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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 Q4 2025 · Filed January 5, 2026 · Accession 0001104659-26-000631

Total Value
$3.21B
Positions
511
Other Managers
0
Confidential Omitted
No
View on SEC.gov

Holdings (500)

#IssuerTicker / CUSIPSharesValue% of Filing
1WisdomTree Dynamic Currency HeWT3,530,630$153.7M4.79%
2Park National Corporation700658107914,655$139.2M4.34%
3First Trust SMID Cap Rising Di33741X1023,400,129$130.3M4.06%
4NVIDIA CorporationNVDA657,773$122.7M3.83%
5Apple IncAAPL444,895$120.9M3.77%
6Microsoft CorporationMSFT239,174$115.7M3.61%
7Alphabet Inc Class AGOOG315,620$98.8M3.08%
8JPMorgan Chase & CoVYLD244,629$78.8M2.46%
9Cisco Systems IncCSCO787,339$60.6M1.89%
10Meta Platforms Inc Class AMETA77,995$51.5M1.61%
11Analog Devices IncADI186,833$50.7M1.58%
12Arista Networks IncANET335,853$44.0M1.37%
13Amazon.com IncAMZN187,586$43.3M1.35%
14Accenture PLC Class AACN157,741$42.3M1.32%
15Cadence Design Systems IncCDNS133,049$41.6M1.30%
16TJX Companies Inc872540109259,640$39.9M1.24%
17Capital Group Dividend Value E14020W106912,304$39.8M1.24%
18Netflix IncNFLX420,786$39.5M1.23%
19Waste Management Inc94106L109177,247$38.9M1.21%
20McDonald's CorporationMCD126,847$38.8M1.21%
21Vanguard Information Technolog92204A70250,816$38.3M1.19%
22Palo Alto Networks IncPANW207,856$38.3M1.19%
23Salesforce IncCRM142,815$37.8M1.18%
24Monolithic Power Systems Inc60983910541,475$37.6M1.17%
25Procter & Gamble Company742718109256,981$36.8M1.15%
26GE Vernova IncGEV55,335$36.2M1.13%
27DR Horton Inc23331A109247,772$35.7M1.11%
28Visa Inc Class AV94,388$33.1M1.03%
29First Trust Preferred Securiti33739E1081,754,226$32.0M1.00%
30Coca-Cola CompanyKO447,277$31.3M0.98%
31First Trust Capital Strength E33733E104337,490$31.2M0.97%
32Costco Wholesale Corporation22160K10535,701$30.8M0.96%
33Blackrock IncBLK27,020$28.9M0.90%
34Nike Inc Class BNKE430,054$27.4M0.85%
35S&P Global IncSPGI51,860$27.1M0.85%
36Intercontinental Exchange Inc45866F104165,136$26.7M0.83%
37Abbott LaboratoriesABLZF206,190$25.8M0.81%
38First Trust NASDAQ Tech Divide33738R118260,283$25.2M0.79%
39Take-Two Interactive SoftwareTTWO98,007$25.1M0.78%
40First Trust Rising Dividend Ac33738R506360,248$25.0M0.78%
41Schwab (Charles) CorporationSCHW-PJ237,088$23.7M0.74%
42Johnson & JohnsonJNJ109,928$22.7M0.71%
43Caterpillar IncCAT38,759$22.2M0.69%
44First Trust Value Line Dividen33734H106481,530$22.2M0.69%
45Berkshire Hathaway Inc Class BBRK-A43,631$21.9M0.68%
46AbbVie IncABBV95,585$21.8M0.68%
47Park National Corporation700658107138,167$21.0M0.66%
48Capital One Financial Corporat14040H10585,082$20.6M0.64%
49Chevron CorpCVX134,090$20.4M0.64%
50First Trust Enhanced Short Mat33739Q408340,826$20.4M0.64%
51iShares MSCI USA Quality GARP46436E403294,969$20.1M0.63%
52JPMorgan Chase & CoVYLD60,026$19.3M0.60%
53Quanta Services Inc74762E10242,383$17.9M0.56%
54FT Vest Rising Dividend Achiev33738D879664,417$17.4M0.54%
55Exxon Mobil CorporationXOM144,575$17.4M0.54%
56Danaher Corporation23585110273,881$16.9M0.53%
57Vanguard Communication Service92204A88484,825$16.4M0.51%
58First Trust Dow Jones Global S33734X200526,551$15.9M0.50%
59Deere & CompanyDE33,713$15.7M0.49%
60Vanguard Total Stock Market ET92290876945,074$15.1M0.47%
61Robinhood Markets Inc Class A770700102131,905$14.9M0.47%
62iShares Core S&P 500 ETF46428720021,505$14.7M0.46%
63First Tr Smith Opportunistic F33740F805326,269$14.5M0.45%
64Berkshire Hathaway Inc Class ABRK-A19$14.3M0.45%
65Stryker CorporationSYK40,715$14.3M0.45%
66WEC Energy Group IncWEC134,482$14.2M0.44%
67AstraZeneca PLC Sponsored ADRAZN139,196$12.8M0.40%
68First Trust Growth Strength ET33733E823360,313$12.7M0.40%
69ConocoPhillipsCOP132,004$12.4M0.39%
70First Trust Tactical High Yiel33738D408292,587$12.2M0.38%
71Vanguard FTSE Developed Market921943858184,995$11.6M0.36%
72Merck & Company Inc (New)MRK107,685$11.3M0.35%
73McKesson CorporationMCK13,497$11.1M0.35%
74CVS Health CorporationCVS138,516$11.0M0.34%
75Zoetis IncZTS86,081$10.8M0.34%
76HCA Healthcare IncHCA23,142$10.8M0.34%
77Cardinal Health IncCAH52,299$10.7M0.34%
78Cencora IncCOR29,816$10.1M0.31%
79Home Depot IncHD28,956$10.0M0.31%
80First Trust Alternative Opport75943J100361,922$9.9M0.31%
81SLB LimitedSLB257,905$9.9M0.31%
82NextEra Energy IncNEE-PW121,021$9.7M0.30%
83Lilly (Eli) & CompanyLLY8,467$9.1M0.28%
84Medtronic PLCMDT93,214$9.0M0.28%
85First Trust Smith Unconstraine33740F888330,622$8.3M0.26%
86First Trust North Amer Energy33738D101207,066$7.8M0.24%
87Becton Dickinson & CoBDX40,066$7.8M0.24%
88Halliburton CompanyHAL265,706$7.5M0.23%
89Linde PLCLIN16,825$7.2M0.22%
90American Tower Corporation03027X10039,551$6.9M0.22%
91Automatic Data Processing IncADP25,752$6.6M0.21%
92Emerson Electric CompanyEMR48,822$6.5M0.20%
93Vanguard Consumer Discretionar92204A10816,447$6.5M0.20%
94PepsiCo IncPEP42,308$6.1M0.19%
95Realty Income CorpO105,338$5.9M0.19%
96Vanguard S&P 500 ETF9229083638,968$5.6M0.18%
97Vanguard Materials ETF92204A80125,293$5.2M0.16%
98Vanguard Intermediate-Term Bon92193781966,779$5.2M0.16%
99Cintas CorporationCTAS26,535$5.0M0.16%
100Exxon Mobil CorporationXOM39,419$4.7M0.15%
101PNC Financial Services Group69347510521,871$4.6M0.14%
102Disney (Walt) Company25468710639,435$4.5M0.14%
103Apple IncAAPL16,465$4.5M0.14%
104FlexShares High Yield Value-ScFLEX106,395$4.3M0.14%
105FlexShares STOXX Global BroadFLEX71,391$4.3M0.13%
106American Express CoAXP11,598$4.3M0.13%
107FlexShares Core Select Bond ETFLEX190,423$4.3M0.13%
108RPM International Inc74968510340,742$4.2M0.13%
109Vanguard Real Estate ETF92290855347,372$4.2M0.13%
110Vanguard Health Care ETF92204A50414,536$4.2M0.13%
111FT Indxx Global Natural Resour33734X838262,910$4.1M0.13%
112Huntington Bancshares IncHBANP231,176$4.0M0.13%
113SPDR S&P 500 ETFSPY5,561$3.8M0.12%
114General Dynamics CorporationGD10,956$3.7M0.12%
115Air Products & Chemicals IncAIIR14,734$3.6M0.11%
116Bank of America Corp06050510465,889$3.6M0.11%
117Trane Technologies PLCTT9,306$3.6M0.11%
118Brown & Brown IncBRO44,675$3.6M0.11%
119Vanguard Financials ETF92204A40526,599$3.6M0.11%
120VanEck Gold Miners ETF (USA)92189F10640,000$3.4M0.11%
121International Business MachineINTR10,952$3.2M0.10%
122Broadcom IncAVGO9,207$3.2M0.10%
123NVIDIA CorporationNVDA16,479$3.1M0.10%
124Lockheed Martin CorporationLMT6,290$3.0M0.09%
125Chipotle Mexican Grill IncCMG81,624$3.0M0.09%
126Vanguard Industrials ETF92204A6039,996$3.0M0.09%
127FlexShares iBoxx 3-Year TargetFLEX122,106$2.9M0.09%
128Microsoft CorporationMSFT6,034$2.9M0.09%
129Chubb Ltd (New)CB9,282$2.9M0.09%
130Procter & Gamble Company74271810920,183$2.9M0.09%
131Texas Instruments Inc88250810416,462$2.9M0.09%
132First Tr RBA Amer Industrial R33738R70428,734$2.8M0.09%
133Marathon Petroleum CorporationMARA17,179$2.8M0.09%
134Union Pacific CorporationUNP11,807$2.7M0.09%
135Walmart IncWMT24,063$2.7M0.08%
1363M CompanyMMM16,665$2.7M0.08%
137GE Aerospace3696043018,637$2.7M0.08%
138First Trust Small Cap Core Alp33734Y10923,375$2.6M0.08%
139Delta Air Lines IncDAL36,250$2.5M0.08%
140Target CorporationTGT25,524$2.5M0.08%
141Ecolab IncECL9,389$2.5M0.08%
142iShares Select Dividend ETF46428716816,835$2.4M0.07%
143Genuine Parts CompanyGPC19,141$2.4M0.07%
144Alphabet Inc Class CGOOG7,432$2.3M0.07%
145Intel CorporationINTC60,067$2.2M0.07%
146Lilly (Eli) & CompanyLLY2,007$2.2M0.07%
147First Trust Inst Preferred Sec33739P855109,140$2.1M0.07%
148Oracle CorporationORCL-PD10,742$2.1M0.07%
149SPDR Gold Shares ETFGLD5,265$2.1M0.07%
150Honeywell International Inc43851610610,535$2.1M0.06%
151Gorman-Rupp CompanyGRC42,366$2.0M0.06%
152Vanguard Energy ETF92204A30615,888$2.0M0.06%
153Illinois Tool Works Inc4523081097,679$1.9M0.06%
154CSX CorporationCSX51,938$1.9M0.06%
155Marzetti Co (The)MZTI11,000$1.8M0.06%
156Johnson & JohnsonJNJ8,709$1.8M0.06%
157Stryker CorporationSYK5,087$1.8M0.06%
158Cincinnati Financial Corporati17206210110,789$1.8M0.05%
159American Express CoAXP4,728$1.7M0.05%
160Vanguard Growth ETF9229087363,545$1.7M0.05%
161Philip Morris International In71817210910,592$1.7M0.05%
162Shell PLC Sponsored ADRRYDAF23,078$1.7M0.05%
163Novartis AG Sponsored ADRNVSEF11,549$1.6M0.05%
164PACCAR IncPCAR14,243$1.6M0.05%
165FlexShares Morningstar Glbl UpFLEX31,873$1.5M0.05%
166US Bancorp (DE)USB-PS27,364$1.5M0.05%
167SPDR Dow Jones Industrial Aver78467X1093,000$1.4M0.04%
168American Electric Power Co02553710112,403$1.4M0.04%
169Vanguard Consumer Staples ETF92204A2076,762$1.4M0.04%
170Lowe's Companies Inc5486611075,764$1.4M0.04%
171QUALCOMM IncQCOM7,897$1.4M0.04%
172Bank of New York Mellon Corp06405810011,358$1.3M0.04%
173Duke Energy Corporation (New)DUKB11,190$1.3M0.04%
174First Trust Mid Cap Core Alpha33735B10810,229$1.3M0.04%
175Invesco QQQ Trust Series 1IVZ2,097$1.3M0.04%
176FlexShares US Quality Large CaFLEX15,324$1.2M0.04%
177Wheaton Precious Metals CorpWPM10,500$1.2M0.04%
178Chevron CorpCVX8,015$1.2M0.04%
179Pfizer IncPFE48,935$1.2M0.04%
180Vanguard Total Stock Market ET9229087693,615$1.2M0.04%
181First Tr NASDAQ-100 Select Equ3373441058,400$1.2M0.04%
182AT&T IncT-PC47,726$1.2M0.04%
183Vanguard S&P 500 ETF9229083631,875$1.2M0.04%
184Norfolk Southern Corporation6558441084,051$1.2M0.04%
185iShares U.S. Technology ETF4642877215,850$1.2M0.04%
186Wells Fargo & Co (New)94974610112,482$1.2M0.04%
187Tesla IncTSLA2,537$1.1M0.04%
188Trane Technologies PLCTT2,902$1.1M0.04%
189Altria Group IncMO19,256$1.1M0.03%
190Eaton Corporation PLCETN3,388$1.1M0.03%
191Vanguard Extended Market ETF9229086525,055$1.1M0.03%
192Cisco Systems IncCSCO13,209$1.0M0.03%
193Vanguard FTSE Emerging Markets92204285818,851$1.0M0.03%
194Alphabet Inc Class AGOOG3,197$1.0M0.03%
195Corning IncGLW11,273$987,0640.03%
196First Trust Large Cap Core Alp33734K1098,305$985,1110.03%
197Verizon Communications IncVZ23,677$964,3640.03%
198Vanguard Small-Cap ETF9229087513,695$953,1250.03%
199RTX CorporationRTX5,191$952,0290.03%
200Bristol-Myers Squibb CompanyCELG-RI17,273$931,7060.03%
201AbbVie IncABBV4,011$916,4730.03%
202Kroger CoKR14,592$911,7080.03%
203Schwab Short-Term U.S. Treasur80852486237,404$911,5350.03%
204Norfolk Southern Corporation6558441083,126$902,5390.03%
205Trinity Bank NA (TX)89641T1049,500$897,7500.03%
206Intuitive Surgical IncISRG1,573$890,8840.03%
207Taiwan Semiconductor Manufactu8740391002,921$887,6630.03%
208Vanguard High Dividend Yield E9219464066,184$887,5280.03%
209Fifth Third BancorpFITBM18,895$884,4750.03%
210SPDR S&P MidCap 400 ETFMDY1,450$874,7560.03%
211Vanguard Dividend Appreciation9219088443,855$847,2520.03%
212Amphenol Corp Class A0320951016,226$841,3820.03%
213Adobe IncADBE2,375$831,2260.03%
214Sherwin-Williams CompanySHW2,541$823,3600.03%
215Nucor CorporationNUE5,036$821,4220.03%
216Distillate US Fundamental Stab26922A32113,529$796,8580.02%
217Emerson Electric CompanyEMR5,973$792,7370.02%
218Micron Technology IncMU2,738$781,4530.02%
219iShares MSCI EAFE ETF4642874658,032$771,3130.02%
220Travelers Companies IncTRV2,541$737,0420.02%
221Home Depot IncHD2,120$729,4920.02%
222Arthur J Gallagher & Co3635761092,763$715,0370.02%
223FlexShares Global Quality RealFLEX11,980$705,1430.02%
224Allstate CorpALL-PJ3,371$701,6740.02%
225Southern CompanySOMN7,758$676,4980.02%
226FlexShares MS US Market FactorFLEX2,668$663,4920.02%
227Amgen IncAMGN2,025$662,8030.02%
228Morgan StanleyMS-PQ3,638$645,8540.02%
229Applied Materials Inc0382221052,473$635,5360.02%
230Sysco CorporationSYY8,466$623,8600.02%
231Franklin Resources IncBEN25,712$614,2600.02%
232Visa Inc Class AV1,742$610,9370.02%
233NextEra Energy IncNEE-PW7,594$609,6460.02%
234Coca-Cola CompanyKO8,504$594,5150.02%
235JPMorgan Equity Premium Income46641Q33210,378$594,0370.02%
236FlexShares Morn Dev Mkts ex-USFLEX6,314$585,4970.02%
237Mastercard Inc Class AMA1,020$582,2980.02%
238Parker-Hannifin CorporationPH658$578,3560.02%
239Analog Devices IncADI2,102$570,0620.02%
240Ford Motor Company34537086043,305$568,1620.02%
241iShares Russell 1000 Growth ET4642876141,197$566,5400.02%
242Worthington Enterprises IncWOR10,967$565,5680.02%
243Hocking VY Bancshares Inc43416010719,500$565,5000.02%
244Canadian Pacific Kansas City LCP7,668$564,5950.02%
245Broadcom IncAVGO1,611$557,5670.02%
246Tractor Supply CompanyTSCO11,060$553,1110.02%
247AutoZone IncAZO163$552,8150.02%
248Arch Capital Group LtdG0450A1055,737$550,2930.02%
249Vanguard Utilities ETF92204A8762,905$537,5410.02%
250Abbott LaboratoriesABLZF4,183$524,0880.02%
251Aflac IncAFL4,721$520,5850.02%
252Peabody Energy CorpBTU17,500$519,7500.02%
253Comcast Corporation Class ACCZ17,316$517,5750.02%
254Civista Bancshares IncCIVB23,275$517,1710.02%
255Berkshire Hathaway Inc Class BBRK-A1,024$514,7140.02%
256Meta Platforms Inc Class AMETA779$514,2100.02%
257United Parcel Service Inc ClasUPS5,153$511,1260.02%
258SAP SE Sponsored ADRSAPGF2,103$510,8400.02%
259Ameriprise Financial Inc03076C106994$487,3980.02%
260iShares Russell Mid-Cap ETF4642874995,044$485,5860.02%
261First Trust Preferred Securiti33739E10826,195$477,2730.01%
262McDonald's CorporationMCD1,554$474,9490.01%
263Sea Ltd Sponsored ADRSE3,692$470,9880.01%
264Paychex IncPAYX4,159$466,5570.01%
265WisdomTree Dynamic Currency HeWT10,579$460,6100.01%
266ASML Holding NV-NY Reg ShsASMLF414$442,9220.01%
267McCormick & Company IncMKC-V6,429$437,8790.01%
268UnitedHealth Group IncUNH1,304$430,4630.01%
269Goldman Sachs Group IncGSCE482$423,6780.01%
270UBS Group AGUBS9,083$420,6340.01%
271Advanced Micro Devices IncAMD1,932$413,7570.01%
272Antero Resources CorporationAR12,000$413,5200.01%
273iShares S&P 500 Growth ETF4642873093,346$412,4280.01%
274Expeditors International of Wa3021301092,724$405,9030.01%
275Vanguard Information Technolog92204A702534$402,5190.01%
276Worthington Steel Inc98210410111,475$397,2650.01%
277Vanguard Communication Service92204A8842,049$396,7480.01%
278iShares S&P 500 Growth ETF4642873093,195$393,8160.01%
279Spotify Technology S ASPOT677$393,1410.01%
280Boeing Company (The)BA-PA1,781$386,6910.01%
281Merck & Company Inc (New)MRK3,640$383,1460.01%
282PepsiCo IncPEP2,669$383,0550.01%
283Automatic Data Processing IncADP1,488$382,7580.01%
284Cigna Group1255231001,383$380,6430.01%
285AT&T IncT-PC15,148$376,2760.01%
286Fastenal CompanyFAST9,361$375,6570.01%
287Lincoln Electric Holdings Inc5339001061,560$373,8380.01%
288iShares MSCI EAFE ETF4642874653,785$363,4740.01%
289Corteva IncCTVA5,330$357,2700.01%
290Baxter International Inc07181310918,490$353,3440.01%
291Mondelez International Inc Cla6092071056,487$349,1950.01%
292Deere & CompanyDE749$348,7120.01%
293Watsco IncWSO-B1,019$343,3520.01%
294Amazon.com IncAMZN1,472$339,7670.01%
295PNC Financial Services Group6934751051,603$334,5940.01%
296Shopify Inc Class ASHOP2,035$327,5740.01%
297Duke Energy Corporation (New)DUKB2,775$325,2580.01%
298International Business MachineINTR1,085$321,3880.01%
299H&R Block IncBSQKZ7,358$320,6620.01%
300Seagate Technology Holdings PLSE1,162$320,0030.01%
301Iron Mountain Inc (New)46284V1013,838$318,3620.01%
302EOG Resources IncEOG3,017$316,8150.01%
303First Tr NASDAQ Clean Edge Gre33733E5007,008$312,5040.01%
304Chesapeake Utilities Corporati1653031082,450$305,6620.01%
305Bank of Montreal0636711012,325$301,7620.01%
306Diamondback Energy IncFANG1,964$295,2480.01%
307Vanguard Value ETF9229087441,518$289,9230.01%
308C H Robinson Worldwide Inc (NeCHRW1,781$286,3140.01%
309NU Holdings Ltd Class ANU16,623$278,2690.01%
310Novo-Nordisk A/S Sponsored ADRNONOF5,438$276,6850.01%
311Genuine Parts CompanyGPC2,225$273,5860.01%
312Blackstone IncBX1,771$272,9820.01%
313MSA Safety IncMNESP1,700$272,2380.01%
314Microchip Technology IncMCHPP4,200$267,6240.01%
315Wintrust Financial Corp97650W1081,897$265,2390.01%
316Veralto CorpVLTO2,653$264,7160.01%
317Micron Technology IncMU918$262,0060.01%
318KeyCorp49326710812,592$259,8990.01%
319Verizon Communications IncVZ6,380$259,8570.01%
320State Street Industrial Select81369Y7041,673$259,5160.01%
321Coupang IncCPNG10,837$255,6450.01%
322First Tr Smith Opportunistic F33740F8055,707$252,9340.01%
323ONEOK IncOKE3,437$252,6200.01%
324Air Products & Chemicals IncAIIR1,021$252,2070.01%
325Vanguard Extended Market ETF9229086521,204$251,7800.01%
326Broadridge Financial Solutions11133T1031,127$251,5130.01%
327Chubb Ltd (New)CB803$250,6320.01%
328Vanguard Small-Cap ETF922908751971$250,4690.01%
329Antero Midstream CorporationAM14,000$249,0600.01%
330FT Vest Rising Dividend Achiev33738D8799,400$246,6560.01%
331Principal Financial Group IncPFG2,780$245,2240.01%
3323M CompanyMMM1,513$242,2310.01%
333National Fuel Gas Company (NJ)NFG3,000$240,1800.01%
334Welltower IncWELL1,290$239,4370.01%
335Vanguard ESG US Stock ETF9219107331,976$239,0170.01%
336Equifax IncEFX1,095$237,5930.01%
337ICICI Bank Ltd Sponsored ADRIBN7,869$234,4960.01%
338Kimberly-Clark CorporationKMB2,316$233,6610.01%
339Union Pacific CorporationUNP996$230,3950.01%
340TJX Companies Inc8725401091,496$229,8010.01%
341State Street Technology Select81369Y8031,594$229,4880.01%
342BP PLC Sponsored ADRBPPFF6,605$229,3920.01%
343Ferguson Enterprises IncFERG1,019$226,8600.01%
344Corning IncGLW2,579$225,8170.01%
345NiSource IncNI5,374$224,4180.01%
346First Trust SMID Cap Rising Di33741X1025,812$222,7160.01%
347Sanofi Sponsored ADRSNYNF4,532$219,6210.01%
348Vanguard Growth ETF922908736450$219,5370.01%
349Intel CorporationINTC5,938$219,1120.01%
350Monster Beverage CorporationMNST2,844$218,0490.01%
351Carnival CorporationCUKPF7,081$216,2540.01%
352Garmin Ltd (Switzerland)GRMN1,050$212,9930.01%
353Alphatec Hldgs IncATEC10,090$212,2940.01%
354Barclays PLC Sponsored ADRBCLYF8,298$211,1840.01%
355GATX CorporationGATX1,236$209,6260.01%
356Cincinnati Financial Corporati1720621011,275$208,2330.01%
357Citigroup Inc (New)C-PR1,781$207,8250.01%
358Smucker (J M) Co (New)8326964052,122$207,5530.01%
359MercadoLibre IncMELI103$207,4690.01%
360Cummins IncCMI404$206,2220.01%
361Agilysys IncAGYS1,726$205,1180.01%
362iShares U.S. Healthcare ETF4642877623,150$205,0650.01%
363Northrop Grumman CorporationNOC357$203,5650.01%
364Clorox CompanyCLX2,000$201,6600.01%
365Pfizer IncPFE7,974$198,5530.01%
366Accenture PLC Class AACN738$198,0050.01%
367Lockheed Martin CorporationLMT408$197,3370.01%
368Novartis AG Sponsored ADRNVSEF1,431$197,2920.01%
369SPDR Gold Shares ETFGLD495$196,1730.01%
370Dominion Energy IncD3,338$195,5730.01%
371Alphabet Inc Class CGOOG620$194,5560.01%
372Vanguard High Dividend Yield E9219464061,350$193,7520.01%
373Vodafone Group PLC Sponsored A92857W30814,650$193,5270.01%
374Waste Management Inc94106L109874$192,0270.01%
375PPG Industries Inc6935061071,860$190,5760.01%
376FNB Corporation30252010110,970$187,5870.01%
377DR Horton Inc23331A1091,295$186,5190.01%
378General Motors Company37045V1002,276$185,0840.01%
379GE Vernova IncGEV282$184,3070.01%
380Six Flags Entertainment Corp.FUN11,838$181,5950.01%
381Amgen IncAMGN553$181,0020.01%
382JP Morgan Income ETF46641Q1593,800$175,9020.01%
383United Parcel Service Inc ClasUPS1,747$173,2850.01%
384GE Aerospace369604301554$170,6490.01%
385Arista Networks IncANET1,295$169,6840.01%
386Vanguard Real Estate ETF9229085531,860$164,5910.01%
387Bank of New York Mellon Corp0640581001,400$162,5260.01%
388First Trust Tactical High Yiel33738D4083,855$161,3700.01%
389Cardinal Health IncCAH785$161,3180.01%
390Blackrock IncBLK149$159,4810.00%
391PPG Industries Inc6935061071,528$156,5590.00%
392Allegion PLCALLE982$156,3540.00%
393Cummins IncCMI300$153,1350.00%
394Pimco Dynamic Income Opportuni69355M10710,974$151,8800.00%
395Medtronic PLCMDT1,576$151,3910.00%
396Colgate-Palmolive CompanyCL1,902$150,2960.00%
397Fifth Third BancorpFITBM3,050$142,7710.00%
398First Trust Enhanced Short Mat33739Q4082,300$137,8390.00%
399Palo Alto Networks IncPANW727$133,9130.00%
400Allegion PLCALLE833$132,6300.00%
401Snap-on IncorporatedSNA372$128,1910.00%
402ConocoPhillipsCOP1,333$124,7820.00%
403Eaton Corporation PLCETN389$123,9000.00%
404Take-Two Interactive SoftwareTTWO483$123,6620.00%
405Vanguard Financials ETF92204A405901$120,2740.00%
406First Trust Smith Unconstraine33740F8884,725$118,9280.00%
407Monolithic Power Systems Inc609839105131$118,7330.00%
408Clorox CompanyCLX1,150$115,9550.00%
409Bank of America Corp0605051042,074$114,0700.00%
410SPDR S&P 500 ETFSPY167$113,8810.00%
411First Trust Inst Preferred Sec33739P8555,800$112,4620.00%
412RTX CorporationRTX593$108,7560.00%
413Disney (Walt) Company254687106947$107,7400.00%
414Snap-on IncorporatedSNA303$104,4140.00%
415Paychex IncPAYX919$103,0930.00%
416Target CorporationTGT1,022$99,9010.00%
417Walmart IncWMT875$97,4840.00%
418Costco Wholesale Corporation22160K105113$97,4440.00%
419Caterpillar IncCAT169$96,8150.00%
420Bristol-Myers Squibb CompanyCELG-RI1,792$96,6600.00%
421Vanguard Utilities ETF92204A876517$95,6660.00%
422Vanguard ESG US Stock ETF921910733780$94,3490.00%
423CVS Health CorporationCVS1,161$92,1370.00%
424Danaher Corporation235851102390$89,2790.00%
425McKesson CorporationMCK107$87,7710.00%
426First Trust Rising Dividend Ac33738R5061,216$84,4760.00%
427First Trust Capital Strength E33733E104901$83,3530.00%
428Boeing Company (The)BA-PA382$82,9400.00%
429Cadence Design Systems IncCDNS265$82,8340.00%
430Nokia Oyj Sponsored ADRNOKBF12,671$81,9810.00%
431Vanguard Consumer Discretionar92204A108208$81,9350.00%
432Salesforce IncCRM303$80,2680.00%
433Blackstone IncBX500$77,0700.00%
434First Trust NASDAQ Tech Divide33738R118740$71,6620.00%
435First Trust Value Line Dividen33734H1061,509$69,5350.00%
436Intercontinental Exchange Inc45866F104422$68,3470.00%
437Nike Inc Class BNKE1,001$63,7740.00%
438General Dynamics CorporationGD188$63,2920.00%
439Netflix IncNFLX663$62,1630.00%
440KeyCorp4932671083,000$61,9200.00%
441Oracle CorporationORCL-PD300$58,4730.00%
442JP Morgan Income ETF46641Q1591,225$56,7050.00%
443WEC Energy Group IncWEC528$55,6830.00%
444Realty Income CorpO955$53,8330.00%
445Mondelez International Inc Cla6092071051,000$53,8300.00%
446Colgate-Palmolive CompanyCL680$53,7340.00%
447Kimberly-Clark CorporationKMB500$50,4450.00%
448Northrop Grumman CorporationNOC85$48,4680.00%
449Applied Materials Inc038222105187$48,0570.00%
450Capital One Financial Corporat14040H105181$43,8670.00%
451Advanced Micro Devices IncAMD203$43,4740.00%
452Vanguard Materials ETF92204A801205$42,5480.00%
453Southern CompanySOMN470$40,9840.00%
454Ambev SA Sponsored ADRABEV16,386$40,4730.00%
455Capital Group Dividend Value E14020W106922$40,2360.00%
456First Trust Growth Strength ET33733E8231,132$40,0170.00%
457iShares Select Dividend ETF464287168280$39,5190.00%
458Schwab (Charles) CorporationSCHW-PJ367$36,6670.00%
459JPMorgan Equity Premium Income46641Q332625$35,7750.00%
460Dominion Energy IncD600$35,1540.00%
461Adobe IncADBE100$34,9990.00%
462Sysco CorporationSYY473$34,8550.00%
463S&P Global IncSPGI66$34,4910.00%
464First Trust Dow Jones Global S33734X2001,098$33,2360.00%
465Quanta Services Inc74762E10276$32,0770.00%
466Zoetis IncZTS246$30,9520.00%
467Illinois Tool Works Inc452308109125$30,7880.00%
468Vanguard FTSE Developed Market921943858471$29,4230.00%
469General Motors Company37045V100360$29,2750.00%
470Mastercard Inc Class AMA50$28,5440.00%
471HCA Healthcare IncHCA59$27,5450.00%
472iShares MSCI USA Quality GARP46436E403398$27,1040.00%
473Ford Motor Company3453708601,950$25,5840.00%
474Robinhood Markets Inc Class A770700102224$25,3340.00%
475Shell PLC Sponsored ADRRYDAF322$23,6610.00%
476AstraZeneca PLC Sponsored ADRAZN241$22,1550.00%
477First Tr RBA Amer Industrial R33738R704220$21,6300.00%
478Huntington Bancshares IncHBANP1,146$19,8830.00%
479First Trust North Amer Energy33738D101515$19,5030.00%
480Honeywell International Inc43851610693$18,1430.00%
481Vanguard Consumer Staples ETF92204A20785$17,9550.00%
482Ecolab IncECL68$17,8510.00%
483State Street Technology Select81369Y803122$17,5640.00%
484Cencora IncCOR46$15,5370.00%
485American Tower Corporation03027X10073$12,8170.00%
486Citigroup Inc (New)C-PR100$11,6690.00%
487RPM International Inc749685103111$11,5440.00%
488Linde PLCLIN27$11,5130.00%
489Philip Morris International In71817210961$9,7840.00%
490Marathon Petroleum CorporationMARA60$9,7580.00%
491Comcast Corporation Class ACCZ324$9,6840.00%
492State Street Industrial Select81369Y70461$9,4620.00%
493Veralto CorpVLTO93$9,2800.00%
494Becton Dickinson & CoBDX47$9,1210.00%
495SLB LimitedSLB207$7,9450.00%
496Chipotle Mexican Grill IncCMG199$7,3630.00%
497Vanguard Health Care ETF92204A50425$7,1960.00%
498Baxter International Inc071813109350$6,6890.00%
499Halliburton CompanyHAL208$5,8780.00%
500Vanguard Industrials ETF92204A60318$5,3710.00%