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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)

Pinnacle Financial Partners, Inc.

Quarter ended Q4 2025 · Filed February 18, 2026 · Accession 0001172661-26-001303

Total Value
$13.24B
Positions
2,477
Other Managers
3
Confidential Omitted
No
View on SEC.gov

Holdings (500)

#IssuerTicker / CUSIPSharesValue% of Filing
1ISHARES TR4642875982,951,871$620.9M5.21%
2GLOBAL PMTS INC37940X1027,507,221$581.1M4.88%
3ISHARES TR4642876141,173,470$555.4M4.66%
4COCA COLA COKO7,461,151$521.6M4.38%
5SPDR S&P 500 ETF TRSPY392,244$267.5M2.25%
6SYNOVUS FINL CORP87161C5015,148,710$257.7M2.16%
7ISHARES TR464287655976,373$240.3M2.02%
8ISHARES TR464287622588,702$219.8M1.85%
9VANGUARD TAX-MANAGED FDS9219438583,078,935$192.3M1.61%
10APPLE INCAAPL698,495$189.9M1.59%
11SPDR S&P 500 ETF TRSPY258,014$175.9M1.48%
12MICROSOFT CORPMSFT321,584$155.5M1.31%
13NVIDIA CORPORATIONNVDA826,830$154.2M1.29%
14VANGUARD INDEX FDS922908363236,392$148.2M1.24%
15MICROSOFT CORPMSFT273,650$132.3M1.11%
16APPLE INCAAPL481,840$131.0M1.10%
17SOUTHERN COSOMN1,403,722$122.4M1.03%
18AFLAC INCAFL1,061,290$117.0M0.98%
19ISHARES TR4642874991,112,982$107.1M0.90%
20ELI LILLY & COLLY94,901$102.0M0.86%
21ALPHABET INCGOOG294,964$92.3M0.77%
22ALPHABET INCGOOG262,214$82.1M0.69%
23NVIDIA CORPORATIONNVDA431,679$80.5M0.68%
24JPMORGAN CHASE & CO.VYLD247,284$79.7M0.67%
25VANGUARD INDEX FDS922908736163,079$79.6M0.67%
26JPMORGAN CHASE & CO.VYLD239,531$77.2M0.65%
27BLACKROCK ETF TRUST IIBLK1,451,216$76.6M0.64%
28AMAZON COM INCAMZN309,599$71.5M0.60%
29BROADCOM INCAVGO197,792$68.5M0.57%
30PINNACLE FINL PARTNERS INC72346Q104683,568$65.2M0.55%
31ISHARES TR464287614135,844$64.3M0.54%
32AMAZON COM INCAMZN270,857$62.5M0.52%
33ISHARES TR464288612580,970$62.4M0.52%
34INVESCO EXCHANGE TRADED FD TIVZ1,233,626$57.9M0.49%
35VANGUARD INDEX FDS922908769171,191$57.4M0.48%
36VISA INCV144,982$50.8M0.43%
37SPDR GOLD TRGLD116,208$46.1M0.39%
38HOME DEPOT INCHD132,473$45.6M0.38%
39ALPHABET INCGOOG144,873$45.5M0.38%
40HCA HEALTHCARE INCHCA95,673$44.7M0.37%
41ELI LILLY & COLLY41,231$44.3M0.37%
42JOHNSON & JOHNSONJNJ213,944$44.3M0.37%
43VANGUARD TAX-MANAGED FDS921943858705,375$44.1M0.37%
44ISHARES TR464287226433,311$43.3M0.36%
45APPLE INCAAPL158,305$43.0M0.36%
46ISHARES TR464287465442,210$42.5M0.36%
47ALPHABET INCGOOG133,426$41.9M0.35%
48AMERICAN EXPRESS COAXP106,691$39.5M0.33%
49EXXON MOBIL CORPXOM326,503$39.3M0.33%
50ABBVIE INCABBV166,582$38.1M0.32%
51SPDR S&P 500 ETF TRSPY55,499$37.9M0.32%
52MICROSOFT CORPMSFT77,923$37.7M0.32%
53J P MORGAN EXCHANGE TRADED F46654Q559745,842$37.5M0.31%
54VANGUARD INDEX FDS92290836358,733$36.9M0.31%
55ISHARES TR46432F339181,553$36.1M0.30%
56META PLATFORMS INCMETA53,409$35.3M0.30%
57EXXON MOBIL CORPXOM292,454$35.2M0.30%
58ISHARES TR464287598167,010$35.1M0.29%
59ISHARES TR464287465352,897$33.9M0.28%
60VANGUARD INDEX FDS922908769100,387$33.7M0.28%
61HARBOR ETF TRUST41151J5051,337,029$33.2M0.28%
62APPLE INCAAPL121,754$33.1M0.28%
63J P MORGAN EXCHANGE TRADED F46641Q332574,494$32.9M0.28%
64COSTCO WHSL CORP NEW22160K10537,867$32.7M0.27%
65ISHARES TR46428720047,551$32.6M0.27%
66ORACLE CORPORCL-PD167,095$32.6M0.27%
67TJX COS INC NEW872540109211,537$32.5M0.27%
68BERKSHIRE HATHAWAY INC DELBRK-A43$32.5M0.27%
69JOHNSON & JOHNSONJNJ155,227$32.1M0.27%
70ISHARES TR464287457383,474$31.8M0.27%
71AMERICAN CENTY ETF TR025072307273,912$31.4M0.26%
72ISHARES TR46428761466,151$31.3M0.26%
73VANGUARD INDEX FDS92290836348,640$30.5M0.26%
74ISHARES TR464287598142,881$30.1M0.25%
75MCDONALDS CORPMCD95,424$29.2M0.24%
76VANGUARD WORLD FD92204A405214,980$28.7M0.24%
77COSTCO WHSL CORP NEW22160K10533,223$28.6M0.24%
78SPDR GOLD TRGLD72,186$28.6M0.24%
79VICTORY PORTFOLIOS II92647N667541,145$28.6M0.24%
80VANGUARD INDEX FDS92290862998,024$28.4M0.24%
81CHEVRON CORP NEWCVX186,088$28.4M0.24%
82CME GROUP INCCME103,349$28.2M0.24%
83HOME DEPOT INCHD81,372$28.0M0.24%
84CHEVRON CORP NEWCVX182,085$27.8M0.23%
85INVESCO EXCHANGE TRADED FD TIVZ143,877$27.6M0.23%
86VISA INCV77,933$27.3M0.23%
87INTERNATIONAL BUSINESS MACHSINTR91,568$27.1M0.23%
88CISCO SYS INCCSCO350,878$27.0M0.23%
89LOCKHEED MARTIN CORPLMT54,941$26.6M0.22%
90ABBVIE INCABBV115,684$26.4M0.22%
91PACER FDS TR69374H881437,277$26.3M0.22%
92VISA INCV74,273$26.0M0.22%
93MICRON TECHNOLOGY INCMU89,282$25.5M0.21%
94RTX CORPORATIONRTX137,998$25.3M0.21%
95ISHARES TR464287168179,069$25.3M0.21%
96JPMORGAN CHASE & CO.VYLD78,210$25.2M0.21%
97VALERO ENERGY CORPVLO153,824$25.0M0.21%
98QUANTA SVCS INC74762E10259,322$25.0M0.21%
99VANGUARD STAR FDS921909768329,670$24.9M0.21%
100BANK AMERICA CORP060505104435,880$24.0M0.20%
101AMAZON COM INCAMZN103,182$23.8M0.20%
102BLACKROCK ETF TRUST IIBLK458,527$23.3M0.20%
103SPDR GOLD TRGLD57,134$22.6M0.19%
104INTERNATIONAL BUSINESS MACHSINTR75,985$22.5M0.19%
105WALMART INCWMT201,950$22.5M0.19%
106EATON CORP PLCETN70,275$22.4M0.19%
107MERCK & CO INCMRK211,754$22.3M0.19%
108BLACKROCK INCBLK20,815$22.3M0.19%
109INVESCO QQQ TRIVZ35,887$22.1M0.19%
110ALPHABET INCGOOG69,984$22.0M0.18%
111CATERPILLAR INCCAT38,199$21.9M0.18%
112AUTOMATIC DATA PROCESSING INADP84,676$21.8M0.18%
113WALMART INCWMT194,896$21.7M0.18%
114MONOLITHIC PWR SYS INC60983910523,877$21.6M0.18%
115ISHARES TR464287804179,813$21.6M0.18%
116SOUTHERN COSOMN244,253$21.3M0.18%
117MICROSOFT CORPMSFT43,815$21.2M0.18%
118PROCTER AND GAMBLE CO742718109147,400$21.1M0.18%
119GENUINE PARTS COGPC171,714$21.1M0.18%
120MICRON TECHNOLOGY INCMU73,714$21.0M0.18%
121MASTERCARD INCORPORATEDMA36,774$21.0M0.18%
122PROCTER AND GAMBLE CO742718109146,176$20.9M0.18%
123ISHARES TR464287804172,611$20.7M0.17%
124SHERWIN WILLIAMS COSHW61,093$19.8M0.17%
125THERMO FISHER SCIENTIFIC INCTMO33,563$19.4M0.16%
126ABBOTT LABSABLZF154,381$19.3M0.16%
127UNION PAC CORPUNP83,117$19.2M0.16%
128ALPHABET INCGOOG60,910$19.1M0.16%
129ISHARES TR464287507284,617$18.8M0.16%
130TJX COS INC NEW872540109122,027$18.7M0.16%
131VANGUARD INTL EQUITY INDEX F922042858348,254$18.7M0.16%
132LEGG MASON ETF INVT52468L505507,780$18.7M0.16%
133AMERICAN EXPRESS COAXP50,433$18.7M0.16%
134S&P GLOBAL INCSPGI35,505$18.6M0.16%
135COCA COLA COKO262,969$18.4M0.15%
136JPMORGAN CHASE & CO.VYLD55,572$17.9M0.15%
137PHILIP MORRIS INTL INC718172109110,637$17.7M0.15%
138JOHN HANCOCK EXCHANGE TRADED47804J842420,984$17.7M0.15%
139GOLDMAN SACHS GROUP INCGSCE20,108$17.7M0.15%
140SPDR S&P MIDCAP 400 ETF TRMDY28,960$17.5M0.15%
141NVIDIA CORPORATIONNVDA93,445$17.4M0.15%
142EXXON MOBIL CORPXOM142,385$17.1M0.14%
143VANGUARD WHITEHALL FDS921946406119,340$17.1M0.14%
144BROADCOM INCAVGO48,924$16.9M0.14%
145WASTE MGMT INC DEL94106L10976,142$16.7M0.14%
146LOCKHEED MARTIN CORPLMT34,583$16.7M0.14%
147SNAP ON INCSNA48,183$16.6M0.14%
148ISHARES TR464287481119,334$16.3M0.14%
149ISHARES TR46432F842181,516$16.2M0.14%
150VANGUARD INDEX FDS92290873633,109$16.2M0.14%
151SALESFORCE INCCRM61,067$16.2M0.14%
152ISHARES TR464287432184,114$16.0M0.13%
153ISHARES TR464287887112,701$15.9M0.13%
154PALO ALTO NETWORKS INCPANW85,940$15.8M0.13%
155JOHN HANCOCK EXCHANGE TRADED47804J206240,365$15.7M0.13%
156AT&T INCT-PC631,447$15.7M0.13%
157AMGEN INCAMGN47,914$15.7M0.13%
158SERVICENOW INCNOW100,798$15.4M0.13%
159INVESCO QQQ TRIVZ25,129$15.4M0.13%
160EATON CORP PLCETN48,231$15.4M0.13%
161BERKSHIRE HATHAWAY INC DELBRK-A30,536$15.3M0.13%
162AMERICAN CENTY ETF TR025072208229,465$15.2M0.13%
163ISHARES TR464287507229,462$15.1M0.13%
164VANGUARD INDEX FDS92290853853,713$15.0M0.13%
165CANADIAN IMPERIAL BANK OF COCNDIF165,705$15.0M0.13%
166AMGEN INCAMGN45,835$15.0M0.13%
167ISHARES TR464287457180,761$15.0M0.13%
168DUKE ENERGY CORP NEWDUKB127,495$14.9M0.13%
169ISHARES TR46428763082,149$14.9M0.12%
170ISHARES TR46428720021,696$14.9M0.12%
171BERKSHIRE HATHAWAY INC DELBRK-A28,889$14.5M0.12%
172VANGUARD SPECIALIZED FUNDS92190884465,930$14.5M0.12%
173AUTOMATIC DATA PROCESSING INADP56,067$14.4M0.12%
174ISHARES TR46428765557,595$14.2M0.12%
175SELECT SECTOR SPDR TR81369Y80398,332$14.2M0.12%
176DANAHER CORPORATION23585110261,526$14.1M0.12%
177TRUIST FINL CORP89832Q109285,692$14.1M0.12%
178SPDR SERIES TRUST78464A474456,576$13.8M0.12%
179MORGAN STANLEYMS-PQ76,918$13.7M0.11%
180BANK MONTREAL QUE063671101105,144$13.6M0.11%
181UNITEDHEALTH GROUP INCUNH40,650$13.4M0.11%
182TRAVELERS COMPANIES INCTRV46,155$13.4M0.11%
183AMAZON COM INCAMZN57,984$13.4M0.11%
184ENBRIDGE INCENNPF278,633$13.3M0.11%
185DARDEN RESTAURANTS INCDRI71,070$13.1M0.11%
186BRISTOL-MYERS SQUIBB COCELG-RI242,430$13.1M0.11%
187J P MORGAN EXCHANGE TRADED F46641Q837258,061$13.1M0.11%
188AMERICAN ELEC PWR CO INC025537101112,385$13.0M0.11%
189ABBOTT LABSABLZF103,229$12.9M0.11%
190MARVELL TECHNOLOGY INCMRVL150,743$12.8M0.11%
191CITIGROUP INCC-PR109,569$12.8M0.11%
192VERIZON COMMUNICATIONS INCVZ311,119$12.7M0.11%
193HARBOR ETF TRUST41151J406406,776$12.7M0.11%
194WASTE MGMT INC DEL94106L10957,238$12.6M0.11%
195PALO ALTO NETWORKS INCPANW67,527$12.4M0.10%
196T-MOBILE US INCTMUSZ60,734$12.3M0.10%
197ISHARES TR46428748189,176$12.2M0.10%
198ALTRIA GROUP INCMO211,594$12.2M0.10%
199HONEYWELL INTL INC43851610662,441$12.2M0.10%
200TRANSDIGM GROUP INCTDG9,158$12.2M0.10%
201ISHARES TR464288653119,357$12.1M0.10%
202ISHARES TR46428716885,909$12.1M0.10%
203PHILIP MORRIS INTL INC71817210975,228$12.1M0.10%
204VERIZON COMMUNICATIONS INCVZ295,582$12.0M0.10%
205ISHARES INC46434G103178,650$12.0M0.10%
206INTUITINTU18,025$11.9M0.10%
207CUMMINS INCCMI23,374$11.9M0.10%
208J P MORGAN EXCHANGE TRADED F46641Q332207,937$11.9M0.10%
209JOHNSON & JOHNSONJNJ57,147$11.8M0.10%
210HOME DEPOT INCHD34,109$11.8M0.10%
211SELECT SECTOR SPDR TR81369Y80381,388$11.7M0.10%
212PFIZER INCPFE468,041$11.7M0.10%
213ISHARES TR464288885101,857$11.6M0.10%
214VANGUARD SPECIALIZED FUNDS92190884452,772$11.6M0.10%
215ISHARES TR46428720016,875$11.6M0.10%
216BOOKING HOLDINGS INCBKNG2,149$11.5M0.10%
217ISHARES SILVER TRSLV174,051$11.2M0.09%
218MORGAN STANLEYMS-PQ62,627$11.1M0.09%
219CINTAS CORPCTAS59,035$11.1M0.09%
220ISHARES TR46428764833,369$10.8M0.09%
221INTERCONTINENTAL EXCHANGE IN45866F10466,135$10.7M0.09%
222ISHARES TR464287499110,381$10.6M0.09%
223OMNICOM GROUP INCOMC130,065$10.5M0.09%
224FEDERATED HERMES ETF TRUSTFHI347,972$10.4M0.09%
225VANGUARD INTL EQUITY INDEX F922042775141,754$10.4M0.09%
226VANGUARD BD INDEX FDS921937835140,117$10.4M0.09%
227BANK NEW YORK MELLON CORP06405810088,816$10.3M0.09%
228FASTENAL COFAST256,720$10.3M0.09%
229BERKSHIRE HATHAWAY INC DELBRK-A20,385$10.2M0.09%
230CISCO SYS INCCSCO132,002$10.2M0.09%
231ISHARES SILVER TRSLV156,962$10.1M0.08%
232CHUBB LIMITEDCB32,170$10.0M0.08%
233TESLA INCTSLA22,324$10.0M0.08%
234APOLLO GLOBAL MGMT INC03769M10668,636$9.9M0.08%
235SHELL PLCRYDAF134,661$9.9M0.08%
236SOUTHERN COSOMN113,363$9.9M0.08%
237ISHARES TR46428724289,372$9.8M0.08%
238SPDR DOW JONES INDL AVERAGE78467X10920,483$9.8M0.08%
239NEXTERA ENERGY INCNEE-PW122,511$9.8M0.08%
240UNION PAC CORPUNP41,798$9.7M0.08%
241MCDONALDS CORPMCD31,605$9.7M0.08%
242VANGUARD WORLD FD92204A70212,621$9.5M0.08%
243RBB FD INC74933W452190,223$9.5M0.08%
244SALESFORCE INCCRM35,691$9.5M0.08%
245SCHWAB CHARLES CORPSCHW-PJ94,167$9.4M0.08%
246CARDINAL HEALTH INCCAH45,713$9.4M0.08%
247GENERAL DYNAMICS CORPGD27,812$9.4M0.08%
248ISHARES TR46428787982,171$9.3M0.08%
249UNITEDHEALTH GROUP INCUNH28,260$9.3M0.08%
250PEPSICO INCPEP64,798$9.3M0.08%
251UNION PAC CORPUNP40,203$9.3M0.08%
252APPLIED MATLS INC03822210535,836$9.2M0.08%
253ASML HOLDING N VASMLF8,603$9.2M0.08%
254AT&T INCT-PC369,064$9.2M0.08%
255ISHARES TR46428730974,069$9.1M0.08%
256LABCORP HOLDINGS INCLH36,335$9.1M0.08%
257META PLATFORMS INCMETA13,664$9.0M0.08%
258ISHARES TR464288646169,854$9.0M0.08%
259RBC BEARINGS INCRBC20,028$9.0M0.08%
260LINDE PLCLIN20,843$8.9M0.07%
261ISHARES TR46428747362,927$8.9M0.07%
262VANGUARD SCOTTSDALE FDS92206C68072,486$8.8M0.07%
263GENERAL MLS INC370334104189,482$8.8M0.07%
264INTUITIVE SURGICAL INCISRG15,496$8.8M0.07%
265L3HARRIS TECHNOLOGIES INCLHX29,850$8.8M0.07%
266AMERICAN EXPRESS COAXP23,667$8.8M0.07%
267SONY GROUP CORPSNEJF339,295$8.7M0.07%
268ISHARES TR46428866172,723$8.7M0.07%
269SPDR SERIES TRUST78468R66394,285$8.6M0.07%
270TAIWAN SEMICONDUCTOR MFG LTD87403910028,344$8.6M0.07%
271VANGUARD INDEX FDS92290861140,549$8.6M0.07%
272COPART INCCPRT218,640$8.6M0.07%
273NORFOLK SOUTHN CORP65584410829,601$8.5M0.07%
274SALESFORCE INCCRM32,242$8.5M0.07%
275ADOBE INCADBE24,378$8.5M0.07%
276LINDE PLCLIN20,006$8.5M0.07%
277DANAHER CORPORATION23585110236,924$8.5M0.07%
278INVESCO QQQ TRIVZ13,732$8.4M0.07%
279ACCENTURE PLC IRELANDACN31,352$8.4M0.07%
280CASEYS GEN STORES INC14752810315,053$8.3M0.07%
281AMERICAN TOWER CORP NEW03027X10047,371$8.3M0.07%
282WORLD GOLD TRGLDW96,994$8.3M0.07%
283NETFLIX INCNFLX87,064$8.2M0.07%
284CHUBB LIMITEDCB26,069$8.1M0.07%
285SYNOVUS FINL CORP87161C501161,906$8.1M0.07%
286NETFLIX INCNFLX86,335$8.1M0.07%
287SHELL PLCRYDAF110,063$8.1M0.07%
288J P MORGAN EXCHANGE TRADED F46641Q332141,078$8.1M0.07%
289ORACLE CORPORCL-PD41,323$8.1M0.07%
290ISHARES TR46434V878158,279$8.0M0.07%
291AMERICAN CENTY ETF TR02507270396,988$8.0M0.07%
292ISHARES TR46432F84289,005$8.0M0.07%
293VANGUARD ADMIRAL FDS INC92193282871,269$7.9M0.07%
294KLA CORPKLAC6,504$7.9M0.07%
295ZOETIS INCZTS62,769$7.9M0.07%
296TEXAS INSTRS INC88250810445,438$7.9M0.07%
297SPDR S&P MIDCAP 400 ETF TRMDY13,053$7.9M0.07%
298AMERICAN CENTY ETF TR025072349103,829$7.9M0.07%
299ADVANCED MICRO DEVICES INCAMD36,713$7.9M0.07%
300CORNING INCGLW89,795$7.9M0.07%
301ISHARES TR46428740837,032$7.9M0.07%
302SERVICENOW INCNOW50,766$7.8M0.07%
303DUKE ENERGY CORP NEWDUKB65,776$7.7M0.06%
304FIRST TR EXCHNG TRADED FD VI33740U703272,252$7.7M0.06%
305EMERSON ELEC COEMR57,910$7.7M0.06%
306GENERAC HLDGS INCGNRC54,804$7.5M0.06%
307VANGUARD SPECIALIZED FUNDS92190884433,783$7.4M0.06%
308UNITEDHEALTH GROUP INCUNH22,377$7.4M0.06%
309DEERE & CODE15,837$7.4M0.06%
310KIMBERLY-CLARK CORPKMB72,105$7.3M0.06%
311ISHARES TR46428710121,178$7.3M0.06%
312FIRST TR EXCHNG TRADED FD VI33740F755211,056$7.2M0.06%
313CORPAY INCCPAY23,925$7.2M0.06%
314FIRST TR EXCHNG TRADED FD VI33740U778260,221$7.2M0.06%
315VANGUARD BD INDEX FDS92193781991,794$7.2M0.06%
316DISNEY WALT CO25468710662,531$7.1M0.06%
317ASTRAZENECA PLCAZN76,286$7.0M0.06%
318VERISIGN INCVRSN28,205$6.9M0.06%
319VANGUARD INDEX FDS92290862923,421$6.8M0.06%
320GE AEROSPACE36960430122,027$6.8M0.06%
321MASTERCARD INCORPORATEDMA11,807$6.7M0.06%
322MERCK & CO INCMRK63,930$6.7M0.06%
323VANGUARD INDEX FDS92290859522,238$6.7M0.06%
324MONDELEZ INTL INC609207105122,761$6.6M0.06%
325ALTRIA GROUP INCMO114,533$6.6M0.06%
326ISHARES TR46428746568,465$6.6M0.06%
327ISHARES TR46428722665,649$6.6M0.06%
328FIRST TR EXCHANGE-TRADED FD33741X102170,914$6.6M0.05%
329BLACKSTONE INCBX42,355$6.5M0.05%
330ISHARES TR46428747345,758$6.5M0.05%
331ISHARES TR464288687207,805$6.4M0.05%
332TRUIST FINL CORP89832Q109130,588$6.4M0.05%
333VANGUARD WHITEHALL FDS92194640644,724$6.4M0.05%
334VANGUARD INDEX FDS92290873613,153$6.4M0.05%
335QUALCOMM INCQCOM37,393$6.4M0.05%
336CHIPOTLE MEXICAN GRILL INCCMG172,466$6.4M0.05%
337GSK PLCGLAXF129,207$6.3M0.05%
338FIRST TR EXCHANGE-TRADED FD33739Q408105,490$6.3M0.05%
339MONDELEZ INTL INC609207105117,321$6.3M0.05%
340ISHARES TR4642872009,177$6.3M0.05%
341ISHARES TR46428748145,866$6.3M0.05%
342BROADCOM INCAVGO18,133$6.3M0.05%
343LOCKHEED MARTIN CORPLMT12,932$6.3M0.05%
344DEERE & CODE13,398$6.2M0.05%
345HOWMET AEROSPACE INCHWM30,394$6.2M0.05%
346VANECK ETF TRUST92189F10672,347$6.2M0.05%
347CHEVRON CORP NEWCVX40,128$6.1M0.05%
348ISHARES TR46428887785,715$6.1M0.05%
349OTIS WORLDWIDE CORPOTIS69,593$6.1M0.05%
350CENCORA INCCOR17,992$6.1M0.05%
351FLEXSHARES TRFLEX148,916$6.1M0.05%
352LOWES COS INC54866110724,948$6.0M0.05%
353EMERSON ELEC COEMR45,137$6.0M0.05%
354VANGUARD SCOTTSDALE FDS92206C87070,780$5.9M0.05%
355EXXON MOBIL CORPXOM49,223$5.9M0.05%
356SPDR SERIES TRUST78464A76342,317$5.9M0.05%
357INVESCO EXCHANGE TRADED FD TIVZ30,675$5.9M0.05%
358VANGUARD SCOTTSDALE FDS92206C40973,621$5.9M0.05%
359CITIGROUP INCC-PR50,284$5.9M0.05%
360LSI INDS INC OHIO50216C108318,197$5.8M0.05%
361NIKE INCNKE91,384$5.8M0.05%
362ISHARES TR46428765523,498$5.8M0.05%
363WISDOMTREE TRWT86,629$5.8M0.05%
364VANGUARD SCOTTSDALE FDS92206C70696,212$5.8M0.05%
365PEPSICO INCPEP39,972$5.7M0.05%
3663M COMMM35,778$5.7M0.05%
367EOG RES INCEOG54,377$5.7M0.05%
368HONEYWELL INTL INC43851610629,107$5.7M0.05%
369WISDOMTREE TRWT145,497$5.7M0.05%
370THERMO FISHER SCIENTIFIC INCTMO9,780$5.7M0.05%
371HALOZYME THERAPEUTICS INCHALO84,037$5.7M0.05%
372BLACKSTONE INCBX36,651$5.6M0.05%
373WALMART INCWMT50,281$5.6M0.05%
374SCHWAB STRATEGIC TR808524771205,286$5.6M0.05%
375TRADEWEB MKTS INC89267210651,732$5.6M0.05%
376TRUIST FINL CORP89832Q109112,860$5.6M0.05%
377VANGUARD BD INDEX FDS92193781971,281$5.6M0.05%
378THERMO FISHER SCIENTIFIC INCTMO9,574$5.5M0.05%
379ISHARES TR46428770542,073$5.5M0.05%
380CVS HEALTH CORPCVS69,031$5.5M0.05%
381SCHWAB CHARLES CORPSCHW-PJ54,071$5.4M0.05%
382DIMENSIONAL ETF TRUST25434V50077,517$5.4M0.05%
383VANGUARD INDEX FDS92290855360,996$5.4M0.05%
384CATERPILLAR INCCAT9,366$5.4M0.05%
385META PLATFORMS INCMETA8,118$5.4M0.05%
386INTERCONTINENTAL EXCHANGE IN45866F10432,847$5.3M0.04%
387BOSTON SCIENTIFIC CORPBSX55,792$5.3M0.04%
388ELI LILLY & COLLY4,917$5.3M0.04%
389ANALOG DEVICES INCADI19,457$5.3M0.04%
390EOG RES INCEOG50,011$5.3M0.04%
391CAPITAL ONE FINL CORP14040H10521,640$5.2M0.04%
392FLEXSHARES TRFLEX106,396$5.2M0.04%
393ISHARES TR46429B74751,034$5.2M0.04%
394GLOBAL PMTS INC37940X10267,319$5.2M0.04%
395STATE STR CORPSTT-PG40,246$5.2M0.04%
396RYAN SPECIALTY HOLDINGS INCRYAN98,803$5.1M0.04%
397VANECK ETF TRUST92189F486199,413$5.1M0.04%
398BANK AMERICA CORP06050510492,194$5.1M0.04%
399ROCKWELL AUTOMATION INCROK13,030$5.1M0.04%
400COPART INCCPRT129,474$5.1M0.04%
401AMPHENOL CORP NEW03209510137,471$5.1M0.04%
402VANGUARD SCOTTSDALE FDS92206C40962,647$5.0M0.04%
403FIRST TR EXCHANGE-TRADED FD33738D879188,725$5.0M0.04%
404BERKSHIRE HATHAWAY INC DELBRK-A9,853$5.0M0.04%
405BOEING COBA-PA22,782$4.9M0.04%
406SPDR S&P 500 ETF TRSPY7,250$4.9M0.04%
407MERCK & CO INCMRK46,882$4.9M0.04%
408HENRY JACK & ASSOC INC42628110126,884$4.9M0.04%
409BOSTON SCIENTIFIC CORPBSX51,116$4.9M0.04%
410MARSH & MCLENNAN COS INC57174810226,121$4.8M0.04%
411SCHWAB STRATEGIC TR808524300147,864$4.8M0.04%
412AMPHENOL CORP NEW03209510135,613$4.8M0.04%
413NEXTERA ENERGY INCNEE-PW59,531$4.8M0.04%
414CARRIER GLOBAL CORPORATIONCARR90,265$4.8M0.04%
415BROOKFIELD CORP11271J107103,113$4.7M0.04%
416MONOLITHIC PWR SYS INC6098391055,181$4.7M0.04%
417COMCAST CORP NEWCCZ156,870$4.7M0.04%
418ISHARES TR46428778836,022$4.6M0.04%
419WELLS FARGO CO NEW94974610149,822$4.6M0.04%
420MEDTRONIC PLCMDT48,216$4.6M0.04%
421SCHWAB STRATEGIC TR808524797168,497$4.6M0.04%
422WW GRAINGER INC3848021044,576$4.6M0.04%
423SOUTHSTATE BK CORP84472E10248,565$4.6M0.04%
424ANALOG DEVICES INCADI16,807$4.6M0.04%
425ISHARES TR46428744047,337$4.6M0.04%
426BERKSHIRE HATHAWAY INC DELBRK-A6$4.5M0.04%
427US BANCORP DELUSB-PS84,616$4.5M0.04%
428INVESCO EXCH TRADED FD TR IIIVZ53,476$4.5M0.04%
429KKR & CO INCKKRT35,325$4.5M0.04%
430SELECT SECTOR SPDR TR81369Y886104,054$4.4M0.04%
431CONSTELLATION ENERGY CORPCEG12,564$4.4M0.04%
432ECOLAB INCECL16,892$4.4M0.04%
433NATERA INCNTRA19,341$4.4M0.04%
434AMERICAN INTL GROUP INC02687478451,726$4.4M0.04%
435WEYERHAEUSER CO MTN BEWY185,738$4.4M0.04%
436CAMECO CORPCCJ48,080$4.4M0.04%
437ISHARES TR46428740820,551$4.4M0.04%
438DYNATRACE INCDT100,390$4.4M0.04%
439SYNDAX PHARMACEUTICALS INCSNDX206,601$4.3M0.04%
440NVIDIA CORPORATIONNVDA23,245$4.3M0.04%
441ING GROEP N.V.INGVF154,610$4.3M0.04%
442SUNCOR ENERGY INC NEWSU97,482$4.3M0.04%
443HALEON PLCHLNCF426,720$4.3M0.04%
444COCA COLA COKO61,687$4.3M0.04%
445VANGUARD INDEX FDS92290874422,501$4.3M0.04%
446ISHARES TR464288448108,776$4.3M0.04%
447ISHARES TR46428716830,362$4.3M0.04%
448ALPHABET INCGOOG13,621$4.3M0.04%
449FABRINETFN9,374$4.3M0.04%
450ISHARES TR46428747330,092$4.2M0.04%
451VANGUARD INDEX FDS92290876912,477$4.2M0.04%
452VULCAN MATLS CO92916010914,695$4.2M0.04%
453KRYSTAL BIOTECH INCKRYS16,983$4.2M0.04%
454ABBVIE INCABBV18,245$4.2M0.03%
455VERTEX PHARMACEUTICALS INCVRTX9,185$4.2M0.03%
456AXSOME THERAPEUTICS INCAXSM22,739$4.2M0.03%
457ALCON AGALC52,221$4.1M0.03%
458ETFS GOLD TR00326A104100,000$4.1M0.03%
459ASML HOLDING N VASMLF3,831$4.1M0.03%
460S&P GLOBAL INCSPGI7,830$4.1M0.03%
461RTX CORPORATIONRTX22,307$4.1M0.03%
462WELLS FARGO CO NEW94974610143,820$4.1M0.03%
463FIRST TR EXCHANGE-TRADED FD33739Q70583,057$4.1M0.03%
464VANGUARD SCOTTSDALE FDS92206C87048,403$4.1M0.03%
465VANGUARD INTL EQUITY INDEX F92204285875,381$4.1M0.03%
466ISHARES GOLD TRIAU49,663$4.0M0.03%
467NATIONAL HEALTH INVS INC63633D10452,552$4.0M0.03%
468COOPER COS INC21664850148,967$4.0M0.03%
469VERTEX PHARMACEUTICALS INCVRTX8,850$4.0M0.03%
470TESLA INCTSLA8,920$4.0M0.03%
471AMGEN INCAMGN12,217$4.0M0.03%
472AUTOZONE INCAZO1,172$4.0M0.03%
473ISHARES TR46428745747,979$4.0M0.03%
474ENTERGY CORP NEWENO42,768$4.0M0.03%
475APOLLO GLOBAL MGMT INC03769M10627,258$3.9M0.03%
476BLACKROCK ETF TRUSTBLK64,795$3.9M0.03%
477COSTCO WHSL CORP NEW22160K1054,545$3.9M0.03%
478VISA INCV11,024$3.9M0.03%
479ISHARES TR46428722638,685$3.9M0.03%
480VANGUARD BD INDEX FDS92193783551,817$3.8M0.03%
481SPDR SERIES TRUST78464A672132,640$3.8M0.03%
482CATERPILLAR INCCAT6,625$3.8M0.03%
483FIRST TR EXCHNG TRADED FD VI33740U760154,341$3.8M0.03%
484AMERICAN TOWER CORP NEW03027X10021,460$3.8M0.03%
485LINDE PLCLIN8,829$3.8M0.03%
486TAIWAN SEMICONDUCTOR MFG LTD87403910012,344$3.8M0.03%
487SAP SESAPGF15,446$3.8M0.03%
488KKR & CO INCKKRT29,207$3.7M0.03%
489ISHARES INC46434G10355,097$3.7M0.03%
490VANECK ETF TRUST92189F10642,963$3.7M0.03%
491BLACKROCK INCBLK3,429$3.7M0.03%
492CONAGRA BRANDS INCCAG210,626$3.6M0.03%
493AIR PRODS & CHEMS INCAIIR14,732$3.6M0.03%
494CISCO SYS INCCSCO46,985$3.6M0.03%
495HURON CONSULTING GROUP INCHURN20,872$3.6M0.03%
496ISHARES TR46432F84240,342$3.6M0.03%
497ISHARES TR46428723465,849$3.6M0.03%
498CREDICORP LTDBAP12,500$3.6M0.03%
499ISHARES TR46428730928,796$3.6M0.03%
500NETFLIX INCNFLX37,814$3.5M0.03%