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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

Independence Bank of Kentucky

Quarter ended Q4 2024 · Filed January 24, 2025 · Accession 0001730479-25-000001

Total Value
$649.8M
Positions
623
Other Managers
0
Confidential Omitted
No
View on SEC.gov

Holdings (500)

#IssuerTicker / CUSIPSharesValue% of Filing
1S&P 500 Tr UTS Unit 1 SerSPY125,360$73.5M11.32%
2Apple IncorporatedAAPL120,698$30.2M4.66%
3Microsoft CorpMSFT67,569$28.5M4.39%
4JP Morgan Chase & CoVYLD90,862$21.8M3.36%
5Vanguard Total Stock Market ETF92290876962,892$18.2M2.81%
6Amazon Com IncAMZN76,174$16.7M2.57%
7Alphabet Inc Class AGOOG84,534$16.0M2.47%
8Nvidia Corp CommonNVDA95,682$12.8M1.98%
9Meta Platform, Inc.META17,893$10.5M1.61%
10Visa IncV32,149$10.2M1.57%
11Procter & Gamble Co74271810950,424$8.5M1.30%
12Ishares Russell Midcap Index46428749992,174$8.1M1.26%
13Vanguard S&P 500 Index ETF92290836314,282$7.7M1.19%
14Ishares Tr MSCI EAFE Index46428746595,898$7.3M1.12%
15Home Depot IncHD18,064$7.0M1.08%
16Johnson & JohnsonJNJ45,467$6.6M1.01%
17Russell 2000 Index Fund46428765529,313$6.5M1.00%
18Chevron CorporationCVX42,371$6.1M0.95%
19Ishares Msci Usa Min Vol Factor ETF46429B69768,592$6.1M0.94%
20Pepsico IncPEP39,991$6.1M0.94%
21Lilly Eli & CoLLY7,680$5.9M0.91%
22United Health Group IncUNH10,675$5.4M0.83%
23Oracle CorpORCL-PD31,605$5.3M0.81%
24Vanguard High Dividend Yield ETF92194640640,124$5.1M0.79%
25Ishares S&P 100 Index Fund ETF46428710117,486$5.1M0.78%
26S&P Global Inc CommonSPGI10,006$5.0M0.77%
27Automatic Data ProcessingADP16,665$4.9M0.75%
28Wal Mart IncWMT51,859$4.7M0.72%
29Abbvie Inc ComABBV25,823$4.6M0.71%
30Salesforce Common IncCRM12,439$4.2M0.64%
31Merck & Co Inc New ComMRK41,628$4.1M0.64%
32ASML Holding NVASMLF5,831$4.0M0.62%
33Berkshire Hathaway Inc Del Cl B NewBRK-A8,808$4.0M0.62%
34Exxon Mobil CorpXOM36,841$4.0M0.61%
35Abbott LabsABLZF34,456$3.9M0.60%
36Nextera Energy IncNEE-PW51,328$3.7M0.57%
37Lowes Cos Inc54866110714,877$3.7M0.57%
38Mastercard IncMA6,735$3.5M0.55%
39Broadcom IncAVGO15,050$3.5M0.54%
40Wisdomtree US Midcap Dividend Fund ETFWT66,255$3.4M0.52%
41Advanced Micro Devices Inc Corp CommonAMD27,533$3.3M0.51%
42SPDR S&P Dividend ETF78464A76324,744$3.3M0.50%
43Vertiv Holdings Co Cl AVRT27,165$3.1M0.48%
44Waste Management Inc New94106L10915,093$3.0M0.47%
45Invesco QQQ Tr Unit Ser 1IVZ5,937$3.0M0.47%
46Disney (Walt) Company25468710626,280$2.9M0.45%
47Altria Group IncMO53,892$2.8M0.43%
48Ishares Tr Core S&P 500 ETF4642872004,748$2.8M0.43%
49Spdr State St Global Adv S&P Midcap 400 ETFMDY4,789$2.7M0.42%
50Ishares MSCI Emerging Mkts Index Fund46428723464,470$2.7M0.42%
51Stryker CorpSYK7,464$2.7M0.41%
52United Parcel ServiceUPS21,047$2.7M0.41%
53TJX Companies Inc87254010921,795$2.6M0.41%
54Intercontinental Exchange Inc45866F10417,564$2.6M0.40%
55Coca Cola CoKO41,788$2.6M0.40%
56US Bancorp DelUSB-PS54,240$2.6M0.40%
57Alphabet Inc Class CGOOG13,531$2.6M0.40%
58McDonalds CorpMCD8,865$2.6M0.40%
59Avantis US Small Cap Value ETF02507287726,538$2.6M0.39%
60Ishares Tr Russell 1000 Growth4642876146,363$2.6M0.39%
61Palo Alto Networks Inc CommonPANW13,406$2.4M0.38%
62Air Products and ChemicalsAIIR8,276$2.4M0.37%
63Accenture PLCACN6,786$2.4M0.37%
64General Dynamics CorpGD8,832$2.3M0.36%
65Energy - SPDR Select Sector ETF81369Y50626,364$2.3M0.35%
66Sysco CorpSYY29,362$2.2M0.35%
67Churchill Downs IncCHDN16,290$2.2M0.34%
68Costco Wholesale Corp Com22160K1052,335$2.1M0.33%
69Philip Morris Int Inc71817210917,461$2.1M0.32%
70Honeywell, Inc4385161069,133$2.1M0.32%
71Eaton Corporation PLCETN6,167$2.0M0.32%
72Ishares Dow Jones Select Divindex Fund46428716815,215$2.0M0.31%
73Thermo Fisher Scientific IncTMO3,825$2.0M0.31%
74Pfizer IncPFE73,913$2.0M0.30%
75Ishares Tr Russell 3000 ETF4642876895,833$1.9M0.30%
76Adobe Systems Incorporated DelawareADBE4,324$1.9M0.30%
77Vanguard Gov't Long-Term Treasury ETF92206C84733,598$1.9M0.29%
78Target CorpTGT13,687$1.9M0.29%
79T-mobile US Inc CommonTMUSZ8,296$1.8M0.28%
80PNC Financial Services Group6934751059,252$1.8M0.27%
81Bank of America Corporation06050510439,729$1.7M0.27%
82Union Pacific CorporationUNP7,508$1.7M0.26%
83Truist Financial Corp Common89832Q10939,168$1.7M0.26%
84Raytheon Technologies Corp CommonRTX14,350$1.7M0.26%
85Texas Instruments Inc8825081048,845$1.7M0.26%
86Verizon Communications Inc Usd 1VZ41,237$1.6M0.25%
87Mondelez International Inc60920710526,949$1.6M0.25%
88Lockheed Martin CorpLMT3,256$1.6M0.24%
89Paychex IncPAYX11,176$1.6M0.24%
90Expedia Group IncEXPE8,337$1.6M0.24%
91Illinois Tool Works Inc4523081096,098$1.5M0.24%
92Norfolk Southn Corp6558441086,464$1.5M0.23%
93Morgan StanleyMS-PQ11,845$1.5M0.23%
94Invesco S&P 500 Equal Weight ETFIVZ8,452$1.5M0.23%
95Vanguard Real Estate ETF92290855316,508$1.5M0.23%
96Danaher Corp2358511026,261$1.4M0.22%
97The Williams Co Inc96945710026,409$1.4M0.22%
98Cisco Systems IncCSCO23,921$1.4M0.22%
99Vanguard Small Cap ETF9229087515,858$1.4M0.22%
100Vanguard Intermediate-Term Corp Bond Index Fund92206C87017,488$1.4M0.22%
101Ishares Tr Core MSCI EAFE ETF46432F84219,550$1.4M0.21%
102Vanguard Short-Term Corp Index Fund92206C40917,441$1.4M0.21%
103Wisdomtree US Smallcap Dividend Fund ETFWT39,120$1.3M0.21%
104Atmos Energy CorpATO9,573$1.3M0.21%
1053M CompanyMMM10,296$1.3M0.20%
106Vanguard Growth Vipers ETF9229087363,183$1.3M0.20%
107Flexshares Morningstar Global Natural Res ETFFLEX34,651$1.3M0.19%
108Ishares Trust Pfd & Income Securities ETF46428868740,062$1.3M0.19%
109American Tower REIT03027X1006,724$1.2M0.19%
110Netflix Inc CommonNFLX1,358$1.2M0.19%
111Schwab Charles Corp New CommonSCHW-PJ15,915$1.2M0.18%
112International Business MachsINTR5,345$1.2M0.18%
113Qualcomm IncorporatedQCOM7,498$1.2M0.18%
114Ishares Tr MSCI EAFE Small Cap ETF46428827318,919$1.1M0.18%
115Uber Technologies Inc Corp CommonUBER19,002$1.1M0.18%
116Novo-nordisk A S ADRNONOF13,190$1.1M0.17%
117Ishares MSCI EAFE Value Index Fund46428887721,495$1.1M0.17%
118Brown Forman Corp Class BBF-B28,959$1.1M0.17%
119FedEx CorporationFDX3,845$1.1M0.17%
120Stock Yards Bancorp Inc Corp Common86102510415,043$1.1M0.17%
121Snowflake Inc. Class ASNOW6,972$1.1M0.17%
122Generac Holdings IncGNRC6,895$1.1M0.16%
123Invesco BulletShares 2032 Corp Bd ETFIVZ52,743$1.1M0.16%
124Invesco BulletShares 2031 Corp Bd ETFIVZ65,614$1.1M0.16%
125Civitas Resources Inc17888H10322,875$1.0M0.16%
126VanEck Semiconductor ETF92189F6764,275$1.0M0.16%
127Invesco BulletShares 2030 Corp Bd ETFIVZ62,745$1.0M0.16%
128ConocophillipsCOP10,344$1.0M0.16%
129Invesco BulletShares 2029 Corp Bd ETFIVZ54,274$995,3850.15%
130Micron Technology Inc CommonMU11,798$992,9200.15%
131Discover Finl Svcs Common2547091085,622$973,8990.15%
132Sherwin-Williams CoSHW2,811$955,5430.15%
133Invesco BulletShares 2028 Corp Bd ETFIVZ47,122$948,5660.15%
134Crowdstrike Holdings Inc Class ACRWD2,767$946,7570.15%
135Tesla IncTSLA2,335$942,9660.15%
136Shell PLC CommonRYDAF14,975$938,1840.14%
137Starbucks CorporationSBUX10,156$926,7350.14%
138Invesco BulletShares 2027 Corp Bd ETFIVZ47,105$917,6050.14%
139Novartis AG Spons ADRNVSEF9,382$912,9620.14%
140Cummins IncCMI2,590$902,8740.14%
141Industrials - SPDR Select Sector ETF81369Y7046,846$902,0290.14%
142Goldman Sachs Group IncGSCE1,552$888,7060.14%
143iShares Semiconductor ETF4642875234,096$882,6470.14%
144Vanguard Mid Cap ETF9229086293,318$876,3830.14%
145Linde PLC CorpLIN2,086$873,3460.13%
146Schlumberger LTDSLB22,770$873,0020.13%
147Constellation Brands CommonSTZ3,784$836,2640.13%
148Iron Mountain Inc46284V1017,724$811,8700.13%
149Humana IncHUM3,104$787,5160.12%
150Invesco Bulletshares 2033 Corp Bd ETFIVZ37,822$779,8900.12%
151Caterpillar IncCAT2,130$772,6790.12%
152Amgen IncAMGN2,960$771,4940.12%
153Ishares Tr Natl Mun Bd ETF Fund4642884147,225$769,8240.12%
154JP Morgan Premium Income ETF46641Q33213,290$764,5740.12%
155Copart IncCPRT13,006$746,4140.11%
156Suncor Energy Inc NewSU20,862$744,3560.11%
157Citigroup Inc Com NewC-PR10,553$742,8260.11%
158Pinnacle Financial Partners72346Q1046,395$731,5240.11%
159Ishares Tr S&P Mid Cap 400 Value ETF4642877055,828$728,2670.11%
160Equinix Inc REITEQIX768$724,1400.11%
161Yum Brands Inc CommonYUM5,363$719,5000.11%
162Colgate Palmolive CoCL7,793$708,4620.11%
163CSX CorpCSX21,640$698,3230.11%
164Diamondback Energy Inc CommonFANG4,261$698,0800.11%
165Technology - SPDR Select Sector ETF81369Y8032,995$696,3970.11%
166Coca-Cola Consolidated IncCOKE550$692,9950.11%
167Deere & CompanyDE1,628$689,7840.11%
168Ishares DJ US Utilities Sctr4642876976,864$660,3850.10%
169Vanguard Div Appreciation ETF9219088443,362$658,3800.10%
170Ishares Tr Russell 1000 Val4642875983,550$657,2120.10%
171Lancaster Colony CorpMZTI3,637$629,7100.10%
172S&P 500 Catholic Values ETF37954Y8898,850$626,9340.10%
173Duke Energy Corp NewDUKB5,762$620,7980.10%
174Canadian Pacific Kansas City Ltd CorpCP8,554$619,0530.10%
175Vanguard Tax-mgd Intl Fd Ftse Dev Mkts ETF92194385812,905$617,1170.10%
176SPDR Gold TrGLD2,489$602,6620.09%
177Prologis Inc CommonPLDGP5,689$601,3270.09%
178Bristol Myers Squibb CoCELG-RI10,597$599,3660.09%
179Chubb Limited, ZuerichCB2,157$595,9790.09%
180Amerprise Financial03076C1061,106$588,8680.09%
181Ulta Salon Cosmetics & Fragrance IncULTA1,335$580,6320.09%
182Allstate CorpALL-PJ2,975$573,5500.09%
183Diageo PLC New Spons ADRDGEAF4,243$539,4130.08%
184Emerson Electric CompanyEMR4,344$538,3520.08%
185Unilever PLC ADRUNLYF9,477$537,3460.08%
186Invesco Exchange Traded PFD IIIVZ45,760$527,6130.08%
187Vanguard Long-term Bond Index Fund ETF9219377937,587$519,1780.08%
188Flutter Entertainment PLCG3643J1082,003$517,6750.08%
189Cloudflare Inc Class A CommonNET4,735$509,8650.08%
190Elevance Health, Inc.ELV1,359$501,3350.08%
191Intuitive Surgical Inc CorpISRG958$500,0380.08%
192Invesco BulletShares 2026 Corp Bd ETFIVZ25,576$496,9420.08%
193Ishares MSCI EAFE Growth Index Fund4642888855,109$494,7040.08%
194Vanguard Total International Stock Index ETF9219097688,374$493,4800.08%
195iShares iBoxx Invst Gr Corp Bd ETF4642872424,554$486,5490.07%
196First Solar Inc CommonFSLR2,720$479,3730.07%
197Ford Motor Co34537086047,133$466,6170.07%
198Draftkings Inc. Class ADKNG12,285$457,0020.07%
199Fiserv, Inc CommonFISV2,206$453,1570.07%
200GE Aerospace Com New3696043012,698$449,9990.07%
201Analog Devices Inc Corp ComADI2,086$443,1920.07%
202American Water Works Co Inc0304201033,557$442,8110.07%
203Real Estate - Select Sector ETF81369Y86010,819$440,0090.07%
204Invesco BulletShares 2025 Corp Bd ETFIVZ21,247$438,7510.07%
205Servicenow Inc CommonNOW408$432,5290.07%
206E.L.F. Beauty IncELF3,420$429,3810.07%
207Ishares Msci USA Quality Factor ETF46432F3392,367$421,5150.06%
208IShares Russell Mid-cap Value ETF4642874733,244$419,5790.06%
209Medtronic PLCMDT5,188$414,4170.06%
210Broadridge Finl Solutions Inc Common11133T1031,820$411,4840.06%
211Applied Materials Inc0382221052,525$410,6410.06%
212The Hershey CompanyHSY2,415$408,9800.06%
213Palantir Technologies Inc. Class APLTR5,300$400,8390.06%
214Blackstone Inc CommonBX2,250$387,9450.06%
215Consumer Discretionary - SPDR Select Sector ETF81369Y4071,716$384,9850.06%
216Kroger CompanyKR6,257$382,6160.06%
217Valero Energy CorpVLO3,119$382,3580.06%
218Marathon Petroleum CorpMARA2,737$381,8120.06%
219Cardinal Health IncCAH3,225$381,4210.06%
220iShares U.S. Technology ETF4642877212,383$380,1360.06%
221Phillips 66 ComPSX3,314$377,5640.06%
222Quanta Services, Inc.74762E1021,185$374,5190.06%
223CVS Health CorporationCVS8,127$364,8210.06%
224Digital Rlty Tr Inc REIT2538681032,034$360,6890.06%
225Capital One Financial14040H1052,019$360,0280.06%
226BellRing Brands, Inc.BRBR4,770$359,3720.06%
227Moody's Corp.MCO758$358,8140.06%
228Flexshares Global Broad Infrastracture CommonFLEX6,615$358,6850.06%
229International Paper4601461036,640$357,3650.06%
230Canadian Imperial Bank CommonCNDIF5,646$356,9970.05%
231Southern CompanySOMN4,230$348,2140.05%
232Sempra EnergySREA3,931$344,8270.05%
233Dollar TreeDLTR4,565$342,1010.05%
234Ishares Tr S&P Midcap 400 Growth ETF4642876063,760$341,8970.05%
235Cintas CorpCTAS1,868$341,2840.05%
236Zimmer Biomet Holdings IncZBH3,213$339,3890.05%
237Health Care - SPDR Select Sector ETF81369Y2092,433$334,7080.05%
238Dupont De Nemours Inc Corp CommonDD4,289$327,0360.05%
239Vertex Pharmaceuticals IncVRTX804$323,7710.05%
240Fortinet Inc.FTNT3,375$318,8700.05%
241Ishares Tr Core U S Aggregate Bd ETF4642872263,252$315,1190.05%
242Financials - SPDR Select Sector ETF81369Y6056,492$313,7580.05%
243Boeing CompanyBA-PA1,770$313,2900.05%
244Ishares Inc Core MSCI Emerging Mkts ETF46434G1035,980$312,2760.05%
245iShares Russell Mid Cap Growth ETF4642874812,368$300,1440.05%
246Martin Marietta Materials Inc573284106576$297,5040.05%
247Lululemon Athletica IncLULU773$295,6030.05%
248American Express CompanyAXP990$293,8220.05%
249Ishares US Treasury Bond ETF46429B26712,772$293,5010.05%
250Carrier Global Corp CommonCARR4,206$287,1020.04%
251Take-Two Interactive Software IncTTWO1,555$286,2440.04%
252Ishares Tr Core S&P Mid-Cap ETF4642875074,550$283,5110.04%
253Invesco S&P 500 Garp ETFIVZ2,700$283,1760.04%
254Ishares S&P 500 Value ETF4642874081,446$276,0120.04%
255EOG Resources Inc CommonEOG2,220$272,1280.04%
256Vanguard Long-Term Corp Bond Index Fund92206C8133,574$267,2640.04%
257Mercadolibre IncMELI153$260,1670.04%
258Ishares Russell 2000 Val Ind4642876301,544$253,4780.04%
259Nike Inc Cl BNKE3,329$251,9050.04%
260Best Buy IncBBY2,925$250,9650.04%
261AT&T IncT-PC10,973$249,8550.04%
262Chipotle Mexican Grill Inc CommonCMG4,065$245,1200.04%
263Paypal Holdings IncPYPL2,870$244,9550.04%
264Old National Bancorp68003310711,120$241,3600.04%
265Omnicom Group IncOMC2,795$240,4820.04%
266BP P.L.C.BPPFF7,970$235,5930.04%
267Comcast Corporation (New)CCZ6,053$227,1690.03%
268Intel CorporationINTC11,156$223,6780.03%
269Enterprise Products Partners LP2937921076,925$217,1680.03%
270State St CorpSTT-PG2,200$215,9300.03%
271Enbridge Inc CommonENNPF5,076$215,3750.03%
272Northern Trust CorpNTRSO2,075$212,6880.03%
273Ishares Msci Eafe Min Vol Factor ETF46429B6893,000$212,1300.03%
274Ishares Russell 2000 Growth ETF464287648736$211,8360.03%
275Taiwan Semicondutor Mfg8740391001,068$210,9190.03%
276Vanguard Information Technology ETF92204A702339$210,7900.03%
277SPDR Portfolio World EX-US ETF78463X8896,096$208,0560.03%
278General Mills3703341043,230$205,9770.03%
279GE Vernova Inc ComGEV618$203,2790.03%
280Motorola Solutions Inc Common NewMSI434$200,6080.03%
281Direxion Daily S&P 500 Bull 3x Shares ETF25459W8621,175$198,2230.03%
282Ishares S&P Small Cap 600 Index Fund4642878041,701$195,9890.03%
283L3harris Technologies IncLHX931$195,7710.03%
284Utilities - SPDR Select Sector ETF81369Y8862,586$195,7340.03%
285SPDR Portfolio Small Cap ETF78468R8534,233$190,1460.03%
286Edwards Lifesciences Corp CommonEW2,550$188,7770.03%
287Shopify IncSHOP1,750$186,0780.03%
288Metlife IncMET-PF2,257$184,8030.03%
289Spdr NYSE Technology ETF78464A102915$184,6650.03%
290American Electric Power Co0255371011,990$183,5380.03%
291Marsh & McLennan Cos Inc Common571748102862$183,0970.03%
292Ishares Barclays Mbs Bond Fund ETF4642885881,980$181,5260.03%
293IShares Trust S&P 1500 Total US Stock Mkt ETF4642871501,331$171,1930.03%
294Zoetis Inc Class AZTS1,043$169,9360.03%
295Sun Life Finl Inc CommonSUNFF2,844$168,7630.03%
296Vanguard Ftse All World Ex US Index Fund ETF9220427752,939$168,7280.03%
297Kimberly-Clark CorpKMB1,285$168,3860.03%
298Ishares Tr DJ Basic Material4642878381,275$165,6610.03%
299SPDR Portfolio S&P 500 Growth ETF78464A4091,815$159,5390.02%
300GE Healthcare Technologies IncGEHC2,018$157,7670.02%
301NRG Energy IncNRG1,718$154,9980.02%
302UBS Group AGUBS5,075$153,8740.02%
303Regeneron Pharmaceuticals IncREGN216$153,8630.02%
304Vanguard Financials ETF92204A4051,300$153,4910.02%
305JPMorgan NASDAQ Equity Premium Income ETF46654Q2032,720$153,3540.02%
306Cheniere Energy Inc Common NewLNG700$150,4090.02%
307Devon Energy Corporation New25179M1034,580$149,9030.02%
308Cigna Corp Common125523100539$148,8390.02%
309RPM International Inc Common7496851031,200$147,6720.02%
310Ecolab IncECL630$147,6220.02%
311Magnolia Oil & Gas Corp Class A CommonMGY6,250$146,1250.02%
312Autodesk IncADSK492$145,4200.02%
313Valvoline IncVVV4,003$144,8290.02%
314Marvell Technology Inc CommonMRVL1,300$143,5850.02%
315Yum China Holdings IncYUMC2,949$142,0530.02%
316Emcor Group Inc CommonEME309$140,2550.02%
317Consumer Staples - SPDR Select Sector ETF81369Y3081,780$139,9260.02%
318PPG Industries Inc6935061071,135$135,5760.02%
319Brown Forman Corp Class ABF-B3,580$134,9300.02%
320Darden RestaurantsDRI720$134,4170.02%
321Vanguard Small-Cap Growth ETF922908595463$129,6680.02%
322Wisdomtree International Equity Fund Eqy ETFWT2,415$127,2580.02%
323Republic Services Inc760759100625$125,7380.02%
324Constellation Energy Corp CommonCEG548$122,5930.02%
325Ishares Broad Usd Investment Gr Corp Bond ETF4642886202,427$122,0300.02%
326Kinder Morgan Inc DelEP-PC4,414$120,9440.02%
327Total SeTTE2,204$120,1180.02%
328Dominion Energy IncD2,176$117,1990.02%
329Republic Bancorp Inc Class ARBCAA1,675$117,0320.02%
330Solventum Corp ComSOLV1,760$116,2660.02%
331Monster Beverage CorpMNST2,199$115,5790.02%
332AFLAC IncAFL1,100$113,7840.02%
333Wec Energy Group IncWEC1,206$113,4120.02%
334SAP SE ADRSAPGF450$110,7950.02%
335Intuit Inc.INTU175$109,9880.02%
336Communication Services - SPDR Select Sector ETF81369Y8521,132$109,5890.02%
337Materials - SPDR Select Sector ETF81369Y1001,285$108,1200.02%
338Ashland Global HldgsASH1,489$106,4040.02%
339H & R Block Inc.BSQKZ2,000$105,6800.02%
340iShares National Muni Bond ETF464288158977$103,0540.02%
341Vanguard S&P Mid-Cap 400 ETF921932885948$100,0140.02%
342West Pharmaceutical Services955306105300$98,2680.02%
343Ishares Expanded Tech Sector ETF464287549960$98,0060.02%
344Ishares Msci Acwi Ex US ETF4642882401,876$97,8520.02%
345Freeport-McMoran IncFCX2,560$97,4850.02%
346Astrazeneca PLC ADRAZN1,483$97,1660.01%
347Wisdomtree US High Dividend Fund ETFWT1,000$93,3600.01%
348Wells Fargo & Co New9497461011,324$92,9980.01%
349Vanguard Ftse Emerging Market ETF9220428582,107$92,7920.01%
350Monarch Casino & Resort, IncMCRI1,173$92,5500.01%
351Ishares Silver TrSLV3,515$92,5500.01%
352Ishares Russell 1000 Index464287622278$89,5600.01%
353Synchrony Finl CommonSYF-PB1,376$89,4400.01%
354Dow Inc Corp CommonDOW2,202$88,3660.01%
355Fifth Third BancorpFITBM2,038$86,1670.01%
356Otis Worldwide Corp CommonOTIS901$83,4420.01%
357Lennar Corp Class ALEN-B609$83,0490.01%
358Wisdomtree US Ai Enhanced Value Fund ETFWT775$82,5530.01%
359Vanguard Mid-Cap Growth Index ETF922908538320$81,2000.01%
360Corteva Inc ComCTVA1,417$80,7120.01%
361CSG Systems International Inc1263491091,570$80,2430.01%
362Expeditors Intl Wash Inc302130109724$80,1970.01%
363Iqvia Holdings Inc.IQV406$79,7830.01%
364Regions Financial Corp COMRF-PF3,369$79,2390.01%
365Kla-tencor Corp CommonKLAC125$78,7650.01%
366Firstenergy CorpFE1,960$77,9690.01%
367German American Bancorp Inc Common3738651041,919$77,1820.01%
368VentasVTR1,299$76,4980.01%
369Prudential FinancialPUKPF644$76,3330.01%
370Gap, IncGAP3,200$75,6160.01%
371Leidos Holdings IncLDOS517$74,4790.01%
372Becton Dickinson & CoBDX325$73,7330.01%
373Vanguard Russell 1000 Growth Index Etf92206C680711$73,4460.01%
374Exelon CorpEXC1,900$71,5160.01%
375Vulcan Materials Common929160109275$70,7380.01%
376Rockwell Automation IncROK240$68,5900.01%
377Kraft Heinz CoKHC2,152$66,0880.01%
378Texas Roadhouse IncTXRH355$64,0530.01%
379Ishares 10-20 Year Treasury Bond ETF464288653598$59,5250.01%
380Travelers Cos IncTRV247$59,5000.01%
381Johnson Controls International PLC ShsG51502105745$58,8030.01%
382Crown Castle Intl Corp CommonCCI630$57,1790.01%
383Ishares Trust S&P 500 Growth ETF464287309550$55,8420.01%
384Invesco National AMT-Free Municipal Bond ETFIVZ2,363$55,7900.01%
385Parker Hannifin Corp CommonPH87$55,3350.01%
386GSK PLC NewGLAXF1,569$53,0640.01%
387Veralto CorpVLTO519$52,8600.01%
388Sunoco LPSUN1,022$52,5720.01%
389Ishares Gold Trust New ETFIAU1,060$52,4810.01%
390Suburban Propane Partners LP UnitSPH3,000$51,6000.01%
391SPDR Bloomberg Convertible Securities ETF78464A359660$51,4070.01%
392Toyota Mtr Corp ADR 2TOYOF250$48,6530.01%
393BCE Inc Common NewBCPPF2,085$48,3300.01%
394T Rowe Price Group Inc ComTROW425$48,0630.01%
395W P Carey Inc Common92936U109880$47,9420.01%
396Trump Media & Technology GroupDJTWW1,383$47,1600.01%
397Vanguard Intl Equity Index Fund Ftse Europe ETF922042874720$45,6980.01%
398Bank of Nova Scotia064149107849$45,6080.01%
399Equity Residential Com ShsEQR633$45,4240.01%
400Realty Income Corp CommonO850$45,3990.01%
401Live Nation Entertainment Inc CorpLYV350$45,3250.01%
402FS KKR Capital CorpFSK2,084$45,2640.01%
403Corning IncorporatedGLW948$45,0490.01%
404Ishares Trust Corporate Bond ETF464288646864$44,6690.01%
405Ishares JP Morgan Usd Emerging Mkt Bond ETF464288281500$44,5200.01%
406Idacorp IncIDA407$44,4770.01%
407Dollar General Corp256677105585$44,3550.01%
408Weyerhaeuser CommonWY1,575$44,3360.01%
409Dr Reddy's Laboratories LTD ADR2561352032,775$43,8170.01%
410Innovative Industrial Properties Inc REITINHD635$42,3160.01%
411Welltower Inc CommonWELL333$41,9680.01%
412Progressive Corp Common743315103175$41,9320.01%
413Telephone And Data Systems, IncTDS-PV1,200$40,9320.01%
414Marten Transport, LTDMRTN2,536$39,5870.01%
415Walgreens Boots Alliance Inc9314271084,200$39,1860.01%
416First Tr Nasdaq ABA Cmnty Bk Index Fund33736Q104700$38,8870.01%
417Ishares Trust S&P Small Capital 600 Growth ETF464287887280$37,9040.01%
418SPDR Dow Jones Industrial ETF Trust78467X10988$37,4440.01%
419Teradata CorpTDC1,200$37,3800.01%
420Nasdaq Inc CorpNDAQ475$36,7220.01%
421Howmet Aerospace Inc CommonHWM333$36,4200.01%
422Sun Communities, Inc866674104295$36,2760.01%
423PPL Corporation Corp CommonPPLC1,070$34,7320.01%
424Ishares S&P Small Cap 600 Value Index ETF464287879318$34,5380.01%
425Evergy IncEVRG556$34,2220.01%
426Unifirst CorpUNF200$34,2180.01%
427Ishares Msci Emerging Markets Min Vol Factor ETF464286533590$34,2140.01%
428First Tr Fund NYSE Arca Biotechnology Index Fd33733E203200$33,2420.01%
429Ball CorpBALL600$33,0780.01%
430Centene Corp Del CommonCNC546$33,0770.01%
431Air Transport Services Group IncAIIR1,500$32,9700.01%
432Vaneck High Yield Muni ETF92189H409635$32,9630.01%
433CF Industries Holdings Inc Common125269100378$32,2510.00%
434Schwab US Tips ETF8085248701,242$32,0810.00%
435Autozone Inc CommonAZO10$32,0200.00%
436Sylvamo Corp CommonSLVM404$31,9240.00%
437DNP Select Income FD Inc23325P1043,566$31,4520.00%
438Pimco Active Bond ETF72201R775346$31,2850.00%
439Ishares Core Dividend Growth ETF46434V621505$30,9770.00%
440SPDR Series Trust Metals & Mining ETF78464A755545$30,9290.00%
441Hilton Worldwide Holdings Inc.HLT125$30,8950.00%
442Coterra Energy IncCTRA1,202$30,6990.00%
443Western Asset Managed Muns Fd Inc Common95766M1053,000$30,6000.00%
444Carnival CorporationCUKPF1,212$30,2030.00%
445Quest Diagnostics IncDGX200$30,1720.00%
446SPDR Nuveen Bloomberg Short Term Municipal Bond ETF78468R739635$30,0930.00%
447Tyler Technologies, Inc.TYL50$28,8320.00%
448Microchip Tech IncMCHPP500$28,6750.00%
449Western Union Co ComWU2,650$28,0900.00%
450Eversource Energy Corp CommonES485$27,8540.00%
451Gilead Sciences IncGILD300$27,7110.00%
452Kenvue IncKVUE1,270$27,1150.00%
453Ishares 20 Year Trsy Bond464287432303$26,4610.00%
454Tyson Foods Inc Class ATSN450$25,8480.00%
455Sanofi-AventisSNYNF517$24,9350.00%
456Booking Holdings IncBKNG5$24,8420.00%
457Roper Technologies Inc CorpROP47$24,4330.00%
458Warner Bros. Discovery SrsWBD2,307$24,3850.00%
459Boston Scientific CorpBSX273$24,3840.00%
460Clorox Co CalifCLX150$24,3620.00%
461Hilltop Holdings IncHTH830$23,7630.00%
462Ebay IncEBAY380$23,5410.00%
463Royal Caribbean Cruises Ltd ShsV7780T103100$23,0690.00%
464Darling Ingredients IncDAR670$22,5720.00%
465TD Synnex CorpSNX190$22,2830.00%
466Westinghouse Air Brake Technologies Corp Com929740108117$22,1820.00%
467Newmont Mining Corp (New)NEMCL593$22,0710.00%
468Teva Pharmacuticals Industry8816242091,000$22,0400.00%
469Zions Bancorporation Common989701107400$21,7000.00%
470Anheuser Busch Inbev Sa/nv Sponsored ADRBUDFF400$20,0280.00%
471Live Oak Bancshares, Inc.LOB-PA500$19,7750.00%
472Waters Corp94184810353$19,6620.00%
473HDFC Bank Ltd ADRHDB300$19,1580.00%
474SPDR Bloomberg High Yield Bond ETF78468R622200$19,0940.00%
475Skyworks Solutions IncSWKS215$19,0660.00%
476First Financial Bancorp Corp320209109693$18,6280.00%
477Masco Corp CommonMAS252$18,2880.00%
478Lyondellbasell Industries N.V., London ShsLYB241$17,8990.00%
479MFS High Yield Municipal Tr59318E1025,010$17,6350.00%
480Ishares MSCI All Country Asia Ex Japan ETF464288182242$17,4680.00%
481Vanguard Russell 2000 Growth Index ETF92206C62380$16,8110.00%
482Spdr Ser Tr S&p Homebuilders ETF78464A888160$16,7200.00%
483Calamos Dynamic Convertible And Income Fund12811V105682$16,5760.00%
484iShares U.S. Energy ETF464287796353$16,0860.00%
485General Motors37045V100299$15,9280.00%
486Paccar IncPCAR150$15,6030.00%
487Blackrock Muni Holdings FundBLK1,332$15,5440.00%
488Vanguard Total International ETF92203J407316$15,5000.00%
489Nuveen Municipal Value Fund IncNU1,800$15,4620.00%
490Mid-America Apartment Com59522J103100$15,4570.00%
491Archer Danels MidlandADM300$15,1560.00%
492Viatris IncVTRS1,188$14,7910.00%
493Otter Tail Corp CommonOTTR200$14,7680.00%
494Vanguard Intermediate Term Treasury ETF92206C706250$14,5000.00%
495MFS High Income Municipal Tr59318D1043,900$14,3520.00%
496CME Group Inc CommonCME60$13,9340.00%
497Invesco Exchange-Traded Fd Tr Finl PFD ETFIVZ950$13,8230.00%
498First Trust Nasdaq Al & Robotics ETF33738R720300$13,5120.00%
499Community Trust Bancorp Inc Common204149108250$13,2580.00%
500Keurig Dr Pepper IncKDP406$13,0410.00%