Holdings Channel



Size ($ in 1000's)
At 03/31/2024: $2,595,923
At 12/31/2023: $2,443,810

Park National Corp OH holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Park National Corp OH 13F filings. Link to 13F filings: SEC filings

Park National Corp OH Top Holdings
As of  03/31/2024, below is a summary of the Park National Corp OH top holdings by largest position size, as per the latest 13f filing made by Park National Corp OH. In the Park National Corp OH-top-holdings-table below, each of the top holdings by name is presented in the first column, followed by the amount of shares held by Park National Corp OH in that top holding, then the share count change between reporting periods, and finally the Park National Corp OH top holding position size for that row.

   EntityAmountChange
 12/31/2023 to 03/31/2024
Position Size
($ in 1000's)
Park National Corporation 1,193,681 -37,230 $162,162
     PRK1,193,681-37,230$162,162
Microsoft Corporation 328,782 -22,848 $138,325
     MSFT328,782-22,848$138,325
NVIDIA Corporation 125,915 -26,625 $113,772
     NVDA125,915-26,625$113,772
Apple Inc 644,449 -8,286 $110,510
     AAPL644,449-8,286$110,510
JPMorgan Chase & Co 445,822 -14,931 $89,298
     JPM445,822-14,931$89,298
Alphabet Inc Class A 417,740 +48,125 $63,049
     GOOGL417,740+48,125$63,049
First Trust Preferred Securiti (FPE) 3,262,711 -33,834 $56,510
     FPE3,262,711-33,834$56,510
Cisco Systems Inc 985,628 +50,324 $49,193
     CSCO985,628+50,324$49,193
Take Two Interactive Software 318,945 +70,952 $47,360
     TTWO318,945+70,952$47,360
Waste Management Inc 212,319 -1,509 $45,256
     WM212,319-1,509$45,256
Accenture PLC Class A 126,206 +6,155 $43,744
     ACN126,206+6,155$43,744
First Trust Capital Strength E (FTCS) 490,858 -7,069 $42,042
     FTCS490,858-7,069$42,042
Analog Devices Inc 204,411 +17,983 $40,430
     ADI204,411+17,983$40,430
Procter & Gamble Company 241,689 -4,540 $39,214
     PG241,689-4,540$39,214
Johnson & Johnson 244,488 -7,069 $38,676
     JNJ244,488-7,069$38,676
Deere & Company 93,897 +6,026 $38,567
     DE93,897+6,026$38,567
Abbott Laboratories 312,738 -26,182 $35,546
     ABT312,738-26,182$35,546
Cadence Design Systems Inc 113,714 +9,281 $35,397
     CDNS113,714+9,281$35,397
Lockheed Martin Corporation 77,378 +7,861 $35,197
     LMT77,378+7,861$35,197
Visa Inc Class A 122,759 +60 $34,260
     V122,759+60$34,260
DR Horton Inc 207,578 +3,886 $34,157
     DHI207,578+3,886$34,157
Amazon.com Inc 180,874 +3,494 $32,626
     AMZN180,874+3,494$32,626
Vanguard Information Technolog (VGT) 61,648 -5,464 $32,325
     VGT61,648-5,464$32,325
Chevron Corp 202,909 -3,440 $32,007
     CVX202,909-3,440$32,007
McDonald s Corporation 111,830 +10,547 $31,530
     MCD111,830+10,547$31,530
BlackRock Inc 35,942 +300 $29,965
     BLK35,942+300$29,965
Exxon Mobil Corporation 244,638 -7,760 $28,437
     XOM244,638-7,760$28,437
Chipotle Mexican Grill Inc 9,723 -33 $28,263
     CMG9,723-33$28,263
Intercontinental Exchange Inc (ICE) 201,450 +373 $27,685
     ICE201,450+373$27,685
Arista Networks Inc 93,319 +47,252 $27,061
     ANET93,319+47,252$27,061
PepsiCo Inc 152,413 -471 $26,674
     PEP152,413-471$26,674
TJX Companies Inc 262,080 +17,337 $26,580
     TJX262,080+17,337$26,580
S&P Global Inc 58,446 +2,402 $24,866
     SPGI58,446+2,402$24,866
AbbVie Inc 134,426 -10,771 $24,479
     ABBV134,426-10,771$24,479
Schwab Charles Corporation 338,347 +21,764 $24,476
     SCHW338,347+21,764$24,476
Costco Wholesale Corporation 32,369 -2,457 $23,714
     COST32,369-2,457$23,714
Coca Cola Company 385,116 -4,142 $23,561
     KO385,116-4,142$23,561
NextEra Energy Inc 356,410 -6,719 $22,778
     NEE356,410-6,719$22,778
Danaher Corporation 89,420 -8,809 $22,330
     DHR89,420-8,809$22,330
First Trust NASDAQ Tech Divide (TDIV) 315,716 -1,347 $21,996
     TDIV315,716-1,347$21,996
Disney Walt Company 178,159 -200,189 $21,800
     DIS178,159-200,189$21,800
ConocoPhillips 167,927 -3,517 $21,374
     COP167,927-3,517$21,374
First Trust Value Line Dividen (FVD) 504,712 -4,160 $21,314
     FVD504,712-4,160$21,314
First Trust Enhanced Short Mat (FTSM) 326,489 -21,687 $19,465
     FTSM326,489-21,687$19,465
Stryker Corporation 51,834 +211 $18,550
     SYK51,834+211$18,550
Schlumberger Limited 331,358 -7,146 $18,162
     SLB331,358-7,146$18,162
Vanguard Communication Service (VOX) 138,253 +44,399 $18,142
     VOX138,253+44,399$18,142
Ecolab Inc 74,494 -2,752 $17,201
     ECL74,494-2,752$17,201
First Trust Rising Dividend Ac (RDVY) 292,999 -1,111 $16,458
     RDVY292,999-1,111$16,458
Berkshire Hathaway Inc Class A      $15,951
     BRK.A20UNCH$12,689
     BRK.B7,756-180$3,262

See Full List: All Stocks Held By Park National Corp OH
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Park National Corp OH

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