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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 2024 · Filed November 12, 2024 · Accession 0001390777-24-000137

Total Value
$537.72B
Positions
28,785
Other Managers
19
Confidential Omitted
No
View on SEC.gov

Holdings (500)

#IssuerTicker / CUSIPSharesValue% of Filing
1APPLE INCAAPL49,435,180$11.52B3.46%
2MICROSOFT CORPMSFT25,662,597$11.04B3.32%
3NVIDIA CORPNVDA79,388,082$9.64B2.90%
4APPLE INCAAPL35,522,736$8.28B2.49%
5MICROSOFT CORPMSFT17,692,457$7.61B2.29%
6NVIDIA CORPNVDA57,346,815$6.96B2.09%
7ISHARES CORE S&P 500 ETF46428720010,737,587$6.19B1.86%
8AMAZON.COM INCAMZN27,346,432$5.10B1.53%
9AMAZON.COM INCAMZN22,123,627$4.12B1.24%
10META PLATFORMS INC-CLASS AMETA7,115,614$4.07B1.22%
11BROADCOM INCAVGO20,042,857$3.46B1.04%
12ALPHABET INC-CL AGOOG18,927,565$3.14B0.94%
13META PLATFORMS INC-CLASS AMETA5,214,309$2.98B0.90%
14ISHARES CORE S&P MIDCAP ETF46428750742,637,946$2.66B0.80%
15APPLE INCAAPL11,293,703$2.63B0.79%
16ALPHABET INC-CL CGOOG15,222,251$2.55B0.76%
17ELI LILLY & COLLY2,842,467$2.52B0.76%
18TAIWAN SEMICONDUCTOR-SP ADR87403910014,377,465$2.50B0.75%
19TESLA INCTSLA8,846,804$2.31B0.70%
20ALPHABET INC-CL AGOOG13,845,896$2.30B0.69%
21MICROSOFT CORPMSFT5,249,869$2.26B0.68%
22UNITEDHEALTH GROUP INCUNH3,675,141$2.15B0.65%
23BERKSHIRE HATHAWAY INC-CL BBRK-A4,611,536$2.12B0.64%
24EXXON MOBIL CORPXOM17,651,022$2.07B0.62%
25BERKSHIRE HATHAWAY INC-CL BBRK-A4,305,746$1.98B0.60%
26ALPHABET INC-CL CGOOG11,716,129$1.96B0.59%
27NVIDIA CORPNVDA15,942,528$1.94B0.58%
28BROADCOM INCAVGO10,928,603$1.89B0.57%
29JPMORGAN CHASE & COVYLD8,800,783$1.86B0.56%
30JOHNSON & JOHNSONJNJ11,435,692$1.85B0.56%
31ABBVIE INCABBV9,322,572$1.84B0.55%
32ISHARES CORE MSCI EAFE ETF46432F84223,010,299$1.80B0.54%
33HOME DEPOT INCHD4,391,491$1.78B0.53%
34TESLA INCTSLA6,605,482$1.73B0.52%
35MICROSOFT CORPMSFT4,011,996$1.73B0.52%
36ELI LILLY & COLLY1,902,059$1.69B0.51%
37PROCTER & GAMBLE CO/THE7427181099,450,933$1.64B0.49%
38SPDR S&P 500 ETF TRUSTSPY2,624,343$1.51B0.45%
39VISA INC-CLASS A SHARESV5,355,634$1.47B0.44%
40ISHARES CORE S&P SMALL-CAP E46428780412,336,678$1.44B0.43%
41AMPHENOL CORP-CL A03209510122,069,032$1.44B0.43%
42JPMORGAN CHASE & COVYLD6,778,847$1.43B0.43%
43COSTCO WHOLESALE CORP22160K1051,546,809$1.37B0.41%
44MASTERCARD INC - AMA2,628,392$1.30B0.39%
45COCA-COLA CO/THEKO17,669,382$1.27B0.38%
46UNITEDHEALTH GROUP INCUNH2,169,835$1.27B0.38%
47MASTERCARD INC - AMA2,568,758$1.27B0.38%
48ALPHABET INC-CL CGOOG7,397,697$1.24B0.37%
49AMAZON.COM INCAMZN6,633,992$1.24B0.37%
50EXXON MOBIL CORPXOM10,470,355$1.23B0.37%
51LINDE PLCLIN2,532,892$1.21B0.36%
52TJX COMPANIES INC8725401099,802,456$1.15B0.35%
53CISCO SYSTEMS INCCSCO21,350,443$1.14B0.34%
54PEPSICO INCPEP6,613,222$1.12B0.34%
55ORACLE CORPORCL-PD6,532,240$1.11B0.33%
56CITIGROUP INCC-PR17,545,391$1.10B0.33%
57CANADIAN NATL RAILWAY CO1363751029,235,878$1.08B0.33%
58WALMART INCWMT13,355,454$1.08B0.32%
59AUTOMATIC DATA PROCESSINGADP3,893,078$1.08B0.32%
60CHEVRON CORPCVX7,303,405$1.08B0.32%
61VISA INC-CLASS A SHARESV3,878,597$1.07B0.32%
62ADOBE INCADBE1,986,486$1.03B0.31%
63INTUITIVE SURGICAL INCISRG2,092,451$1.03B0.31%
64FASTENAL COFAST13,956,661$996.8M0.30%
65NETFLIX INCNFLX1,391,395$986.9M0.30%
66MERCK & CO. INC.MRK8,656,471$983.0M0.30%
67AMGEN INCAMGN3,043,314$980.6M0.29%
68MASTERCARD INC - AMA1,968,577$972.1M0.29%
69HOME DEPOT INCHD2,385,250$966.5M0.29%
70PROCTER & GAMBLE CO/THE7427181095,573,738$965.4M0.29%
71MCDONALD'S CORPMCD3,137,645$955.4M0.29%
72TEXAS INSTRUMENTS INC8825081044,568,082$943.6M0.28%
73COSTCO WHOLESALE CORP22160K1051,053,616$934.1M0.28%
74RESMED INCRSMDF3,823,588$933.4M0.28%
75STRYKER CORPSYK2,568,906$928.0M0.28%
76ISHARES NATIONAL MUNI BOND E4642884148,523,777$925.9M0.28%
77ADVANCED MICRO DEVICESAMD5,630,303$923.8M0.28%
78MICROSOFT CORPMSFT2,137,879$919.9M0.28%
79O'REILLY AUTOMOTIVE INC67103H107791,852$911.9M0.27%
80JOHNSON & JOHNSONJNJ5,612,216$909.5M0.27%
81ALPHABET INC-CL AGOOG5,480,981$909.0M0.27%
82BOOKING HOLDINGS INCBKNG214,773$904.6M0.27%
83TEXAS INSTRUMENTS INC8825081044,292,629$886.7M0.27%
84SALESFORCE INCCRM3,208,551$878.2M0.26%
85QUALCOMM INCQCOM5,150,647$875.9M0.26%
86ADOBE INCADBE1,663,763$861.5M0.26%
87COSTCO WHOLESALE CORP22160K105939,096$832.5M0.25%
88ABBVIE INCABBV4,170,563$823.6M0.25%
89WALMART INCWMT10,117,587$817.0M0.25%
90BANK OF AMERICA CORP06050510420,445,670$811.3M0.24%
91INTL BUSINESS MACHINES CORPINTR3,659,619$809.1M0.24%
92FERGUSON ENTERPRISES INCFERG4,067,538$807.7M0.24%
93OLD DOMINION FREIGHT LINEODFL3,995,045$793.6M0.24%
94FORTINET INCFTNT10,091,789$782.6M0.24%
95GOLDMAN SACHS GROUP INCGSCE1,573,617$779.1M0.23%
96THERMO FISHER SCIENTIFIC INCTMO1,258,937$778.7M0.23%
97ABBOTT LABORATORIESABLZF6,801,859$775.5M0.23%
98PAYCHEX INCPAYX5,635,391$756.2M0.23%
99MOODY'S CORPMCO1,567,411$743.9M0.22%
100CISCO SYSTEMS INCCSCO13,653,371$726.6M0.22%
101NETFLIX INCNFLX1,023,962$726.3M0.22%
102ISHARES CORE S&P 500 ETF4642872001,256,004$724.5M0.22%
103MORGAN STANLEYMS-PQ6,921,577$721.5M0.22%
104WEST PHARMACEUTICAL SERVICES9553061052,364,111$709.6M0.21%
105LINDE PLCLIN1,484,169$707.7M0.21%
106TAIWAN SEMICONDUCTOR-SP ADR8740391003,992,787$693.4M0.21%
107MERCK & CO. INC.MRK6,020,034$683.6M0.21%
108NVIDIA CORPNVDA5,599,940$680.1M0.20%
109APPLIED MATERIALS INC0382221053,313,275$669.4M0.20%
110INTUIT INCINTU1,076,575$668.6M0.20%
111EDWARDS LIFESCIENCES CORPEW10,079,467$665.1M0.20%
112JPMORGAN CHASE & COVYLD3,146,751$663.5M0.20%
113COCA-COLA CO/THEKO9,188,279$660.3M0.20%
114ORACLE CORPORCL-PD3,828,324$652.3M0.20%
115VANGUARD TOTAL STOCK MKT ETF9229087692,294,332$649.7M0.20%
116GILEAD SCIENCES INCGILD7,633,426$640.0M0.19%
117ACCENTURE PLC-CL AACN1,795,923$634.8M0.19%
118BANK OF AMERICA CORP06050510415,981,954$634.2M0.19%
119ADVANCED MICRO DEVICESAMD3,830,895$628.6M0.19%
120INTUITIVE SURGICAL INCISRG1,275,569$626.6M0.19%
121HONEYWELL INTERNATIONAL INC4385161063,022,602$624.8M0.19%
122T-MOBILE US INCTMUSZ3,026,915$624.6M0.19%
123SALESFORCE INCCRM2,274,330$622.5M0.19%
124AMERICAN EXPRESS COAXP2,231,716$605.2M0.18%
125ALPHABET INC-CL CGOOG3,618,485$605.0M0.18%
126WELLS FARGO & CO94974610110,627,959$600.4M0.18%
127COMCAST CORP-CLASS ACCZ14,348,849$599.4M0.18%
128CATERPILLAR INCCAT1,524,384$596.2M0.18%
129CHEVRON CORPCVX4,039,216$594.9M0.18%
130SERVICENOW INCNOW657,362$587.9M0.18%
131GENERAL ELECTRIC3696043013,109,782$586.4M0.18%
132NIKE INC -CL BNKE6,581,802$581.8M0.17%
133ISHARES RUSSELL MID-CAP ETF4642874996,586,895$580.6M0.17%
134DANAHER CORP2358511022,068,927$575.2M0.17%
135BERKSHIRE HATHAWAY INC-CL BBRK-A1,223,544$563.1M0.17%
136CONOCOPHILLIPSCOP5,338,891$562.1M0.17%
137VERIZON COMMUNICATIONS INCVZ12,472,143$560.1M0.17%
138THERMO FISHER SCIENTIFIC INCTMO900,116$556.8M0.17%
139PEPSICO INCPEP3,270,203$556.1M0.17%
140UNION PACIFIC CORPUNP2,249,547$554.5M0.17%
141MICROSOFT CORPMSFT1,286,734$553.7M0.17%
142ADOBE INCADBE1,060,471$549.1M0.16%
143APPLE INCAAPL2,346,908$546.8M0.16%
144LINDE PLCLIN1,139,182$543.2M0.16%
145ISHARES MSCI EAFE ETF4642874656,445,675$539.1M0.16%
146PFIZER INCPFE18,567,244$537.3M0.16%
147WALT DISNEY CO/THE2546871065,499,181$529.0M0.16%
148PHILIP MORRIS INTERNATIONAL7181721094,344,293$527.4M0.16%
149ISHARES MSCI EMR MRK EX CHNA46434G7648,537,934$521.8M0.16%
150ACCENTURE PLC-CL AACN1,474,203$521.1M0.16%
151STARBUCKS CORPSBUX5,311,863$517.9M0.16%
152S&P GLOBAL INCSPGI1,001,758$517.5M0.16%
153MCDONALD'S CORPMCD1,695,975$516.4M0.16%
154APPLE INCAAPL2,204,619$513.7M0.15%
155ISHARES SHORT-TERM NATIONAL4642881584,824,340$512.3M0.15%
156META PLATFORMS INC-CLASS AMETA893,045$511.2M0.15%
157NEXTERA ENERGY INCNEE-PW6,045,790$511.1M0.15%
158CISCO SYSTEMS INCCSCO9,560,865$508.8M0.15%
159AUTOMATIC DATA PROCESSINGADP1,818,023$503.1M0.15%
160BOOKING HOLDINGS INCBKNG118,684$499.9M0.15%
161ANALOG DEVICES INCADI2,167,672$498.9M0.15%
162EXXON MOBIL CORPXOM4,235,045$496.4M0.15%
163METTLER-TOLEDO INTERNATIONALMTD330,810$496.1M0.15%
164MICROSOFT CORPMSFT1,146,696$493.4M0.15%
165UNITED PARCEL SERVICE-CL BUPS3,581,795$488.3M0.15%
166LOCKHEED MARTIN CORPLMT831,422$486.0M0.15%
167LOWE'S COS INC5486611071,784,741$483.4M0.15%
168TJX COMPANIES INC8725401094,102,331$482.2M0.14%
169GENERAL ELECTRIC3696043012,554,171$481.7M0.14%
170CME GROUP INCCME2,182,490$481.6M0.14%
171INTL BUSINESS MACHINES CORPINTR2,154,950$476.4M0.14%
172BROADCOM INCAVGO2,750,751$474.5M0.14%
173LAM RESEARCH CORPLRCX580,776$474.0M0.14%
174EXXON MOBIL CORPXOM4,007,206$469.7M0.14%
175ISHARES MSCI INDIA ETF46429B5988,021,518$469.5M0.14%
176RTX CORPRTX3,868,444$468.7M0.14%
177ABBOTT LABORATORIESABLZF4,096,560$467.0M0.14%
178ALPHABET INC-CL AGOOG2,796,732$463.8M0.14%
179WATERS CORP9418481031,283,562$461.9M0.14%
180COGNIZANT TECH SOLUTIONS-ACTSH5,977,507$461.3M0.14%
181WELLS FARGO & CO9497461018,145,887$460.2M0.14%
182AT&T INCT-PC20,911,021$460.0M0.14%
183AMAZON.COM INCAMZN2,456,487$457.7M0.14%
184QUALCOMM INCQCOM2,686,620$456.9M0.14%
185ELI LILLY & COLLY513,368$454.8M0.14%
186CATERPILLAR INCCAT1,160,551$453.9M0.14%
187PROGRESSIVE CORP7433151031,780,120$451.7M0.14%
188KLA CORPKLAC583,150$451.6M0.14%
189ELEVANCE HEALTH INCELV865,216$449.9M0.14%
190STRYKER CORPSYK1,242,566$448.9M0.13%
191TEXAS INSTRUMENTS INC8825081042,162,298$446.7M0.13%
192VERTEX PHARMACEUTICALS INCVRTX958,321$445.7M0.13%
193PHILIP MORRIS INTERNATIONAL7181721093,669,421$445.5M0.13%
194VERIZON COMMUNICATIONS INCVZ9,809,518$440.5M0.13%
195SERVICENOW INCNOW488,041$436.5M0.13%
196VANGUARD VALUE ETF9229087442,495,717$435.7M0.13%
197UBER TECHNOLOGIES INCUBER5,788,989$435.1M0.13%
198VANGUARD GROWTH ETF9229087361,122,727$431.0M0.13%
199BRISTOL-MYERS SQUIBB COCELG-RI8,245,544$426.6M0.13%
200UNITEDHEALTH GROUP INCUNH727,481$425.3M0.13%
201DANAHER CORP2358511021,520,025$422.6M0.13%
202APPLE INCAAPL1,810,843$421.9M0.13%
203NIKE INC -CL BNKE4,729,989$418.1M0.13%
204AMGEN INCAMGN1,291,557$416.2M0.13%
205INTUITIVE SURGICAL INCISRG842,689$414.0M0.12%
206EOG RESOURCES INCEOG3,351,624$412.0M0.12%
207WALT DISNEY CO/THE2546871064,279,667$411.7M0.12%
208REGENERON PHARMACEUTICALSREGN390,653$410.7M0.12%
209ISHARES CORE TOTAL BOND ETF46434V6138,675,425$408.8M0.12%
210INTUIT INCINTU656,860$407.9M0.12%
211COPART INCCPRT7,769,472$407.1M0.12%
212APPLIED MATERIALS INC0382221052,011,905$406.5M0.12%
213VANGUARD FTSE DEVELOPED ETF9219438587,694,709$406.4M0.12%
214PALO ALTO NETWORKS INCPANW1,188,821$406.3M0.12%
215AMAZON.COM INCAMZN2,172,412$404.8M0.12%
216THE CIGNA GROUP1255231001,157,677$401.1M0.12%
217MICRON TECHNOLOGY INCMU3,859,200$400.2M0.12%
218FERRARI NVRACE848,686$399.0M0.12%
219BLACKROCK INCBLK418,743$397.6M0.12%
220ISHARES RUSSELL 2000 ETF4642876551,765,004$389.9M0.12%
221S&P GLOBAL INCSPGI753,819$389.4M0.12%
222PFIZER INCPFE13,313,047$385.3M0.12%
223PROLOGIS INCPLDGP3,049,943$385.1M0.12%
224BOSTON SCIENTIFIC CORPBSX4,590,941$384.7M0.12%
225RTX CORPRTX3,165,141$383.5M0.12%
226NEXTERA ENERGY INCNEE-PW4,536,523$383.5M0.12%
227COMCAST CORP-CLASS ACCZ9,157,475$382.5M0.11%
228MEDTRONIC PLCMDT4,217,872$379.7M0.11%
229MARSH & MCLENNAN COS5717481021,695,451$378.2M0.11%
230LOWE'S COS INC5486611071,388,868$376.2M0.11%
231GOLDMAN SACHS GROUP INCGSCE759,534$376.1M0.11%
232HOME DEPOT INCHD924,906$374.8M0.11%
233AMERICAN EXPRESS COAXP1,374,470$372.8M0.11%
234ISHARES CORE U.S. AGGREGATE4642872263,659,751$370.6M0.11%
235COSTCO WHOLESALE CORP22160K105417,256$369.9M0.11%
236ISHARES RUSSELL 1000 GROWTH464287614985,263$369.8M0.11%
237AT&T INCT-PC16,704,887$367.5M0.11%
238NVIDIA CORPNVDA3,025,274$367.4M0.11%
239UBER TECHNOLOGIES INCUBER4,884,852$367.1M0.11%
240ISHARES CORE S&P 500 ETF464287200636,449$367.1M0.11%
241ABBVIE INCABBV1,837,268$362.8M0.11%
242UNION PACIFIC CORPUNP1,468,505$362.0M0.11%
243VISA INC-CLASS A SHARESV1,292,498$355.4M0.11%
244SCHWAB (CHARLES) CORPSCHW-PJ5,478,707$355.1M0.11%
245INTEL CORPINTC15,130,612$355.0M0.11%
246PROGRESSIVE CORP7433151031,398,625$354.9M0.11%
247PROCTER & GAMBLE CO/THE7427181092,040,477$353.4M0.11%
248VANGUARD S&P 500 ETF922908363667,943$352.5M0.11%
249ALCON INCALC3,503,011$350.5M0.11%
250MEDTRONIC PLCMDT3,883,765$349.7M0.11%
251VANGUARD TOTAL BOND MARKET9219378354,654,437$349.6M0.11%
252GOLDMAN SACHS GROUP INCGSCE703,167$348.1M0.10%
253MONDELEZ INTERNATIONAL INC-A6092071054,723,952$348.0M0.10%
254CISCO SYSTEMS INCCSCO6,465,996$344.1M0.10%
255BOOKING HOLDINGS INCBKNG81,274$342.3M0.10%
256VANGUARD FTSE DEVELOPED ETF9219438586,473,989$341.9M0.10%
257EATON CORP PLCETN1,024,378$339.5M0.10%
258COLGATE-PALMOLIVE COCL3,226,508$334.9M0.10%
259ALTRIA GROUP INCMO6,535,271$333.6M0.10%
260CANADIAN NATL RAILWAY CO1363751022,839,140$332.6M0.10%
261AT&T INCT-PC15,109,318$332.4M0.10%
262NVIDIA CORPNVDA2,720,799$330.4M0.10%
263SOUTHERN CO/THESOMN3,658,035$329.9M0.10%
264MASTERCARD INC - AMA663,641$327.7M0.10%
265MICROSOFT CORPMSFT757,101$325.8M0.10%
266APPLE INCAAPL1,392,296$324.4M0.10%
267ALPHABET INC-CL CGOOG1,928,867$322.5M0.10%
268BLACKROCK INCBLK337,699$320.6M0.10%
269BERKSHIRE HATHAWAY INC-CL BBRK-A694,032$319.4M0.10%
270HONEYWELL INTERNATIONAL INC4385161061,541,906$318.7M0.10%
271BLACKSTONE INCBX2,080,463$318.6M0.10%
272VANGUARD MORTGAGE-BACKED SEC92206C7716,730,952$317.8M0.10%
273VANGUARD VALUE ETF9229087441,817,835$317.3M0.10%
274TJX COMPANIES INC8725401092,688,795$316.0M0.09%
275EATON CORP PLCETN940,364$311.7M0.09%
276TARGET CORPTGT1,990,664$310.3M0.09%
277AMERICAN TOWER CORP03027X1001,330,483$309.4M0.09%
278ZOETIS INCZTS1,580,760$308.8M0.09%
279DUKE ENERGY CORPDUKB2,648,846$305.4M0.09%
280FISERV INCFISV1,682,593$302.3M0.09%
281MORGAN STANLEYMS-PQ2,898,006$302.1M0.09%
282DANAHER CORP2358511021,082,960$301.1M0.09%
283CHUBB LTDCB1,032,761$297.8M0.09%
284MOTOROLA SOLUTIONS INCMSI662,021$297.7M0.09%
285STRYKER CORPSYK823,453$297.5M0.09%
286LOCKHEED MARTIN CORPLMT507,354$296.6M0.09%
287CONSTELLATION ENERGYCEG1,133,996$294.9M0.09%
288HCA HEALTHCARE INCHCA725,041$294.7M0.09%
289MICROSOFT CORPMSFT682,524$293.7M0.09%
290SPDR S&P 500 ETF TRUSTSPY511,627$293.6M0.09%
291DEERE & CODE698,905$291.7M0.09%
292CONOCOPHILLIPSCOP2,769,999$291.6M0.09%
293ARISTA NETWORKS INCANET759,308$291.4M0.09%
294ELEVANCE HEALTH INCELV559,879$291.1M0.09%
295SYNOPSYS INCSNPS574,390$290.9M0.09%
296JPMORGAN CHASE & COVYLD1,377,954$290.6M0.09%
297BOSTON SCIENTIFIC CORPBSX3,454,750$289.5M0.09%
298MEDTRONIC PLCMDT3,213,104$289.3M0.09%
299LINDE PLCLIN605,865$288.9M0.09%
300ILLINOIS TOOL WORKS4523081091,096,047$287.2M0.09%
301PROLOGIS INCPLDGP2,245,501$283.6M0.09%
302VERTEX PHARMACEUTICALS INCVRTX608,348$282.9M0.08%
303EATON CORP PLCETN853,501$282.9M0.08%
304VANGUARD GROWTH ETF922908736735,397$282.3M0.08%
305JOHNSON & JOHNSONJNJ1,740,238$282.0M0.08%
306EQT CORPEQT7,664,491$280.8M0.08%
307CVS HEALTH CORPCVS4,458,694$280.4M0.08%
308SPDR PORTFOLIO S&P 500 GROWT78464A4093,377,002$280.1M0.08%
309WASTE MANAGEMENT INC94106L1091,346,850$279.6M0.08%
310CITIGROUP INCC-PR4,460,987$279.3M0.08%
311KKR & CO INCKKRT2,117,070$276.4M0.08%
312SHERWIN-WILLIAMS CO/THESHW723,663$276.2M0.08%
313NORTHROP GRUMMAN CORPNOC519,599$274.4M0.08%
314NVIDIA CORPNVDA2,257,378$274.1M0.08%
315EQUINIX INCEQIX308,450$273.8M0.08%
316CINTAS CORPCTAS1,327,804$273.4M0.08%
317GE VERNOVA INCGEV1,070,138$272.9M0.08%
318DANAHER CORP235851102978,144$271.9M0.08%
319MEDTRONIC PLCMDT3,013,040$271.3M0.08%
320AUTOMATIC DATA PROCESSINGADP977,737$270.6M0.08%
321AMPHENOL CORP-CL A0320951014,151,175$270.5M0.08%
322MICRON TECHNOLOGY INCMU2,607,780$270.5M0.08%
323HUBBELL INCHUBB626,043$268.2M0.08%
324CISCO SYSTEMS INCCSCO5,038,297$268.1M0.08%
325ANALOG DEVICES INCADI1,164,307$268.0M0.08%
326US BANCORPUSB-PS5,857,207$267.9M0.08%
327DANAHER CORP235851102962,157$267.5M0.08%
328AIR PRODUCTS & CHEMICALS INCAIIR894,813$266.4M0.08%
329PAYPAL HOLDINGS INCPYPL3,412,234$266.3M0.08%
330CHUBB LTDCB918,137$264.8M0.08%
331INTERCONTINENTAL EXCHANGE IN45866F1041,645,854$264.4M0.08%
332PHILLIPS 66PSX2,002,432$263.2M0.08%
333STARBUCKS CORPSBUX2,699,128$263.1M0.08%
334CADENCE DESIGN SYS INCCDNS967,180$262.1M0.08%
335REGENERON PHARMACEUTICALSREGN248,145$260.9M0.08%
336TRANE TECHNOLOGIES PLCTT668,065$259.7M0.08%
337PARKER HANNIFIN CORPPH409,646$258.8M0.08%
338MARSH & MCLENNAN COS5717481021,158,439$258.4M0.08%
339BLACKSTONE INCBX1,683,608$257.8M0.08%
340AMERICAN TOWER CORP03027X1001,108,544$257.8M0.08%
341PROGRESSIVE CORP7433151031,015,855$257.8M0.08%
342HUBBELL INCHUBB600,020$257.0M0.08%
343TRAVELERS COS INC/THETRV1,097,621$257.0M0.08%
344PALO ALTO NETWORKS INCPANW746,963$255.3M0.08%
345DEERE & CODE610,328$254.7M0.08%
346JPMORGAN CHASE & COVYLD1,207,878$254.7M0.08%
347LAM RESEARCH CORPLRCX311,878$254.5M0.08%
348HUBBELL INCHUBB593,850$254.4M0.08%
349MASTERCARD INC - AMA515,062$254.3M0.08%
350CONSTELLATION ENERGYCEG976,174$253.8M0.08%
351VANGUARD S&P 500 ETF922908363480,888$253.8M0.08%
352NIKE INC -CL BNKE2,863,079$253.1M0.08%
353CSX CORPCSX7,322,186$252.8M0.08%
354TAIWAN SEMICONDUCTOR-SP ADR8740391001,452,129$252.2M0.08%
355ISHARES 1-3 YEAR TREASURY BO4642874573,029,430$251.9M0.08%
356BERKSHIRE HATHAWAY INC-CL BBRK-A545,637$251.1M0.08%
357WELLTOWER INCWELL1,947,326$249.3M0.07%
358VANGUARD DIVIDEND APPREC ETF9219088441,256,065$248.8M0.07%
359GENERAL DYNAMICS CORPGD821,795$248.3M0.07%
360KENVUE INCKVUE10,734,969$248.3M0.07%
361KLA CORPKLAC319,627$247.5M0.07%
362GILEAD SCIENCES INCGILD2,940,769$246.6M0.07%
363CISCO SYSTEMS INCCSCO4,632,117$246.5M0.07%
364VISA INC-CLASS A SHARESV895,302$246.2M0.07%
365BRISTOL-MYERS SQUIBB COCELG-RI4,742,916$245.4M0.07%
366FISERV INCFISV1,364,280$245.1M0.07%
367AUTODESK INCADSK889,626$245.1M0.07%
368MOODY'S CORPMCO510,181$242.1M0.07%
369LINDE PLCLIN504,145$240.4M0.07%
370L3HARRIS TECHNOLOGIES INCLHX1,008,227$239.8M0.07%
371APPLE INCAAPL1,029,031$239.8M0.07%
372MARRIOTT INTERNATIONAL -CL A571903202963,450$239.5M0.07%
373ALPHABET INC-CL CGOOG1,429,420$239.0M0.07%
374T-MOBILE US INCTMUSZ1,156,736$238.7M0.07%
375PNC FINANCIAL SERVICES GROUP6934751051,290,984$238.6M0.07%
376TRANE TECHNOLOGIES PLCTT612,919$238.3M0.07%
377INTEL CORPINTC10,090,245$236.7M0.07%
378GOLDMAN SACHS GROUP INCGSCE475,933$235.6M0.07%
379CROWDSTRIKE HOLDINGS INC - ACRWD838,148$235.1M0.07%
380BOEING CO/THEBA-PA1,545,012$234.9M0.07%
381UNITED PARCEL SERVICE-CL BUPS1,722,549$234.9M0.07%
382MERCK & CO. INC.MRK2,063,601$234.3M0.07%
383KIMBERLY-CLARK CORPKMB1,646,829$234.3M0.07%
384O'REILLY AUTOMOTIVE INC67103H107203,381$234.2M0.07%
385MCKESSON CORPMCK473,511$234.1M0.07%
3863M COMMM1,710,470$233.8M0.07%
387MONDELEZ INTERNATIONAL INC-A6092071053,172,399$233.7M0.07%
388ARISTA NETWORKS INCANET606,462$232.8M0.07%
389SOUTHERN CO/THESOMN2,557,765$230.7M0.07%
390ISHARES MSCI EAFE SMALL-CAP4642882733,396,922$230.0M0.07%
391CAPITAL ONE FINANCIAL CORP14040H1051,533,386$229.6M0.07%
392THE CIGNA GROUP125523100662,125$229.4M0.07%
393ISHARES MSCI USA QUALITY FAC46432F3391,277,132$229.0M0.07%
394AMPHENOL CORP-CL A0320951013,511,308$228.8M0.07%
395CME GROUP INCCME1,036,324$228.7M0.07%
396MARATHON PETROLEUM CORPMARA1,402,081$228.4M0.07%
397APPLE INCAAPL979,541$228.2M0.07%
398SCHWAB (CHARLES) CORPSCHW-PJ3,520,840$228.2M0.07%
399ORACLE CORPORCL-PD1,332,999$227.1M0.07%
400CHIPOTLE MEXICAN GRILL INCCMG3,909,702$225.3M0.07%
401ONEOK INCOKE2,463,649$224.5M0.07%
402TRANE TECHNOLOGIES PLCTT573,332$222.9M0.07%
403JPMORGAN CHASE & COVYLD1,055,973$222.7M0.07%
404WILLIAMS COS INC9694571004,871,045$222.4M0.07%
405DANAHER CORP235851102799,626$222.3M0.07%
406FEDEX CORPFDX811,796$222.2M0.07%
407ISHARES SELECT DIVIDEND ETF4642871681,643,999$222.1M0.07%
408EQT CORPEQT6,047,854$221.6M0.07%
409ECOLAB INCECL866,609$221.3M0.07%
410ZOETIS INCZTS1,132,177$221.2M0.07%
411INTERNATIONAL PAPER CO4601461034,506,572$220.1M0.07%
412EXELON CORPEXC5,414,254$219.5M0.07%
413PEPSICO INCPEP1,287,571$219.0M0.07%
414PHILLIPS 66PSX1,660,596$218.3M0.07%
415BECTON DICKINSON AND COBDX905,117$218.2M0.07%
416BECTON DICKINSON AND COBDX904,775$218.1M0.07%
417BANK OF AMERICA CORP0605051045,480,087$217.4M0.07%
418VISTRA CORPVST1,829,923$216.9M0.07%
419SANOFI-ADRSNYNF3,760,619$216.7M0.07%
420MICROSOFT CORPMSFT503,297$216.6M0.07%
421AMERICAN ELECTRIC POWER0255371012,101,244$215.6M0.06%
422INTERCONTINENTAL EXCHANGE IN45866F1041,336,667$214.7M0.06%
423PALANTIR TECHNOLOGIES INC-APLTR5,768,418$214.6M0.06%
424GE VERNOVA INCGEV840,552$214.3M0.06%
425CARRIER GLOBAL CORPCARR2,643,552$212.8M0.06%
426ROPER TECHNOLOGIES INCROP381,676$212.4M0.06%
427UNITEDHEALTH GROUP INCUNH363,043$212.3M0.06%
428MICROSOFT CORPMSFT491,169$211.4M0.06%
429ISHARES CORE S&P 500 ETF464287200366,191$211.2M0.06%
430ZOETIS INCZTS1,079,741$211.0M0.06%
431BOEING CO/THEBA-PA1,387,378$210.9M0.06%
432SHERWIN-WILLIAMS CO/THESHW552,441$210.9M0.06%
433GOLDMAN SACHS GROUP INCGSCE425,160$210.5M0.06%
434PAYCHEX INCPAYX1,563,308$209.8M0.06%
435TRANSDIGM GROUP INCTDG146,848$209.6M0.06%
436GE VERNOVA INCGEV821,574$209.5M0.06%
437TESLA INCTSLA798,998$209.0M0.06%
438TRANE TECHNOLOGIES PLCTT537,264$208.9M0.06%
439VANGUARD SMALL-CAP ETF922908751879,706$208.7M0.06%
440FORTINET INCFTNT2,686,460$208.3M0.06%
441NEWMONT CORPNEMCL3,867,457$206.7M0.06%
442CONOCOPHILLIPSCOP1,961,993$206.6M0.06%
443FREEPORT-MCMORAN INCFCX4,134,241$206.4M0.06%
444VANGUARD TOTAL INTL BOND ETF92203J4074,101,951$206.2M0.06%
445SCHLUMBERGER LTDSLB4,909,763$206.0M0.06%
446UNITEDHEALTH GROUP INCUNH351,955$205.8M0.06%
447PUBLIC STORAGEPSA-PS565,281$205.7M0.06%
448NORFOLK SOUTHERN CORP655844108825,021$205.0M0.06%
449ALTRIA GROUP INCMO4,008,735$204.6M0.06%
450DUKE ENERGY CORPDUKB1,773,308$204.5M0.06%
451EMERSON ELECTRIC COEMR1,866,843$204.2M0.06%
452APPLE INCAAPL876,286$204.2M0.06%
453EQUINIX INCEQIX229,794$204.0M0.06%
454KKR & CO INCKKRT1,557,826$203.4M0.06%
455NEWMONT CORPNEMCL3,805,777$203.4M0.06%
456ALPHABET INC-CL AGOOG1,223,582$202.9M0.06%
457NVIDIA CORPNVDA1,665,906$202.3M0.06%
458ADOBE INCADBE389,731$201.8M0.06%
459PHILLIPS 66PSX1,530,053$201.1M0.06%
460INVESCO NASDAQ 100 ETFIVZ1,000,608$201.0M0.06%
461ISHARES CORE MSCI EMERGING46434G1033,498,587$200.9M0.06%
462HONEYWELL INTERNATIONAL INC438516106967,064$199.9M0.06%
463INTERNATIONAL PAPER CO4601461034,084,214$199.5M0.06%
464BECTON DICKINSON AND COBDX825,852$199.1M0.06%
465COLGATE-PALMOLIVE COCL1,916,384$198.9M0.06%
466SIMON PROPERTY GROUP INC8288061091,173,415$198.3M0.06%
467KENVUE INCKVUE8,569,124$198.2M0.06%
468MERCADOLIBRE INCMELI95,733$196.4M0.06%
469AT&T INCT-PC8,925,204$196.4M0.06%
470AUTOMATIC DATA PROCESSINGADP709,133$196.2M0.06%
471ISHARES CORE S&P 500 ETF464287200339,890$196.1M0.06%
472CONSTELLATION ENERGYCEG750,050$195.0M0.06%
473AFLAC INCAFL1,739,861$194.5M0.06%
474AMERICAN INTERNATIONAL GROUP0268747842,650,362$194.1M0.06%
475ALLSTATE CORPALL-PJ1,022,672$193.9M0.06%
476VANGUARD SHORT-TERM BOND ETF9219378272,463,988$193.9M0.06%
477ISHARES MSCI USA QUALITY FAC46432F3391,074,380$192.6M0.06%
478AON PLC-CLASS AAON556,635$192.6M0.06%
479BANK OF AMERICA CORP0605051044,853,425$192.6M0.06%
480ACCENTURE PLC-CL AACN544,769$192.6M0.06%
481BANK OF AMERICA CORP0605051044,850,502$192.5M0.06%
482CONSTELLATION ENERGYCEG739,701$192.3M0.06%
483PROCTER & GAMBLE CO/THE7427181091,108,817$192.0M0.06%
484UBS GROUP AG-REGUBS6,203,422$191.7M0.06%
485REALTY INCOME CORPO3,022,752$191.7M0.06%
486ACCENTURE PLC-CL AACN541,920$191.6M0.06%
487APPLIED MATERIALS INC038222105942,098$190.4M0.06%
488WASTE MANAGEMENT INC94106L109916,893$190.3M0.06%
489HP INCHPQ5,294,807$189.9M0.06%
490GENERAL DYNAMICS CORPGD628,294$189.9M0.06%
491NXP SEMICONDUCTORS NVNXPI789,243$189.4M0.06%
492PARKER HANNIFIN CORPPH299,653$189.3M0.06%
493MASTERCARD INC - AMA382,567$188.9M0.06%
494TJX COMPANIES INC8725401091,604,384$188.6M0.06%
495PAYPAL HOLDINGS INCPYPL2,411,618$188.2M0.06%
496ARTHUR J GALLAGHER & CO363576109668,499$188.1M0.06%
497ABBOTT LABORATORIESABLZF1,648,508$187.9M0.06%
498BAKER HUGHES COBKR5,191,631$187.7M0.06%
499AIRBNB INC-CLASS AABNB1,476,169$187.2M0.06%
500CONSTELLATION ENERGYCEG718,083$186.7M0.06%