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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 COMBINATION REPORT

Bank of New York Mellon Corp

Quarter ended Q3 2023 · Filed August 3, 2023 · Accession 0001390777-23-000068

Total Value
$476.39B
Positions
28,681
Other Managers
28
Confidential Omitted
No
View on SEC.gov

Holdings (500)

#IssuerTicker / CUSIPSharesValue% of Filing
1APPLE INCAAPL56,982,884$11.05B3.83%
2MICROSOFT CORPMSFT29,438,027$10.02B3.47%
3APPLE INCAAPL43,945,721$8.52B2.95%
4MICROSOFT CORPMSFT22,205,557$7.56B2.62%
5NVIDIA CORPNVDA9,871,113$4.18B1.45%
6AMAZON.COM INCAMZN31,465,507$4.10B1.42%
7AMAZON.COM INCAMZN26,437,584$3.45B1.19%
8ISHARES CORE S&P 500 ETF4642872007,595,672$3.39B1.17%
9NVIDIA CORPNVDA7,449,650$3.15B1.09%
10TESLA INCTSLA9,770,475$2.56B0.89%
11ALPHABET INC-CL AGOOG20,301,314$2.43B0.84%
12META PLATFORMS INC-CLASS AMETA7,782,381$2.23B0.77%
13ALPHABET INC-CL AGOOG18,333,609$2.19B0.76%
14APPLE INCAAPL11,165,690$2.17B0.75%
15TESLA INCTSLA8,018,755$2.10B0.73%
16ALPHABET INC-CL CGOOG17,105,295$2.07B0.72%
17ISHARES CORE S&P MIDCAP ETF4642875077,880,995$2.06B0.71%
18EXXON MOBIL CORPXOM19,030,056$2.04B0.71%
19JOHNSON & JOHNSONJNJ11,869,683$1.96B0.68%
20META PLATFORMS INC-CLASS AMETA6,631,255$1.90B0.66%
21UNITEDHEALTH GROUP INCUNH3,957,654$1.90B0.66%
22ALPHABET INC-CL CGOOG15,267,569$1.85B0.64%
23BROADCOM INCAVGO2,086,173$1.81B0.63%
24BERKSHIRE HATHAWAY INC-CL BBRK-A5,293,361$1.81B0.63%
25MICROSOFT CORPMSFT5,208,506$1.77B0.61%
26BERKSHIRE HATHAWAY INC-CL BBRK-A5,143,137$1.75B0.61%
27TAIWAN SEMICONDUCTOR-SP ADR87403910017,064,703$1.72B0.60%
28MICROSOFT CORPMSFT4,621,421$1.57B0.55%
29ELI LILLY & COLLY3,278,401$1.54B0.53%
30JPMORGAN CHASE & COVYLD10,010,110$1.46B0.50%
31PROCTER & GAMBLE CO/THE7427181099,552,382$1.45B0.50%
32ISHARES CORE S&P SMALL-CAP E46428780414,304,140$1.43B0.49%
33VISA INC-CLASS A SHARESV5,939,045$1.41B0.49%
34MERCK & CO. INC.MRK12,188,176$1.41B0.49%
35HOME DEPOT INCHD4,425,897$1.37B0.48%
36CHEVRON CORPCVX8,579,032$1.35B0.47%
37UNITEDHEALTH GROUP INCUNH2,729,121$1.31B0.45%
38EXXON MOBIL CORPXOM11,713,034$1.26B0.44%
39JOHNSON & JOHNSONJNJ7,495,413$1.24B0.43%
40JPMORGAN CHASE & COVYLD8,498,935$1.24B0.43%
41SPDR S&P 500 ETF TRUSTSPY2,693,059$1.19B0.41%
42CANADIAN NATL RAILWAY CO1363751029,660,980$1.17B0.41%
43PEPSICO INCPEP6,313,682$1.17B0.41%
44MASTERCARD INC - AMA2,965,809$1.17B0.40%
45CISCO SYSTEMS INCCSCO22,474,663$1.16B0.40%
46ELI LILLY & COLLY2,461,256$1.15B0.40%
47VISA INC-CLASS A SHARESV4,791,605$1.14B0.39%
48MASTERCARD INC - AMA2,885,140$1.13B0.39%
49ISHARES CORE MSCI EAFE ETF46432F84216,448,238$1.11B0.38%
50ADOBE INCADBE2,244,754$1.10B0.38%
51AMPHENOL CORP-CL A03209510112,791,697$1.09B0.38%
52INTUITIVE SURGICAL INCISRG3,150,999$1.08B0.37%
53LINDE PLCLIN2,823,596$1.08B0.37%
54PROCTER & GAMBLE CO/THE7427181097,007,920$1.06B0.37%
55BROADCOM INCAVGO1,220,340$1.06B0.37%
56COCA-COLA CO/THEKO17,409,084$1.05B0.36%
57ISHARES NATIONAL MUNI BOND E4642884149,637,602$1.03B0.36%
58ALPHABET INC-CL CGOOG8,324,770$1.01B0.35%
59WALMART INCWMT6,319,806$993.3M0.34%
60MCDONALD'S CORPMCD3,321,049$991.0M0.34%
61ABBVIE INCABBV7,332,621$987.9M0.34%
62TJX COMPANIES INC87254010911,484,125$973.7M0.34%
63MASTERCARD INC - AMA2,475,245$973.5M0.34%
64AUTOMATIC DATA PROCESSINGADP4,401,702$967.5M0.34%
65MICROSOFT CORPMSFT2,773,715$944.6M0.33%
66FASTENAL COFAST15,976,878$942.5M0.33%
67HOME DEPOT INCHD3,012,070$935.7M0.32%
68WEST PHARMACEUTICAL SERVICES9553061052,444,321$934.9M0.32%
69EDWARDS LIFESCIENCES CORPEW9,834,567$927.7M0.32%
70ADOBE INCADBE1,862,871$910.9M0.32%
71ISHARES SHORT-TERM NATIONAL4642881588,666,702$901.7M0.31%
72VANGUARD S&P 500 ETF9229083632,207,602$899.1M0.31%
73COSTCO WHOLESALE CORP22160K1051,667,668$897.8M0.31%
74OLD DOMINION FREIGHT LINEODFL2,415,093$893.0M0.31%
75CITIGROUP INCC-PR19,166,792$882.4M0.31%
76PFIZER INCPFE24,004,516$880.5M0.31%
77STRYKER CORPSYK2,857,692$871.9M0.30%
78MERCK & CO. INC.MRK7,517,160$867.4M0.30%
79ORACLE CORPORCL-PD7,233,869$861.5M0.30%
80BOOKING HOLDINGS INCBKNG314,688$849.8M0.29%
81FORTINET INCFTNT10,963,638$828.7M0.29%
82TEXAS INSTRUMENTS INC8825081044,585,243$825.4M0.29%
83COSTCO WHOLESALE CORP22160K1051,516,323$816.4M0.28%
84AMAZON.COM INCAMZN6,235,676$812.9M0.28%
85CHEVRON CORPCVX5,134,667$807.9M0.28%
86TEXAS INSTRUMENTS INC8825081044,447,513$800.6M0.28%
87SALESFORCE INCCRM3,765,551$795.5M0.28%
88NIKE INC -CL BNKE7,088,176$782.3M0.27%
89PEPSICO INCPEP4,217,115$781.1M0.27%
90CISCO SYSTEMS INCCSCO14,899,290$770.9M0.27%
91THERMO FISHER SCIENTIFIC INCTMO1,465,722$764.7M0.26%
92PHILIP MORRIS INTERNATIONAL7181721097,283,047$711.0M0.25%
93WELLS FARGO & CO94974610116,617,603$709.2M0.25%
94ALPHABET INC-CL AGOOG5,917,727$708.4M0.25%
95COSTCO WHOLESALE CORP22160K1051,305,398$702.8M0.24%
96ABBOTT LABORATORIESABLZF6,420,742$700.0M0.24%
97ABBVIE INCABBV5,180,838$698.0M0.24%
98ADVANCED MICRO DEVICESAMD6,085,917$693.2M0.24%
99AMGEN INCAMGN3,115,876$691.8M0.24%
100COCA-COLA CO/THEKO11,473,133$690.9M0.24%
101PAYCHEX INCPAYX6,122,109$684.9M0.24%
102BANK OF AMERICA CORP06050510423,658,372$678.8M0.24%
103COMCAST CORP-CLASS ACCZ16,325,216$678.3M0.23%
104NVIDIA CORPNVDA1,603,345$678.2M0.23%
105COGNIZANT TECH SOLUTIONS-ACTSH10,349,785$675.6M0.23%
106NETFLIX INCNFLX1,526,658$672.5M0.23%
107ADOBE INCADBE1,357,740$663.9M0.23%
108ACCENTURE PLC-CL AACN2,132,029$657.9M0.23%
109WATERS CORP9418481032,427,103$646.9M0.22%
110MCDONALD'S CORPMCD2,163,637$645.7M0.22%
111WALMART INCWMT4,089,803$642.8M0.22%
112VANGUARD FTSE DEVELOPED ETF92194385813,876,346$640.8M0.22%
113QUALCOMM INCQCOM5,322,520$633.6M0.22%
114CISCO SYSTEMS INCCSCO11,889,493$615.2M0.21%
115HONEYWELL INTERNATIONAL INC4385161062,961,854$614.6M0.21%
116NVIDIA CORPNVDA1,439,000$608.7M0.21%
117SALESFORCE INCCRM2,848,404$601.8M0.21%
118PFIZER INCPFE16,293,890$597.7M0.21%
119THERMO FISHER SCIENTIFIC INCTMO1,127,199$588.1M0.20%
120DANAHER CORP2358511022,442,646$586.2M0.20%
121LINDE PLCLIN1,527,985$582.3M0.20%
122JPMORGAN CHASE & COVYLD4,001,575$582.0M0.20%
123BANK OF AMERICA CORP06050510420,086,366$576.3M0.20%
124NETFLIX INCNFLX1,307,371$575.9M0.20%
125ACCENTURE PLC-CL AACN1,855,577$572.6M0.20%
126EXXON MOBIL CORPXOM5,298,887$568.3M0.20%
127UNITED PARCEL SERVICE-CL BUPS3,158,090$566.1M0.20%
128LINDE PLCLIN1,477,254$563.0M0.20%
129ADVANCED MICRO DEVICESAMD4,904,932$558.7M0.19%
130ORACLE CORPORCL-PD4,626,766$551.0M0.19%
131INTUIT INCINTU1,200,271$550.0M0.19%
132ABBOTT LABORATORIESABLZF5,034,039$548.8M0.19%
133MORGAN STANLEYMS-PQ6,412,578$547.6M0.19%
134LOWE'S COS INC5486611072,415,543$545.2M0.19%
135CONOCOPHILLIPSCOP5,254,659$544.4M0.19%
136NIKE INC -CL BNKE4,915,099$542.5M0.19%
137CATERPILLAR INCCAT2,194,153$539.9M0.19%
138INTL BUSINESS MACHINES CORPINTR4,030,725$539.4M0.19%
139ISHARES RUSSELL MID-CAP ETF4642874997,285,950$532.1M0.18%
140INTEL CORPINTC15,905,675$531.9M0.18%
141BRISTOL-MYERS SQUIBB COCELG-RI8,291,486$530.2M0.18%
142WALT DISNEY CO/THE2546871065,933,150$529.7M0.18%
143NEXTERA ENERGY INCNEE-PW7,119,493$528.3M0.18%
144APPLIED MATERIALS INC0382221053,634,601$525.3M0.18%
145EXXON MOBIL CORPXOM4,874,040$522.7M0.18%
146GOLDMAN SACHS GROUP INCGSCE1,607,343$518.4M0.18%
147VERIZON COMMUNICATIONS INCVZ13,717,345$510.1M0.18%
148APPLE INCAAPL2,593,858$503.1M0.17%
149COMCAST CORP-CLASS ACCZ12,030,722$499.9M0.17%
150STARBUCKS CORPSBUX5,031,906$498.5M0.17%
151UNION PACIFIC CORPUNP2,433,811$498.0M0.17%
152ISHARES MSCI EAFE ETF4642874656,800,031$493.0M0.17%
153GILEAD SCIENCES INCGILD6,378,221$491.6M0.17%
154VERIZON COMMUNICATIONS INCVZ13,204,399$491.1M0.17%
155TEXAS INSTRUMENTS INC8825081042,661,341$479.1M0.17%
156WALT DISNEY CO/THE2546871065,287,672$472.1M0.16%
157INTUITIVE SURGICAL INCISRG1,374,959$470.2M0.16%
158WELLS FARGO & CO94974610110,878,052$464.3M0.16%
159DANAHER CORP2358511021,913,350$459.2M0.16%
160S&P GLOBAL INCSPGI1,143,100$458.3M0.16%
161AT&T INCT-PC28,661,283$457.1M0.16%
162WALT DISNEY CO/THE2546871064,959,155$442.8M0.15%
163MICROSOFT CORPMSFT1,290,960$439.6M0.15%
164RAYTHEON TECHNOLOGIES CORPRTX4,479,494$438.8M0.15%
165PHILIP MORRIS INTERNATIONAL7181721094,493,436$438.6M0.15%
166O'REILLY AUTOMOTIVE INC67103H107455,545$435.2M0.15%
167MEDTRONIC PLCMDT4,938,863$435.1M0.15%
168RAYTHEON TECHNOLOGIES CORPRTX4,423,482$433.3M0.15%
169AMERICAN EXPRESS COAXP2,483,761$432.7M0.15%
170LAM RESEARCH CORPLRCX666,326$428.4M0.15%
171MEDTRONIC PLCMDT4,823,240$424.9M0.15%
172APPLE INCAAPL2,187,731$424.4M0.15%
173HONEYWELL INTERNATIONAL INC4385161062,044,216$424.2M0.15%
174NEXTERA ENERGY INCNEE-PW5,711,022$423.8M0.15%
175ELEVANCE HEALTH INCELV940,896$418.0M0.14%
176QUALCOMM INCQCOM3,494,522$416.0M0.14%
177ALTRIA GROUP INCMO9,144,582$414.2M0.14%
178APPLE INCAAPL2,133,833$413.9M0.14%
179SERVICENOW INCNOW735,772$413.5M0.14%
180STRYKER CORPSYK1,352,185$412.5M0.14%
181ISHARES CORE S&P 500 ETF464287200924,581$412.1M0.14%
182INTEL CORPINTC12,269,570$410.3M0.14%
183MICROSOFT CORPMSFT1,194,623$406.8M0.14%
184LOWE'S COS INC5486611071,797,609$405.7M0.14%
185ALPHABET INC-CL AGOOG3,362,592$402.5M0.14%
186PROLOGIS INCPLDGP3,270,500$401.1M0.14%
187ANALOG DEVICES INCADI2,046,649$398.7M0.14%
188ELI LILLY & COLLY847,202$397.3M0.14%
189AUTOMATIC DATA PROCESSINGADP1,792,521$394.0M0.14%
190LOCKHEED MARTIN CORPLMT855,349$393.8M0.14%
191NIKE INC -CL BNKE3,562,078$393.1M0.14%
192COGNEX CORPCGNX7,015,556$393.0M0.14%
193ALPHABET INC-CL CGOOG3,244,621$392.5M0.14%
194BRISTOL-MYERS SQUIBB COCELG-RI6,092,337$389.6M0.13%
195GENERAL ELECTRIC CO3696043013,512,528$385.9M0.13%
196ISHARES SELECT DIVIDEND ETF4642871683,404,499$385.7M0.13%
197PROLOGIS INCPLDGP3,141,661$385.3M0.13%
198MERCK & CO. INC.MRK3,314,417$382.5M0.13%
199S&P GLOBAL INCSPGI948,960$380.4M0.13%
200CME GROUP INCCME2,050,659$380.0M0.13%
201BOEING CO/THEBA-PA1,798,320$379.7M0.13%
202UNITED PARCEL SERVICE-CL BUPS2,112,045$378.6M0.13%
203ISHARES RUSSELL 2000 ETF4642876552,011,516$376.7M0.13%
204CATERPILLAR INCCAT1,524,396$375.1M0.13%
205VANGUARD TOTAL STOCK MKT ETF9229087691,700,652$374.6M0.13%
206TJX COMPANIES INC8725401094,407,445$373.7M0.13%
207DEERE & CODE921,729$373.5M0.13%
208INTUIT INCINTU814,199$373.1M0.13%
209BOOKING HOLDINGS INCBKNG137,118$370.3M0.13%
210UNION PACIFIC CORPUNP1,809,441$370.2M0.13%
211MONDELEZ INTERNATIONAL INC-A6092071055,017,291$366.0M0.13%
212NVIDIA CORPNVDA864,694$365.8M0.13%
213APPLIED MATERIALS INC0382221052,524,143$364.8M0.13%
214CONOCOPHILLIPSCOP3,518,854$364.6M0.13%
215AMAZON.COM INCAMZN2,785,596$363.1M0.13%
216PROCTER & GAMBLE CO/THE7427181092,383,088$361.6M0.13%
217VERTEX PHARMACEUTICALS INCVRTX1,019,498$358.8M0.12%
218EXELON CORPEXC8,772,172$357.4M0.12%
219BERKSHIRE HATHAWAY INC-CL BBRK-A1,045,330$356.5M0.12%
220BLACKROCK INCBLK513,421$354.8M0.12%
221CVS HEALTH CORPCVS5,118,513$353.8M0.12%
222INTUITIVE SURGICAL INCISRG1,031,464$352.7M0.12%
223AMGEN INCAMGN1,587,234$352.4M0.12%
224INTL BUSINESS MACHINES CORPINTR2,612,939$349.6M0.12%
225MARSH & MCLENNAN COS5717481021,851,687$348.3M0.12%
226UNITEDHEALTH GROUP INCUNH724,288$348.1M0.12%
227APPLE INCAAPL1,781,189$345.5M0.12%
228VANGUARD GROWTH ETF9229087361,215,625$344.0M0.12%
229GENERAL ELECTRIC CO3696043013,130,216$343.9M0.12%
230THE CIGNA GROUP1255231001,214,137$340.7M0.12%
231MEDTRONIC PLCMDT3,831,674$337.6M0.12%
232JOHNSON & JOHNSONJNJ2,035,902$337.0M0.12%
233SERVICENOW INCNOW598,288$336.2M0.12%
234STARBUCKS CORPSBUX3,365,595$333.4M0.12%
235ABBVIE INCABBV2,468,662$332.6M0.12%
236VANGUARD FTSE DEVELOPED ETF9219438587,135,372$329.5M0.11%
237AT&T INCT-PC20,542,610$327.7M0.11%
238BOEING CO/THEBA-PA1,547,643$326.8M0.11%
239DEERE & CODE804,925$326.1M0.11%
240ACCENTURE PLC-CL AACN1,054,481$325.4M0.11%
2413M COMMM3,250,405$325.3M0.11%
242LOCKHEED MARTIN CORPLMT704,930$324.5M0.11%
243T-MOBILE US INCTMUSZ2,321,290$322.4M0.11%
244EATON CORP PLCETN1,592,036$320.2M0.11%
245MICROSOFT CORPMSFT936,413$318.9M0.11%
246MORGAN STANLEYMS-PQ3,704,774$316.4M0.11%
247ISHARES 1-3 YEAR TREASURY BO4642874573,893,897$315.7M0.11%
248APPLIED MATERIALS INC0382221052,184,031$315.7M0.11%
249MASTERCARD INC - AMA800,594$314.9M0.11%
250HOME DEPOT INCHD1,010,840$314.0M0.11%
251COSTCO WHOLESALE CORP22160K105582,581$313.6M0.11%
252SCHWAB (CHARLES) CORPSCHW-PJ5,532,235$313.6M0.11%
253ELI LILLY & COLLY665,286$312.0M0.11%
254ELEVANCE HEALTH INCELV700,962$311.4M0.11%
255GOLDMAN SACHS GROUP INCGSCE965,197$311.3M0.11%
256REGENERON PHARMACEUTICALSREGN432,981$311.1M0.11%
257META PLATFORMS INC-CLASS AMETA1,081,476$310.4M0.11%
258AMERICAN EXPRESS COAXP1,773,574$309.0M0.11%
259KLA CORPKLAC635,421$308.2M0.11%
260SOUTHERN CO/THESOMN4,386,704$308.2M0.11%
261ISHARES MSCI EAFE SMALL-CAP4642882735,154,511$304.0M0.11%
262STRYKER CORPSYK994,696$303.5M0.11%
263ZOETIS INCZTS1,754,754$302.2M0.10%
264NVIDIA CORPNVDA709,733$300.2M0.10%
265PALO ALTO NETWORKS INCPANW1,168,775$298.6M0.10%
266BLACKROCK INCBLK431,913$298.5M0.10%
267INVESCO S&P 500 EQUAL WEIGHTIVZ1,988,022$297.5M0.10%
268BOOKING HOLDINGS INCBKNG109,779$296.4M0.10%
269ILLINOIS TOOL WORKS4523081091,163,599$291.1M0.10%
270EOG RESOURCES INCEOG2,529,693$289.5M0.10%
271BROADCOM INCAVGO333,583$289.4M0.10%
272MONDELEZ INTERNATIONAL INC-A6092071053,961,128$288.9M0.10%
273TJX COMPANIES INC8725401093,405,434$288.7M0.10%
274SCHLUMBERGER LTDSLB5,869,302$288.3M0.10%
275AMERICAN TOWER CORP03027X1001,482,596$287.5M0.10%
276FERRARI NVRACE882,505$287.0M0.10%
277ORACLE CORPORCL-PD2,408,283$286.8M0.10%
278JPMORGAN CHASE & COVYLD1,967,427$286.1M0.10%
279COCA-COLA CO/THEKO4,743,168$285.6M0.10%
280MICRON TECHNOLOGY INCMU4,519,796$285.2M0.10%
281ANALOG DEVICES INCADI1,459,342$284.3M0.10%
282TAIWAN SEMICONDUCTOR-SP ADR8740391002,816,613$284.3M0.10%
283HONEYWELL INTERNATIONAL INC4385161061,368,845$284.0M0.10%
284MASTERCARD INC - AMA719,524$283.0M0.10%
285VANGUARD TOTAL BOND MARKET9219378353,874,292$281.6M0.10%
286TRANE TECHNOLOGIES PLCTT1,471,395$281.4M0.10%
287ISHARES CORE S&P 500 ETF464287200631,165$281.3M0.10%
288GILEAD SCIENCES INCGILD3,610,866$278.3M0.10%
289US BANCORPUSB-PS8,368,498$276.5M0.10%
290DANAHER CORP2358511021,150,030$276.0M0.10%
291MICROSOFT CORPMSFT808,271$275.2M0.10%
292ILLUMINA INCILMN1,467,510$275.1M0.10%
293CSX CORPCSX8,060,925$274.9M0.10%
294ISHARES CORE MSCI EMERGING46434G1035,570,732$274.6M0.10%
295MARSH & MCLENNAN COS5717481021,453,457$273.4M0.09%
296VANGUARD S&P 500 ETF922908363668,132$272.1M0.09%
297SYNOPSYS INCSNPS624,867$272.1M0.09%
298BECTON DICKINSON AND COBDX1,028,614$271.6M0.09%
299BOSTON SCIENTIFIC CORPBSX5,020,036$271.5M0.09%
300PAYPAL HOLDINGS INCPYPL4,068,901$271.5M0.09%
301VANGUARD VALUE ETF9229087441,906,675$270.9M0.09%
302VANGUARD VALUE ETF9229087441,903,957$270.6M0.09%
303AUTOMATIC DATA PROCESSINGADP1,222,966$268.8M0.09%
304ZOETIS INCZTS1,554,680$267.7M0.09%
305AMERICAN TOWER CORP03027X1001,372,437$266.2M0.09%
306EQT CORPEQT6,457,752$265.6M0.09%
307VERTEX PHARMACEUTICALS INCVRTX754,558$265.5M0.09%
308COLGATE-PALMOLIVE COCL3,436,663$264.8M0.09%
309FISERV INCFISV2,082,980$262.8M0.09%
310DUKE ENERGY CORPDUKB2,926,419$262.6M0.09%
311GOLDMAN SACHS GROUP INCGSCE813,734$262.5M0.09%
312PROGRESSIVE CORP7433151031,980,667$262.2M0.09%
313TARGET CORPTGT1,986,695$262.0M0.09%
314ISHARES RUSSELL 1000 GROWTH464287614950,625$261.6M0.09%
315EQUINIX INCEQIX333,006$261.1M0.09%
316CITIGROUP INCC-PR5,627,528$259.1M0.09%
317AMAZON.COM INCAMZN1,970,415$256.9M0.09%
318CVS HEALTH CORPCVS3,708,119$256.3M0.09%
319HCA HEALTHCARE INCHCA842,442$255.7M0.09%
320AIR PRODUCTS & CHEMICALS INCAIIR853,356$255.6M0.09%
321LAM RESEARCH CORPLRCX395,916$254.5M0.09%
322PEPSICO INCPEP1,357,063$251.4M0.09%
323ALPHABET INC-CL CGOOG2,076,123$251.1M0.09%
324ISHARES CORE U.S. AGGREGATE4642872262,547,246$249.5M0.09%
325VANGUARD FTSE EMERGING MARKE9220428586,126,917$249.2M0.09%
326MCDONALD'S CORPMCD833,483$248.7M0.09%
327CADENCE DESIGN SYS INCCDNS1,056,568$247.8M0.09%
328EQUINIX INCEQIX315,954$247.7M0.09%
329WASTE MANAGEMENT INC94106L1091,422,066$246.6M0.09%
330PIONEER NATURAL RESOURCES CO7237871071,185,582$245.6M0.09%
331CHUBB LTDCB1,269,995$244.6M0.08%
332SCHWAB (CHARLES) CORPSCHW-PJ4,294,621$243.4M0.08%
333VANGUARD DIVIDEND APPREC ETF9219088441,494,755$242.8M0.08%
334VANGUARD MORTGAGE-BACKED SEC92206C7715,257,683$241.8M0.08%
335VANGUARD FTSE ALL-WORLD EX-U9220427754,428,931$241.0M0.08%
336ACTIVISION BLIZZARD INC00507V1092,858,205$240.9M0.08%
337MCKESSON CORPMCK561,030$239.7M0.08%
338THE CIGNA GROUP125523100853,501$239.5M0.08%
339MARATHON PETROLEUM CORPMARA2,037,929$237.6M0.08%
340ABBOTT LABORATORIESABLZF2,178,611$237.5M0.08%
341FORD MOTOR CO34537086015,455,090$233.8M0.08%
342ALTRIA GROUP INCMO5,154,373$233.5M0.08%
343EATON CORP PLCETN1,159,290$233.1M0.08%
344FEDEX CORPFDX938,162$232.6M0.08%
345INTERCONTINENTAL EXCHANGE IN45866F1042,053,050$232.2M0.08%
346EATON CORP PLCETN1,154,010$232.1M0.08%
347DEERE & CODE568,242$230.2M0.08%
348CHUBB LTDCB1,191,918$229.5M0.08%
349VANGUARD SMALL-CAP ETF9229087511,149,030$228.5M0.08%
350PROGRESSIVE CORP7433151031,721,800$227.9M0.08%
351T-MOBILE US INCTMUSZ1,631,102$226.6M0.08%
352EXXON MOBIL CORPXOM2,106,813$226.0M0.08%
353EMERSON ELECTRIC COEMR2,498,832$225.9M0.08%
354SPDR S&P 500 ETF TRUSTSPY509,201$225.7M0.08%
355FISERV INCFISV1,788,846$225.7M0.08%
356PALO ALTO NETWORKS INCPANW880,155$224.9M0.08%
357BOSTON SCIENTIFIC CORPBSX4,155,296$224.8M0.08%
358O'REILLY AUTOMOTIVE INC67103H107234,216$223.7M0.08%
359AON PLC-CLASS AAON645,570$222.9M0.08%
360VANGUARD TOTAL BOND MARKET9219378353,052,735$221.9M0.08%
361KLA CORPKLAC456,547$221.4M0.08%
362REGENERON PHARMACEUTICALSREGN307,886$221.2M0.08%
363CME GROUP INCCME1,190,027$220.5M0.08%
364PAYPAL HOLDINGS INCPYPL3,296,820$220.0M0.08%
365SOUTHERN CO/THESOMN3,127,584$219.7M0.08%
366APPLE INCAAPL1,131,444$219.5M0.08%
367COOPER COS INC/THE216648402567,920$217.8M0.08%
368ISHARES CORE TOTAL BOND ETF46434V6134,785,746$217.6M0.08%
369FORTINET INCFTNT2,873,161$217.2M0.08%
370KIMBERLY-CLARK CORPKMB1,572,513$217.1M0.08%
371VANGUARD S&P 500 ETF922908363532,731$217.0M0.08%
372VISA INC-CLASS A SHARESV912,382$216.7M0.08%
373SHERWIN-WILLIAMS CO/THESHW814,525$216.3M0.07%
374LINDE PLCLIN566,545$215.9M0.07%
375BECTON DICKINSON AND COBDX816,113$215.5M0.07%
376VANGUARD FTSE EMERGING MARKE9220428585,296,342$215.5M0.07%
377APPLE INCAAPL1,104,914$214.3M0.07%
378RAYTHEON TECHNOLOGIES CORPRTX2,185,001$214.0M0.07%
379HUBBELL INCHUBB643,404$213.3M0.07%
380ILLINOIS TOOL WORKS452308109852,442$213.2M0.07%
381JPMORGAN CHASE & COVYLD1,465,433$213.1M0.07%
382HUMANA INCHUM472,956$211.5M0.07%
383TAIWAN SEMICONDUCTOR-SP ADR8740391002,086,371$210.6M0.07%
384PUBLIC STORAGEPSA-PS721,320$210.5M0.07%
385PHILLIPS 66PSX2,203,027$210.1M0.07%
386CISCO SYSTEMS INCCSCO4,048,324$209.5M0.07%
387MASTERCARD INC - AMA531,762$209.1M0.07%
388LINDE PLCLIN547,909$208.8M0.07%
389VALERO ENERGY CORPVLO1,778,588$208.6M0.07%
390TRAVELERS COS INC/THETRV1,197,657$208.0M0.07%
391NEXTERA ENERGY INCNEE-PW2,802,958$208.0M0.07%
392MOTOROLA SOLUTIONS INCMSI706,663$207.3M0.07%
393AON PLC-CLASS AAON598,947$206.8M0.07%
394ISHARES MSCI EMR MRK EX CHNA46434G7643,977,092$206.7M0.07%
395CSX CORPCSX6,014,851$205.1M0.07%
396EDWARDS LIFESCIENCES CORPEW2,161,551$203.9M0.07%
397TAIWAN SEMICONDUCTOR-SP ADR8740391002,010,500$202.9M0.07%
398MICROCHIP TECHNOLOGY INCMCHPP2,263,028$202.7M0.07%
399VANGUARD MID-CAP ETF922908629919,360$202.4M0.07%
400SCHLUMBERGER LTDSLB4,116,165$202.2M0.07%
401ACCENTURE PLC-CL AACN653,697$201.7M0.07%
402CHEVRON CORPCVX1,281,309$201.6M0.07%
403BIOGEN INCBIIB705,206$200.9M0.07%
404NORTHROP GRUMMAN CORPNOC440,562$200.8M0.07%
405MARRIOTT INTERNATIONAL -CL A5719032021,089,071$200.1M0.07%
406MEDTRONIC PLCMDT2,259,376$199.1M0.07%
407ECOLAB INCECL1,066,023$199.0M0.07%
408MICRON TECHNOLOGY INCMU3,150,413$198.8M0.07%
409DUKE ENERGY CORPDUKB2,215,306$198.8M0.07%
410BERKSHIRE HATHAWAY INC-CL BBRK-A581,881$198.4M0.07%
411NIKE INC -CL BNKE1,797,266$198.4M0.07%
412GENERAL MILLS INC3703341042,576,852$197.6M0.07%
413ROPER TECHNOLOGIES INCROP410,258$197.3M0.07%
414WASTE MANAGEMENT INC94106L1091,136,513$197.1M0.07%
415CANADIAN NATL RAILWAY CO1363751021,627,540$197.0M0.07%
416MOODY'S CORPMCO566,156$196.9M0.07%
417ALPHABET INC-CL CGOOG1,620,680$196.1M0.07%
418THERMO FISHER SCIENTIFIC INCTMO375,375$195.9M0.07%
419CHIPOTLE MEXICAN GRILL INCCMG90,986$194.6M0.07%
420SYNOPSYS INCSNPS446,273$194.3M0.07%
421MICROSOFT CORPMSFT568,147$193.5M0.07%
422EOG RESOURCES INCEOG1,690,423$193.5M0.07%
423ALBEMARLE CORPALB-PA865,575$193.1M0.07%
424NORFOLK SOUTHERN CORP655844108848,908$192.5M0.07%
425FREEPORT-MCMORAN INCFCX4,789,486$191.6M0.07%
426AIR PRODUCTS & CHEMICALS INCAIIR639,455$191.5M0.07%
427CME GROUP INCCME1,033,615$191.5M0.07%
428DEXCOM INCDXCM1,482,354$190.5M0.07%
429VANGUARD MID-CAP ETF922908629864,912$190.4M0.07%
430ISHARES MSCI EMERGING MARKET4642872344,813,013$190.4M0.07%
431AMPHENOL CORP-CL A0320951012,235,679$189.9M0.07%
432UBER TECHNOLOGIES INCUBER4,395,300$189.7M0.07%
433VANGUARD TOTAL INTL BOND ETF92203J4073,881,288$189.7M0.07%
434ADOBE INCADBE387,841$189.7M0.07%
435AMERICAN ELECTRIC POWER0255371012,250,832$189.5M0.07%
436NVIDIA CORPNVDA447,200$189.2M0.07%
437MICROSOFT CORPMSFT555,215$189.1M0.07%
438GENERAL MOTORS CO37045V1004,881,652$188.2M0.07%
439CADENCE DESIGN SYS INCCDNS800,578$187.8M0.07%
440INTUITIVE SURGICAL INCISRG543,456$185.8M0.06%
441BECTON DICKINSON AND COBDX700,485$184.9M0.06%
442AMPHENOL CORP-CL A0320951012,175,004$184.8M0.06%
443APPLIED MATERIALS INC0382221051,276,467$184.5M0.06%
444COLGATE-PALMOLIVE COCL2,392,632$184.3M0.06%
445SHERWIN-WILLIAMS CO/THESHW692,890$184.0M0.06%
446WILLIAMS COS INC9694571005,609,747$183.0M0.06%
447HESS CORPHESM1,345,764$183.0M0.06%
448FREEPORT-MCMORAN INCFCX4,555,713$182.2M0.06%
449TESLA INCTSLA695,617$182.1M0.06%
450HCA HEALTHCARE INCHCA600,004$182.1M0.06%
451OCCIDENTAL PETROLEUM CORP6745991053,086,657$181.5M0.06%
452ADOBE INCADBE370,431$181.1M0.06%
453INTERCONTINENTAL EXCHANGE IN45866F1041,601,425$181.1M0.06%
454O'REILLY AUTOMOTIVE INC67103H107189,552$181.1M0.06%
455TARGET CORPTGT1,368,402$180.5M0.06%
456APPLE INCAAPL930,397$180.5M0.06%
457PEPSICO INCPEP973,880$180.4M0.06%
458PNC FINANCIAL SERVICES GROUP6934751051,429,924$180.1M0.06%
459ACTIVISION BLIZZARD INC00507V1092,130,820$179.6M0.06%
460SALESFORCE INCCRM846,157$178.8M0.06%
461VANGUARD SHORT-TERM BOND ETF9219378272,361,045$178.4M0.06%
462MCKESSON CORPMCK410,415$175.4M0.06%
463TEXAS INSTRUMENTS INC882508104973,589$175.3M0.06%
464PARKER HANNIFIN CORPPH449,104$175.2M0.06%
465HESS CORPHESM1,286,946$175.0M0.06%
466GENERAL MOTORS CO37045V1004,516,799$174.2M0.06%
467AMERICAN INTERNATIONAL GROUP0268747843,024,246$174.0M0.06%
468APPLE INCAAPL883,371$171.3M0.06%
469CHIPOTLE MEXICAN GRILL INCCMG79,957$171.0M0.06%
470CROWN CASTLE INCCCI1,500,038$170.9M0.06%
471VANGUARD S/T CORP BOND ETF92206C4092,257,971$170.8M0.06%
472EXELON CORPEXC4,188,047$170.6M0.06%
473CINTAS CORPCTAS343,154$170.6M0.06%
474BANK OF NEW YORK MELLON CORP0640581003,825,909$170.3M0.06%
475PFIZER INCPFE4,641,049$170.2M0.06%
476FORD MOTOR CO34537086011,246,951$170.2M0.06%
477ESTEE LAUDER COMPANIES-CL A518439104865,458$170.0M0.06%
478AUTODESK INCADSK828,803$169.6M0.06%
479VANGUARD SMALL-CAP ETF922908751847,003$168.5M0.06%
480DOMINION ENERGY INCD3,252,506$168.4M0.06%
481EDWARDS LIFESCIENCES CORPEW1,784,824$168.4M0.06%
482GENERAL DYNAMICS CORPGD781,716$168.2M0.06%
483SANOFI-ADRSNYNF3,119,282$168.1M0.06%
484EQT CORPEQT4,077,450$167.7M0.06%
485CISCO SYSTEMS INCCSCO3,239,724$167.6M0.06%
486NXP SEMICONDUCTORS NVNXPI818,375$167.5M0.06%
487ISHARES CORE S&P 500 ETF464287200373,096$166.3M0.06%
488FEDEX CORPFDX670,519$166.2M0.06%
489FREEPORT-MCMORAN INCFCX4,137,214$165.5M0.06%
490CONSTELLATION ENERGYCEG1,806,849$165.4M0.06%
491JPMORGAN CHASE & COVYLD1,136,760$165.3M0.06%
492WORKDAY INC-CLASS AWDAY730,413$165.0M0.06%
493SCHLUMBERGER LTDSLB3,345,408$164.3M0.06%
494AUTOZONE INCAZO65,842$164.2M0.06%
495NORTHROP GRUMMAN CORPNOC359,452$163.8M0.06%
496HUMANA INCHUM366,395$163.8M0.06%
497PUBLIC STORAGEPSA-PS561,125$163.8M0.06%
498MOODY'S CORPMCO468,667$163.0M0.06%
499IDEXX LABORATORIES INC45168D104324,419$162.9M0.06%
500SEMPRA ENERGYSREA1,118,523$162.8M0.06%