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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

FIRST FINANCIAL CORP /IN/

Quarter ended Q2 2025 · Filed July 9, 2025 · Accession 0001104659-25-066597

Total Value
$224.0M
Positions
423
Other Managers
0
Confidential Omitted
No
View on SEC.gov

Holdings (423)

#IssuerTicker / CUSIPSharesValue% of Filing
1First Financial Corp320218100575,664$31.2M13.93%
2Vanguard S&P 500 ETF92290836350,946$28.9M12.92%
3Vanguard Information Technolog92204A70221,411$14.2M6.34%
4Vanguard FTSE Developed Market921943858137,009$7.8M3.49%
5Microsoft CorpMSFT13,179$6.6M2.93%
6Vanguard Mid-Cap ETF92290862917,807$5.0M2.22%
7Vanguard Small-Cap ETF92290875117,914$4.2M1.90%
8Apple IncAAPL18,114$3.7M1.66%
9Vanguard Financial ETF92204A40528,677$3.7M1.63%
10Vanguard Communication Service92204A88420,633$3.5M1.58%
11JPMorgan Chase & CoVYLD10,720$3.1M1.39%
12Vanguard Consumer Discretionar92204A1088,481$3.1M1.37%
13NVIDIA CorporationNVDA16,841$2.7M1.19%
14Vanguard Industrials ETF92204A6039,446$2.6M1.18%
15Eli Lilly & CoLLY3,337$2.6M1.16%
16Broadcom IncAVGO9,290$2.6M1.14%
17Vanguard Health Care ETF92204A5049,777$2.4M1.08%
18Microsoft CorpMSFT4,519$2.2M1.00%
19Amazon.Com IncAMZN9,902$2.2M0.97%
20Meta Platforms IncMETA2,856$2.1M0.94%
21Abbot LaboratoriesABLZF14,519$2.0M0.88%
22Waste Connections IncWCN9,750$1.8M0.81%
23Proctor & Gamble Co74271810911,066$1.8M0.79%
24Invesco NASDAQ 100 ETFIVZ7,288$1.7M0.74%
25Abbvie IncABBV8,874$1.6M0.74%
26Exxon Mobil CorporationXOM15,279$1.6M0.74%
27iShares U.S. Real Estate ETF46428773916,941$1.6M0.72%
28iShares Russell 1000 ETF4642876224,597$1.6M0.70%
29Home Depot IncHD4,063$1.5M0.67%
30Visa Inc - AV4,165$1.5M0.66%
31SPDR Portfolio S&P Growth ETF78464A40915,032$1.4M0.64%
32Invesco QQQ Trust Series 1IVZ2,501$1.4M0.62%
33Lockheed Martin CorpLMT2,941$1.4M0.61%
34Palo Alto Networks IncPANW6,430$1.3M0.59%
35Vanguard Information Technolog92204A7021,803$1.2M0.53%
36Johnson Controls InternationalG5150210511,246$1.2M0.53%
37Eli Lilly & CoLLY1,433$1.1M0.50%
38Avantis US Small Cap02507287711,554$1.1M0.47%
39Vanguard FTSE Emerging Markets92204285821,026$1.0M0.46%
40Alphabet Inc - AGOOG5,893$1.0M0.46%
41Walmart IncWMT10,599$1.0M0.46%
42NextEra Energy, IncNEE-PW14,863$1.0M0.46%
43Intercontinental Exchange Inc45866F1045,612$1.0M0.46%
44PayPal Holdings IncPYPL13,416$997,0770.45%
45iShares Russell 1000 Income ET4642876142,324$986,7240.44%
46Linde PLCLIN2,097$983,8700.44%
47Comcast CorpCCZ27,268$973,1950.43%
48Chipotle Mexican Grill IncCMG17,194$965,4430.43%
49Thermo Fisher Scientific IncTMO2,367$959,7240.43%
50Costco Wholesale Corp22160K105934$924,6040.41%
51Coca-Cola CoKO12,788$904,7510.40%
52Mondelez International Inc60920710513,124$885,0830.40%
53SPDR S&P 500 ETF TrustSPY1,397$863,1360.39%
54WisdomTree Emerg Mkts ex-St-OwWT24,879$857,8280.38%
55Vanguard Consumer Staple ETF92204A2073,913$856,9470.38%
56Vanguard Energy ETF92204A3066,913$823,4770.37%
57iShares Russell 1000 Value ETF4642875983,964$769,9280.34%
58Vanguard Utilities ETF92204A8764,280$755,4630.34%
59Vanguard Real Estate ETF9229085538,219$731,9840.33%
60Sysco CorpSYY9,031$684,0080.31%
61Vanguard Mega Cap ETF9219108733,000$674,7600.30%
62SPDR Dow Jones Industrial Aver78467X1091,512$666,2630.30%
63American Tower Corp03027X1002,945$650,9040.29%
64RTX CorpRTX4,435$647,5990.29%
65Apple IncAAPL3,019$619,4080.28%
66Republic Services Inc7607591002,500$616,5250.28%
67First Financial Corp32021810010,898$590,5630.26%
68McDonald's CorpMCD1,880$549,2800.25%
69Chevron CorpCVX3,801$544,2650.24%
70Vanguard Materials ETF92204A8012,764$538,5100.24%
71NVIDIA CorporationNVDA3,358$530,5300.24%
72Oracle CorporationORCL-PD2,420$529,0850.24%
73Merck & Co. IncMRK6,642$525,7810.23%
74Suncor Energy IncSU13,695$512,8780.23%
75Bank of America Corp06050510410,683$505,5200.23%
76Union Pacific CorpUNP2,080$478,5660.21%
77Walt Disney Co2546871063,817$473,3460.21%
78Vanguard S&P 500 ETF922908363808$458,9680.20%
79Mastercard IncMA811$455,7330.20%
80Novo-Nordisk ADRNONOF6,470$446,5590.20%
81iShares Russell Mid-Cap ETF4642874994,840$445,1350.20%
82Merck & Co. IncMRK5,500$435,3800.19%
83BHP Billiton Ltd ADRBHPLF8,994$432,5210.19%
84UnitedHealth Group IncUNH1,383$431,4550.19%
85Vanguard Small-Cap Growth ETF9229085951,533$424,5490.19%
86BP P.L.C.BPPFF14,141$423,2400.19%
87Vanguard Russell 2000 ETF92206C6644,808$419,3540.19%
88Bristol-Myers SquibbCELG-RI8,742$404,6670.18%
89Salesforce IncCRM1,391$379,3120.17%
90Elevance Health IncELV971$377,6800.17%
91Accenture PLC - AACN1,260$376,6010.17%
92Johnson & JohnsonJNJ2,386$364,4620.16%
93iShares Core MSCI EAFE ETF46432F8424,345$362,7210.16%
94iShares Russell Mid-Cap Value4642874732,684$354,6640.16%
95Alphabet Inc - AGOOG2,000$352,4600.16%
96iShares Russell Mid-Cap Growth4642874812,522$349,7510.16%
97Cisco Systems IncCSCO5,000$346,9000.15%
98Schwab US Dividend Equity ETF80852479712,921$342,4070.15%
99Texas Instruments Inc8825081041,649$342,3650.15%
100Marriott International Inc - C5719032021,228$335,5020.15%
101Cisco Systems IncCSCO4,525$313,9450.14%
102Caterpillar IncCAT808$313,6740.14%
103SPDR Gold TrustGLD986$300,5620.13%
104VanEck Agribusiness ETF92189F7004,000$294,4800.13%
105Shell PLC - ADRRYDAF4,094$288,2590.13%
106Waste Management Inc94106L1091,231$281,6770.13%
107Honeywell International Inc4385161061,189$276,8940.12%
108Broadcom IncAVGO1,000$275,6500.12%
109Exxon Mobil CorporationXOM2,504$269,9310.12%
110Schwab US Dividend Equity ETF80852479710,110$267,9150.12%
111Wells Fargo & Co9497461013,255$260,7910.12%
112Lowe's Companies, Inc5486611071,160$257,3690.11%
113PepsiCo IncPEP1,932$255,1010.11%
114Carrier Global CorpCARR3,462$253,3840.11%
115Altria Group IncMO4,212$246,9500.11%
116Lennar CorpLEN-B2,218$245,3330.11%
117KLA CorpKLAC272$243,6410.11%
118iShares Russell 1000 Value ETF4642875981,240$240,8450.11%
119Meta Platforms IncMETA326$240,6170.11%
120Abbot LaboratoriesABLZF1,767$240,3300.11%
121American Express CoAXP741$236,3640.11%
122Pfizer IncPFE9,329$226,1350.10%
123Alphabet Inc - CGOOG1,273$225,8170.10%
124Chevron CorpCVX1,556$222,8040.10%
125Invesco S&P MidCap 400 RevenueIVZ1,881$219,8700.10%
126Amazon.Com IncAMZN941$206,4460.09%
127The Allstate Corp.ALL-PJ1,023$205,9400.09%
128QUALCOMM IncQCOM1,290$205,4450.09%
129Vanguard Dividend Appreciation9219088441,000$204,6700.09%
130McDonald's CorpMCD700$204,5190.09%
131Marathon Petroleum CorporationMARA1,200$199,3320.09%
132iShares Core S&P Small-Cap ETF4642878041,818$198,6890.09%
133IBMINTR666$196,3230.09%
134Caterpillar IncCAT500$194,1050.09%
135General DynamicsGD663$193,3710.09%
136HCA Healthcare IncHCA500$191,5500.09%
137Duke Energy CorpDUKB1,600$188,8000.08%
138iShares MSCI EAFE Growth ETF4642888851,633$182,8960.08%
139Marathon Petroleum CorporationMARA1,095$181,8900.08%
140Colgate-Palmolive CoCL1,977$179,7090.08%
141Danaher Corp235851102904$178,5760.08%
142Automatic Data Processing IncADP554$170,8540.08%
143First Trust Financial AlphaDEX33734X1353,046$170,7590.08%
144iShares Core S&P U.S. Value ET4642876631,759$166,4540.07%
145Vanguard Total Stock Market ET922908769543$165,0340.07%
146Northern Trust CorpNTRSO1,300$164,8270.07%
147iShares MSCI EAFE ETF4642874651,807$161,5280.07%
148FlexShares Quality Dividend InFLEX2,201$161,0690.07%
149Wells Fargo & Co9497461012,000$160,2400.07%
150Emerson Electric CoEMR1,200$159,9960.07%
151Vanguard Financial ETF92204A4051,252$159,3800.07%
152iShares Select Dividend ETF4642871681,200$159,3720.07%
153PepsiCo IncPEP1,175$155,1470.07%
154First Trust Inter Duration Pfd33718W1038,179$153,9290.07%
155Iron Mountain Inc46284V1011,500$153,8550.07%
156Vanguard Consumer Discretionar92204A108423$153,2610.07%
157Otis Worldwide CorporationOTIS1,522$150,7080.07%
158iShares S&P Core S&P464287200241$149,6370.07%
159iShares S&P 100 ETF464287101488$148,5230.07%
160Walmart IncWMT1,500$146,6700.07%
161WisdomTree Intl Hedged Qual DiWT3,250$146,4130.07%
162Vanguard Mid-Cap ETF922908629523$146,3510.07%
163TJX Companies Inc8725401091,179$145,5950.07%
164AT&T IncT-PC5,019$145,2500.06%
165Enterprise Products Partners L2937921074,649$144,1650.06%
166iShares Core US Aggregate Bond4642872261,436$142,4510.06%
167Darden Restaurants IncDRI650$141,6810.06%
168Vanguard FTSE Developed Market9219438582,482$141,4990.06%
169Philip Morris International In718172109773$140,7860.06%
170Vanguard Growth ETF922908736315$138,0960.06%
171Vanguard Communication Service92204A884794$135,7980.06%
172NIKE IncNKE1,904$135,2600.06%
173Vanguard Industrials ETF92204A603480$134,4340.06%
174JPMorgan Chase & CoVYLD453$131,3290.06%
175Morgan StanleyMS-PQ925$130,2960.06%
176iShares Core S&P Mid-Cap ETF4642875072,083$129,1880.06%
177Mondelez International Inc6092071051,831$123,4830.06%
178GE Aerospace369604301475$122,2600.05%
179Abbvie IncABBV628$116,5690.05%
180Visa Inc - AV326$115,7460.05%
181Home Depot IncHD311$114,0250.05%
182Ecolab IncECL422$113,7040.05%
183Dominion Energy IncD2,000$113,0400.05%
184Cummins IncCMI344$112,6600.05%
185German American Bancorp Inc3738651042,863$110,2540.05%
186Starbucks CorpSBUX1,192$109,2230.05%
187Verizon Communications IncVZ2,474$107,0500.05%
188Vanguard Health Care ETF92204A504422$104,7990.05%
189First Busey CorpBUSEP4,569$104,5620.05%
190CMS Energy CorpCMS-PC1,480$102,5340.05%
191DuPont de Nemours IncDD1,475$101,1700.05%
192NextEra Energy, IncNEE-PW1,434$99,5480.04%
193Intel CorpINTC4,400$98,5600.04%
194Vanguard Small-Cap ETF922908751404$95,7400.04%
195Packaging Corp of America695156109500$94,2250.04%
196Blackrock Inc.BLK89$93,3830.04%
197ConocoPhillipsCOP1,000$89,7400.04%
198Nucor CorporationNUE682$88,3460.04%
199iShares MSCI EAFE ETF464287465975$87,1550.04%
200Verizon Communications IncVZ1,976$85,5020.04%
201Charles Schwab CorpSCHW-PJ906$82,6630.04%
202First Internet BankINBKZ3,000$80,7000.04%
203First Internet BankINBKZ3,000$80,7000.04%
204Citizens Financial Group IncCIA1,800$80,5500.04%
205Comcast CorpCCZ2,250$80,3030.04%
206Travelers Cos IncTRV300$80,2620.04%
207iShares S&P Small-Cap 600 Grow464287887600$79,8240.04%
208First Trust Morningstar Div Le3369171091,875$78,5060.04%
209iShares Core MSCI Emerging Mar46434G1031,297$77,8590.03%
210Rayonier IncRYN3,471$76,9870.03%
211Norfolk Southern Corp655844108300$76,7910.03%
212Lockheed Martin CorpLMT164$75,9550.03%
213Conagra BrandsCAG3,596$73,6100.03%
214Berkshire Hathaway Inc Class BBRK-A150$72,8660.03%
215Chubb LtdCB250$72,4300.03%
216Seagate Technology HoldingsSE496$71,5880.03%
217Intel CorpINTC3,150$70,5600.03%
218Amgen IncAMGN249$69,5230.03%
219Evergy IncEVRG1,000$68,9300.03%
220Everest Group LtdEG200$67,9700.03%
221Blackstone Inc.BX451$67,4610.03%
222General Mills Inc3703341041,293$66,9900.03%
223AT&T IncT-PC2,275$65,8390.03%
224Capital One Financial Corporat14040H105306$65,1050.03%
225Berkshire Hathaway Inc Class BBRK-A132$64,1220.03%
226Blackrock Inc.BLK60$62,9550.03%
227Williams Co Inc9694571001,000$62,8100.03%
228Adobe Systems IncADBE161$62,2880.03%
229ConocoPhillipsCOP694$62,2800.03%
230Vanguard Utilities ETF92204A876350$61,7790.03%
231Duke Energy CorpDUKB517$61,0060.03%
232Lamb Weston Holdings IncLW1,175$60,9240.03%
233SPDR Portfolio S&P 500 Value E78464A5081,157$60,5570.03%
234Novartis AG - ADRNVSEF500$60,5050.03%
235MetLife IncMET-PF750$60,3150.03%
236FlexShares Global Natural ResoFLEX1,485$59,5630.03%
237IBMINTR200$58,9560.03%
238Ameriprise Financial Inc03076C106110$58,7100.03%
239Vanguard Materials ETF92204A801299$58,2540.03%
240Invesco NASDAQ 100 ETFIVZ243$55,1850.02%
241Proctor & Gamble Co742718109346$55,1250.02%
242Vanguard Consumer Staple ETF92204A207251$54,9690.02%
243Schlumberger LtdSLB1,613$54,5190.02%
244ONEOK IncOKE667$54,4470.02%
245Taiwan Semiconductor Manufactu874039100238$53,9050.02%
246Constellation EnergyCEG166$53,5780.02%
247Enterprise Products Partners L2937921071,700$52,7170.02%
248Eaton Corp PLCETN145$51,7640.02%
249AvalonBay Communities IncAWX250$50,8750.02%
250Vanguard Energy ETF92204A306422$50,2690.02%
251GE Vernova IncGEV93$49,2110.02%
252Simon Property Group Inc828806109300$48,2280.02%
253WisdomTree Emerg Mkts ex-St-OwWT1,391$47,9620.02%
254iShares National Muni Bond ETF464288414450$47,0160.02%
255Bristol-Myers SquibbCELG-RI1,000$46,2900.02%
256Philip Morris International In718172109251$45,7150.02%
257Howmet Aerospace IncHWM243$45,2300.02%
258Pfizer IncPFE1,850$44,8440.02%
259Pinnacle West Capital CorpPNW500$44,7350.02%
260iShares Gold TrustIAU715$44,5870.02%
261RTX CorpRTX300$43,8060.02%
262General DynamicsGD150$43,7490.02%
263Citigroup IncC-PR513$43,6670.02%
264Cigna Corp125523100129$42,6450.02%
265iShares U.S. Real Estate ETF464287739447$42,3620.02%
266Cardinal Health IncCAH250$42,0000.02%
267Seagate Technology HoldingsSE290$41,8560.02%
268Johnson Controls InternationalG51502105395$41,7200.02%
269CVS Health CorpCVS600$41,3880.02%
270Diamondback EnergyFANG300$41,2200.02%
271Intercontinental Exchange Inc45866F104216$39,6300.02%
272BP P.L.C.BPPFF1,322$39,5670.02%
273Chubb LtdCB134$38,8220.02%
274General Mills Inc370334104740$38,3390.02%
275Goldman Sachs Group IncGSCE54$38,2190.02%
276Eversource EnergyES600$38,1720.02%
277Vanguard Tax-Exempt Bond Index922907746775$37,9980.02%
278Palo Alto Networks IncPANW184$37,6540.02%
279Toronto-Dominion CorpTORO500$36,7250.02%
280Prudential Financial IncPUKPF338$36,3150.02%
281Netflix IncNFLX27$36,1570.02%
282Vanguard Short-Term Corporate92206C409450$35,7750.02%
283iShares Core Toal USD Bond Mar46434V613767$35,4580.02%
284Tesla Inc.TSLA111$35,2600.02%
285Booking Holdings IncBKNG6$34,7350.02%
286Deere & CompanyDE68$34,5770.02%
287General Motors Co37045V100700$34,4470.02%
288Medtronic PLCMDT391$34,0830.02%
289Microchip Technology Inc.MCHPP481$33,8480.02%
290Prudential Financial IncPUKPF300$32,2320.01%
291Old National Bancorp6800331071,500$32,0100.01%
292Millrose Properties Inc.6011371021,109$31,6180.01%
293PayPal Holdings IncPYPL423$31,4370.01%
294DTE Energy CoDTK235$31,1280.01%
295Chipotle Mexican Grill IncCMG554$31,1070.01%
296Atmos Energy CorpATO200$30,8220.01%
297Dollar General Corp256677105266$30,4250.01%
298Thermo Fisher Scientific IncTMO75$30,4100.01%
299Baxter International Corp0718131091,000$30,2800.01%
300Cencora, Inc.COR97$29,0850.01%
301Molson Coors Beverage CompanyTAP-A600$28,8540.01%
302C.H. Robinson Worldwide, Inc.CHRW300$28,7850.01%
303McKesson CorpMCK38$27,8460.01%
304Analog Devices IncADI115$27,3720.01%
305Linde PLCLIN57$26,7430.01%
306iShares Broad USD High Yield C46435U853702$26,3320.01%
307Kimberly-Clark CorpKMB200$25,7840.01%
308Norfolk Southern Corp655844108100$25,5970.01%
309American Tower Corp03027X100114$25,1960.01%
310T-Mobile US IncTMUSZ105$25,0170.01%
311Applied Materials Inc038222105136$24,8980.01%
312Shell PLC - ADRRYDAF350$24,6440.01%
313T. Rowe Price Group Inc.TROW250$24,1250.01%
314Sysco CorpSYY316$23,9340.01%
315iShares JP Morgan Emerging Mar464288281252$23,3400.01%
316Micron Technology IncMU188$23,1710.01%
317O'Reilly Automotive Inc67103H107255$22,9830.01%
318YUM! Brands, Inc.YUM155$22,9680.01%
319Dell Technologies - CDELL187$22,9260.01%
320Autozone IncAZO6$22,2730.01%
321EOG Resources IncEOG186$22,2470.01%
322Carrier Global CorpCARR300$21,9570.01%
323Exelon CorporationEXC500$21,7100.01%
324Vanguard Small-Cap Growth ETF92290859578$21,6010.01%
325Coca-Cola CoKO300$21,2250.01%
326Ally Financial Inc02005N100542$21,1110.01%
327Avantis US Small Cap025072877231$21,0440.01%
328Walgreens Boots Alliance Inc9314271081,800$20,6640.01%
329Schlumberger LtdSLB600$20,2800.01%
330Advanced Micro DevicesAMD142$20,1500.01%
331J M Smucker Co832696405200$19,6400.01%
332J M Smucker Co832696405200$19,6400.01%
333United Airlines Holdings IncUNTCW240$19,1110.01%
334iShares Core S&P Total US Stoc464287150140$18,9060.01%
335iShares Russell 2000 ETF46428765584$18,1260.01%
336Masco CorpMAS271$17,4420.01%
337Kimberly-Clark CorpKMB130$16,7600.01%
338Vanguard Real Estate ETF922908553182$16,2090.01%
339Simon Property Group Inc828806109100$16,0760.01%
340Republic Services Inc76075910064$15,7830.01%
341Dover CorpDOV83$15,2080.01%
342Schwab US Small-Cap ETF808524607596$15,0790.01%
343Eastman Chemical CompanyEMN200$14,9320.01%
344Otis Worldwide CorporationOTIS150$14,8530.01%
345Vanguard Growth ETF92290873633$14,4670.01%
346Melco Resorts & Entertainment5854641002,000$14,4600.01%
347Suncor Energy IncSU385$14,4180.01%
348Halliburton CoHAL700$14,2660.01%
349Conagra BrandsCAG686$14,0420.01%
350UnitedHealth Group IncUNH45$14,0390.01%
351CBRE Group IncCBRE99$13,8720.01%
352Travelers Cos IncTRV51$13,6450.01%
353Novartis AG - ADRNVSEF99$11,9800.01%
354Intuitive Surgical IncISRG22$11,9550.01%
355Lowe's Companies, Inc54866110753$11,7590.01%
356Lamb Weston Holdings IncLW222$11,5110.01%
357Progressive Corp74331510343$11,4750.01%
3583M CoMMM72$10,9610.00%
359Cognizant Technology SolutionsCTSH139$10,8460.00%
360Danaher Corp23585110253$10,4700.00%
361ASML Holding N.V. - NYASMLF13$10,4180.00%
362ServiceNow IncNOW10$10,2810.00%
363Colgate-Palmolive CoCL113$10,2720.00%
364The Allstate Corp.ALL-PJ50$10,0660.00%
365FirstEnergy CorpFE249$10,0250.00%
366GSK PLC - Spon ADRGLAXF252$9,6770.00%
367Dow IncDOW357$9,4530.00%
368Freeport-McMoRan Inc.FCX217$9,4070.00%
369VF CorpVFC800$9,4000.00%
370Equifax IncEFX35$9,0780.00%
371Boeing CompanyBA-PA42$8,8000.00%
372Gilead Sciences IncGILD77$8,5370.00%
373National Fuel Gas CoNFG100$8,4710.00%
374Occidental Petroleum Corp674599105200$8,4020.00%
375Phillips 66PSX69$8,2320.00%
376Vanguard Total Bond Market ETF921937835110$8,0990.00%
377Fortive CorporationFTV149$7,7670.00%
378BHP Billiton Ltd ADRBHPLF159$7,6460.00%
379First Trust Inter Duration Pfd33718W103402$7,5660.00%
380Centerpoint EnergyCNP200$7,3480.00%
381D.R. Horton, Inc.23331A10957$7,3480.00%
382Snap-On IncSNA23$7,1570.00%
383NIKE IncNKE100$7,1040.00%
384Vanguard Small-Cap Value ETF92290861135$6,8250.00%
385Vanguard Value ETF92290874436$6,3630.00%
386Coterra Energy IncCTRA227$5,7610.00%
387CNX Resources CorpCNX160$5,3890.00%
388Truist Financial Corp89832Q109120$5,1590.00%
389SPDR Gold MiniShares TrustGLDW76$4,9800.00%
390First Trust Global Commodity S33739H101195$4,8110.00%
391Enbridge IncENNPF100$4,5320.00%
392iShares Global 100 ETF46428757242$4,5280.00%
393Organon & Co.OGN450$4,3560.00%
394Warner Bros Discovery IncWBD360$4,1260.00%
395Northrop Grumman CorpNOC8$4,0000.00%
396Air Products & Chemicals IncAIIR14$3,9490.00%
397Altria Group IncMO67$3,9280.00%
398Vanguard Mid-Cap Growth ETF92290853813$3,6970.00%
399Veralto CorpVLTO35$3,5330.00%
400Vanguard Mid-Cap Value ETF92290851221$3,4540.00%
401Zimmer Biomet Holdings, IncZBH37$3,3750.00%
402Coca-Cola Consolidated IncCOKE30$3,3500.00%
403iShares MSCI Emerging Markets46434G76452$3,2830.00%
404Newsmax Inc.NMAX206$3,1170.00%
405Corteva IncCTVA40$2,9810.00%
406United Parcel Service IncUPS29$2,9270.00%
407Carnival CorpCUKPF100$2,8120.00%
408Illinois Tool Works45230810910$2,4730.00%
409Target CorporationTGT24$2,3680.00%
410Ready Capital CorpRC-PE520$2,2720.00%
411Norwegian Cruse Line HoldingsNCLH100$2,0280.00%
412Vanguard Short-Term Bond Index92193782725$1,9680.00%
413Amentum Holdings Inc.AMTM79$1,8650.00%
414Viatris IncVTRS182$1,6250.00%
415Skyworks Solutions IncSWKS20$1,4900.00%
416iShares Select Dividend ETF46428716811$1,4610.00%
417DNP Select Income Fund Inc23325P104144$1,4100.00%
418Kraft Heinz CoKHC46$1,1880.00%
419Direxion Daily S&P Biotech Bul25460G12015$8540.00%
420Occiden Pete Warrant67459916225$5180.00%
421Warner Bros Discovery IncWBD24$2750.00%
422Solventum CorpSOLV2$1520.00%
423Ready Capital Corp ContingentRC-PE520$00.00%