.7M0.06%
414MASTERCARD INCORPORATEDMA26,352$12.7M0.06%
415SCHWAB CHARLES CORPSCHW-PJ174,511$12.6M0.06%
416VANGUARD INTL EQUITY INDEX F922042742114,192$12.6M0.06%
417BOOKING HOLDINGS INCBKNG3,466$12.6M0.06%
418MEDTRONIC PLCMDT144,105$12.6M0.06%
419FEDEX CORPFDX43,178$12.5M0.06%
420WALMART INCWMT207,690$12.5M0.06%
421BANK AMERICA CORP060505104329,135$12.5M0.06%
422LOCKHEED MARTIN CORPLMT27,425$12.5M0.06%
423ISHARES TR46428943863,759$12.4M0.06%
424SALESFORCE INCCRM41,066$12.4M0.06%
425AMGEN INCAMGN43,455$12.4M0.06%
426VANGUARD WORLD FD92204A50445,498$12.3M0.06%
427VANGUARD WORLD FD92204A50445,429$12.3M0.06%
428SALESFORCE INCCRM40,698$12.3M0.06%
429INVESCO ACTVELY MNGD ETC FDIVZ877,611$12.2M0.06%
430ISHARES TR46432F834178,810$12.1M0.06%
431UNION PAC CORPUNP49,307$12.1M0.06%
432HONEYWELL INTL INC43851610658,903$12.1M0.06%
433JPMORGAN CHASE & COVYLD60,247$12.1M0.06%
434CARRIER GLOBAL CORPORATIONCARR207,491$12.1M0.06%
435MOODYS CORPMCO30,600$12.0M0.06%
436ISHARES TR46428740864,187$12.0M0.06%
437ZOETIS INCZTS70,675$12.0M0.06%
438METLIFE INCMET-PF161,187$11.9M0.06%
439STARBUCKS CORPSBUX130,616$11.9M0.06%
440BLACKROCK INCBLK14,317$11.9M0.06%
441COSTCO WHSL CORP NEW22160K10516,151$11.8M0.06%
442ISHARES TR464288877217,398$11.8M0.06%
443ORACLE CORPORCL-PD94,087$11.8M0.06%
444UNITEDHEALTH GROUP INCUNH23,866$11.8M0.06%
445MORGAN STANLEYMS-PQ125,386$11.8M0.06%
446ISHARES TR46432F33971,428$11.7M0.06%
447CONOCOPHILLIPSCOP91,879$11.7M0.06%
448ISHARES TR464288885112,426$11.7M0.06%
449DOVER CORPDOV65,558$11.6M0.06%
450ISHARES TR464287564201,117$11.6M0.06%
451AMGEN INCAMGN40,630$11.6M0.06%
452TESLA INCTSLA65,636$11.5M0.06%
453JOHNSON CTLS INTL PLCG51502105176,392$11.5M0.06%
454MICROSOFT CORPMSFT27,345$11.5M0.06%
455HONEYWELL INTL INC43851610656,003$11.5M0.06%
456ISHARES TR46432F842154,669$11.5M0.06%
457CDW CORPCDW44,755$11.4M0.06%
458BLACKROCK INCBLK13,713$11.4M0.06%
459INTERNATIONAL BUSINESS MACHSINTR59,855$11.4M0.06%
460UNITED PARCEL SERVICE INCUPS76,896$11.4M0.06%
461WASTE MGMT INC DEL94106L10953,463$11.4M0.06%
462ISHARES TR46428762239,433$11.4M0.05%
463DISNEY WALT CO25468710692,370$11.3M0.05%
464US BANCORP DELUSB-PS252,790$11.3M0.05%
465META PLATFORMS INCMETA23,262$11.3M0.05%
466ISHARES TR464287226114,672$11.2M0.05%
467BRISTOL-MYERS SQUIBB COCELG-RI206,580$11.2M0.05%
468S&P GLOBAL INCSPGI26,325$11.2M0.05%
469ISHARES TR46428765552,965$11.1M0.05%
470ALPHABET INCGOOG72,824$11.1M0.05%
471VANGUARD WORLD FD92204A10834,816$11.1M0.05%
472TARGET CORPTGT62,223$11.0M0.05%
473GENERAL MLS INC370334104157,472$11.0M0.05%
474ACCENTURE PLC IRELANDACN31,390$10.9M0.05%
475LOWES COS INC54866110742,669$10.9M0.05%
476EATON CORP PLCETN34,757$10.9M0.05%
477ISHARES TR46435G516135,371$10.8M0.05%
478BANK AMERICA CORP060505104284,264$10.8M0.05%
479AIR PRODS & CHEMS INCAIIR44,455$10.8M0.05%
480PARKER-HANNIFIN CORPPH19,361$10.8M0.05%
481ISHARES TR46428764839,626$10.7M0.05%
482PFIZER INCPFE386,522$10.7M0.05%
483ENBRIDGE INCENNPF296,252$10.7M0.05%
484JPMORGAN CHASE & COVYLD53,420$10.7M0.05%
485MASTERCARD INCORPORATEDMA22,209$10.7M0.05%
486ALPHABET INCGOOG70,600$10.7M0.05%
487AMAZON COM INCAMZN59,024$10.6M0.05%
488CHURCH & DWIGHT CO INCCHD101,220$10.6M0.05%
489MCDONALDS CORPMCD37,372$10.5M0.05%
490SHELL PLCRYDAF156,821$10.5M0.05%
491GARTNER INCIT22,013$10.5M0.05%
492ISHARES TR46435G516131,212$10.5M0.05%
493PAYCHEX INCPAYX85,112$10.5M0.05%
494BANK AMERICA CORP060505104274,885$10.4M0.05%
495CSX CORPCSX281,103$10.4M0.05%
496CHEVRON CORP NEWCVX65,952$10.4M0.05%
497BP PLCBPPFF276,065$10.4M0.05%
498VANGUARD SCOTTSDALE FDS92206C102179,040$10.4M0.05%
499ELEVANCE HEALTH INCELV19,971$10.4M0.05%
500DANAHER CORPORATION23585110241,411$10.3M0.05%