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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

Indiana Trust & Investment Management CO

Quarter ended Q4 2025 · Filed January 21, 2026 · Accession 0001356407-26-000001

Total Value
$339.1M
Positions
487
Other Managers
0
Confidential Omitted
No
View on SEC.gov

Holdings (487)

#IssuerTicker / CUSIPSharesValue% of Filing
1Nvidia Corp ComNVDA183,241$34.2M10.08%
2SPDR S&P 500 IndexSPY41,755$28.5M8.40%
3Apple Computer Inc ComAAPL65,833$17.9M5.28%
4Alphabet Inc Cap Stock Cl A (Google)GOOG51,185$16.0M4.72%
5Lilly Eli & CO ComLLY12,340$13.3M3.91%
6Amazon.Com Inc ComAMZN45,768$10.6M3.12%
7JPMorgan Chase & Co ComVYLD31,765$10.2M3.02%
8iShares Russell 1000 Index46428762225,598$9.6M2.82%
9iShares Russell 1000 Growth Index46428761417,586$8.3M2.45%
10Costco Whsl Corp New Com22160K1057,388$6.4M1.88%
11Meta Platforms Inc (formerly Facebook Inc)META9,409$6.2M1.83%
12Oracle Corp ComORCL-PD30,298$5.9M1.74%
13Caterpillar Inc ComCAT9,519$5.5M1.61%
14Microsoft Corp ComMSFT10,271$5.0M1.46%
15Vanguard Total Stock Market ETF92290876913,494$4.5M1.33%
16TJ Maxx Co Inc Com87254010927,560$4.2M1.25%
17Ball Corp ComBALL76,265$4.0M1.19%
18Berkshire Hathaway Inc Del Cl ABRK-A4$3.0M0.89%
19Lowes Companies Inc Com54866110711,326$2.7M0.81%
20Wal Mart Stores Inc ComWMT24,281$2.7M0.80%
21Visa Inc Class A SharesV6,996$2.5M0.72%
22Johnson & Johnson ComJNJ11,849$2.5M0.72%
23iShares Russell Midcap Index46428749925,265$2.4M0.72%
24iShares Core S&P 500 Index ETF4642872003,524$2.4M0.71%
25AbbVie IncABBV10,218$2.3M0.69%
26Vanguard Info Tech ETF92204A7022,928$2.2M0.65%
27iShares Russell 2000 Index Fd4642876558,922$2.2M0.65%
28iShares Tr Russell Microcap Index46428886913,830$2.2M0.64%
29Exxon Mobil Corp ComXOM17,978$2.2M0.64%
30Blackrock Inc ComBLK1,970$2.1M0.62%
31Alphabet Inc Cap Stock Cl C (Google)GOOG6,653$2.1M0.62%
32Vanguard S&P 500 ETF9229083633,296$2.1M0.61%
33Invesco QQQ TrustIVZ3,170$1.9M0.57%
34Broadcom Inc ComAVGO5,300$1.8M0.54%
35iShares Russell 1000 Value Index4642875988,559$1.8M0.53%
36Amphenol Corp New Cl A03209510113,190$1.8M0.53%
37Eaton Corp PLCETN5,437$1.7M0.51%
381st Source Corp ComSRCE27,159$1.7M0.50%
39Invesco Muni Invmt. Grade TrustIVZ163,647$1.7M0.50%
40iShares MSCI EAFE Index Fund46428746517,553$1.7M0.50%
41AllianceBernstein Ntl. Muni Inc.01864U106152,252$1.6M0.49%
42Procter & Gamble Co Com74271810911,287$1.6M0.48%
43Old National Bancorp Com68003310772,278$1.6M0.48%
44Berkshire Hathaway Inc Cl BBRK-A3,102$1.6M0.46%
45Nuveen Quality Muni Income FundNU128,299$1.5M0.45%
46Eaton Vance Municipal Bond FundETN144,560$1.4M0.41%
47Stryker CorpSYK3,951$1.4M0.41%
48MastercardMA2,408$1.4M0.41%
49iShares Trust Russell 3000 ETF4642876893,547$1.4M0.40%
50Aflac Inc ComAFL11,641$1.3M0.38%
51Vanguard Russell 1000 Index ETF92206C7304,075$1.3M0.37%
52Vanguard Growth ETF9229087362,554$1.2M0.37%
53iShares Emerging Markets ex-China ETF46434G76416,750$1.2M0.36%
54General Dynamics Corp ComGD3,606$1.2M0.36%
55Tesla IncTSLA2,628$1.2M0.35%
56Fiserv Inc ComFISV17,476$1.2M0.35%
57NextEra Energy, Inc.NEE-PW14,524$1.2M0.34%
58Blackrock Muni Yield Quality FundBLK98,527$1.1M0.33%
59Nuveen AMT-Free Municipal Income FundNU95,500$1.1M0.33%
60Vanguard Dividend Appreciation ETF9219088444,995$1.1M0.32%
61Honeywell Intl Inc Com4385161065,588$1.1M0.32%
62BlackRock Municipal Income Quality TrustBLK97,655$1.1M0.32%
63BlackRock MuniVest Fund IncBLK150,686$1.0M0.31%
64Intl Business Machines Corp ComINTR3,510$1.0M0.31%
65MFC SPDR Gold Trust ETFGLD2,609$1.0M0.30%
66Invesco Van Kampen Advantage Muni Inc Tr IIIVZ111,938$1.0M0.30%
67McDonalds Corp ComMCD3,336$1.0M0.30%
68American Express Co ComAXP2,745$1.0M0.30%
69Strive 500 ETF02072L68023,000$1.0M0.30%
70Vanguard Russell 1000 Value Index ETF92206C71410,596$978,0110.29%
71iShares TR S&P Latin Amer 40 Index ETF46428739031,800$968,3100.29%
72Qualcomm Inc ComQCOM5,615$960,4460.28%
73Chevron CorporationCVX6,155$938,0840.28%
74Pepsico Inc ComPEP6,354$911,9260.27%
75iShares DJ Select Dividend Index Fd4642871686,449$910,2120.27%
76iShares S&P 100 ETF4642871012,569$881,0900.26%
77iShares Silver TrustSLV13,670$880,6210.26%
78Johnson Controls Inc.G515021057,060$845,4350.25%
79iShares MSCI Brazil ETF46428640026,500$841,9050.25%
80SPDR Gold MiniShares Trust ETFGLDW9,500$811,0150.24%
81iShares MSCI Brazil Small-Cap ETF46428913162,500$808,1500.24%
82Abbott Laboratories ComABLZF6,351$795,7170.23%
83iShares Core S&P Small-Cap ETF4642878046,394$768,4310.23%
84Western Asset Managed Municipal95766M10567,913$709,0120.21%
85iShares IBoxx Invest Grade Corp Bond4642872426,244$688,0260.20%
86Vanguard Value ETF9229087443,601$687,7550.20%
87Amgen Inc ComAMGN2,065$675,8950.20%
88American Electric Power Co Inc Com0255371015,782$666,7220.20%
89Vanguard Total World Stock Index ETF9220427424,721$665,9440.20%
90iShares S&P Mid-Cap ETF46428750710,003$660,1980.19%
91Horizon Bancorp IncHBNC38,700$656,3520.19%
92Bristol Myers Squibb CO ComCELG-RI12,085$651,8650.19%
93CSX Corp ComCSX17,754$643,5830.19%
94Palantir Technologies Inc Cl APLTR3,525$626,5690.18%
95Bank of America Corp Com06050510410,685$587,6750.17%
96Intercontinental Exchange Inc45866F1043,571$578,3590.17%
97Nike Inc Class B ComNKE8,869$565,0440.17%
98iShares Gold TrustIAU6,885$558,8550.16%
99Vanguard FTSE Emerging Markets ETF92204285810,204$548,5670.16%
100Wells Fargo & Co New Com9497461015,780$538,6960.16%
101ConocoPhillips Inc ComCOP5,578$522,1570.15%
102Merck & Co IncMRK4,959$521,9840.15%
103Sysco Corp ComSYY6,994$515,3880.15%
104Home Depot Inc ComHD1,473$506,8590.15%
105Disney CO Com2546871064,430$504,0010.15%
106Vanguard Mid Cap ETF9229086291,726$500,9200.15%
107iShares Intermediate Gov/Cr ETF4642886124,652$499,3920.15%
108State Street SPDR S&P Dividend ETF78464A7633,469$482,7460.14%
109Cisco Systems ComCSCO6,266$482,6700.14%
110Prudential Financial ComPUKPF4,092$461,9050.14%
111Deere & CODE978$455,3270.13%
112Emerson Elec CO ComEMR3,414$453,1060.13%
113Invesco S&P 500 Eql Wgt ETFIVZ2,346$449,4000.13%
114iShares MSCI Emerging Markets Index4642872348,056$440,7440.13%
115Medtronic PLCMDT4,447$427,1790.13%
116Vanguard REIT Index ETF9229085534,825$426,9640.13%
117Illinois Tool Works Inc Com4523081091,706$420,1880.12%
118MetLife Inc ComMET-PF5,274$416,3300.12%
119Vanguard Intmd Term Bond ETF9219378195,300$412,7640.12%
120RTX CorporationRTX2,248$412,2830.12%
121iShares Core S&P Total U S Stock Mkt ETF4642871502,758$410,0870.12%
122Pfizer Inc ComPFE16,338$406,8160.12%
123Vanguard Energy ETF92204A3063,200$402,9440.12%
124Vanguard Index Funds Large Cap ETF9229086371,278$402,3140.12%
125LHA Market State Tactical Beta ETF26922B10510,000$399,2000.12%
126iShares S&P MidCap 400 Growth Index4642876064,067$394,0110.12%
127Union Pacific CorpUNP1,700$393,2440.12%
128Analog Devices Inc ComADI1,445$391,8840.12%
129GE Aerospace Com3696043011,271$391,5060.12%
130Equity Residential Pptys Tr ComEQR6,142$387,1920.11%
131Invesco RAFI US 1000 ETFIVZ7,995$375,1250.11%
132Grainger W W Inc Com384802104370$373,3490.11%
133Norfolk Southern Corp Com6558441081,287$371,5830.11%
134Williams-Sonoma Inc.WSM2,000$357,1800.11%
135Palo Alto Networks Inc ComPANW1,936$356,6110.11%
136Intuitive Surgical Inc NewISRG625$353,9750.10%
137iShares Core S&P US Growth ETF4642876712,033$341,4220.10%
138Vanguard Total International Bond ETF92203J4077,000$338,2400.10%
139Duke Energy Corp New ComDUKB2,718$318,5770.09%
140Goldman Sachs Group ComGSCE360$316,4400.09%
141Unitedhealth Group Inc ComUNH936$308,9830.09%
142Starbucks Corp ComSBUX3,495$294,3140.09%
143State Street Technology Select Sector SPDR81369Y8032,044$294,2750.09%
144Salesforce IncCRM1,108$293,5200.09%
145Vanguard Small Cap ETF9229087511,130$291,4840.09%
146Coca Cola Corp ComKO4,146$289,8470.09%
147Air Products & Chemicals Inc ComAIIR1,155$285,3080.08%
148Vanguard Russell 2000 Growth Index ETF92206C6231,208$285,0760.08%
149Fidelity Merrimack Str Tr ETF3161887056,266$276,5190.08%
150Vanguard Russell 2000 Value Index ETF92206C6491,670$267,0830.08%
151Adasina Social Justice All Cap Global ETF88636487613,000$263,7700.08%
152Nucor Corp ComNUE1,608$262,2810.08%
153Boeing Co ComBA-PA1,200$260,5440.08%
154Blackstone IncBX1,668$257,1060.08%
155Vanguard High Dividend Yield ETF9219464061,769$253,8870.07%
156Phillips 66PSX1,945$250,9830.07%
157State Street Energy Select Sector SPDR ETF81369Y5065,572$249,1240.07%
158Morgan Stanley ComMS-PQ1,394$247,4770.07%
159Enterprise Products Partners LP2937921077,694$246,6700.07%
160Lockheed Martin Corp ComLMT507$245,2210.07%
161Invesco S&P 500 Quality ETFIVZ3,209$240,8350.07%
162AT&T Inc ComT-PC9,604$238,5630.07%
163Fedex Corp ComFDX796$229,9330.07%
164IShares Core High Dividend ETF46429B6631,841$223,8840.07%
165Vanguard Total Bond Market ETF9219378353,007$222,7280.07%
166Nisource Inc ComNI5,237$218,6970.06%
167Elevance Health IncELV619$216,9900.06%
168Southern CO ComSOMN2,475$215,8200.06%
169US Bancorp ComUSB-PS4,024$214,7210.06%
170Taiwan Semiconductor Mfg Co ADR874039100688$209,0760.06%
171SPDR Dow Jones Industrial Average78467X109421$202,3200.06%
172Ford Mtr Co Com34537086015,413$202,2190.06%
173Altria Group Inc ComMO3,450$198,9270.06%
174Franklin Res Inc ComBEN8,119$193,9630.06%
175Energy Transfer LPET-PI11,220$185,0180.05%
176Vanguard FTSE Developed Markets ETF9219438582,890$180,5380.05%
177Yum! Brands IncYUM1,190$180,0230.05%
178Zimmer Biomet Hldgs Inc ComZBH1,999$179,7500.05%
179iShares S&P 500 Growth Index Fund4642873091,453$179,0970.05%
180Danaher Corp Com235851102762$174,4370.05%
181MLP Brookfield Renewable Energy PartnerG162581086,410$172,8780.05%
182Target Corp ComTGT1,757$171,7470.05%
183Verizon Communications ComVZ4,214$171,6360.05%
184ONEOK, Inc.OKE2,334$171,5490.05%
185L3Harris Technologies IncLHX580$170,2710.05%
186Thor Industries Inc8851601011,623$166,6330.05%
187Applied Materials Inc Com038222105634$162,9320.05%
188iShares Tr US Treas Inflation Protected4642871761,474$162,0070.05%
189State Street SPDR Portfolio S&P 500 ETF78464A8542,000$160,4400.05%
190Advanced Micro Devices IncAMD743$159,1210.05%
191State Street SPDR Portfolio S&P 500 Value ETF78464A5082,774$157,5910.05%
192Paychex Inc ComPAYX1,366$153,2380.05%
193Labcorp Holdings IncLH609$152,7860.05%
1943M Corp ComMMM940$150,4940.04%
195Travelers Cos Inc Com StTRV507$147,0600.04%
196iShares Bitcoin Trust ETFIBIT2,955$146,7160.04%
197Intel Corp ComINTC3,957$146,0130.04%
198iShares Trust iShares Core Universal USD Bond46434V6133,071$142,9240.04%
199GE Vernova LLC ComGEV215$140,5180.04%
200Kimberly Clark Corp ComKMB1,338$134,9910.04%
201Cognizant Technology Solutions CorpCTSH1,613$133,8790.04%
202Coinbase Global Inc Cl ACOIN590$133,4230.04%
203Philip Morris International718172109827$132,6510.04%
204Schwab International Equity ETF8085248055,441$130,8020.04%
205Select Water Solutions Inc Cl AWTTR12,316$129,5640.04%
206Vanguard FTSE All-World Ex9220427751,743$128,2150.04%
207Quanta Services Inc Com74762E102300$126,6180.04%
208Schwab Charles Corp ComSCHW-PJ1,267$126,5860.04%
209iShares Barclays Aggregate Bond4642872261,259$125,7490.04%
210WisdomTree US SmallCap Earnings ETFWT2,143$122,0010.04%
211Hewlett Packard Enterprise Co.HPE-PC5,000$120,1000.04%
212Intuit CorpINTU180$119,2360.04%
213Schwab US REIT ETF8085248475,683$118,7180.04%
214iShares MSCI China ETF46429B6711,900$114,1330.03%
215Linde PlcLIN265$112,9930.03%
216Shell PLC ADRRYDAF1,521$111,7630.03%
217HP Inc Com.HPQ5,000$111,4000.03%
218Invesco RAFI US 1500 Small-Mid ETFIVZ2,380$109,2180.03%
219Realty Income Corporation ComO1,933$108,9630.03%
220iShares Core MSCI EAFE ETF46432F8421,193$106,7260.03%
221Fifth Third Bancorp ComFITBM2,276$106,5400.03%
222CME Group, Inc.CME386$105,4090.03%
223Schwab US Dividend Equity ETF8085247973,816$104,6730.03%
224Archer Daniels Midland Co ComADM1,804$103,7120.03%
225Enbridge Inc ComENNPF2,153$102,9780.03%
226SPDR S&P MidCap 400 ETFMDY164$98,9380.03%
227Cigna Corp New125523100357$98,2570.03%
228Chubb LimitedCB313$97,6940.03%
229Resmed IncRSMDF400$96,3480.03%
230Netflix IncNFLX1,020$95,6350.03%
231American Healthcare Reit Inc common stockAHR2,012$94,6850.03%
232Colgate Palmolive Co ComCL1,185$93,6390.03%
233Financial Select Sector SPDR81369Y6051,649$90,3160.03%
234SANOFI Sponsored ADRSNYNF1,848$89,5540.03%
235State Street Industrial Select Sector SPDR ET81369Y704575$89,1940.03%
236Kinder Morgan Inc Del ComEP-PC3,200$87,9680.03%
237iShares Tr MSCI EAFE Small Cap4642882731,089$84,4300.02%
238Automatic Data Processing Inc ComADP328$84,3710.02%
239PayPal Holdings Inc ComPYPL1,441$84,1260.02%
240Texas Instruments Inc Com882508104484$83,9690.02%
241Adobe Systems Inc ComADBE234$81,8980.02%
242Vanguard Mid-Cap Growth Index ETF922908538293$81,7880.02%
243iShares MSCI EAFE Growth ETF464288885711$80,9970.02%
244Williams Company Inc9694571001,322$79,4650.02%
245iShares S&P Midcap 400/Value Fund464287705600$78,9540.02%
246STATE STREET HEALTH CARE SELECT SECTOR SPDR E81369Y209509$78,7930.02%
247Clean Harbors IncCLH330$77,3780.02%
248Masco Corp ComMAS1,200$76,1520.02%
249Ark 21Shares Bitcoin ETFARKB2,610$75,7940.02%
250S&P Global IncSPGI145$75,7760.02%
251Manulife Financial Corp Com56501R1062,078$75,3900.02%
252Gilead Sciences IncGILD610$74,8710.02%
253iShares Core MSCI Emerging Mkts ETF46434G1031,104$74,2110.02%
254General Mills Inc Com3703341041,565$72,7730.02%
255Simon Property Group Inc Com828806109390$72,1930.02%
256Vanguard Russell 2000 Index ETF92206C664720$71,6540.02%
257Vanguard S&P Small Cap 600 Growth ETF921932794586$71,0730.02%
258BP PLC Sponsored ADRBPPFF2,034$70,6410.02%
259Genesis Energy LPGEL4,500$70,2000.02%
260iShares MSCI EAFE Value ETF464288877982$70,1250.02%
261Trane Technologies PLC Class ATT179$69,6670.02%
262Edwards Lifesciences Corp ComEW815$69,4790.02%
263Solstice Advanced Matls Inc83443Q1031,405$68,2550.02%
264German Amern Bancorp Inc3738651041,728$67,7030.02%
265Church & Dwight IncCHD800$67,0800.02%
266Brookfield Renewable Corp Cl A Ex Sub VtgBEPC1,711$65,6000.02%
267Exelon Corp ComEXC1,499$65,3410.02%
268iShares MSCI Japan ETF46434G822800$64,5920.02%
269Comcast Corp New Cl A ComCCZ2,135$63,8150.02%
270Valero Energy ComVLO392$63,8140.02%
271Mondelez International Inc6092071051,183$63,6810.02%
272Microchip Technology IncMCHPP999$63,6560.02%
273Ecolab Inc ComECL239$62,7420.02%
274Astrazeneca PLC ADRAZN681$62,6040.02%
275Vanguard Russell 1000 Growth Index Fd92206C680500$60,8750.02%
276State Street Consumer Dis Select Sector SPDR81369Y407500$59,7050.02%
277Otis Worldwide CorpOTIS676$59,0490.02%
278STMicroelectronics NV ADRSTMEF2,250$58,3650.02%
279First Trust Large Cap Core AlphaDEX ETF33734K109490$58,1220.02%
280Power Solutions International Inc.73933G2021,000$57,1400.02%
281iShares National Muni Bond ETF464288414522$55,9110.02%
282Goldman Sachs ActiveBeta US LgCp Eq ETFNVGLF417$55,1980.02%
283CVS Health Corp ComCVS680$53,9650.02%
284iShares US Treasury Bond ETF46429B2672,264$52,1290.02%
285Vanguard Small Cap Value ETF922908611245$51,8890.02%
286Darden Restaurants IncDRI265$48,7650.01%
287Republic Svcs Inc760759100230$48,7440.01%
288Lennox Intl Inc526107107100$48,5580.01%
289Franklin Electric Co IncFELE500$47,7650.01%
290Coca Cola Bottling CoCOKE300$45,9900.01%
291Paccar Inc ComPCAR419$45,8850.01%
292Cameco CorporationCCJ500$45,7450.01%
293Relx PLC ADRRLXXF1,126$45,5130.01%
294Lilly Eli & CO ComLLY42$45,1370.01%
295Carrier Global CorporationCARR847$44,7550.01%
296EOG Resources Inc ComEOG417$43,7890.01%
297Micron Technology IncMU153$43,6680.01%
298iShares Inc MSCI CDA Index Fd464286509800$43,1440.01%
299Invesco AI & Next Gen Software ETFIVZ715$42,5210.01%
300Invesco Cleantech ETFIVZ870$41,0440.01%
301iShares Short Maturity Bond ETF46431W507794$40,5730.01%
302ishares Core MSCI Total Intl Stock ETF46432F834475$40,2040.01%
303iShares Intermediate-Term Corp Bond ETF464288638742$39,9790.01%
304Citigroup Inc Com NewC-PR340$39,6750.01%
305ServiceNow, Inc.NOW255$39,0630.01%
306MasTec IncMTZ175$38,0400.01%
307United Parcel Svc Inc Cl B ComUPS380$37,6920.01%
308Halliburton Co ComHAL1,300$36,7380.01%
309State Street SPDR Portfolio Short Term Corpor78464A4741,210$36,5420.01%
310TJ Maxx Co Inc Com872540109234$35,9450.01%
311Solid Power IncSLDPW8,350$35,4880.01%
312First Merchants Corp ComFRMEP902$33,8070.01%
313GSK PLC ADRGLAXF675$33,1020.01%
314Strive U S Energy ETF02072L7221,140$32,5240.01%
315Roblox Corp ComRBLX400$32,4120.01%
316Revolution Medicines Inc ComRVMDW400$31,8600.01%
317Alcon IncALC403$31,7600.01%
318Analog Devices Inc ComADI115$31,1880.01%
319iShares Expanded Tech Sector ETF464287549237$30,6110.01%
320iShares Barclays 7-10 year Treas Bond Fund464287440318$30,5790.01%
321Hershey Foods Corp ComHSY165$30,0270.01%
322iShares MSCI Eurozone ETF464286608458$29,3580.01%
323McKesson CorpMCK35$28,7100.01%
324OrthoPediatrics Corp.KIDS1,616$28,7000.01%
325Vanguard Int'l High Div Yield Index ETF921946794317$28,5300.01%
326IDEXX Laboratories Inc45168D10442$28,4140.01%
327STATE STREET CONSUMER STAPLES SELECT SECTOR S81369Y308362$28,1200.01%
328Waters Corp Com94184810373$27,7280.01%
329Eaton Vance Tax-Adv Global Dividend IncomeETN1,200$27,7200.01%
330Allstate CorpALL-PJ129$26,8510.01%
331iShares US Aerospace & Defense ETF464288760125$26,8360.01%
332Capital Group Growth ETF14020G101602$26,7710.01%
333Invesco Nasdaq 100 ETFIVZ100$25,2920.01%
334Pure Storage Inc Class A74624M102375$25,1290.01%
335Novo-Nordisk AS ADRNONOF491$24,9820.01%
336Capital Group Dividend Value ETF14020W106560$24,4380.01%
337iShares 1-3 Year Credit Bond ETF464288646461$24,3780.01%
338Coherent Corp ComCOHR130$23,9940.01%
339Digital Realty Trust, Inc.253868103150$23,2070.01%
340Lakeland Finl Corp Common511656100400$22,8240.01%
341QuantumScape CorpQS2,150$22,4030.01%
342Qnity Electronics IncQ274$22,3720.01%
343Circle Internet Group Inc. Class ACRCL280$22,2040.01%
344Dupont De Nemours IncDD550$22,1100.01%
345Vanguard Intermediate-Term Corp. Bond ETF92206C870260$21,7750.01%
346Marathon Petroleum Corp ComMARA130$21,1420.01%
347Berkshire Hathaway Inc Cl BBRK-A42$21,1110.01%
348Capital Group Gbl Growth Eqty ETF14020X104605$20,9630.01%
349Keycorp New Com4932671081,000$20,6400.01%
350Rockwell Automation IncROK53$20,6210.01%
351Constellation Energy CorpCEG58$20,4900.01%
352WisdomTree US Quality Div Growth ETFWT227$20,3010.01%
353Marvell Technology Group LtdMRVL238$20,2250.01%
354MP Materials CorpMP400$20,2080.01%
355Becton Dickinson & CO ComBDX104$20,1830.01%
356Pacira Pharmaceuticals IncPCRX760$19,6690.01%
357Brookfield Infrastructure LPG16252101562$19,5240.01%
358IShares S&P 500 Value ETF46428740892$19,5100.01%
359Teradyne Inc ComTER100$19,3560.01%
360WisdomTree Bitcoin ETFWT207$19,1850.01%
361Occidental Petroleum674599105465$19,1210.01%
362Fair Isaac CorpFICO11$18,5970.01%
363DWS Municipal Income Trust2333681092,028$18,4350.01%
364Darling Ingredients IncDAR500$18,0000.01%
365MFC Blackrock Enhanced Capital & Income FundBLK748$17,4810.01%
366Lowes Companies Inc Com54866110772$17,3640.01%
367Dollar Tree Stores Inc ComDLTR135$16,6060.00%
368Chesapeake Energy CorpEXE150$16,5540.00%
369Diamondback Energy IncFANG110$16,5360.00%
370Snap On Tools Corp ComSNA47$16,1960.00%
371First Trust US Equity Opportunities ETF33692010399$16,1950.00%
372State Street SPDR Portfolio Short Term Treas78468R101550$16,1040.00%
373Koninklijke Phillips Electrs NV ADRRYLPF588$15,9230.00%
374Vertex Pharmaceuticals IncVRTX35$15,8680.00%
375Nuveen Core Equity Alpha FdNU995$15,8600.00%
376Freeport-McMoran IncFCX310$15,7450.00%
377Strategy Inc Class ASTRK100$15,1950.00%
378Rogers Communications Inc Cl B ComRCIAF400$15,0920.00%
379Canary XRP ETF13723M100755$14,6850.00%
380Keysight Technologies IncKEYS72$14,6300.00%
381iShares US Financial Services ETF464287770158$14,5760.00%
382iShares S&P Smallcap 600/Value Fund464287879128$14,5560.00%
383SPDR S&P China ETF78463X400150$14,5220.00%
384Vanguard Small-Cap Growth ETF92290859548$14,5010.00%
385Thermo Fisher Scientific IncTMO25$14,4860.00%
386AllianceBernstein Gbl Hgh IncAWF1,355$14,4850.00%
387Fidelity National Financial IncFNF263$14,3570.00%
388High Income Secs Fd42968F1082,310$14,2070.00%
389iShares Lehman 1-3 Year Treasury Bond464287457170$14,0790.00%
390Conagra Inc ComCAG800$13,8480.00%
391Alibaba Group Holding Ltd ADRBBAAY93$13,6320.00%
392Paccar Inc ComPCAR124$13,5790.00%
393NuScale Power CorporationNU950$13,4620.00%
394Dollar General Corp.256677105100$13,2770.00%
395Chipotle Mexican Grill IncCMG355$13,1350.00%
396Axcelis Technologies Inc ComACLS160$12,8540.00%
397iShares Core Dividend Growth ETF46434V621185$12,8430.00%
398STATE STREET MATERIALS SELECT SECTOR SPDR ETF81369Y100276$12,5170.00%
399PNC Financial Services Group Com69347510558$12,1060.00%
400TransDigm Group IncTDG9$11,9690.00%
401iShares Russell Mid-Cap Growth Index46428748187$11,9140.00%
402Special Opportunities Fd Inc84741T104810$11,8990.00%
403Vanguard FTSE All World ex-US SmCp ETF92204271881$11,6100.00%
404Kyndryl Hldgs IncKD427$11,3410.00%
405iShares Russell Mid-Cap Value Index46428747380$11,2840.00%
406Costco Whsl Corp New Com22160K10513$11,2100.00%
407Centene CorpCNC260$10,6990.00%
408iShares S&P SmallCap 600 Growth46428788775$10,5870.00%
409Southwest Airlines CO Com844741108250$10,3330.00%
410Adam Nat Res00548F105472$10,2610.00%
411Accenture PLC Cl AACN38$10,1950.00%
412Vanguard Short-Term Corporate Bond ETF92206C409122$9,7270.00%
413RF Industries Ltd7495521051,675$9,6820.00%
414Energy Transfer LPET-PI576$9,4980.00%
415Dow IncDOW405$9,4690.00%
416Danaos CorporationDAC100$9,4180.00%
417Restaurant Brands Int'l Inc76131D103127$8,6650.00%
418Western Asset Gbl High Inc Fd95766B1091,336$8,5640.00%
419PIMCO Corporate & Income Opportunity FundPTY649$8,3720.00%
420Virtus Convertible & Inc FD92838U801581$8,0060.00%
421Cencora IncCOR23$7,7680.00%
422Xtrackers Muni Infrastructure Rev Bond ETF233051705313$7,6810.00%
423Veralto CorpVLTO74$7,3840.00%
424TELUS CorpTU560$7,3750.00%
425Waste Management Inc94106L10933$7,2500.00%
426Brown Forman CorpBF-B273$7,1140.00%
427Novartis AG Sponsored ADRNVSEF50$6,8940.00%
428Howmet Aerospace IncHWM33$6,7660.00%
429NASDAQ, Inc.NDAQ69$6,7020.00%
430Solventum CorpSOLV82$6,4980.00%
431Atlassian Corp Class ATEAM40$6,4860.00%
432Genco Shipping & Trading LtdGNK350$6,4510.00%
433BitMine Immersion Tecnologies Inc09175A206230$6,2450.00%
434Hubbell IncHUBB13$5,7730.00%
435Rekor Systems Inc ComREKR4,000$5,5200.00%
436Canadian National Railway Co13637510254$5,3380.00%
437Marsh57174810228$5,1950.00%
438American Tower Corporation03027X10027$4,7400.00%
439Wendys Co95058W100541$4,5070.00%
440National Grid PLC ADRNMPWP58$4,4860.00%
441Baxter International071813109234$4,4720.00%
442Parker Hannifin Corp ComPH5$4,3950.00%
443JBS NV Ordinary Shares - Class AJBS300$4,3260.00%
444iShares 10-20 Year Treasury Bond ETF46428865341$4,1680.00%
445Mankind Corp. Com.MNKD700$3,9690.00%
446Westlake Chemical Partners LPWLK200$3,8000.00%
447Vanguard Short-Term Bond ETF92193782748$3,7830.00%
448Service Corp International Com81756510448$3,7430.00%
449Public Service Enterprise Group Inc.74457310645$3,6140.00%
450Unilever PLC ADRUNLYF53$3,4660.00%
451Credo Technology Group Holding Ltd Com StkCRDO22$3,1660.00%
452Clorox CO ComCLX30$3,0250.00%
453Digitalbridge Group Inc Cl A NewDBRG-PJ187$2,8690.00%
454Extra Space Storage IncEXR22$2,8650.00%
455Newell Brands Inc ComNWL750$2,7900.00%
456Brookfield Infrastructure Corp Sub Vtg ABIPC61$2,7690.00%
457SLB LimitedSLB72$2,7630.00%
458American Water Works Company Inc03042010318$2,3490.00%
459Geron CorpGERN1,736$2,2920.00%
460iShares Edge MSCI USA Quality Factor ETF46432F33911$2,1850.00%
461BlackSky Technology Inc Com Stk Cl ABKSY-WT115$2,1560.00%
462NextEra Energy Partners LPNEE-PW215$2,1500.00%
463Icahn Enterprises L.PIEP257$1,9400.00%
464Avery Dennison Corp ComAVY10$1,8190.00%
465iShares US Technology ETF4642877219$1,7970.00%
466Biogen Inc ComBIIB10$1,7600.00%
467T Rowe Price Group Inc ComTROW17$1,7400.00%
468Warner Bros Discovery IncWBD59$1,7000.00%
469Creative Realities IncCREX570$1,4880.00%
470DEO PLC ADRDGEAF12$1,0350.00%
471Rivian Automotive Inc Class ARIVN50$9860.00%
472Draftkings Inc New Cl ADKNG25$8620.00%
473Viatris IncVTRS68$8470.00%
474Truist Finl Corp89832Q10916$7870.00%
475VF Corp ComVFC40$7230.00%
476GE Healthcare Technologies Inc.GEHC8$6560.00%
477BCE IncBCPPF21$5000.00%
478F&G Annuities & Life Inc.FGSN16$4870.00%
479Hecla Mining Co42270410611$2110.00%
480Orion Office Reit IncONL87$1970.00%
481Magnum Ice Cream CoMICC12$1900.00%
482iShares 20 Plus Year Treasury Bond ETF4642874322$1740.00%
483Vodafone Group PLC ADR92857W3089$1190.00%
484Kohls Corp ComKSS5$1020.00%
485Fmc CorpFMC5$690.00%
486Beyond Meat IncBYND75$620.00%
487Workhorse Group IncWKHS0$00.00%