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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 (Amended)

M&T Bank Corp

Quarter ended Q3 2024 · Filed November 19, 2024 · Accession 0000950123-24-012030

Total Value
$30.41B
Positions
12,380
Other Managers
7
Confidential Omitted
No
View on SEC.gov

Holdings (500)

#IssuerTicker / CUSIPSharesValue% of Filing
1ISHARES TR4642876221,513,962$476.0M2.12%
2APPLE INCAAPL1,758,334$409.7M1.83%
3ISHARES TR46432F8425,238,390$408.9M1.82%
4ISHARES TR4642876141,012,432$380.0M1.69%
5APPLE INCAAPL1,569,065$365.6M1.63%
6MICROSOFT CORPMSFT760,157$327.1M1.46%
7ISHARES TR464287200566,083$326.5M1.45%
8ISHARES TR4642873093,334,156$319.2M1.42%
9ISHARES TR464287614776,242$291.4M1.30%
10ISHARES TR46432F8423,702,393$289.0M1.29%
11ISHARES TR464287200458,296$264.4M1.18%
12ISHARES TR4642876551,195,473$264.1M1.18%
13ISHARES TR464287622822,874$258.7M1.15%
14ISHARES INC46434G1034,048,731$232.4M1.04%
15ISHARES TR4642875981,220,807$231.7M1.03%
16MICROSOFT CORPMSFT500,879$215.5M0.96%
17ISHARES TR46432F3391,162,950$208.5M0.93%
18VANGUARD TAX-MANAGED FDS9219438583,732,091$197.1M0.88%
19VANGUARD INDEX FDS922908363334,769$176.6M0.79%
20ISHARES TR46432F339963,786$172.8M0.77%
21SPDR S&P 500 ETF TRSPY284,420$163.2M0.73%
22ISHARES INC46434G1032,772,691$159.2M0.71%
23ISHARES TR46432F8421,966,811$153.5M0.68%
24AMAZON COM INCAMZN815,715$152.0M0.68%
25ISHARES TR464287598797,174$151.3M0.67%
26DUPONT DE NEMOURS INCDD1,647,146$146.8M0.65%
27APPLE INCAAPL623,978$145.4M0.65%
28M & T BK CORP55261F104815,423$145.2M0.65%
29M & T BK CORP55261F104815,423$145.2M0.65%
30NVIDIA CORPORATIONNVDA1,096,702$133.2M0.59%
31ISHARES TR46432F339725,876$130.1M0.58%
32MICROSOFT CORPMSFT300,247$129.2M0.58%
33AMAZON COM INCAMZN686,899$128.0M0.57%
34ISHARES TR464287655575,831$127.2M0.57%
35META PLATFORMS INCMETA203,683$116.6M0.52%
36JOHNSON & JOHNSONJNJ714,816$115.8M0.52%
37ISHARES TR464287614307,108$115.3M0.51%
38JPMORGAN CHASE & CO.VYLD524,818$110.7M0.49%
39CORTEVA INCCTVA1,872,374$110.1M0.49%
40SPDR S&P 500 ETF TRSPY188,202$108.0M0.48%
41VANGUARD BD INDEX FDS9219378351,373,583$103.2M0.46%
42DOW INCDOW1,882,721$102.9M0.46%
43MERCK & CO INCMRK896,744$101.8M0.45%
44ISHARES TR464287408512,613$101.1M0.45%
45JPMORGAN CHASE & CO.VYLD471,290$99.4M0.44%
46APPLE INCAAPL425,152$99.1M0.44%
47MICROSOFT CORPMSFT224,275$96.5M0.43%
48APPLE INCAAPL410,958$95.8M0.43%
49ISHARES TR464287614252,559$94.8M0.42%
50ALPHABET INCGOOG562,715$94.1M0.42%
51ALPHABET INCGOOG553,026$92.5M0.41%
52CONOCOPHILLIPSCOP871,085$91.7M0.41%
53PROCTER AND GAMBLE CO742718109517,615$89.7M0.40%
54VANGUARD SCOTTSDALE FDS92206C1021,514,694$89.4M0.40%
55ISHARES TR464287598465,143$88.3M0.39%
56VANGUARD SCOTTSDALE FDS92206C1021,484,682$87.6M0.39%
57ISHARES TR46432F339482,792$86.6M0.39%
58ISHARES TR464287309893,433$85.5M0.38%
59BROADCOM INCAVGO482,125$83.2M0.37%
60ISHARES TR464287655369,440$81.6M0.36%
61VANGUARD BD INDEX FDS9219378351,075,763$80.8M0.36%
62EXXON MOBIL CORPXOM686,422$80.5M0.36%
63ISHARES TR46432F842948,164$74.0M0.33%
64EXXON MOBIL CORPXOM619,691$72.6M0.32%
65ISHARES TR464287614191,815$72.0M0.32%
66ISHARES INC46434G1031,250,289$71.8M0.32%
67ISHARES TR464287622228,276$71.8M0.32%
68VANGUARD INTL EQUITY INDEX F9220428581,487,527$71.2M0.32%
69ABBVIE INCABBV359,707$71.0M0.32%
70NVIDIA CORPORATIONNVDA583,832$70.9M0.32%
71ISHARES TR464287622221,982$69.8M0.31%
72PROCTER AND GAMBLE CO742718109401,205$69.5M0.31%
73ISHARES TR464287598364,629$69.2M0.31%
74HOME DEPOT INCHD169,836$68.8M0.31%
75VANGUARD TAX-MANAGED FDS9219438581,294,109$68.3M0.30%
76ALPHABET INCGOOG408,501$67.7M0.30%
77ISHARES TR464287655299,906$66.2M0.30%
78ISHARES TR464287465788,153$65.9M0.29%
79ISHARES TR464287200113,653$65.6M0.29%
80ISHARES INC46434G1031,137,129$65.3M0.29%
81AUTOMATIC DATA PROCESSING INADP226,044$62.6M0.28%
82PEPSICO INCPEP362,714$61.7M0.27%
83MERCK & CO INCMRK529,213$60.1M0.27%
84MASTERCARD INCORPORATEDMA121,291$59.9M0.27%
85ISHARES TR464287630357,879$59.7M0.27%
86ISHARES TR464287804509,138$59.5M0.27%
87ISHARES TR464287408301,810$59.5M0.27%
88PHILLIPS 66PSX450,829$59.3M0.26%
89JPMORGAN CHASE & CO.VYLD280,299$59.1M0.26%
90ELI LILLY & COLLY66,693$59.1M0.26%
91ISHARES TR464287630352,399$58.8M0.26%
92BERKSHIRE HATHAWAY INC DELBRK-A127,152$58.5M0.26%
93ISHARES TR464287622186,040$58.5M0.26%
94ISHARES TR464287630350,016$58.4M0.26%
95ISHARES TR464287614154,291$57.9M0.26%
96ISHARES TR46432F339320,034$57.4M0.26%
97NVIDIA CORPORATIONNVDA472,229$57.3M0.26%
98BROADCOM INCAVGO331,883$57.2M0.26%
99COSTCO WHSL CORP NEW22160K10563,886$56.6M0.25%
100ORACLE CORPORCL-PD331,967$56.6M0.25%
101MASTERCARD INCORPORATEDMA110,954$54.8M0.24%
102ISHARES TR464287655246,781$54.5M0.24%
103PEPSICO INCPEP320,301$54.5M0.24%
104MICROSOFT CORPMSFT125,028$53.8M0.24%
105ISHARES TR46432F842688,173$53.7M0.24%
106ISHARES TR46428720093,078$53.7M0.24%
107JPMORGAN CHASE & CO.VYLD253,484$53.4M0.24%
108QUALCOMM INCQCOM313,460$53.3M0.24%
109JOHNSON & JOHNSONJNJ326,946$53.0M0.24%
110ISHARES TR464287648185,738$52.7M0.24%
111ALPHABET INCGOOG317,456$52.7M0.23%
112HOME DEPOT INCHD129,709$52.6M0.23%
113ISHARES TR464287598275,433$52.3M0.23%
114COCA COLA COKO724,107$52.0M0.23%
115ELI LILLY & COLLY57,961$51.3M0.23%
116ALPHABET INCGOOG305,206$51.0M0.23%
117APPLIED MATLS INC038222105250,819$50.7M0.23%
118BROADCOM INCAVGO293,661$50.7M0.23%
119INVESCO QQQ TRIVZ103,052$50.3M0.22%
120ISHARES TR464287804428,599$50.1M0.22%
121BERKSHIRE HATHAWAY INC DELBRK-A107,607$49.5M0.22%
122ELI LILLY & COLLY55,400$49.1M0.22%
123ISHARES INC46434G103842,857$48.4M0.22%
124ISHARES TR46432F842613,733$47.9M0.21%
125ISHARES TR464287465569,322$47.6M0.21%
126HOME DEPOT INCHD116,453$47.2M0.21%
127ABBVIE INCABBV237,739$46.9M0.21%
128JOHNSON & JOHNSONJNJ284,644$46.1M0.21%
129ISHARES TR46432F388419,294$45.7M0.20%
130PROCTER AND GAMBLE CO742718109262,531$45.5M0.20%
131ISHARES TR46432F339250,237$44.9M0.20%
132ORACLE CORPORCL-PD258,418$44.0M0.20%
133MICROSOFT CORPMSFT101,492$43.7M0.19%
134VANGUARD INDEX FDS92290836382,695$43.6M0.19%
135ISHARES TR464287879396,882$42.7M0.19%
136VANGUARD INDEX FDS922908751179,962$42.7M0.19%
137ISHARES TR464287879396,100$42.6M0.19%
138ISHARES TR46432F842543,778$42.4M0.19%
139APPLE INCAAPL181,939$42.4M0.19%
140ISHARES TR46432F834581,065$42.2M0.19%
141ISHARES TR464287879383,646$41.3M0.18%
142APPLE INCAAPL176,996$41.2M0.18%
143ALPHABET INCGOOG246,576$41.2M0.18%
144NVIDIA CORPORATIONNVDA338,669$41.1M0.18%
145ISHARES TR464288877713,711$41.1M0.18%
146ISHARES TR464287507651,812$40.6M0.18%
147CISCO SYS INCCSCO762,904$40.6M0.18%
148ISHARES TR46434V6471,511,467$40.3M0.18%
149NVIDIA CORPORATIONNVDA332,002$40.3M0.18%
150MICROSOFT CORPMSFT93,367$40.2M0.18%
151ISHARES TR464287457480,106$39.9M0.18%
152VANGUARD TAX-MANAGED FDS921943858744,452$39.3M0.18%
153RTX CORPORATIONRTX322,055$39.0M0.17%
154NOVO-NORDISK A SNONOF325,873$38.8M0.17%
155INTERNATIONAL BUSINESS MACHSINTR174,490$38.6M0.17%
156APPLE INCAAPL165,470$38.6M0.17%
157ISHARES TR46428720066,789$38.5M0.17%
158SPDR S&P 500 ETF TRSPY67,095$38.5M0.17%
159CHEVRON CORP NEWCVX260,448$38.4M0.17%
160AMAZON COM INCAMZN204,564$38.1M0.17%
161VANGUARD WORLD FD92204A70264,319$37.7M0.17%
162ISHARES TR46428720065,243$37.6M0.17%
163META PLATFORMS INCMETA65,573$37.5M0.17%
164JOHNSON & JOHNSONJNJ230,414$37.3M0.17%
165UNION PAC CORPUNP151,125$37.2M0.17%
166UNION PAC CORPUNP149,895$36.9M0.16%
167QUALCOMM INCQCOM214,539$36.5M0.16%
168MICROSOFT CORPMSFT84,669$36.4M0.16%
169AMAZON COM INCAMZN195,149$36.4M0.16%
170LOWES COS INC548661107134,133$36.3M0.16%
171META PLATFORMS INCMETA63,449$36.3M0.16%
172MCDONALDS CORPMCD119,103$36.3M0.16%
173JPMORGAN CHASE & CO.VYLD170,090$35.9M0.16%
174BANK AMERICA CORP060505104900,333$35.7M0.16%
175COCA COLA COKO496,551$35.7M0.16%
176BLACKROCK INCBLK37,398$35.5M0.16%
177VANGUARD SCOTTSDALE FDS92206C102600,359$35.4M0.16%
178ISHARES TR464287465421,376$35.2M0.16%
179VANGUARD INDEX FDS92290873691,491$35.1M0.16%
180AIR PRODS & CHEMS INCAIIR117,815$35.1M0.16%
181CISCO SYS INCCSCO652,464$34.7M0.15%
182ISHARES TR464287887246,006$34.3M0.15%
183BANK AMERICA CORP060505104858,114$34.0M0.15%
184DANAHER CORPORATION235851102121,986$33.9M0.15%
185ISHARES TR464288885311,658$33.5M0.15%
186EXXON MOBIL CORPXOM285,711$33.5M0.15%
187ISHARES TR46432F388306,125$33.4M0.15%
188AMAZON COM INCAMZN178,925$33.3M0.15%
189PEPSICO INCPEP195,946$33.3M0.15%
190ISHARES TR46434V6471,247,669$33.3M0.15%
191ISHARES TR464287648117,216$33.3M0.15%
192AMERICAN EXPRESS COAXP121,022$32.8M0.15%
193BLACKROCK INCBLK34,433$32.7M0.15%
194COSTCO WHSL CORP NEW22160K10536,682$32.5M0.14%
195NVIDIA CORPORATIONNVDA267,300$32.5M0.14%
196APPLE INCAAPL139,279$32.5M0.14%
197ALPHABET INCGOOG193,992$32.2M0.14%
198COSTCO WHSL CORP NEW22160K10535,824$31.8M0.14%
199HOME DEPOT INCHD78,321$31.7M0.14%
200VANGUARD INDEX FDS922908744181,668$31.7M0.14%
201ISHARES TR464287598166,127$31.5M0.14%
202MASTERCARD INCORPORATEDMA63,811$31.5M0.14%
203ISHARES TR46429B663266,263$31.3M0.14%
204ISHARES TR464287879289,427$31.2M0.14%
205ISHARES TR464287499353,053$31.1M0.14%
206VANGUARD WORLD FD92204A70252,945$31.1M0.14%
207NVIDIA CORPORATIONNVDA254,944$31.0M0.14%
208LOCKHEED MARTIN CORPLMT52,441$30.7M0.14%
209ISHARES TR464288877528,270$30.4M0.14%
210BLACKROCK INCBLK31,683$30.1M0.13%
211ISHARES TR46428761479,439$29.8M0.13%
212ISHARES TR464288877516,951$29.7M0.13%
213ISHARES TR464287655134,593$29.7M0.13%
214ISHARES TR464287481253,351$29.7M0.13%
215VISA INCV107,871$29.7M0.13%
216ISHARES TR464288885272,510$29.3M0.13%
217ISHARES TR46429B663247,342$29.1M0.13%
218ISHARES TR464287655131,341$29.0M0.13%
219UNITEDHEALTH GROUP INCUNH49,565$29.0M0.13%
220MICROSOFT CORPMSFT67,032$28.8M0.13%
221COSTCO WHSL CORP NEW22160K10532,526$28.8M0.13%
222ADOBE INCADBE55,001$28.5M0.13%
223ISHARES TR464288877483,945$27.8M0.12%
224ABBOTT LABSABLZF244,168$27.8M0.12%
225EMERSON ELEC COEMR254,348$27.8M0.12%
226CHEVRON CORP NEWCVX188,489$27.8M0.12%
227LOCKHEED MARTIN CORPLMT47,311$27.7M0.12%
228BRISTOL-MYERS SQUIBB COCELG-RI530,156$27.4M0.12%
229MICROSOFT CORPMSFT63,660$27.4M0.12%
230ABBOTT LABSABLZF239,062$27.3M0.12%
231CATERPILLAR INCCAT69,314$27.1M0.12%
232CHEVRON CORP NEWCVX183,755$27.1M0.12%
233VANGUARD INTL EQUITY INDEX F922042858565,296$27.0M0.12%
234ALPHABET INCGOOG161,441$27.0M0.12%
235ISHARES TR464287598142,161$27.0M0.12%
236BLACKSTONE INCBX175,025$26.8M0.12%
237ISHARES TR464287309277,776$26.6M0.12%
238AMGEN INCAMGN80,775$26.0M0.12%
239THERMO FISHER SCIENTIFIC INCTMO42,036$26.0M0.12%
240AMGEN INCAMGN79,583$25.6M0.11%
241NEXTERA ENERGY INCNEE-PW303,141$25.6M0.11%
242AUTOMATIC DATA PROCESSING INADP91,560$25.3M0.11%
243PHILIP MORRIS INTL INC718172109206,284$25.0M0.11%
244DANAHER CORPORATION23585110290,018$25.0M0.11%
245BROADCOM INCAVGO140,834$24.3M0.11%
246ISHARES TR464287887174,145$24.3M0.11%
247CHEVRON CORP NEWCVX164,681$24.3M0.11%
248HOME DEPOT INCHD59,834$24.2M0.11%
249PFIZER INCPFE834,168$24.1M0.11%
250TESLA INCTSLA92,269$24.1M0.11%
251LOCKHEED MARTIN CORPLMT40,496$23.7M0.11%
252VANGUARD WHITEHALL FDS921946406182,514$23.4M0.10%
253MORGAN STANLEYMS-PQ223,072$23.3M0.10%
254ISHARES INC46434G103403,480$23.2M0.10%
255JPMORGAN CHASE & CO.VYLD109,227$23.0M0.10%
256DISNEY WALT CO254687106238,802$23.0M0.10%
257ISHARES TR46429B598389,769$22.8M0.10%
258MCDONALDS CORPMCD74,908$22.8M0.10%
259ANALOG DEVICES INCADI98,461$22.7M0.10%
260BROADCOM INCAVGO131,224$22.6M0.10%
261VANGUARD WORLD FD92204A70238,196$22.4M0.10%
262ISHARES TR46428764878,113$22.2M0.10%
263ALPHABET INCGOOG131,939$22.1M0.10%
264ELI LILLY & COLLY24,876$22.0M0.10%
265MCDONALDS CORPMCD72,329$22.0M0.10%
266GE AEROSPACE369604301116,295$21.9M0.10%
267NEXTERA ENERGY INCNEE-PW258,354$21.8M0.10%
2683M COMMM159,604$21.8M0.10%
269TAIWAN SEMICONDUCTOR MFG LTD874039100125,039$21.7M0.10%
270MERCK & CO INCMRK190,594$21.6M0.10%
271ABBVIE INCABBV109,209$21.6M0.10%
272ANALOG DEVICES INCADI93,569$21.5M0.10%
273ISHARES TR464287507344,465$21.5M0.10%
274PFIZER INCPFE741,142$21.4M0.10%
275TARGET CORPTGT137,260$21.4M0.10%
276ISHARES TR46432F388195,187$21.3M0.09%
277CISCO SYS INCCSCO399,379$21.3M0.09%
278AMAZON COM INCAMZN113,554$21.2M0.09%
279UNITED PARCEL SERVICE INCUPS154,626$21.1M0.09%
280NORFOLK SOUTHN CORP65584410884,405$21.0M0.09%
281ISHARES TR46429B663175,101$20.6M0.09%
282NVIDIA CORPORATIONNVDA169,415$20.6M0.09%
283WISDOMTREE TRWT595,857$20.6M0.09%
284ISHARES TR464287168151,604$20.5M0.09%
285ISHARES TR46428720035,458$20.5M0.09%
286ISHARES TR46428762265,026$20.4M0.09%
287LOWES COS INC54866110775,155$20.4M0.09%
288ZOETIS INCZTS103,659$20.3M0.09%
289S&P GLOBAL INCSPGI39,163$20.2M0.09%
290JOHNSON CTLS INTL PLCG51502105259,689$20.2M0.09%
291WASTE MGMT INC DEL94106L10996,951$20.1M0.09%
292ISHARES TR464288802166,792$20.1M0.09%
293SCHWAB STRATEGIC TR808524847864,500$20.0M0.09%
294ISHARES TR464287226197,113$20.0M0.09%
295ISHARES TR464288802165,367$19.9M0.09%
296BROADCOM INCAVGO114,807$19.8M0.09%
297ISHARES TR464287234430,190$19.7M0.09%
298VANGUARD BD INDEX FDS921937835261,037$19.6M0.09%
299AMAZON COM INCAMZN105,195$19.6M0.09%
300AMERICAN TOWER CORP NEW03027X10084,227$19.6M0.09%
301RTX CORPORATIONRTX161,250$19.5M0.09%
302WALMART INCWMT241,689$19.5M0.09%
303ACCENTURE PLC IRELANDACN55,118$19.5M0.09%
304PROCTER AND GAMBLE CO742718109112,233$19.4M0.09%
305WEST PHARMACEUTICAL SVSC INC95530610563,980$19.2M0.09%
306NEXTERA ENERGY INCNEE-PW225,521$19.1M0.08%
307INTERNATIONAL BUSINESS MACHSINTR86,203$19.1M0.08%
308ANALOG DEVICES INCADI82,101$18.9M0.08%
309WALMART INCWMT233,758$18.9M0.08%
310NVIDIA CORPORATIONNVDA154,294$18.7M0.08%
311MERCK & CO INCMRK164,635$18.7M0.08%
312VANGUARD INTL EQUITY INDEX F922042858390,186$18.7M0.08%
313ABBVIE INCABBV94,336$18.6M0.08%
314CATERPILLAR INCCAT47,363$18.5M0.08%
315EOG RES INCEOG150,672$18.5M0.08%
316UNITEDHEALTH GROUP INCUNH31,674$18.5M0.08%
317AVALONBAY CMNTYS INCAWX82,162$18.5M0.08%
318LINDE PLCLIN38,591$18.4M0.08%
319EXXON MOBIL CORPXOM155,809$18.3M0.08%
320QUALCOMM INCQCOM106,432$18.1M0.08%
321UNITEDHEALTH GROUP INCUNH30,878$18.1M0.08%
322VANGUARD INDEX FDS92290875176,023$18.0M0.08%
323AMERICAN ELEC PWR CO INC025537101174,428$17.9M0.08%
324ISHARES INC46434G103310,005$17.8M0.08%
325DEERE & CODE42,639$17.8M0.08%
326DANAHER CORPORATION23585110263,598$17.7M0.08%
327PEPSICO INCPEP103,593$17.6M0.08%
328META PLATFORMS INCMETA30,747$17.6M0.08%
329TCW ETF TRUST29287L700441,665$17.6M0.08%
330ISHARES TR464287465210,108$17.6M0.08%
331VISA INCV63,907$17.6M0.08%
332ISHARES TR46434V647657,067$17.5M0.08%
333AIR PRODS & CHEMS INCAIIR58,676$17.5M0.08%
334BROADCOM INCAVGO100,817$17.4M0.08%
335VANGUARD SPECIALIZED FUNDS92190884487,461$17.3M0.08%
336UNITEDHEALTH GROUP INCUNH29,604$17.3M0.08%
337CARRIER GLOBAL CORPORATIONCARR214,914$17.3M0.08%
338METLIFE INCMET-PF208,815$17.2M0.08%
339VISA INCV62,565$17.2M0.08%
340PHILIP MORRIS INTL INC718172109141,682$17.2M0.08%
341TCW ETF TRUST29287L700431,690$17.2M0.08%
342MERCK & CO INCMRK150,463$17.1M0.08%
343ADOBE INCADBE32,695$16.9M0.08%
344TARGET CORPTGT108,281$16.9M0.08%
345PNC FINL SVCS GROUP INC69347510590,964$16.8M0.07%
346DANAHER CORPORATION23585110260,151$16.7M0.07%
347SALESFORCE INCCRM61,029$16.7M0.07%
348ALPHABET INCGOOG99,324$16.6M0.07%
349AMERICAN ELEC PWR CO INC025537101160,486$16.5M0.07%
350INTEL CORPINTC701,608$16.5M0.07%
351ISHARES TR464288414150,718$16.4M0.07%
352TRAVELERS COMPANIES INCTRV69,599$16.3M0.07%
353ISHARES TR464287234354,944$16.3M0.07%
354JPMORGAN CHASE & CO.VYLD77,085$16.3M0.07%
355VANGUARD MUN BD FDS922907746316,984$16.2M0.07%
356EATON CORP PLCETN48,855$16.2M0.07%
357ISHARES TR464287473122,429$16.2M0.07%
358SHERWIN WILLIAMS COSHW42,343$16.2M0.07%
359VANGUARD SPECIALIZED FUNDS92190884481,499$16.1M0.07%
360ISHARES TR46435U549330,806$16.1M0.07%
361COMCAST CORP NEWCCZ384,582$16.1M0.07%
362DISNEY WALT CO254687106165,964$16.0M0.07%
363VISA INCV57,908$15.9M0.07%
364ISHARES TR46432F834218,502$15.9M0.07%
365ISHARES TR46435U549326,006$15.8M0.07%
366LOCKHEED MARTIN CORPLMT27,096$15.8M0.07%
367ACCENTURE PLC IRELANDACN44,626$15.8M0.07%
368ABBOTT LABSABLZF137,829$15.7M0.07%
369CISCO SYS INCCSCO295,159$15.7M0.07%
370JOHNSON & JOHNSONJNJ96,891$15.7M0.07%
371META PLATFORMS INCMETA27,321$15.6M0.07%
372ORACLE CORPORCL-PD90,937$15.5M0.07%
373ALPHABET INCGOOG91,840$15.4M0.07%
374ALTRIA GROUP INCMO300,017$15.3M0.07%
375TAIWAN SEMICONDUCTOR MFG LTD87403910087,837$15.3M0.07%
376ISHARES TR46428740877,323$15.2M0.07%
377UNITED PARCEL SERVICE INCUPS111,583$15.2M0.07%
378BERKSHIRE HATHAWAY INC DELBRK-A22$15.2M0.07%
379ISHARES TR464287564230,272$15.2M0.07%
380TJX COS INC NEW872540109128,260$15.1M0.07%
381ISHARES TR46432F33983,837$15.0M0.07%
382VANGUARD INTL EQUITY INDEX F922042676318,500$14.9M0.07%
383ABBOTT LABSABLZF130,946$14.9M0.07%
384META PLATFORMS INCMETA25,948$14.9M0.07%
385AMERICAN TOWER CORP NEW03027X10063,419$14.7M0.07%
386VANGUARD SCOTTSDALE FDS92206C680152,671$14.7M0.07%
387VANGUARD INDEX FDS922908553151,120$14.7M0.07%
388BANK AMERICA CORP060505104370,408$14.7M0.07%
389VANGUARD WORLD FD92204A405132,822$14.6M0.07%
390MOODYS CORPMCO30,757$14.6M0.07%
391ISHARES TR464287457174,359$14.5M0.06%
392ISHARES TR46428943865,777$14.5M0.06%
393MORGAN STANLEYMS-PQ138,483$14.4M0.06%
394VERIZON COMMUNICATIONS INCVZ321,348$14.4M0.06%
395DISNEY WALT CO254687106149,482$14.4M0.06%
396BOOKING HOLDINGS INCBKNG3,410$14.4M0.06%
397MASTERCARD INCORPORATEDMA29,044$14.3M0.06%
398META PLATFORMS INCMETA24,950$14.3M0.06%
399META PLATFORMS INCMETA24,945$14.3M0.06%
400SYSCO CORPSYY182,739$14.3M0.06%
401TJX COS INC NEW872540109121,209$14.2M0.06%
402BANK AMERICA CORP060505104357,854$14.2M0.06%
403BERKSHIRE HATHAWAY INC DELBRK-A30,766$14.2M0.06%
404VANGUARD WORLD FD92204A405128,766$14.2M0.06%
405UNION PAC CORPUNP57,132$14.1M0.06%
406ISHARES TR46428765562,999$13.9M0.06%
407JOHNSON CTLS INTL PLCG51502105179,029$13.9M0.06%
408ISHARES TR46428759873,184$13.9M0.06%
409CHUBB LIMITEDCB47,993$13.8M0.06%
410ISHARES TR464287309144,529$13.8M0.06%
411EOG RES INCEOG111,688$13.7M0.06%
412COMCAST CORP NEWCCZ327,980$13.7M0.06%
413ECOLAB INCECL53,653$13.7M0.06%
414THERMO FISHER SCIENTIFIC INCTMO22,116$13.7M0.06%
415SHERWIN WILLIAMS COSHW35,826$13.7M0.06%
416VANGUARD INTL EQUITY INDEX F922042742114,192$13.7M0.06%
417BLACKROCK INCBLK14,368$13.6M0.06%
418MASTERCARD INCORPORATEDMA27,546$13.6M0.06%
419ISHARES TR46428762243,031$13.5M0.06%
420US BANCORP DELUSB-PS294,483$13.5M0.06%
421BLACKROCK INCBLK14,140$13.4M0.06%
422THERMO FISHER SCIENTIFIC INCTMO21,704$13.4M0.06%
423ISHARES TR46432F842171,946$13.4M0.06%
424VALERO ENERGY CORPVLO98,394$13.3M0.06%
425HONEYWELL INTL INC43851610663,936$13.2M0.06%
426US BANCORP DELUSB-PS287,145$13.1M0.06%
427VANGUARD WORLD FD92204A50446,412$13.1M0.06%
428AMGEN INCAMGN40,577$13.1M0.06%
429MICROCHIP TECHNOLOGY INC.MCHPP162,135$13.0M0.06%
430TEXAS INSTRS INC88250810462,728$13.0M0.06%
431AIR PRODS & CHEMS INCAIIR43,511$13.0M0.06%
432MEDTRONIC PLCMDT143,512$12.9M0.06%
433ISHARES TR464288158121,187$12.9M0.06%
434ISHARES TR46432F39663,283$12.8M0.06%
435STARBUCKS CORPSBUX131,414$12.8M0.06%
436TESLA INCTSLA48,964$12.8M0.06%
437ACCENTURE PLC IRELANDACN36,132$12.8M0.06%
438DEERE & CODE30,573$12.8M0.06%
439SELECT SECTOR SPDR TR81369Y80356,462$12.7M0.06%
440ISHARES TR46428710145,804$12.7M0.06%
441HONEYWELL INTL INC43851610660,923$12.6M0.06%
442CHUBB LIMITEDCB43,527$12.6M0.06%
443ISHARES TR46435G516148,867$12.5M0.06%
444PARKER-HANNIFIN CORPPH19,804$12.5M0.06%
445AMGEN INCAMGN38,791$12.5M0.06%
446UNION PAC CORPUNP50,679$12.5M0.06%
447COSTCO WHSL CORP NEW22160K10513,916$12.3M0.05%
448METLIFE INCMET-PF149,484$12.3M0.05%
449DANAHER CORPORATION23585110244,212$12.3M0.05%
450UNION PAC CORPUNP49,749$12.3M0.05%
451VANGUARD INTL EQUITY INDEX F922042858255,067$12.2M0.05%
452BROADCOM INCAVGO70,730$12.2M0.05%
453VANGUARD WORLD FD92204A50443,174$12.2M0.05%
454JPMORGAN CHASE & CO.VYLD57,292$12.1M0.05%
455VERIZON COMMUNICATIONS INCVZ266,663$12.0M0.05%
456NVENT ELECTRIC PLCNVT169,896$11.9M0.05%
457ENBRIDGE INCENNPF293,530$11.9M0.05%
458ISHARES TR464287226117,601$11.9M0.05%
459INTERNATIONAL BUSINESS MACHSINTR53,696$11.9M0.05%
460VANGUARD WORLD FD92204A10834,714$11.8M0.05%
461NOVARTIS AGNVSEF102,675$11.8M0.05%
462ISHARES TR46428880296,873$11.7M0.05%
463PNC FINL SVCS GROUP INC69347510562,985$11.6M0.05%
464META PLATFORMS INCMETA20,334$11.6M0.05%
465AMPHENOL CORP NEW032095101178,264$11.6M0.05%
466FEDEX CORPFDX42,195$11.5M0.05%
467ZOETIS INCZTS58,847$11.5M0.05%
468PAYCHEX INCPAYX85,291$11.4M0.05%
469ISHARES TR46428764840,217$11.4M0.05%
470CMS ENERGY CORPCMS-PC160,732$11.4M0.05%
471VANGUARD INDEX FDS92290836321,499$11.3M0.05%
472ISHARES TR46428740857,526$11.3M0.05%
473OMNICOM GROUP INCOMC109,318$11.3M0.05%
474CONOCOPHILLIPSCOP107,286$11.3M0.05%
475CATERPILLAR INCCAT28,851$11.3M0.05%
476WASTE MGMT INC DEL94106L10954,166$11.2M0.05%
477COCA COLA COKO155,885$11.2M0.05%
478BOOKING HOLDINGS INCBKNG2,658$11.2M0.05%
479SERVICENOW INCNOW12,491$11.2M0.05%
480PARKER-HANNIFIN CORPPH17,670$11.2M0.05%
481ASTRAZENECA PLCAZN143,019$11.1M0.05%
482MICROSOFT CORPMSFT25,874$11.1M0.05%
483OTIS WORLDWIDE CORPOTIS107,103$11.1M0.05%
484SALESFORCE INCCRM40,669$11.1M0.05%
485STARBUCKS CORPSBUX114,162$11.1M0.05%
486PACKAGING CORP AMER69515610951,623$11.1M0.05%
487ISHARES TR46428763066,385$11.1M0.05%
488ALPHABET INCGOOG66,750$11.1M0.05%
489AMAZON COM INCAMZN59,241$11.0M0.05%
490COCA COLA COKO153,574$11.0M0.05%
491SPDR GOLD TRGLD45,072$11.0M0.05%
492NUCOR CORPNUE72,862$11.0M0.05%
493MCDONALDS CORPMCD35,903$10.9M0.05%
494WISDOMTREE TRWT316,970$10.9M0.05%
495BANK AMERICA CORP060505104274,311$10.9M0.05%
496LOCKHEED MARTIN CORPLMT18,472$10.8M0.05%
497DOVER CORPDOV56,305$10.8M0.05%
498AIR PRODS & CHEMS INCAIIR36,105$10.7M0.05%
499ISHARES TR464288877186,804$10.7M0.05%
500COLGATE PALMOLIVE COCL103,407$10.7M0.05%