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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

PARK NATIONAL CORP /OH/

Quarter ended Q1 2025 · Filed April 2, 2025 · Accession 0001104659-25-031185

Total Value
$2.72B
Positions
468
Other Managers
0
Confidential Omitted
No
View on SEC.gov

Holdings (468)

#IssuerTicker / CUSIPSharesValue% of Filing
1Park National Corporation700658107953,973$144.4M5.31%
2Apple IncAAPL471,621$104.8M3.85%
3First Trust SMID Cap Rising Di33741X1023,095,295$103.7M3.81%
4Microsoft CorporationMSFT253,555$95.2M3.50%
5NVIDIA CorporationNVDA764,575$82.9M3.05%
6JPMorgan Chase & CoVYLD307,238$75.4M2.77%
7Take-Two Interactive SoftwareTTWO277,334$57.5M2.11%
8Alphabet Inc Class AGOOG368,375$57.0M2.09%
9Cisco Systems IncCSCO844,161$52.1M1.92%
10Waste Management Inc94106L109202,382$46.9M1.72%
11First Trust Preferred Securiti33739E1082,485,475$43.7M1.61%
12First Trust Capital Strength E33733E104469,848$42.1M1.55%
13Deere & CompanyDE87,770$41.2M1.51%
14Analog Devices IncADI195,767$39.5M1.45%
15Procter & Gamble Company742718109227,358$38.7M1.42%
16McDonald's CorporationMCD123,334$38.5M1.42%
17Accenture PLC Class AACN123,298$38.5M1.41%
18Visa Inc Class AV107,199$37.6M1.38%
19Amazon.com IncAMZN178,565$34.0M1.25%
20TJX Companies Inc872540109278,913$34.0M1.25%
21Distillate US Fundamental Stab26922A321611,472$33.2M1.22%
22Vanguard Information Technolog92204A70260,407$32.8M1.20%
23Cadence Design Systems IncCDNS126,300$32.1M1.18%
24Intercontinental Exchange Inc45866F104183,512$31.7M1.16%
25DR Horton Inc23331A109246,323$31.3M1.15%
26Abbott LaboratoriesABLZF233,561$31.0M1.14%
27Blackrock IncBLK31,454$29.8M1.09%
28Coca-Cola CompanyKO412,201$29.5M1.09%
29Palo Alto Networks IncPANW172,438$29.4M1.08%
30S&P Global IncSPGI57,226$29.1M1.07%
31Costco Wholesale Corporation22160K10530,574$28.9M1.06%
32Salesforce IncCRM103,355$27.7M1.02%
33Chipotle Mexican Grill IncCMG544,551$27.3M1.01%
34Arista Networks IncANET348,150$27.0M0.99%
35Chevron CorpCVX158,441$26.5M0.97%
36Meta Platforms Inc Class AMETA45,837$26.4M0.97%
37AbbVie IncABBV123,146$25.8M0.95%
38Berkshire Hathaway Inc Class BBRK-A46,916$25.0M0.92%
39Schwab (Charles) CorporationSCHW-PJ317,647$24.9M0.91%
40NextEra Energy IncNEE-PW325,540$23.1M0.85%
41First Trust NASDAQ Tech Divide33738R118305,600$22.5M0.83%
42First Trust Value Line Dividen33734H106482,240$21.5M0.79%
43First Trust TCW Unconstrained33740F888859,635$21.3M0.78%
44Exxon Mobil CorporationXOM176,610$21.0M0.77%
45Lockheed Martin CorporationLMT46,921$21.0M0.77%
46Park National Corporation700658107137,391$20.8M0.76%
47Monolithic Power Systems Inc60983910533,622$19.5M0.72%
48Danaher Corporation23585110283,277$17.1M0.63%
49First Trust Rising Dividend Ac33738R506281,312$16.5M0.61%
50FT Cboe Vest Rising Div Achiev33738D879686,763$16.3M0.60%
51Johnson & JohnsonJNJ97,717$16.2M0.60%
52Stryker CorporationSYK42,255$15.7M0.58%
53ConocoPhillipsCOP147,903$15.5M0.57%
54Vanguard Communication Service92204A884104,173$15.5M0.57%
55Berkshire Hathaway Inc Class ABRK-A19$15.2M0.56%
56Linde PLCLIN32,497$15.1M0.56%
57JPMorgan Chase & CoVYLD60,576$14.9M0.55%
58First Trust Enhanced Short Mat33739Q408242,960$14.5M0.53%
59Zoetis IncZTS86,331$14.2M0.52%
60CVS Health CorporationCVS203,842$13.8M0.51%
61First Trust Tactical High Yiel33738D408321,696$13.2M0.49%
62iShares Core S&P 500 ETF46428720023,108$13.0M0.48%
63GE Vernova IncGEV41,698$12.7M0.47%
64Schlumberger LimitedSLB296,290$12.4M0.46%
65Vanguard Total Stock Market ET92290876943,891$12.1M0.44%
66Cardinal Health IncCAH83,569$11.5M0.42%
67Medtronic PLCMDT124,923$11.2M0.41%
68Home Depot IncHD30,040$11.0M0.40%
69AstraZeneca PLC Sponsored ADRAZN147,543$10.8M0.40%
70McKesson CorporationMCK15,934$10.7M0.39%
71McCormick & Company IncMKC-V129,556$10.7M0.39%
72First Trust Dow Jones Global S33734X200430,153$10.4M0.38%
73Cencora IncCOR37,298$10.4M0.38%
74American Tower Corporation REI03027X10047,664$10.4M0.38%
75HCA Healthcare IncHCA29,346$10.1M0.37%
76First Trust Growth Strength ET33733E823335,785$10.0M0.37%
77Automatic Data Processing IncADP28,737$8.8M0.32%
78Becton Dickinson & CoBDX38,220$8.8M0.32%
79Vanguard Materials ETF92204A80144,289$8.4M0.31%
80Diamondback Energy IncFANG51,468$8.2M0.30%
81Halliburton CompanyHAL320,761$8.1M0.30%
82PepsiCo IncPEP51,658$7.7M0.28%
83First Tr TCW Opportunistic Fix33740F805176,193$7.7M0.28%
84Lilly (Eli) & CompanyLLY8,826$7.3M0.27%
85Realty Income CorpO123,091$7.1M0.26%
86Ecolab IncECL25,813$6.5M0.24%
87First Trust North Amer Energy33738D101171,800$6.4M0.24%
88Brown & Brown IncBRO51,634$6.4M0.24%
89Emerson Electric CompanyEMR52,656$5.8M0.21%
90Capital One Financial Corporat14040H10531,839$5.7M0.21%
91Air Products & Chemicals IncAIIR19,036$5.6M0.21%
92Cintas CorporationCTAS27,256$5.6M0.21%
93Vanguard Consumer Discretionar92204A10816,916$5.5M0.20%
94Vanguard Real Estate ETF92290855358,813$5.3M0.20%
95RPM International Inc74968510344,702$5.2M0.19%
96Exxon Mobil CorporationXOM39,711$4.7M0.17%
97Vanguard Intermediate-Term Bon92193781960,150$4.6M0.17%
98Disney (Walt) Company25468710646,596$4.6M0.17%
99PNC Financial Services Group69347510526,162$4.6M0.17%
100Vanguard FTSE Developed Market92194385887,701$4.5M0.16%
101CSX CorporationCSX150,985$4.4M0.16%
102Vanguard S&P 500 ETF9229083638,463$4.3M0.16%
103FT Indxx Global Natural Resour33734X838323,678$4.3M0.16%
104Merck & Company Inc (New)MRK47,612$4.3M0.16%
105Vanguard Industrials ETF92204A60315,747$3.9M0.14%
106Vanguard Health Care ETF92204A50414,600$3.9M0.14%
107FlexShares High Yield Value-ScFLEX93,476$3.8M0.14%
108Target CorporationTGT35,644$3.7M0.14%
109Apple IncAAPL16,664$3.7M0.14%
110Vanguard Financials ETF92204A40530,517$3.6M0.13%
111Huntington Bancshares IncHBANP242,006$3.6M0.13%
112SPDR S&P 500 ETFSPY6,344$3.5M0.13%
113Procter & Gamble Company74271810920,379$3.5M0.13%
114Trane Technologies PLCTT10,032$3.4M0.12%
115First Trust Small Cap Core Alp33734Y10936,167$3.3M0.12%
116International Business MachineINTR12,966$3.2M0.12%
117General Dynamics CorporationGD11,788$3.2M0.12%
118American Express CoAXP11,905$3.2M0.12%
119Nike Inc Class BNKE49,559$3.1M0.12%
120Chubb Ltd (New)CB10,346$3.1M0.11%
121Texas Instruments Inc88250810417,130$3.1M0.11%
122Bank of America Corp06050510471,747$3.0M0.11%
123Union Pacific CorporationUNP11,818$2.8M0.10%
124FlexShares iBoxx 3-Year TargetFLEX111,340$2.7M0.10%
125Caterpillar IncCAT8,102$2.7M0.10%
1263M CompanyMMM17,986$2.6M0.10%
127Genuine Parts CompanyGPC21,750$2.6M0.10%
128Marathon Petroleum CorporationMARA17,606$2.6M0.09%
129Honeywell International Inc43851610610,742$2.3M0.08%
130Walmart IncWMT25,815$2.3M0.08%
131Microsoft CorporationMSFT6,035$2.3M0.08%
132iShares Select Dividend ETF46428716816,535$2.2M0.08%
133Gorman-Rupp CompanyGRC60,197$2.1M0.08%
134Vanguard Energy ETF92204A30616,244$2.1M0.08%
135GE Aerospace36960430110,069$2.0M0.07%
136Lancaster Colony CorporationMZTI11,000$1.9M0.07%
137Stryker CorporationSYK5,123$1.9M0.07%
138Illinois Tool Works Inc4523081097,652$1.9M0.07%
139VanEck Gold Miners ETF (USA)92189F10640,000$1.8M0.07%
140NVIDIA CorporationNVDA16,767$1.8M0.07%
141FlexShares Core Select Bond ETFLEX77,525$1.7M0.06%
142FlexShares STOXX Global BroadFLEX29,519$1.7M0.06%
143Six Flags Entertainment Corp.FUN47,450$1.7M0.06%
144Cincinnati Financial Corporati17206210111,411$1.7M0.06%
145FlexShares Global Quality RealFLEX29,063$1.7M0.06%
146Shell PLC Sponsored ADRRYDAF22,843$1.7M0.06%
147Lilly (Eli) & CompanyLLY2,019$1.7M0.06%
148Sherwin-Williams CompanySHW4,758$1.7M0.06%
149Broadcom IncAVGO9,850$1.6M0.06%
150Delta Air Lines IncDAL36,291$1.6M0.06%
151Intel CorporationINTC68,320$1.6M0.06%
152QUALCOMM IncQCOM10,087$1.5M0.06%
153Oracle CorporationORCL-PD10,960$1.5M0.06%
154Duke Energy Corporation (New)DUKB12,294$1.5M0.06%
155Johnson & JohnsonJNJ8,799$1.5M0.05%
156PACCAR IncPCAR14,582$1.4M0.05%
157Pfizer IncPFE55,925$1.4M0.05%
158Lowe's Companies Inc5486611076,043$1.4M0.05%
159AT&T IncT-PC49,472$1.4M0.05%
160Chevron CorpCVX8,283$1.4M0.05%
161Novartis AG Sponsored ADRNVSEF12,414$1.4M0.05%
162Alphabet Inc Class CGOOG8,588$1.3M0.05%
163US Bancorp (DE)USB-PS31,440$1.3M0.05%
164Vanguard Consumer Staples ETF92204A2076,053$1.3M0.05%
165FlexShares US Quality Large CaFLEX20,582$1.3M0.05%
166Vanguard Growth ETF9229087363,535$1.3M0.05%
167American Express CoAXP4,828$1.3M0.05%
168Altria Group IncMO20,260$1.2M0.04%
169Bank of New York Mellon Corp06405810014,309$1.2M0.04%
170Philip Morris International In7181721097,549$1.2M0.04%
171First Trust Mid Cap Core Alpha33735B10810,829$1.2M0.04%
172First Trust Inst Preferred Sec33739P85561,755$1.2M0.04%
173Bristol-Myers Squibb CompanyCELG-RI18,857$1.2M0.04%
174Verizon Communications IncVZ24,957$1.1M0.04%
175American Electric Power Co02553710110,119$1.1M0.04%
176United Parcel Service Inc ClasUPS9,740$1.1M0.04%
177Adobe IncADBE2,684$1.0M0.04%
178Allstate CorpALL-PJ4,954$1.0M0.04%
179Trane Technologies PLCTT2,971$1.0M0.04%
180Vanguard Total Stock Market ET9229087693,615$993,5470.04%
181Norfolk Southern Corporation6558441084,138$980,0850.04%
182Wells Fargo & Co (New)94974610113,619$977,7080.04%
183Vanguard S&P 500 ETF9229083631,875$963,5810.04%
184Arthur J Gallagher & Co3635761092,781$960,1120.04%
185Invesco QQQ Trust Series 1IVZ2,041$957,0660.04%
186Vanguard FTSE Emerging Markets92204285821,050$952,7230.04%
187Fifth Third BancorpFITBM23,938$938,3700.03%
188First Trust Large Cap Core Alp33734K1099,135$935,9720.03%
189Monster Beverage CorporationMNST15,924$931,8720.03%
190First Tr NASDAQ-100 Equal Weig3373441057,671$927,6540.03%
191UnitedHealth Group IncUNH1,737$909,7540.03%
192Vanguard Dividend Appreciation9219088444,560$884,5940.03%
193FlexShares Morningstar Glbl UpFLEX22,683$880,3270.03%
194Vanguard Extended Market ETF9229086525,055$870,7740.03%
195Vanguard High Dividend Yield E9219464066,727$867,5140.03%
196iShares U.S. Technology ETF4642877216,050$849,6620.03%
197Cisco Systems IncCSCO13,714$846,2910.03%
198Comcast Corporation Class ACCZ22,874$844,0510.03%
199AbbVie IncABBV4,027$843,7370.03%
200RTX CorporationRTX6,330$838,4720.03%
201Kroger CoKR12,331$834,6850.03%
202Vanguard Small-Cap ETF9229087513,695$819,3660.03%
203Sysco CorporationSYY10,890$817,1860.03%
204First Trust Preferred Securiti33739E10844,195$777,3900.03%
205Home Depot IncHD2,120$776,9590.03%
206Nucor CorporationNUE6,371$766,6860.03%
207Intuitive Surgical IncISRG1,546$765,6870.03%
208Norfolk Southern Corporation6558441083,225$763,8410.03%
209Southern CompanySOMN7,945$730,5430.03%
210AutoZone IncAZO188$716,8030.03%
211Paychex IncPAYX4,603$710,1510.03%
212SPDR S&P MidCap 400 ETFMDY1,270$677,5200.02%
213iShares MSCI EAFE ETF4642874658,243$673,7000.02%
214FlexShares MS US Market FactorFLEX3,271$672,9630.02%
215Travelers Companies IncTRV2,540$671,7280.02%
216Emerson Electric CompanyEMR6,123$671,3260.02%
217Eaton Corporation PLCETN2,377$646,1400.02%
218SPDR Gold Shares ETFGLD2,237$644,5690.02%
219First Trust TCW Unconstrained33740F88824,690$611,0780.02%
220Visa Inc Class AV1,738$609,0990.02%
221Vanguard Utilities ETF92204A8763,508$599,2010.02%
222Tractor Supply CompanyTSCO10,835$597,0090.02%
223Corning IncGLW12,926$591,7520.02%
224Coca-Cola CompanyKO8,168$584,9920.02%
225NextEra Energy IncNEE-PW8,045$570,3100.02%
226Cigna Group1255231001,721$566,2090.02%
227Abbott LaboratoriesABLZF4,227$560,7120.02%
228Aflac IncAFL5,019$558,0630.02%
229Worthington Enterprises IncWOR11,017$551,8420.02%
230Mastercard Inc Class AMA1,002$549,2160.02%
231Berkshire Hathaway Inc Class BBRK-A1,024$545,3620.02%
232Tesla IncTSLA2,086$540,6080.02%
233FlexShares Morn Dev Mkts ex-USFLEX7,190$537,8980.02%
234Watsco IncWSO-B1,031$524,0570.02%
235iShares Russell Midcap ETF4642874995,941$505,4010.02%
236Ford Motor Company34537086048,901$490,4770.02%
237McDonald's CorporationMCD1,560$487,2970.02%
238Antero Resources CorporationAR12,000$485,2800.02%
239Discover Financial Services2547091082,822$481,7150.02%
240Morgan StanleyMS-PQ4,091$477,2970.02%
241Canadian Pacific Kansas City LCP6,729$472,4430.02%
242Boeing Company (The)BA-PA2,734$466,2840.02%
243Alphabet Inc Class AGOOG2,984$461,4460.02%
244Taiwan Semiconductor Manufactu8740391002,776$460,8160.02%
245Civista Bancshares IncCIVB23,275$454,7940.02%
246Franklin Resources IncBEN23,445$451,3160.02%
247Automatic Data Processing IncADP1,456$444,8520.02%
248SAP SE Sponsored ADRSAPGF1,651$443,1940.02%
249Mondelez International Inc Cla6092071056,487$440,1430.02%
250iShares Russell 1000 Growth ET4642876141,197$432,2250.02%
251Sea Ltd Sponsored ADRSE3,303$431,0080.02%
252WEC Energy Group IncWEC3,950$430,4710.02%
253Ameriprise Financial Inc03076C106874$423,1120.02%
254PepsiCo IncPEP2,788$418,0330.02%
255Analog Devices IncADI2,063$416,0450.02%
256Amgen IncAMGN1,332$414,9850.02%
257First Tr NASDAQ Clean Edge Gre33733E50014,490$414,7040.02%
258Spotify Technology S ASPOT747$410,8720.02%
259Deere & CompanyDE855$401,2940.01%
260Veralto CorpVLTO3,923$382,2640.01%
261AT&T IncT-PC13,302$376,1810.01%
262Fastenal CompanyFAST4,830$374,5670.01%
263Meta Platforms Inc Class AMETA645$371,7520.01%
264Corteva IncCTVA5,799$364,9310.01%
265H&R Block IncBSQKZ6,601$362,4610.01%
266Kimberly-Clark CorporationKMB2,531$359,9590.01%
267Constellation Brands Inc ClassSTZ1,921$352,5420.01%
268Duke Energy Corporation (New)DUKB2,775$338,4670.01%
269Iron Mountain Inc (New)46284V1013,838$330,2220.01%
270Novo-Nordisk A/S Sponsored ADRNONOF4,713$327,2710.01%
271Merck & Company Inc (New)MRK3,621$325,0210.01%
272PPG Industries Inc6935061072,937$321,1610.01%
273DuPont de Nemours IncDD4,269$318,8090.01%
274FT Cboe Vest Rising Div Achiev33738D87913,440$318,7970.01%
275Vanguard Information Technolog92204A702584$316,7500.01%
276Clorox CompanyCLX2,130$313,6430.01%
277iShares S&P 500 Growth ETF4642873093,346$310,6090.01%
278Air Products & Chemicals IncAIIR1,049$309,3710.01%
279iShares MSCI EAFE ETF4642874653,785$309,3480.01%
280Accenture PLC Class AACN981$306,1110.01%
281Lockheed Martin CorporationLMT668$298,4020.01%
282iShares S&P 500 Growth ETF4642873093,195$296,5920.01%
283Worthington Steel Inc98210410111,683$295,9300.01%
284Lincoln Electric Holdings Inc5339001061,560$295,0900.01%
285Elevance Health IncELV678$294,9030.01%
286Broadcom IncAVGO1,750$293,0030.01%
287Netflix IncNFLX310$289,0840.01%
288Genuine Parts CompanyGPC2,415$287,7230.01%
289PNC Financial Services Group6934751051,613$283,5170.01%
290Amazon.com IncAMZN1,448$275,4960.01%
291Broadridge Financial Solutions11133T1031,132$274,4650.01%
292Vanguard Communication Service92204A8841,844$273,6310.01%
293Equifax IncEFX1,122$273,2740.01%
294Baxter International Inc0718131097,864$269,1850.01%
295Vanguard Small-Cap ETF9229087511,210$268,3180.01%
296Verizon Communications IncVZ5,836$264,7210.01%
297Arch Capital Group LtdG0450A1052,750$264,4950.01%
298Smucker (J M) Co (New)8326964052,192$259,5550.01%
299Technology Select Sector SPDR81369Y8031,254$258,9260.01%
300International Business MachineINTR1,041$258,8550.01%
301Industrial Select Sector SPDR81369Y7041,967$257,8150.01%
302MSA Safety IncMNESP1,718$252,0130.01%
303Antero Midstream CorporationAM14,000$252,0000.01%
304Vanguard Extended Market ETF9229086521,450$249,7770.01%
305MercadoLibre IncMELI128$249,7110.01%
306ONEOK IncOKE2,495$247,5540.01%
307Blackstone IncBX1,757$245,5930.01%
308Chubb Ltd (New)CB796$240,3840.01%
309Micron Technology IncMU2,750$238,9480.01%
310National Fuel Gas Company (NJ)NFG3,000$237,5700.01%
311Peabody Energy CorpBTU17,500$237,1250.01%
312Chemed CorporationCHE383$235,6680.01%
313Union Pacific CorporationUNP996$235,2950.01%
314Principal Financial Group IncPFG2,787$235,1390.01%
315Vanguard Real Estate ETF9229085532,595$234,9510.01%
316Smurfit Westrock PLCSW5,150$232,0590.01%
317Goldman Sachs Group IncGSCE421$229,9880.01%
318Garmin Ltd (Switzerland)GRMN1,050$227,9870.01%
319Weyerhaeuser CompanyWY7,714$225,8660.01%
320ICON PLCICLR1,277$223,4620.01%
3213M CompanyMMM1,513$222,1990.01%
322Bank of Montreal0636711012,325$222,0610.01%
323UBS Group AGUBS7,245$221,9140.01%
324Waste Management Inc94106L109946$219,0080.01%
325Target CorporationTGT2,094$218,5300.01%
326Steris PLC (New)STE961$217,8110.01%
327Coupang IncCPNG9,851$216,0320.01%
328ICICI Bank Ltd Sponsored ADRIBN6,847$215,8170.01%
329NiSource IncNI5,382$215,7640.01%
330Take-Two Interactive SoftwareTTWO1,028$213,0530.01%
331GE Healthcare Technologies IncGEHC2,630$212,2670.01%
332Dominion Energy IncD3,778$211,8320.01%
333KeyCorp49326710813,079$209,1330.01%
334Fidelity National Financial InFNF3,200$208,2560.01%
335United Parcel Service Inc ClasUPS1,875$206,2310.01%
336ASML Holding NV-NY Reg ShsASMLF311$206,0780.01%
337Vanguard Short-Term Bond ETF9219378272,616$204,7800.01%
338Microchip Technology IncMCHPP4,208$203,7090.01%
339First Tr Glbl Tactical Commodi33739H1017,973$203,4710.01%
340Distillate Small/Mid Cash Flow26922B6676,350$200,3030.01%
341Colgate-Palmolive CompanyCL2,126$199,2060.01%
342Vanguard ESG US Stock ETF9219107332,025$198,3490.01%
343Snap-on IncorporatedSNA579$195,1290.01%
344Northrop Grumman CorporationNOC378$193,5400.01%
345Cincinnati Financial Corporati1720621011,275$188,3430.01%
346iShares Russell 2000 ETF464287655915$182,5330.01%
347Vanguard High Dividend Yield E9219464061,350$174,0960.01%
348Clorox CompanyCLX1,172$172,5770.01%
349DR Horton Inc23331A1091,333$169,4640.01%
350Amgen IncAMGN541$168,5490.01%
351First Trust Enhanced Short Mat33739Q4082,800$167,5520.01%
352Blackrock IncBLK177$167,5270.01%
353Medtronic PLCMDT1,859$167,0500.01%
354TJX Companies Inc8725401091,364$166,1350.01%
355PPG Industries Inc6935061071,478$161,6190.01%
356First Trust Capital Strength E33733E1041,800$161,3520.01%
357Novartis AG Sponsored ADRNVSEF1,431$159,5280.01%
358First Trust Tactical High Yiel33738D4083,855$158,2090.01%
359ConocoPhillipsCOP1,471$154,4840.01%
360Pimco Dynamic Income Opportuni69355M10710,974$152,3190.01%
361SPDR Gold Shares ETFGLD525$151,2740.01%
362NU Holdings Ltd Class ANU14,279$146,2170.01%
363Vodafone Group PLC Sponsored A92857W30814,650$137,2710.01%
364Cummins IncCMI432$135,4060.00%
365Paychex IncPAYX860$132,6810.00%
366Allegion PLCALLE982$128,1120.00%
367Intel CorporationINTC5,633$127,9250.00%
368Bank of New York Mellon Corp0640581001,500$125,8050.00%
369Corning IncGLW2,620$119,9440.00%
370Fifth Third BancorpFITBM3,050$119,5600.00%
371GE Aerospace369604301554$110,8830.00%
372Bristol-Myers Squibb CompanyCELG-RI1,792$109,2940.00%
373First Trust Value Line Dividen33734H1062,450$109,2460.00%
374Allegion PLCALLE833$108,6730.00%
375Disney (Walt) Company2546871061,100$108,5700.00%
376First Trust Inst Preferred Sec33739P8555,800$108,4600.00%
377Vanguard Financials ETF92204A405899$107,4040.00%
378Genius Sports LimitedGENI10,670$106,8070.00%
379Snap-on IncorporatedSNA303$102,1140.00%
380Danaher Corporation235851102492$100,8600.00%
381Costco Wholesale Corporation22160K105106$100,2530.00%
382Intercontinental Exchange Inc45866F104572$98,6700.00%
383Alphabet Inc Class CGOOG620$96,8630.00%
384Vanguard ESG US Stock ETF921910733980$95,9910.00%
385Eaton Corporation PLCETN350$95,1410.00%
386First Tr TCW Opportunistic Fix33740F8052,165$94,9140.00%
387Cummins IncCMI300$94,0320.00%
388SPDR S&P 500 ETFSPY167$93,4180.00%
389First Trust SMID Cap Rising Di33741X1022,781$93,1640.00%
390CVS Health CorporationCVS1,368$92,6820.00%
391Pfizer IncPFE3,626$91,8830.00%
392Vanguard Utilities ETF92204A876530$90,5290.00%
393Cardinal Health IncCAH618$85,1420.00%
394Vanguard Growth ETF922908736226$83,8050.00%
395Micron Technology IncMU918$79,7650.00%
396Arista Networks IncANET1,009$78,1770.00%
397Salesforce IncCRM276$74,0670.00%
398First Trust NASDAQ Tech Divide33738R118975$71,7700.00%
399Bank of America Corp0605051041,706$71,1910.00%
400Kimberly-Clark CorporationKMB500$71,1100.00%
401Blackstone IncBX500$69,8900.00%
402McKesson CorporationMCK101$67,9720.00%
403Mondelez International Inc Cla6092071051,000$67,8500.00%
404First Trust Rising Dividend Ac33738R5061,125$65,8580.00%
405Vanguard Materials ETF92204A801348$65,7060.00%
406Boeing Company (The)BA-PA382$65,1500.00%
407Cadence Design Systems IncCDNS254$64,6000.00%
408Colgate-Palmolive CompanyCL680$63,7160.00%
409Palo Alto Networks IncPANW361$61,6010.00%
410RTX CorporationRTX463$61,3290.00%
411Walmart IncWMT675$59,2580.00%
412Schwab (Charles) CorporationSCHW-PJ753$58,9450.00%
413Vanguard Consumer Discretionar92204A108170$55,3370.00%
414KeyCorp4932671083,250$51,9680.00%
415General Dynamics CorporationGD188$51,2450.00%
416Realty Income CorpO841$48,7860.00%
417Chipotle Mexican Grill IncCMG902$45,2890.00%
418Northrop Grumman CorporationNOC85$43,5210.00%
419Oracle CorporationORCL-PD300$41,9430.00%
420iShares Russell 2000 ETF464287655200$39,8980.00%
421Caterpillar IncCAT120$39,5760.00%
422Adobe IncADBE100$38,3530.00%
423Zoetis IncZTS231$38,0340.00%
424iShares Select Dividend ETF464287168280$37,6010.00%
425Sysco CorporationSYY473$35,4940.00%
426Southern CompanySOMN385$35,4010.00%
427S&P Global IncSPGI68$34,5510.00%
428Dominion Energy IncD600$33,6420.00%
429GE Vernova IncGEV105$32,0540.00%
430Illinois Tool Works Inc452308109125$31,0010.00%
431Ecolab IncECL112$28,3940.00%
432Mastercard Inc Class AMA50$27,4060.00%
433First Trust Small Cap Core Alp33734Y109300$27,0270.00%
434Vanguard Energy ETF92204A306198$25,6830.00%
435Shell PLC Sponsored ADRRYDAF322$23,5960.00%
436Schlumberger LimitedSLB561$23,4500.00%
437American Tower Corporation REI03027X100106$23,0660.00%
438Linde PLCLIN47$21,8850.00%
439Vanguard Consumer Staples ETF92204A20793$20,3500.00%
440HCA Healthcare IncHCA58$20,0420.00%
441Ford Motor Company3453708601,950$19,5590.00%
442Vanguard Health Care ETF92204A50472$19,0610.00%
443Vanguard Industrials ETF92204A60374$18,3190.00%
444American Electric Power Co025537101134$14,6420.00%
445Distillate US Fundamental Stab26922A321255$13,8310.00%
446AstraZeneca PLC Sponsored ADRAZN182$13,3770.00%
447Huntington Bancshares IncHBANP870$13,0590.00%
448Nike Inc Class BNKE205$13,0130.00%
449Comcast Corporation Class ACCZ336$12,3980.00%
450Cencora IncCOR36$10,0110.00%
451Veralto CorpVLTO93$9,0630.00%
452McCormick & Company IncMKC-V107$8,8070.00%
453Marathon Petroleum CorporationMARA60$8,7410.00%
454Becton Dickinson & CoBDX36$8,2460.00%
455Monster Beverage CorporationMNST135$7,9000.00%
456Monolithic Power Systems Inc60983910512$6,9600.00%
457Halliburton CompanyHAL242$6,1400.00%
458Honeywell International Inc43851610625$5,2940.00%
459Capital One Financial Corporat14040H10526$4,6620.00%
460Sherwin-Williams CompanySHW11$3,8410.00%
461Diamondback Energy IncFANG23$3,6770.00%
462Texas Instruments Inc88250810418$3,2350.00%
463CSX CorporationCSX96$2,8250.00%
464Corteva IncCTVA41$2,5800.00%
465Nucor CorporationNUE20$2,4070.00%
466DuPont de Nemours IncDD29$2,1660.00%
467NiSource IncNI50$2,0050.00%
468Ameriprise Financial Inc03076C1061$4840.00%