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Size ($ in 1000's)
At 03/31/2024: $2,595,923 At 12/31/2023: $2,443,810
Park National Corp OH holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Park National Corp OH 13F filings.
Link to 13F filings: SEC filings
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As of 03/31/2024, below is a summary of the Park National Corp OH top holdings by largest position size, as per the latest 13f filing made by Park National Corp OH.
In the Park National Corp OH-top-holdings-table below, each of the top holdings by name is presented in the first column, followed by the amount of shares
held by Park National Corp OH in that top holding, then the share count change between reporting periods, and finally the Park National Corp OH top holding position size
for that row.
Entity | Amount | Change
12/31/2023 to 03/31/2024 |
Position Size
($ in 1000's) |
Park National Corporation |
1,193,681 |
-37,230 |
$162,162 | PRK | 1,193,681 | -37,230 | $162,162 | Microsoft Corporation |
328,782 |
-22,848 |
$138,325 | MSFT | 328,782 | -22,848 | $138,325 | NVIDIA Corporation |
125,915 |
-26,625 |
$113,772 | NVDA | 125,915 | -26,625 | $113,772 | Apple Inc |
644,449 |
-8,286 |
$110,510 | AAPL | 644,449 | -8,286 | $110,510 | JPMorgan Chase & Co |
445,822 |
-14,931 |
$89,298 | JPM | 445,822 | -14,931 | $89,298 | Alphabet Inc Class A |
417,740 |
+48,125 |
$63,049 | GOOGL | 417,740 | +48,125 | $63,049 | First Trust Preferred Securiti (FPE) |
3,262,711 |
-33,834 |
$56,510 | FPE | 3,262,711 | -33,834 | $56,510 | Cisco Systems Inc |
985,628 |
+50,324 |
$49,193 | CSCO | 985,628 | +50,324 | $49,193 | Take Two Interactive Software |
318,945 |
+70,952 |
$47,360 | TTWO | 318,945 | +70,952 | $47,360 | Waste Management Inc |
212,319 |
-1,509 |
$45,256 | WM | 212,319 | -1,509 | $45,256 | Accenture PLC Class A |
126,206 |
+6,155 |
$43,744 | ACN | 126,206 | +6,155 | $43,744 | First Trust Capital Strength E (FTCS) |
490,858 |
-7,069 |
$42,042 | FTCS | 490,858 | -7,069 | $42,042 | Analog Devices Inc |
204,411 |
+17,983 |
$40,430 | ADI | 204,411 | +17,983 | $40,430 | Procter & Gamble Company |
241,689 |
-4,540 |
$39,214 | PG | 241,689 | -4,540 | $39,214 | Johnson & Johnson |
244,488 |
-7,069 |
$38,676 | JNJ | 244,488 | -7,069 | $38,676 | Deere & Company |
93,897 |
+6,026 |
$38,567 | DE | 93,897 | +6,026 | $38,567 | Abbott Laboratories |
312,738 |
-26,182 |
$35,546 | ABT | 312,738 | -26,182 | $35,546 | Cadence Design Systems Inc |
113,714 |
+9,281 |
$35,397 | CDNS | 113,714 | +9,281 | $35,397 | Lockheed Martin Corporation |
77,378 |
+7,861 |
$35,197 | LMT | 77,378 | +7,861 | $35,197 | Visa Inc Class A |
122,759 |
+60 |
$34,260 | V | 122,759 | +60 | $34,260 | DR Horton Inc |
207,578 |
+3,886 |
$34,157 | DHI | 207,578 | +3,886 | $34,157 | Amazon.com Inc |
180,874 |
+3,494 |
$32,626 | AMZN | 180,874 | +3,494 | $32,626 | Vanguard Information Technolog (VGT) |
61,648 |
-5,464 |
$32,325 | VGT | 61,648 | -5,464 | $32,325 | Chevron Corp |
202,909 |
-3,440 |
$32,007 | CVX | 202,909 | -3,440 | $32,007 | McDonald s Corporation |
111,830 |
+10,547 |
$31,530 | MCD | 111,830 | +10,547 | $31,530 | BlackRock Inc |
35,942 |
+300 |
$29,965 | BLK | 35,942 | +300 | $29,965 | Exxon Mobil Corporation |
244,638 |
-7,760 |
$28,437 | XOM | 244,638 | -7,760 | $28,437 | Chipotle Mexican Grill Inc |
9,723 |
-33 |
$28,263 | CMG | 9,723 | -33 | $28,263 | Intercontinental Exchange Inc (ICE) |
201,450 |
+373 |
$27,685 | ICE | 201,450 | +373 | $27,685 | Arista Networks Inc |
93,319 |
+47,252 |
$27,061 | ANET | 93,319 | +47,252 | $27,061 | PepsiCo Inc |
152,413 |
-471 |
$26,674 | PEP | 152,413 | -471 | $26,674 | TJX Companies Inc |
262,080 |
+17,337 |
$26,580 | TJX | 262,080 | +17,337 | $26,580 | S&P Global Inc |
58,446 |
+2,402 |
$24,866 | SPGI | 58,446 | +2,402 | $24,866 | AbbVie Inc |
134,426 |
-10,771 |
$24,479 | ABBV | 134,426 | -10,771 | $24,479 | Schwab Charles Corporation |
338,347 |
+21,764 |
$24,476 | SCHW | 338,347 | +21,764 | $24,476 | Costco Wholesale Corporation |
32,369 |
-2,457 |
$23,714 | COST | 32,369 | -2,457 | $23,714 | Coca Cola Company |
385,116 |
-4,142 |
$23,561 | KO | 385,116 | -4,142 | $23,561 | NextEra Energy Inc |
356,410 |
-6,719 |
$22,778 | NEE | 356,410 | -6,719 | $22,778 | Danaher Corporation |
89,420 |
-8,809 |
$22,330 | DHR | 89,420 | -8,809 | $22,330 | First Trust NASDAQ Tech Divide (TDIV) |
315,716 |
-1,347 |
$21,996 | TDIV | 315,716 | -1,347 | $21,996 | Disney Walt Company |
178,159 |
-200,189 |
$21,800 | DIS | 178,159 | -200,189 | $21,800 | ConocoPhillips |
167,927 |
-3,517 |
$21,374 | COP | 167,927 | -3,517 | $21,374 | First Trust Value Line Dividen (FVD) |
504,712 |
-4,160 |
$21,314 | FVD | 504,712 | -4,160 | $21,314 | First Trust Enhanced Short Mat (FTSM) |
326,489 |
-21,687 |
$19,465 | FTSM | 326,489 | -21,687 | $19,465 | Stryker Corporation |
51,834 |
+211 |
$18,550 | SYK | 51,834 | +211 | $18,550 | Schlumberger Limited |
331,358 |
-7,146 |
$18,162 | SLB | 331,358 | -7,146 | $18,162 | Vanguard Communication Service (VOX) |
138,253 |
+44,399 |
$18,142 | VOX | 138,253 | +44,399 | $18,142 | Ecolab Inc |
74,494 |
-2,752 |
$17,201 | ECL | 74,494 | -2,752 | $17,201 | First Trust Rising Dividend Ac (RDVY) |
292,999 |
-1,111 |
$16,458 | RDVY | 292,999 | -1,111 | $16,458 | Berkshire Hathaway Inc Class A |
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$15,951 | BRK.A | 20 | UNCH | $12,689 | BRK.B | 7,756 | -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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