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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 Q1 2025 · Filed April 29, 2025 · Accession 0001390777-25-000071

Total Value
$504.91B
Positions
31,891
Other Managers
18
Confidential Omitted
No
View on SEC.gov

Holdings (500)

#IssuerTicker / CUSIPSharesValue% of Filing
1APPLE INCAAPL47,815,902$10.62B3.43%
2MICROSOFT CORPMSFT25,046,858$9.40B3.04%
3NVIDIA CORPNVDA75,774,092$8.21B2.65%
4APPLE INCAAPL34,301,636$7.62B2.46%
5MICROSOFT CORPMSFT17,090,346$6.42B2.07%
6ISHARES CORE S&P 500 ETF46428720011,307,843$6.35B2.05%
7NVIDIA CORPNVDA55,249,962$5.99B1.94%
8AMAZON.COM INCAMZN26,117,601$4.97B1.61%
9AMAZON.COM INCAMZN21,572,700$4.10B1.33%
10META PLATFORMS INC-CLASS AMETA6,545,747$3.77B1.22%
11ISHARES CORE S&P MIDCAP ETF46428750752,860,149$3.08B1.00%
12META PLATFORMS INC-CLASS AMETA5,043,047$2.91B0.94%
13ALPHABET INC-CL AGOOG18,396,110$2.84B0.92%
14EXXON MOBIL CORPXOM22,858,318$2.72B0.88%
15BROADCOM INCAVGO14,174,299$2.37B0.77%
16BERKSHIRE HATHAWAY INC-CL BBRK-A4,369,140$2.33B0.75%
17ALPHABET INC-CL CGOOG14,511,619$2.27B0.73%
18ELI LILLY & COLLY2,700,690$2.23B0.72%
19BERKSHIRE HATHAWAY INC-CL BBRK-A4,146,828$2.21B0.71%
20TESLA INCTSLA8,245,036$2.14B0.69%
21ALPHABET INC-CL AGOOG13,339,535$2.06B0.67%
22ISHARES CORE MSCI EAFE ETF46432F84227,142,585$2.05B0.66%
23JPMORGAN CHASE & COVYLD8,260,574$2.03B0.66%
24VISA INC-CLASS A SHARESV5,634,708$1.97B0.64%
25TAIWAN SEMICONDUCTOR-SP ADR87403910011,380,694$1.89B0.61%
26UNITEDHEALTH GROUP INCUNH3,560,345$1.86B0.60%
27BROADCOM INCAVGO10,668,810$1.79B0.58%
28ALPHABET INC-CL CGOOG11,142,016$1.74B0.56%
29TESLA INCTSLA6,410,067$1.66B0.54%
30CHEVRON CORPCVX9,685,860$1.62B0.52%
31PROCTER & GAMBLE CO/THE7427181099,349,515$1.59B0.52%
32JPMORGAN CHASE & COVYLD6,417,724$1.57B0.51%
33APPLE INCAAPL6,917,692$1.54B0.50%
34ELI LILLY & COLLY1,833,461$1.51B0.49%
35HOME DEPOT INCHD4,109,329$1.51B0.49%
36JOHNSON & JOHNSONJNJ8,787,715$1.46B0.47%
37SPDR S&P 500 ETF TRUSTSPY2,573,328$1.44B0.47%
38WALMART INCWMT16,160,082$1.42B0.46%
39CITIGROUP INCC-PR19,563,044$1.39B0.45%
40VISA INC-CLASS A SHARESV3,954,741$1.39B0.45%
41COSTCO WHOLESALE CORP22160K1051,463,316$1.38B0.45%
42MASTERCARD INC - AMA2,503,509$1.37B0.44%
43MICROSOFT CORPMSFT3,556,789$1.34B0.43%
44ABBVIE INCABBV6,104,827$1.28B0.41%
45MASTERCARD INC - AMA2,301,647$1.26B0.41%
46NETFLIX INCNFLX1,318,608$1.23B0.40%
47AMPHENOL CORP-CL A03209510118,673,432$1.22B0.40%
48MICROSOFT CORPMSFT3,143,223$1.18B0.38%
49EXXON MOBIL CORPXOM9,894,770$1.18B0.38%
50MERCK & CO. INC.MRK13,029,438$1.17B0.38%
51ISHARES CORE S&P SMALL-CAP E46428780411,139,483$1.16B0.38%
52PEPSICO INCPEP7,375,166$1.11B0.36%
53UNITEDHEALTH GROUP INCUNH2,085,642$1.09B0.35%
54PHILIP MORRIS INTERNATIONAL7181721096,828,252$1.08B0.35%
55LINDE PLCLIN2,223,651$1.04B0.33%
56AUTOMATIC DATA PROCESSINGADP3,371,859$1.03B0.33%
57MASTERCARD INC - AMA1,877,756$1.03B0.33%
58ALPHABET INC-CL CGOOG6,540,973$1.02B0.33%
59TJX COMPANIES INC8725401098,383,713$1.02B0.33%
60ADOBE INCADBE2,647,896$1.02B0.33%
61O'REILLY AUTOMOTIVE INC67103H107697,297$998.9M0.32%
62MCDONALD'S CORPMCD3,121,303$975.0M0.32%
63NVIDIA CORPNVDA8,933,934$968.3M0.31%
64COSTCO WHOLESALE CORP22160K1051,018,223$963.0M0.31%
65APPLE INCAAPL4,223,717$938.2M0.30%
66FASTENAL COFAST12,004,451$930.9M0.30%
67ABBOTT LABORATORIESABLZF6,950,241$921.9M0.30%
68NETFLIX INCNFLX987,653$921.0M0.30%
69PROCTER & GAMBLE CO/THE7427181095,360,582$913.6M0.30%
70CISCO SYSTEMS INCCSCO14,626,069$902.6M0.29%
71INTUITIVE SURGICAL INCISRG1,814,123$898.5M0.29%
72JOHNSON & JOHNSONJNJ5,403,352$896.1M0.29%
73ORACLE CORPORCL-PD6,221,780$869.9M0.28%
74BOOKING HOLDINGS INCBKNG187,000$861.5M0.28%
75WALMART INCWMT9,790,047$859.5M0.28%
76GILEAD SCIENCES INCGILD7,549,280$845.9M0.27%
77FORTINET INCFTNT8,780,999$845.3M0.27%
78STRYKER CORPSYK2,270,585$845.2M0.27%
79HOME DEPOT INCHD2,302,126$843.7M0.27%
80ABBVIE INCABBV4,018,379$841.9M0.27%
81CANADIAN NATL RAILWAY CO1363751028,451,208$823.7M0.27%
82COCA-COLA CO/THEKO11,287,924$808.4M0.26%
83T-MOBILE US INCTMUSZ3,031,094$808.4M0.26%
84BANK OF AMERICA CORP06050510419,285,094$804.8M0.26%
85INTL BUSINESS MACHINES CORPINTR3,222,344$801.3M0.26%
86MICROSOFT CORPMSFT2,129,884$799.5M0.26%
87ISHARES NATIONAL MUNI BOND E4642884147,547,004$795.8M0.26%
88AMAZON.COM INCAMZN4,173,412$794.0M0.26%
89QUALCOMM INCQCOM5,159,368$792.5M0.26%
90SALESFORCE INCCRM2,875,251$771.6M0.25%
91PAYCHEX INCPAYX4,958,933$765.1M0.25%
92ISHARES CORE S&P 500 ETF4642872001,351,646$759.5M0.25%
93COSTCO WHOLESALE CORP22160K105797,977$754.7M0.24%
94NVIDIA CORPNVDA6,955,967$753.9M0.24%
95RESMED INCRSMDF3,359,355$752.0M0.24%
96AMGEN INCAMGN2,374,746$739.9M0.24%
97MICROSOFT CORPMSFT1,882,542$706.7M0.23%
98TEXAS INSTRUMENTS INC8825081043,909,085$702.5M0.23%
99WELLS FARGO & CO9497461019,587,932$688.3M0.22%
100AT&T INCT-PC24,317,445$687.7M0.22%
101VISA INC-CLASS A SHARESV1,871,267$655.8M0.21%
102LINDE PLCLIN1,407,613$655.4M0.21%
103INTUIT INCINTU1,066,125$654.6M0.21%
104EDWARDS LIFESCIENCES CORPEW9,019,999$653.8M0.21%
105MOODY'S CORPMCO1,384,950$645.0M0.21%
106ISHARES RUSSELL MID-CAP ETF4642874997,462,624$634.8M0.21%
107COCA-COLA CO/THEKO8,860,087$634.6M0.21%
108BANK OF AMERICA CORP06050510415,139,377$631.8M0.20%
109CHEVRON CORPCVX3,772,695$631.1M0.20%
110GENERAL ELECTRIC3696043013,094,029$619.3M0.20%
111HONEYWELL INTERNATIONAL INC4385161062,899,400$613.9M0.20%
112FERGUSON ENTERPRISES INCFERG3,779,085$605.5M0.20%
113ADOBE INCADBE1,572,197$603.0M0.19%
114INTUITIVE SURGICAL INCISRG1,216,950$602.7M0.19%
115COPART INCCPRT10,451,932$591.5M0.19%
116AUTOMATIC DATA PROCESSINGADP1,928,079$589.1M0.19%
117THERMO FISHER SCIENTIFIC INCTMO1,180,685$587.5M0.19%
118OLD DOMINION FREIGHT LINEODFL3,544,045$586.4M0.19%
119TEXAS INSTRUMENTS INC8825081043,243,477$582.9M0.19%
120SALESFORCE INCCRM2,170,637$582.5M0.19%
121PALANTIR TECHNOLOGIES INC-APLTR6,863,605$579.3M0.19%
122GOLDMAN SACHS GROUP INCGSCE1,048,224$572.6M0.19%
123CISCO SYSTEMS INCCSCO9,094,825$561.2M0.18%
124PHILIP MORRIS INTERNATIONAL7181721093,533,552$560.9M0.18%
125ALPHABET INC-CL AGOOG3,594,072$555.8M0.18%
126UNION PACIFIC CORPUNP2,348,757$554.9M0.18%
127AMERICAN EXPRESS COAXP2,043,360$549.8M0.18%
128ISHARES MSCI EAFE ETF4642874656,714,168$548.7M0.18%
129ADVANCED MICRO DEVICESAMD5,311,046$545.7M0.18%
130NIKE INC -CL BNKE8,582,991$544.8M0.18%
131CME GROUP INCCME2,049,275$543.7M0.18%
132CONOCOPHILLIPSCOP5,176,554$543.6M0.18%
133WELLS FARGO & CO9497461017,505,196$538.8M0.17%
134BLACKROCK INCBLK568,682$538.2M0.17%
135ACCENTURE PLC-CL AACN1,718,548$536.3M0.17%
136JPMORGAN CHASE & COVYLD2,182,331$535.3M0.17%
137ORACLE CORPORCL-PD3,742,544$523.2M0.17%
138ABBOTT LABORATORIESABLZF3,936,594$522.2M0.17%
139WEST PHARMACEUTICAL SERVICES9553061052,331,506$522.0M0.17%
140MERCK & CO. INC.MRK5,812,895$521.8M0.17%
141VERIZON COMMUNICATIONS INCVZ11,477,590$520.6M0.17%
142INTL BUSINESS MACHINES CORPINTR2,088,233$519.3M0.17%
143BOOKING HOLDINGS INCBKNG112,269$517.2M0.17%
144MCDONALD'S CORPMCD1,632,842$510.1M0.16%
145LINDE PLCLIN1,090,111$507.6M0.16%
146ISHARES MSCI EMR MRK EX CHNA46434G7649,146,182$503.9M0.16%
147S&P GLOBAL INCSPGI990,499$503.3M0.16%
148VANGUARD TOTAL STOCK MKT ETF9229087691,816,682$499.3M0.16%
149EXXON MOBIL CORPXOM4,195,909$499.0M0.16%
150TAIWAN SEMICONDUCTOR-SP ADR8740391003,000,461$498.1M0.16%
151WALT DISNEY CO/THE2546871065,044,977$497.9M0.16%
152LOWE'S COS INC5486611072,122,962$495.1M0.16%
153SERVICENOW INCNOW613,690$488.6M0.16%
154GENERAL ELECTRIC3696043012,435,241$487.4M0.16%
155CATERPILLAR INCCAT1,467,105$483.9M0.16%
156COMCAST CORP-CLASS ACCZ13,063,725$482.1M0.16%
157TJX COMPANIES INC8725401093,939,158$479.8M0.16%
158AMAZON.COM INCAMZN2,495,909$474.9M0.15%
159APPLIED MATERIALS INC0382221053,267,266$474.1M0.15%
160NVIDIA CORPNVDA4,362,490$472.8M0.15%
161PEPSICO INCPEP3,152,022$472.6M0.15%
162BRISTOL-MYERS SQUIBB COCELG-RI7,708,797$470.2M0.15%
163RTX CORPRTX3,497,194$463.2M0.15%
164AT&T INCT-PC16,100,876$455.3M0.15%
165PFIZER INCPFE17,919,623$454.1M0.15%
166SCHWAB (CHARLES) CORPSCHW-PJ5,797,005$453.8M0.15%
167DANAHER CORP2358511022,208,770$452.8M0.15%
168STRYKER CORPSYK1,208,471$449.9M0.15%
169NEXTERA ENERGY INCNEE-PW6,326,137$448.5M0.14%
170AMAZON.COM INCAMZN2,352,640$447.6M0.14%
171PROGRESSIVE CORP7433151031,567,373$443.6M0.14%
172ACCENTURE PLC-CL AACN1,418,534$442.6M0.14%
173ISHARES MSCI INDIA ETF46429B5988,547,436$440.0M0.14%
174APPLE INCAAPL1,979,164$439.6M0.14%
175JPMORGAN CHASE & COVYLD1,785,678$438.0M0.14%
176VERTEX PHARMACEUTICALS INCVRTX900,048$436.4M0.14%
177MARSH & MCLENNAN COS5717481021,777,849$433.8M0.14%
178THERMO FISHER SCIENTIFIC INCTMO867,779$431.8M0.14%
179MICROSOFT CORPMSFT1,149,362$431.5M0.14%
180ISHARES SHORT-TERM NATIONAL4642881584,069,121$429.7M0.14%
181VERIZON COMMUNICATIONS INCVZ9,439,762$428.2M0.14%
182BOSTON SCIENTIFIC CORPBSX4,226,624$426.4M0.14%
183MORGAN STANLEYMS-PQ3,650,140$425.9M0.14%
184WATERS CORP9418481031,154,340$425.5M0.14%
185ALPHABET INC-CL AGOOG2,698,467$417.3M0.13%
186JPMORGAN CHASE & COVYLD1,698,967$416.8M0.13%
187APPLE INCAAPL1,872,641$416.0M0.13%
188ISHARES CORE TOTAL BOND ETF46434V6138,999,008$414.7M0.13%
189MICROSOFT CORPMSFT1,100,921$413.3M0.13%
190COGNIZANT TECH SOLUTIONS-ACTSH5,325,629$407.4M0.13%
191BERKSHIRE HATHAWAY INC-CL BBRK-A759,373$404.4M0.13%
192INTUITIVE SURGICAL INCISRG816,168$404.2M0.13%
193WALT DISNEY CO/THE2546871064,094,415$404.1M0.13%
194RTX CORPRTX3,049,956$404.0M0.13%
195PALANTIR TECHNOLOGIES INC-APLTR4,723,952$398.7M0.13%
196EXXON MOBIL CORPXOM3,349,626$398.4M0.13%
197QUALCOMM INCQCOM2,588,787$397.7M0.13%
198LAM RESEARCH CORPLRCX5,469,283$397.6M0.13%
199BERKSHIRE HATHAWAY INC-CL BBRK-A739,067$393.6M0.13%
200DEERE & CODE837,597$393.1M0.13%
201UBER TECHNOLOGIES INCUBER5,380,960$392.1M0.13%
202GOLDMAN SACHS GROUP INCGSCE714,985$390.6M0.13%
203INTUIT INCINTU635,905$390.4M0.13%
204APPLE INCAAPL1,748,575$388.4M0.13%
205AMGEN INCAMGN1,246,309$388.3M0.13%
206ADOBE INCADBE1,005,769$385.7M0.12%
207LOCKHEED MARTIN CORPLMT861,976$385.1M0.12%
208PROGRESSIVE CORP7433151031,348,803$381.7M0.12%
209VANGUARD GROWTH ETF9229087361,028,739$381.5M0.12%
210AT&T INCT-PC13,485,271$381.4M0.12%
211PALO ALTO NETWORKS INCPANW2,232,106$380.9M0.12%
212ADVANCED MICRO DEVICESAMD3,706,365$380.8M0.12%
213ISHARES CORE U.S. AGGREGATE4642872263,843,171$380.2M0.12%
214KLA CORPKLAC557,594$379.1M0.12%
215MEDTRONIC PLCMDT4,206,316$378.0M0.12%
216SERVICENOW INCNOW471,742$375.6M0.12%
217METTLER-TOLEDO INTERNATIONALMTD317,957$375.5M0.12%
218TEXAS INSTRUMENTS INC8825081042,078,548$373.5M0.12%
219FERRARI NVRACE856,845$366.6M0.12%
220S&P GLOBAL INCSPGI720,498$366.1M0.12%
221CATERPILLAR INCCAT1,104,475$364.3M0.12%
222BANK OF AMERICA CORP0605051048,576,218$357.9M0.12%
223STARBUCKS CORPSBUX3,623,042$355.4M0.11%
224BOOKING HOLDINGS INCBKNG77,004$354.8M0.11%
225AMERICAN EXPRESS COAXP1,310,501$352.6M0.11%
226ALCON INCALC3,713,908$352.6M0.11%
227CISCO SYSTEMS INCCSCO5,703,871$352.0M0.11%
228NVIDIA CORPNVDA3,244,252$351.6M0.11%
229ALPHABET INC-CL CGOOG2,228,207$348.1M0.11%
230SOUTHERN CO/THESOMN3,784,312$348.0M0.11%
231ISHARES RUSSELL 1000 GROWTH464287614958,436$346.1M0.11%
232PROLOGIS INCPLDGP3,091,107$345.6M0.11%
233FISERV INCFISV1,564,049$345.4M0.11%
234AMAZON.COM INCAMZN1,813,598$345.1M0.11%
235VANGUARD FTSE DEVELOPED ETF9219438586,776,451$344.4M0.11%
2363M COMMM2,345,328$344.4M0.11%
237UBER TECHNOLOGIES INCUBER4,720,712$344.0M0.11%
238MEDTRONIC PLCMDT3,805,576$342.0M0.11%
239ALTRIA GROUP INCMO5,672,975$340.5M0.11%
240ISHARES RUSSELL 2000 ETF4642876551,694,286$338.0M0.11%
241BOSTON SCIENTIFIC CORPBSX3,327,099$335.6M0.11%
242UNION PACIFIC CORPUNP1,412,883$333.8M0.11%
243DUKE ENERGY CORPDUKB2,716,432$331.3M0.11%
244META PLATFORMS INC-CLASS AMETA572,208$329.8M0.11%
245VANGUARD TOTAL BOND MARKET9219378354,462,038$327.7M0.11%
246MONDELEZ INTERNATIONAL INC-A6092071054,824,114$327.3M0.11%
247NIKE INC -CL BNKE5,148,527$326.8M0.11%
248ANALOG DEVICES INCADI1,614,500$325.6M0.11%
249INTEL CORPINTC14,232,245$323.2M0.10%
250MORGAN STANLEYMS-PQ2,769,555$323.1M0.10%
251VANGUARD VALUE ETF9229087441,870,061$323.0M0.10%
252UNITEDHEALTH GROUP INCUNH615,504$322.4M0.10%
253MASTERCARD INC - AMA587,748$322.2M0.10%
254PFIZER INCPFE12,663,310$320.9M0.10%
255VANGUARD FTSE DEVELOPED ETF9219438586,294,343$319.9M0.10%
256CME GROUP INCCME1,204,699$319.6M0.10%
257COMCAST CORP-CLASS ACCZ8,634,887$318.6M0.10%
258GILEAD SCIENCES INCGILD2,829,867$317.1M0.10%
259TJX COMPANIES INC8725401092,588,855$315.3M0.10%
260HONEYWELL INTERNATIONAL INC4385161061,483,457$314.1M0.10%
261BLACKROCK INCBLK331,753$314.0M0.10%
262CONOCOPHILLIPSCOP2,977,309$312.7M0.10%
263SHERWIN-WILLIAMS CO/THESHW892,101$311.5M0.10%
264ASSURANT INCAIZN1,481,062$310.7M0.10%
265MICRON TECHNOLOGY INCMU3,571,624$310.3M0.10%
266NEXTERA ENERGY INCNEE-PW4,364,338$309.4M0.10%
267UNITEDHEALTH GROUP INCUNH588,675$308.3M0.10%
268WELLTOWER INCWELL2,012,299$308.3M0.10%
269LOWE'S COS INC5486611071,315,256$306.8M0.10%
270COLGATE-PALMOLIVE COCL3,230,328$302.7M0.10%
271CITIGROUP INCC-PR4,243,010$301.2M0.10%
272BROADCOM INCAVGO1,790,931$299.9M0.10%
273SCHWAB (CHARLES) CORPSCHW-PJ3,826,764$299.6M0.10%
274ELEVANCE HEALTH INCELV687,537$299.1M0.10%
275DANAHER CORP2358511021,458,257$298.9M0.10%
276WASTE MANAGEMENT INC94106L1091,283,807$297.2M0.10%
277BERKSHIRE HATHAWAY INC-CL BBRK-A556,894$296.6M0.10%
278CHUBB LTDCB980,721$296.2M0.10%
279STRYKER CORPSYK794,624$295.8M0.10%
280MEDTRONIC PLCMDT3,248,829$291.9M0.09%
281BOEING CO/THEBA-PA1,708,355$291.4M0.09%
282JOHNSON & JOHNSONJNJ1,754,851$291.0M0.09%
283T-MOBILE US INCTMUSZ1,090,656$290.9M0.09%
284VANGUARD MORTGAGE-BACKED SEC92206C7716,255,693$289.7M0.09%
285JOHNSON & JOHNSONJNJ1,742,455$289.0M0.09%
286AUTOMATIC DATA PROCESSINGADP943,615$288.3M0.09%
287EOG RESOURCES INCEOG2,238,889$287.1M0.09%
288FISERV INCFISV1,298,525$286.8M0.09%
289JOHNSON & JOHNSONJNJ1,728,334$286.6M0.09%
290CROWDSTRIKE HOLDINGS INC - ACRWD812,650$286.5M0.09%
291BOEING CO/THEBA-PA1,679,015$286.4M0.09%
292AMERICAN TOWER CORP03027X1001,314,375$286.0M0.09%
293BLACKSTONE INCBX2,045,527$285.9M0.09%
294MCKESSON CORPMCK423,033$284.7M0.09%
295VERTEX PHARMACEUTICALS INCVRTX585,760$284.0M0.09%
296ILLINOIS TOOL WORKS4523081091,143,077$283.5M0.09%
297VANGUARD GROWTH ETF922908736762,822$282.9M0.09%
298ALPHABET INC-CL AGOOG1,810,270$279.9M0.09%
299BRISTOL-MYERS SQUIBB COCELG-RI4,565,248$278.4M0.09%
300MOTOROLA SOLUTIONS INCMSI635,265$278.1M0.09%
301APPLIED MATERIALS INC0382221051,907,366$276.8M0.09%
302AT&T INCT-PC9,778,651$276.5M0.09%
303AMPHENOL CORP-CL A0320951014,211,330$276.2M0.09%
304O'REILLY AUTOMOTIVE INC67103H107192,583$275.9M0.09%
305THE CIGNA GROUP125523100838,353$275.8M0.09%
306VANGUARD VALUE ETF9229087441,595,158$275.5M0.09%
307BANK OF AMERICA CORP0605051046,602,430$275.5M0.09%
308CISCO SYSTEMS INCCSCO4,462,104$275.4M0.09%
309APPLE INCAAPL1,229,162$273.0M0.09%
310DEERE & CODE580,977$272.7M0.09%
311MARSH & MCLENNAN COS5717481021,113,620$271.8M0.09%
312INTERCONTINENTAL EXCHANGE IN45866F1041,571,745$271.1M0.09%
313PAYCHEX INCPAYX1,737,412$268.0M0.09%
314WILLIAMS COS INC9694571004,467,715$267.0M0.09%
315HUBBELL INCHUBB805,473$266.5M0.09%
316CHUBB LTDCB880,341$265.9M0.09%
317CVS HEALTH CORPCVS3,921,562$265.7M0.09%
318ALPHABET INC-CL CGOOG1,694,045$264.7M0.09%
319ZOETIS INCZTS1,594,276$262.5M0.08%
320SPDR PORTFOLIO S&P 500 GROWT78464A4093,256,673$261.7M0.08%
321CINTAS CORPCTAS1,273,396$261.7M0.08%
322EATON CORP PLCETN955,433$259.7M0.08%
323MEDTRONIC PLCMDT2,886,522$259.4M0.08%
324PHILLIPS 66PSX2,086,444$257.6M0.08%
325STARBUCKS CORPSBUX2,603,888$255.4M0.08%
326AON PLC-CLASS AAON638,411$254.8M0.08%
327PALO ALTO NETWORKS INCPANW1,491,650$254.5M0.08%
328AIR PRODUCTS & CHEMICALS INCAIIR857,587$252.9M0.08%
329DANAHER CORP2358511021,229,698$252.1M0.08%
330APPLE INCAAPL1,127,086$250.4M0.08%
331NVIDIA CORPNVDA2,309,305$250.3M0.08%
332REGENERON PHARMACEUTICALSREGN394,521$250.2M0.08%
333BRISTOL-MYERS SQUIBB COCELG-RI4,093,001$249.6M0.08%
334SYNOPSYS INCSNPS576,731$247.3M0.08%
335EQUINIX INCEQIX303,152$247.2M0.08%
336CADENCE DESIGN SYS INCCDNS971,323$247.0M0.08%
337BERKSHIRE HATHAWAY INC-CL BBRK-A459,693$244.8M0.08%
338CANADIAN NATL RAILWAY CO1363751022,509,240$244.6M0.08%
339EATON CORP PLCETN898,708$244.3M0.08%
340MICROSOFT CORPMSFT650,201$244.1M0.08%
341MOODY'S CORPMCO523,751$243.9M0.08%
342ONEOK INCOKE2,453,336$243.4M0.08%
343MEDTRONIC PLCMDT2,707,244$243.3M0.08%
344PROLOGIS INCPLDGP2,167,711$242.3M0.08%
345PARKER HANNIFIN CORPPH398,603$242.3M0.08%
346KIMBERLY-CLARK CORPKMB1,697,441$241.4M0.08%
347DANAHER CORP2358511021,176,529$241.2M0.08%
348COSTCO WHOLESALE CORP22160K105254,202$240.4M0.08%
349GE VERNOVA INCGEV787,449$240.4M0.08%
350AON PLC-CLASS AAON602,199$240.3M0.08%
351TARGET CORPTGT2,294,240$239.4M0.08%
352HCA HEALTHCARE INCHCA692,736$239.4M0.08%
353MICROSOFT CORPMSFT633,994$238.0M0.08%
354INTERNATIONAL PAPER CO4601461034,450,840$237.5M0.08%
355MASTERCARD INC - AMA430,762$236.1M0.08%
356GENERAL DYNAMICS CORPGD864,354$235.6M0.08%
357HUBBELL INCHUBB710,450$235.1M0.08%
358ELEVANCE HEALTH INCELV539,386$234.6M0.08%
359GE VERNOVA INCGEV767,334$234.3M0.08%
360AMERICAN ELECTRIC POWER0255371012,141,524$234.0M0.08%
361AMERICAN TOWER CORP03027X1001,070,712$233.0M0.08%
362AMAZON.COM INCAMZN1,222,581$232.6M0.08%
363KKR & CO INCKKRT2,008,490$232.2M0.08%
364ARTHUR J GALLAGHER & CO363576109669,509$231.1M0.07%
365US BANCORPUSB-PS5,469,596$230.9M0.07%
366BLACKSTONE INCBX1,648,710$230.5M0.07%
367ALTRIA GROUP INCMO3,829,552$229.8M0.07%
368JPMORGAN CHASE & COVYLD935,783$229.5M0.07%
369ELI LILLY & COLLY277,836$229.5M0.07%
370MICROSOFT CORPMSFT609,369$228.8M0.07%
371ANALOG DEVICES INCADI1,125,999$227.1M0.07%
372AMERICAN INTERNATIONAL GROUP0268747842,608,136$226.8M0.07%
373SOUTHERN CO/THESOMN2,461,941$226.4M0.07%
374UNITED PARCEL SERVICE-CL BUPS2,056,512$226.2M0.07%
375ARISTA NETWORKS INCANET2,913,608$225.7M0.07%
376APPLE INCAAPL1,015,469$225.6M0.07%
377TRAVELERS COS INC/THETRV851,088$225.1M0.07%
378PROCTER & GAMBLE CO/THE7427181091,316,858$224.4M0.07%
379KINDER MORGAN INCEP-PC7,839,305$223.7M0.07%
380INTEL CORPINTC9,829,412$223.2M0.07%
381INTERNATIONAL PAPER CO4601461034,177,899$222.9M0.07%
382FORTINET INCFTNT2,304,645$221.8M0.07%
383INTERCONTINENTAL EXCHANGE IN45866F1041,285,974$221.8M0.07%
384EXELON CORPEXC4,788,076$220.6M0.07%
385DANAHER CORP2358511021,075,698$220.5M0.07%
386ALPHABET INC-CL CGOOG1,410,341$220.3M0.07%
387AMERICAN INTERNATIONAL GROUP0268747842,528,891$219.9M0.07%
388CSX CORPCSX7,463,500$219.7M0.07%
389MARRIOTT INTERNATIONAL -CL A571903202920,004$219.1M0.07%
390MICRON TECHNOLOGY INCMU2,515,286$218.6M0.07%
391NVIDIA CORPNVDA2,005,685$217.4M0.07%
392ASSURANT INCAIZN1,035,015$217.1M0.07%
393APPLE INCAAPL974,913$216.6M0.07%
394ISHARES SELECT DIVIDEND ETF4642871681,612,089$216.5M0.07%
395WELLTOWER INCWELL1,412,350$216.4M0.07%
396BRISTOL-MYERS SQUIBB COCELG-RI3,547,109$216.3M0.07%
397CONSTELLATION ENERGYCEG1,072,407$216.2M0.07%
398LOCKHEED MARTIN CORPLMT482,806$215.7M0.07%
399LAM RESEARCH CORPLRCX2,963,026$215.4M0.07%
400HOME DEPOT INCHD587,762$215.4M0.07%
401ABBVIE INCABBV1,027,199$215.2M0.07%
402CME GROUP INCCME809,115$214.7M0.07%
403BROADCOM INCAVGO1,277,272$213.9M0.07%
404CISCO SYSTEMS INCCSCO3,458,002$213.4M0.07%
405ROPER TECHNOLOGIES INCROP361,208$213.0M0.07%
406PHILIP MORRIS INTERNATIONAL7181721091,334,286$211.8M0.07%
407L3HARRIS TECHNOLOGIES INCLHX1,011,314$211.7M0.07%
408PNC FINANCIAL SERVICES GROUP6934751051,202,781$211.4M0.07%
409AON PLC-CLASS AAON529,484$211.3M0.07%
410ALCON INCALC2,225,666$211.3M0.07%
411PAYPAL HOLDINGS INCPYPL3,237,625$211.3M0.07%
412DUKE ENERGY CORPDUKB1,726,507$210.6M0.07%
413ISHARES 1-3 YEAR TREASURY BO4642874572,544,224$210.5M0.07%
414ISHARES CORE MSCI EMERGING46434G1033,893,376$210.1M0.07%
415ISHARES MSCI EAFE SMALL-CAP4642882733,289,817$209.0M0.07%
416PHILLIPS 66PSX1,685,039$208.1M0.07%
417ECOLAB INCECL820,442$208.0M0.07%
418KLA CORPKLAC305,968$208.0M0.07%
419VANGUARD MID-CAP ETF922908629803,783$207.9M0.07%
420ZOETIS INCZTS1,261,573$207.7M0.07%
421FEDEX CORPFDX848,366$206.8M0.07%
422ALPHABET INC-CL CGOOG1,318,320$206.0M0.07%
423CAPITAL ONE FINANCIAL CORP14040H1051,148,264$205.9M0.07%
424THE CIGNA GROUP125523100624,368$205.4M0.07%
425ISHARES CORE S&P 500 ETF464287200364,891$205.0M0.07%
426WASTE MANAGEMENT INC94106L109884,034$204.7M0.07%
427MONDELEZ INTERNATIONAL INC-A6092071053,009,674$204.2M0.07%
428LINDE PLCLIN437,827$203.9M0.07%
429VANGUARD FTSE EMERGING MARKE9220428584,494,082$203.4M0.07%
430NORTHROP GRUMMAN CORPNOC396,882$203.2M0.07%
431BECTON DICKINSON AND COBDX884,224$202.5M0.07%
432FIRST HORIZON CORPFHN-PH10,407,056$202.1M0.07%
433VANGUARD TOTAL INTL BOND ETF92203J4074,125,072$201.4M0.07%
434META PLATFORMS INC-CLASS AMETA348,015$200.6M0.06%
435AUTODESK INCADSK765,170$200.3M0.06%
436SCHLUMBERGER LTDSLB4,785,829$200.0M0.06%
437ISHARES MSCI USA QUALITY FAC46432F3391,168,946$199.8M0.06%
438LINDE PLCLIN428,045$199.3M0.06%
439O'REILLY AUTOMOTIVE INC67103H107139,099$199.3M0.06%
440MCKESSON CORPMCK295,086$198.6M0.06%
441GOLDMAN SACHS GROUP INCGSCE362,163$197.8M0.06%
442NORFOLK SOUTHERN CORP655844108832,271$197.1M0.06%
443DOORDASH INC - ADASH1,075,236$196.5M0.06%
444ARTHUR J GALLAGHER & CO363576109566,557$195.6M0.06%
445JPMORGAN CHASE & COVYLD794,618$194.9M0.06%
446CROWDSTRIKE HOLDINGS INC - ACRWD552,252$194.7M0.06%
447VANGUARD SHORT-TERM BOND ETF9219378272,487,283$194.7M0.06%
448VANGUARD S&P 500 ETF922908363377,883$194.2M0.06%
449ELI LILLY & COLLY234,094$193.3M0.06%
450PHILLIPS 66PSX1,564,243$193.2M0.06%
451SIMON PROPERTY GROUP INC8288061091,159,885$192.6M0.06%
452TRANE TECHNOLOGIES PLCTT571,701$192.6M0.06%
453CVS HEALTH CORPCVS2,837,280$192.2M0.06%
454GE VERNOVA INCGEV626,506$191.3M0.06%
455AT&T INCT-PC6,737,744$190.5M0.06%
456AON PLC-CLASS AAON477,282$190.5M0.06%
457AMPHENOL CORP-CL A0320951012,888,008$189.4M0.06%
458ADOBE INCADBE493,321$189.2M0.06%
459UNITEDHEALTH GROUP INCUNH360,689$188.9M0.06%
460MICROSOFT CORPMSFT502,645$188.7M0.06%
461NEWMONT CORPNEMCL3,895,352$188.1M0.06%
462AUTOZONE INCAZO49,106$187.2M0.06%
463EXXON MOBIL CORPXOM1,570,580$186.8M0.06%
464O'REILLY AUTOMOTIVE INC67103H107130,330$186.7M0.06%
465SHERWIN-WILLIAMS CO/THESHW533,446$186.3M0.06%
466WORKDAY INC-CLASS AWDAY795,770$185.8M0.06%
467APPLE INCAAPL836,173$185.7M0.06%
468FASTENAL COFAST2,384,653$184.9M0.06%
469ALPHABET INC-CL AGOOG1,194,797$184.8M0.06%
470PACCAR INCPCAR1,892,754$184.3M0.06%
471EQUINIX INCEQIX225,942$184.2M0.06%
472EXELON CORPEXC3,989,816$183.9M0.06%
473HUBBELL INCHUBB555,582$183.8M0.06%
474MARATHON PETROLEUM CORPMARA1,258,786$183.4M0.06%
475TRANE TECHNOLOGIES PLCTT544,113$183.3M0.06%
476PROGRESSIVE CORP743315103646,745$183.0M0.06%
477UNITED PARCEL SERVICE-CL BUPS1,658,320$182.4M0.06%
478DOMINION ENERGY INCD3,252,026$182.3M0.06%
479MICROSOFT CORPMSFT485,721$182.3M0.06%
480YUM! BRANDS INCYUM1,156,177$181.9M0.06%
481TRANSDIGM GROUP INCTDG131,504$181.9M0.06%
482ARISTA NETWORKS INCANET2,345,848$181.8M0.06%
483CHIPOTLE MEXICAN GRILL INCCMG3,616,878$181.6M0.06%
484BANK OF NEW YORK MELLON CORP0640581002,164,118$181.5M0.06%
485AFLAC INCAFL1,632,124$181.5M0.06%
486DIAMONDBACK ENERGY INCFANG1,134,351$181.4M0.06%
4873M COMMM1,232,954$181.1M0.06%
488REPUBLIC SERVICES INC760759100746,269$180.7M0.06%
489VANGUARD DIVIDEND APPREC ETF921908844931,036$180.6M0.06%
490FERGUSON ENTERPRISES INCFERG1,126,691$180.5M0.06%
491EQT CORPEQT3,377,993$180.5M0.06%
492TRUIST FINANCIAL CORP89832Q1094,382,719$180.3M0.06%
493GOLDMAN SACHS GROUP INCGSCE330,068$180.3M0.06%
494AMPHENOL CORP-CL A0320951012,736,396$179.5M0.06%
495NVIDIA CORPNVDA1,655,615$179.4M0.06%
496TAIWAN SEMICONDUCTOR-SP ADR8740391001,076,013$178.6M0.06%
497MERCADOLIBRE INCMELI90,975$177.5M0.06%
498DOLBY LABORATORIES INC-CL ADLB2,204,516$177.0M0.06%
499VANGUARD SMALL-CAP ETF922908751795,269$176.4M0.06%
500REALTY INCOME CORPO3,027,314$175.6M0.06%