Holdings Channel
EntityShares/Amount
Change
Position Value
Change
GE +2,885+$506
PNFP +3,880+$333
BSCX +10,624+$222
XLK +928+$193
O +3,460+$187
MU +1,080+$127
DHS +1,000+$87
DELL +750+$86
AIVL +775+$79
BALL +700+$47
EntityShares/Amount
Change
Position Value
Change
TAN -5,335-$285
HYG -1,350-$104
LIT -1,737-$88
ARKK -1,400-$73
BMO -600-$59
RIG -6,000-$38
FMB -521-$27
OHI -554-$17
DK -490-$13
SEDG -125-$12
EntityShares/Amount
Change
Position Value
Change
BHIL +25,000+$6
WMT +18,717+$393
BF +18,300+$923
EFV +14,384+$806
BSCV +14,149+$221
BSCU +12,700+$203
BLV +12,145+$859
BSCW +11,970+$236
BSCT +11,369+$204
AVUV +11,075+$1,072
EntityShares/Amount
Change
Position Value
Change
ICLN -54,621-$874
VXUS -18,270-$1,036
PFE -9,020-$321
VOO -5,368-$2,008
BA -5,130-$1,518
ATO -5,002-$556
GSK -4,277-$123
VB -3,643-$698
PGX -3,250-$10
Size ($ in 1000's)
At 03/31/2024: $333,924
At 12/31/2023: $284,607

Independence Bank of Kentucky holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Independence Bank of Kentucky 13F filings. Link to 13F filings: SEC filings

All Stocks Held By Independence Bank of Kentucky
As of  03/31/2024, we find all stocks held by Independence Bank of Kentucky to be as follows, presented in the table below with each row detailing each Independence Bank of Kentucky position, ordered by largest to smallest position size. The all-stocks-held-by-Independence Bank of Kentucky table shows the entity held in the first column (click any entity to explore other funds holding positions), the share amount held, the share count change between the last two reporting periods, and finally the position size for all stocks held by Independence Bank of Kentucky as of the latest filing.

   EntityAmountChange
 12/31/2023 to 03/31/2024
Position Size
($ in 1000's)
S&P 500 Tr UTS Unit 1 Ser 38,506 +962 $20,141
     SPY38,506+962$20,141
Apple Incorporated 74,025 +9,297 $12,694
     AAPL74,025+9,297$12,694
Microsoft Corp 28,534 +5,689 $12,005
     MSFT28,534+5,689$12,005
JP Morgan Chase & Co 45,017 +9,054 $9,017
     JPM45,017+9,054$9,017
Amazon Com Inc 48,736 +4,405 $8,791
     AMZN48,736+4,405$8,791
Alphabet Inc Class A 55,222 +2,763 $8,335
     GOOGL55,222+2,763$8,335
Ishares Tr MSCI EAFE Index (EFA) 86,718 +7,200 $6,925
     EFA86,718+7,200$6,925
Visa Inc 21,757 +1,803 $6,072
     V21,757+1,803$6,072
Ishares Russell Midcap Index (IWR) 69,098 +6,688 $5,810
     IWR69,098+6,688$5,810
Meta Platform Inc. 11,593 -598 $5,629
     META11,593-598$5,629
Chevron Corporation 32,662 +9,525 $5,152
     CVX32,662+9,525$5,152
Nvidia Corp Common 5,622 -302 $5,080
     NVDA5,622-302$5,080
Procter & Gamble Co 29,187 +2,110 $4,736
     PG29,187+2,110$4,736
Russell 2000 Index Fund (IWM) 21,807 +388 $4,586
     IWM21,807+388$4,586
Lilly Eli & Co 5,197 +10 $4,043
     LLY5,197+10$4,043
Lowes Cos Inc 15,806 +865 $4,026
     LOW15,806+865$4,026
Salesforce Common Inc 12,646 -418 $3,809
     CRM12,646-418$3,809
Vanguard S&P 500 Index ETF (VOO) 7,683 -5,368 $3,693
     VOO7,683-5,368$3,693
Johnson & Johnson 22,524 +1,616 $3,563
     JNJ22,524+1,616$3,563
Exxon Mobil Corp 29,043 +3,023 $3,376
     XOM29,043+3,023$3,376
Nextera Energy Inc 49,722 +3,707 $3,178
     NEE49,722+3,707$3,178
United Health Group Inc 6,267 +1,353 $3,100
     UNH6,267+1,353$3,100
Abbvie Inc Com 15,627 +4,097 $2,846
     ABBV15,627+4,097$2,846
Pepsico Inc 16,149 +1,428 $2,826
     PEP16,149+1,428$2,826
Ishares MSCI Emerging Mkts Index Fund (EEM) 67,290 -1,475 $2,764
     EEM67,290-1,475$2,764
Flexshares Morningstar Global Natural Res ETF (GUNR) 63,645 -475 $2,614
     GUNR63,645-475$2,614
Coca Cola Co 39,363 +2,015 $2,408
     KO39,363+2,015$2,408
US Bancorp Del 53,873 +2,292 $2,408
     USB53,873+2,292$2,408
Merck & Co Inc New Com 18,114 +2,781 $2,390
     MRK18,114+2,781$2,390
United Parcel Service 15,467 -590 $2,299
     UPS15,467-590$2,299
Disney Walt Company 17,472 +1,083 $2,138
     DIS17,472+1,083$2,138
Accenture PLC 6,055 -130 $2,099
     ACN6,055-130$2,099
Intercontinental Exchange Inc (ICE) 15,014 -147 $2,063
     ICE15,014-147$2,063
General Dynamics Corp 7,262 -183 $2,051
     GD7,262-183$2,051
Energy SPDR Select Sector ETF (XLE) 21,570 -490 $2,036
     XLE21,570-490$2,036
Air Products and Chemicals 8,138 +5,526 $1,972
     APD8,138+5,526$1,972
Abbott Labs 17,166 +6,399 $1,951
     ABT17,166+6,399$1,951
Berkshire Hathaway Inc Del Cl B New      $1,929
     BRK.B4,587+774$1,929
Ishares Tr Russell 3000 ETF (IWV) 6,408 -200 $1,923
     IWV6,408-200$1,923
TJX Companies Inc 18,903 +95 $1,917
     TJX18,903+95$1,917
Palo Alto Networks Inc Common 6,693 -295 $1,902
     PANW6,693-295$1,902
Altria Group Inc 42,989 +325 $1,875
     MO42,989+325$1,875
CVS Health Corporation 23,357 -2,801 $1,863
     CVS23,357-2,801$1,863
Avantis US Small Cap Value ETF (AVUV) 19,759 +11,075 $1,852
     AVUV19,759+11,075$1,852
Home Depot Inc 4,628 +192 $1,775
     HD4,628+192$1,775
Vanguard Real Estate ETF (VNQ) 19,561 -895 $1,692
     VNQ19,561-895$1,692
Broadcom Inc 1,268 +269 $1,681
     AVGO1,268+269$1,681
Pfizer Inc 59,658 -9,020 $1,656
     PFE59,658-9,020$1,656
Norfolk Southn Corp 6,440 +2,910 $1,641
     NSC6,440+2,910$1,641
Danaher Corp 6,498 +2,723 $1,623
     DHR6,498+2,723$1,623
Illinois Tool Works Inc 5,953 +1,405 $1,597
     ITW5,953+1,405$1,597
Ishares Tr Russell 1000 Growth (IWF) 4,722 +60 $1,592
     IWF4,722+60$1,592
Ishares Trust Pfd & Income Securities ETF (PFF) 49,245 -976 $1,587
     PFF49,245-976$1,587
Thermo Fisher Scientific Inc 2,715 +112 $1,578
     TMO2,715+112$1,578
Wal Mart Inc 26,233 +18,717 $1,578
     WMT26,233+18,717$1,578
Starbucks Corporation 17,214 +7,556 $1,573
     SBUX17,214+7,556$1,573
American Tower REIT 7,949 +1,859 $1,571
     AMT7,949+1,859$1,571
Honeywell Inc 7,532 +677 $1,546
     HON7,532+677$1,546
Waste Management Inc New 7,208 +873 $1,536
     WM7,208+873$1,536
Churchill Downs Inc 12,254 +5,464 $1,516
     CHDN12,254+5,464$1,516
Vanguard Long term Bond Index Fund ETF (BLV) 20,866 +12,145 $1,509
     BLV20,866+12,145$1,509
Vanguard Gov& 39 t Long Term Treasury ETF (VGLT) 25,385 -550 $1,504
     VGLT25,385-550$1,504
Dollar General Corp 9,526 -945 $1,487
     DG9,526-945$1,487
Verizon Communications Inc Usd 1 35,253 +4,317 $1,479
     VZ35,253+4,317$1,479
Philip Morris Int Inc 16,097 +4,134 $1,475
     PM16,097+4,134$1,475
Vanguard Short Term Corp Index Fund (VCSH) 18,931 -2,992 $1,464
     VCSH18,931-2,992$1,464
Union Pacific Corporation 5,892 +3,075 $1,449
     UNP5,892+3,075$1,449
Vanguard Intermediate Term Corp Bond Index Fund (VCIT) 17,318 -2,585 $1,394
     VCIT17,318-2,585$1,394
Oracle Corp 10,979 -1,261 $1,379
     ORCL10,979-1,261$1,379
Ishares MSCI EAFE Value Index Fund (EFV) 24,678 +14,384 $1,342
     EFV24,678+14,384$1,342
Truist Financial Corp Common 33,742 -1,711 $1,315
     TFC33,742-1,711$1,315
Target Corp 7,382 +328 $1,308
     TGT7,382+328$1,308
Ishares Tr Core MSCI EAFE ETF (IEFA) 17,599 -1,013 $1,306
     IEFA17,599-1,013$1,306
T mobile US Inc Common 7,826 +2,725 $1,277
     TMUS7,826+2,725$1,277
Wisdomtree US Midcap Dividend Fund ETF (DON) 24,825 +5,260 $1,211
     DON24,825+5,260$1,211
Mastercard Inc 2,514 +402 $1,211
     MA2,514+402$1,211
Vanguard Small Cap ETF (VB) 5,162 -3,643 $1,180
     VB5,162-3,643$1,180
Vanguard Long Term Corp Bond Index Fund (VCLT) 15,032 +2,370 $1,176
     VCLT15,032+2,370$1,176
Brown Forman Corp Class B      $1,159
     BF.B22,260+18,120$1,149
     BF.A180+180$10
ASML Holding NV 1,178 +24 $1,143
     ASML1,178+24$1,143
Ishares Dow Jones Select Divindex Fund (DVY) 9,205 -810 $1,134
     DVY9,205-810$1,134
Ishares Tr Core S&P 500 ETF (IVV) 2,134 +20 $1,122
     IVV2,134+20$1,122
Alphabet Inc Class C 7,271 +1,178 $1,107
     GOOG7,271+1,178$1,107
Lockheed Martin Corp 2,394 +247 $1,089
     LMT2,394+247$1,089
Vanguard High Dividend Yield ETF (VYM) 8,977 +25 $1,086
     VYM8,977+25$1,086
Mondelez International Inc 15,474 +2,040 $1,083
     MDLZ15,474+2,040$1,083
Zimmer Biomet Holdings Inc 8,085 -79 $1,067
     ZBH8,085-79$1,067
VanEck Semiconductor ETF (SMH) 4,650 -115 $1,046
     SMH4,650-115$1,046
Raytheon Technologies Corp Common 10,714 +30 $1,045
     RTX10,714+30$1,045
Stryker Corp 2,831 +438 $1,013
     SYK2,831+438$1,013
Blackrock Inc 1,210 +70 $1,009
     BLK1,210+70$1,009
Deere & Company 2,379 +9 $977
     DE2,379+9$977
Advanced Micro Devices Inc Corp Common 5,255 +1,584 $948
     AMD5,255+1,584$948
ATMOS Energy Corp 7,873 -5,002 $936
     ATO7,873-5,002$936
Eaton Corporation PLC 2,992 +460 $936
     ETN2,992+460$936
Invesco QQQ Tr Unit Ser 1 2,030 +644 $901
     QQQ2,030+644$901
Nike Inc Cl B 9,003 -855 $846
     NKE9,003-855$846
S&P Global Inc Common 1,977 +490 $841
     SPGI1,977+490$841
Schwab Charles Corp New Common 11,565 -175 $837
     SCHW11,565-175$837
Costco Wholesale Corp Com 1,130 +25 $828
     COST1,130+25$828
McDonalds Corp 2,913 +38 $821
     MCD2,913+38$821
Expedia Group Inc 5,951 +2,405 $820
     EXPE5,951+2,405$820
CSX Corp 21,690 UNCH $804
     CSX21,690UNCH$804
Vanguard Tax mgd Intl Fd Ftse Dev Mkts ETF (VEA) 15,785 -580 $792
     VEA15,785-580$792
Invesco Exchange Traded PFD II (PGX) 66,227 -3,250 $787
     PGX66,227-3,250$787
Ulta Salon Cosmetics & Fragrance Inc 1,474 -20 $771
     ULTA1,474-20$771
JP Morgan Premium Income ETF (JEPI) 13,290 +1,660 $769
     JEPI13,290+1,660$769
Schlumberger LTD 14,004 +4,200 $768
     SLB14,004+4,200$768
Snowflake Inc. Class A 4,715 +1,260 $762
     SNOW4,715+1,260$762
Crowdstrike Holdings Inc Class A 2,359 -275 $756
     CRWD2,359-275$756
Wisdomtree US Smallcap Dividend Fund ETF (DES) 21,675 +3,780 $708
     DES21,675+3,780$708
Vanguard Mid Cap ETF (VO) 2,828 -3,139 $707
     VO2,828-3,139$707
Pioneer Natural Resources 2,683 +243 $704
     PXD2,683+243$704
Texas Instruments Inc 4,015 +1,247 $699
     TXN4,015+1,247$699
Stock Yards Bancorp Inc Corp Common 14,172 +3,603 $693
     SYBT14,172+3,603$693
Ishares Tr S&P Mid Cap 400 Value ETF (IJJ) 5,828 UNCH $689
     IJJ5,828UNCH$689
Ishares MSCI EAFE Growth Index Fund (EFG) 6,596 UNCH $685
     EFG6,596UNCH$685
The Williams Co Inc 17,452 +5,860 $680
     WMB17,452+5,860$680
Sherwin Williams Co 1,948 +168 $677
     SHW1,948+168$677
Invesco BulletShares 2027 Corp Bd ETF (BSCR) 34,965 +9,490 $674
     BSCR34,965+9,490$674
Goldman Sachs Group Inc 1,592 +365 $665
     GS1,592+365$665
Netflix Inc Common 1,095 +35 $665
     NFLX1,095+35$665
Invesco BulletShares 2028 Corp Bd ETF (BSCS) 32,954 +9,152 $661
     BSCS32,954+9,152$661
Qualcomm Incorporated 3,848 -870 $651
     QCOM3,848-870$651
Bank of America Corporation 16,729 +65 $634
     BAC16,729+65$634
Cisco Systems Inc 12,537 +1,150 $626
     CSCO12,537+1,150$626
Vanguard Total Stock Market ETF (VTI) 2,382 UNCH $619
     VTI2,382UNCH$619
Vertex Pharmaceuticals Inc 1,465 +1,395 $612
     VRTX1,465+1,395$612
iShares Semiconductor ETF (SOXX) 2,662 +1,747 $601
     SOXX2,662+1,747$601
Vanguard Total International Stock Index ETF (VXUS) 9,957 -18,270 $600
     VXUS9,957-18,270$600
Ishares Tr Russell 1000 Val (IWD) 3,327 UNCH $596
     IWD3,327UNCH$596
iShares iBoxx Invst Gr Corp Bd ETF (LQD) 5,464 UNCH $595
     LQD5,464UNCH$595
Conocophillips 4,662 +632 $593
     COP4,662+632$593
Ishares DJ US Utilities Sctr (IDU) 6,944 -460 $587
     IDU6,944-460$587
International Business Machs 3,055 +292 $583
     IBM3,055+292$583
Invesco BulletShares 2031 Corp Bd ETF (BSCV) 36,003 +14,149 $580
     BSCV36,003+14,149$580
Duke Energy Corp New 5,977 -137 $578
     DUK5,977-137$578
Invesco BulletShares 2029 Corp Bd ETF (BSCT) 31,288 +11,369 $573
     BSCT31,288+11,369$573
Bristol Myers Squibb Co 10,556 +308 $572
     BMY10,556+308$572
Vanguard Growth Vipers ETF (VUG) 1,655 -13 $570
     VUG1,655-13$570
Ishares Tr Natl Mun Bd ETF Fund (MUB) 5,246 -250 $564
     MUB5,246-250$564
S&P 500 Catholic Values ETF (CATH) 8,850 UNCH $563
     CATH8,850UNCH$563
Invesco BulletShares 2030 Corp Bd ETF (BSCU) 34,171 +12,700 $560
     BSCU34,171+12,700$560
Comcast Corporation New 12,653 -3,193 $549
     CMCSA12,653-3,193$549
Invesco BulletShares 2032 Corp Bd ETF (BSCW) 26,625 +11,970 $539
     BSCW26,625+11,970$539
Constellation Brands Common 1,934 +468 $526
     STZ1,934+468$526
Paychex Inc 4,275 -334 $525
     PAYX4,275-334$525
Chubb Limited Zuerich 1,994 -165 $517
     CB1,994-165$517
Boeing Company 2,670 -5,130 $515
     BA2,670-5,130$515
Copart Inc 8,853 +1,635 $513
     CPRT8,853+1,635$513
GE Aerospace Com New 2,885 +2,885 $506
     GE2,885+2,885$506
CF Industries Holdings Inc Common 5,954 +654 $495
     CF5,954+654$495
Valero Energy Corp 2,838 +1,359 $484
     VLO2,838+1,359$484
Elevance Health Inc. 923 +297 $479
     ELV923+297$479
Coca Cola Consolidated Inc 550 UNCH $466
     COKE550UNCH$466
Cloudflare Inc Class A Common 4,770 -100 $462
     NET4,770-100$462
Flexshares Global Broad Infrastracture Common (NFRA) 8,410 -165 $459
     NFRA8,410-165$459
Humana Inc 1,259 +609 $437
     HUM1,259+609$437
Ford Motor Co 32,675 -300 $434
     F32,675-300$434
Ishares Msci Usa Min Vol Factor ETF (USMV) 5,127 +1,142 $429
     USMV5,127+1,142$429
SPDR Gold Tr (GLD) 2,070 +185 $426
     GLD2,070+185$426
Invesco S&P 500 Equal Weight ETF (RSP) 2,454 +669 $416
     RSP2,454+669$416
PPG Industries Inc 2,760 +2,325 $400
     PPG2,760+2,325$400
Generac Holdings Inc 3,125 +3,100 $394
     GNRC3,125+3,100$394
Colgate Palmolive Co 4,310 +2,375 $388
     CL4,310+2,375$388
Fortinet Inc. 5,595 UNCH $382
     FTNT5,595UNCH$382
Blackstone Inc Common 2,894 +2,135 $380
     BX2,894+2,135$380
PNC Financial Services Group 2,316 +246 $374
     PNC2,316+246$374
Allstate Corp 2,045 -1,480 $354
     ALL2,045-1,480$354
Intel Corporation 7,981 -390 $353
     INTC7,981-390$353
Ishares Msci USA Quality Factor ETF (QUAL) 2,145 UNCH $353
     QUAL2,145UNCH$353
Diamondback Energy Inc Common 1,730 +355 $343
     FANG1,730+355$343
Ishares Tr S&P Midcap 400 Growth ETF (IJK) 3,760 UNCH $343
     IJK3,760UNCH$343
American Water Works Co Inc 2,792 +744 $341
     AWK2,792+744$341
Intuitive Surgical Inc Corp 845 -21 $337
     ISRG845-21$337
Pinnacle Financial Partners 3,880 +3,880 $333
     PNFP3,880+3,880$333
Southern Company 4,640 UNCH $333
     SO4,640UNCH$333
Adobe Systems Incorporated Delaware 655 +171 $331
     ADBE655+171$331
Tesla Inc 1,882 -65 $331
     TSLA1,882-65$331
Invesco BulletShares 2026 Corp Bd ETF (BSCQ) 17,163 +4,339 $330
     BSCQ17,163+4,339$330
Ishares Tr DJ Basic Material (IYM) 2,175 -250 $321
     IYM2,175-250$321
Magnolia Oil & Gas Corp Class A Common 12,100 UNCH $314
     MGY12,100UNCH$314
Amgen Inc 1,095 -60 $311
     AMGN1,095-60$311
Shell PLC Common 4,628 -1,455 $310
     SHEL4,628-1,455$310
Ishares 20 Year Trsy Bond (TLT) 3,200 UNCH $303
     TLT3,200UNCH$303
Novo nordisk A S ADR 2,350 +225 $302
     NVO2,350+225$302
Invesco BulletShares 2025 Corp Bd ETF (BSCP) 14,506 +3,098 $296
     BSCP14,506+3,098$296
Sysco Corp 3,598 +410 $292
     SYY3,598+410$292
Civitas Resources Inc 3,840 +1,615 $291
     CIVI3,840+1,615$291
Morgan Stanley 3,004 +590 $283
     MS3,004+590$283
Fiserv Inc Common 1,756 -330 $281
     FI1,756-330$281
Yum Brands Inc Common 2,000 +800 $277
     YUM2,000+800$277
3M Company 2,570 +1,900 $273
     MMM2,570+1,900$273
IShares Russell Mid cap Value ETF (IWS) 2,137 -75 $268
     IWS2,137-75$268
Ishares Tr MSCI EAFE Small Cap ETF (SCZ) 4,237 UNCH $268
     SCZ4,237UNCH$268
Vanguard Information Technology ETF (VGT) 510 +190 $267
     VGT510+190$267
GSK PLC New 6,031 -4,277 $259
     GSK6,031-4,277$259
Ishares Russell 2000 Val Ind (IWN) 1,634 UNCH $259
     IWN1,634UNCH$259
Ishares Inc Core MSCI Emerging Mkts ETF (IEMG) 4,836 -509 $250
     IEMG4,836-509$250
Vanguard Div Appreciation ETF (VIG) 1,362 -26 $249
     VIG1,362-26$249
Automatic Data Processing 987 UNCH $246
     ADP987UNCH$246
Amerprise Financial 555 +200 $243
     AMP555+200$243
American Express Company 1,040 -25 $237
     AXP1,040-25$237
SPDR S&P Dividend ETF (SDY) 1,795 UNCH $236
     SDY1,795UNCH$236
Caterpillar Inc 639 -6 $234
     CAT639-6$234
Estee Lauder Cos Inc 1,480 UNCH $228
     EL1,480UNCH$228
Invesco Bulletshares 2033 Corp Bd ETF (BSCX) 10,624 +10,624 $222
     BSCX10,624+10,624$222
Diageo PLC New Spons ADR 1,481 +147 $220
     DEO1,481+147$220
Devon Energy Corporation New 4,390 -1,565 $220
     DVN4,390-1,565$220
SPDR Portfolio World EX US ETF (SPDW) 6,096 UNCH $218
     SPDW6,096UNCH$218
Real Estate Select Sector ETF (XLRE) 5,517 +35 $218
     XLRE5,517+35$218
iShares Russell Mid Cap Growth ETF (IWP) 1,901 +745 $217
     IWP1,901+745$217
Ishares Russell 2000 Growth ETF (IWO) 791 -155 $214
     IWO791-155$214
Invesco BulletShares 2024 Corp Bd ETF (BSCO) 10,093 -1,118 $212
     BSCO10,093-1,118$212
EOG Resources Inc Common 1,635 -25 $209
     EOG1,635-25$209
Old National Bancorp 11,962 +1,006 $208
     ONB11,962+1,006$208
Ishares Global Clean Energy ETF (ICLN) 14,678 -54,621 $205
     ICLN14,678-54,621$205
Dupont De Nemours Inc Corp Common 2,572 +86 $197
     DD2,572+86$197
Dominion Energy Inc 3,940 +1,025 $194
     D3,940+1,025$194
Microchip Tech Inc 2,149 -255 $193
     MCHP2,149-255$193
Vanguard Small Cap Growth ETF (VBK) 741 UNCH $193
     VBK741UNCH$193
Technology SPDR Select Sector ETF (XLK) 928 +928 $193
     XLK928+928$193
Novartis AG Spons ADR 1,963 +346 $190
     NVS1,963+346$190
Realty Income Corp Common 3,460 +3,460 $187
     O3,460+3,460$187
Suncor Energy Inc New 5,050 +315 $186
     SU5,050+315$186
Canadian Imperial Bank Common 3,646 +1,000 $185
     CM3,646+1,000$185
SPDR Portfolio Small Cap ETF (SPSM) 4,233 UNCH $182
     SPSM4,233UNCH$182
Cigna Corp Common 496 UNCH $180
     CI496UNCH$180
Regeneron Pharmaceuticals Inc 186 UNCH $179
     REGN186UNCH$179
Linde PLC Corp 377 -25 $175
     LIN377-25$175
Metlife Inc 2,357 -17 $175
     MET2,357-17$175
American Electric Power Co 2,000 UNCH $172
     AEP2,000UNCH$172
Prologis Inc Common 1,320 +365 $172
     PLD1,320+365$172
Vanguard Ftse All World Ex US Index Fund ETF (VEU) 2,939 UNCH $172
     VEU2,939UNCH$172
Vanguard Mid Cap Growth Index ETF (VOT) 718 -50 $169
     VOT718-50$169
Spdr NYSE Technology ETF (XNTK) 915 UNCH $167
     XNTK915UNCH$167
Marathon Petroleum Corp 825 -50 $166
     MPC825-50$166
Motorola Solutions Inc Common New 469 -25 $166
     MSI469-25$166
Direxion Daily S&P 500 Bull 3x Shares ETF (SPXL) 1,225 -475 $164
     SPXL1,225-475$164
Kla tencor Corp Common 230 +100 $161
     KLAC230+100$161
Digital Rlty Tr Inc REIT 1,100 +950 $158
     DLR1,100+950$158
Sun Life Finl Inc Common 2,844 UNCH $155
     SLF2,844UNCH$155
Capital One Financial 1,029 -25 $153
     COF1,029-25$153
Republic Services Inc 800 UNCH $153
     RSG800UNCH$153
Emerson Electric Company 1,344 UNCH $152
     EMR1,344UNCH$152
Marsh & McLennan Cos Inc Common 739 +44 $152
     MMC739+44$152
Lam Resh Corp Common 155 +100 $151
     LRCX155+100$151
Unilever PLC ADR 2,985 -300 $150
     UL2,985-300$150
IShares Trust S&P 1500 Total US Stock Mkt ETF (ITOT) 1,286 -110 $148
     ITOT1,286-110$148
Paypal Holdings Inc 2,210 -120 $148
     PYPL2,210-120$148
Medtronic PLC 1,668 +150 $145
     MDT1,668+150$145
Total Se 2,100 UNCH $145
     TTE2,100UNCH$145
Applied Materials Inc 700 +300 $144
     AMAT700+300$144
Enbridge Inc Common 3,933 +929 $142
     ENB3,933+929$142
Lennar Corp Class A 792 -50 $136
     LEN792-50$136
Wisdomtree International Equity Fund Eqy ETF (DWM) 2,415 UNCH $132
     DWM2,415UNCH$132
Taiwan Semicondutor Mfg 970 -15 $132
     TSM970-15$132
Phillips 66 Com 801 +5 $131
     PSX801+5$131
General Mills 1,838 UNCH $129
     GIS1,838UNCH$129
Autodesk Inc 492 UNCH $128
     ADSK492UNCH$128
Palantir Technologies Inc. Class A 5,550 -50 $128
     PLTR5,550-50$128
Micron Technology Inc Common 1,080 +1,080 $127
     MU1,080+1,080$127
Gray Television Inc 20,000 UNCH $126
     GTN20,000UNCH$126
Kimberly Clark Corp 973 UNCH $126
     KMB973UNCH$126
Monster Beverage Corp 2,124 UNCH $126
     MNST2,124UNCH$126
Sempra Energy 1,755 +1,657 $126
     SRE1,755+1,657$126
Discover Finl Svcs Common 950 +25 $125
     DFS950+25$125
Vanguard Ftse Emerging Market ETF (VWO) 2,982 +575 $125
     VWO2,982+575$125
Analog Devices Inc Corp Com 624 +300 $123
     ADI624+300$123
Citigroup Inc Com New 1,913 -50 $121
     C1,913-50$121
Ishares Tr Core U S Aggregate Bd ETF (AGG) 1,226 UNCH $120
     AGG1,226UNCH$120
Nucor Corp 593 UNCH $117
     NUE593UNCH$117
NRG Energy Inc 1,718 UNCH $116
     NRG1,718UNCH$116
Enterprise Products Partners LP 3,925 UNCH $115
     EPD3,925UNCH$115
L3harris Technologies Inc 515 +199 $110
     LHX515+199$110
AT&T Inc 6,243 +2,037 $110
     T6,243+2,037$110
Equinix Inc REIT 131 +2 $108
     EQIX131+2$108
Materials SPDR Select Sector ETF (XLB) 1,157 -21 $107
     XLB1,157-21$107
German American Bancorp Inc Common 2,919 UNCH $101
     GABC2,919UNCH$101
Dow Inc Corp Common 1,709 +149 $99
     DOW1,709+149$99
Dollar Tree 734 -25 $98
     DLTR734-25$98
Kenvue Inc 4,381 +2,595 $94
     KVUE4,381+2,595$94
Vertiv Holdings Co Cl A 1,150 +1,000 $94
     VRT1,150+1,000$94
Martin Marietta Materials Inc 152 UNCH $93
     MLM152UNCH$93
Servicenow Inc Common 117 +25 $89
     NOW117+25$89
Otis Worldwide Corp Common 901 UNCH $89
     OTIS901UNCH$89
Wells Fargo & Co New 1,515 -1,490 $88
     WFC1,515-1,490$88
Utilities SPDR Select Sector ETF (XLU) 1,339 -243 $88
     XLU1,339-243$88
Wisdomtree US High Dividend Fund ETF (DHS) 1,000 +1,000 $87
     DHS1,000+1,000$87
Dell Technologies Inc Com 750 +750 $86
     DELL750+750$86
Expeditors Intl Wash Inc 689 UNCH $84
     EXPD689UNCH$84
Ge Healthcare Technologies Inc 924 +437 $84
     GEHC924+437$84
Johnson Controls International PLC Shs 1,282 +287 $84
     JCI1,282+287$84
Canadian Pacific Kansas City Ltd Corp 940 +390 $83
     CP940+390$83
Ishares Expanded Tech Sector ETF (IGM) 960 +800 $83
     IGM960+800$83
The Hershey Company 415 -25 $81
     HSY415-25$81
Veralto Corp 909 -52 $81
     VLTO909-52$81
Consumer Staples SPDR Select Sector ETF (XLP) 1,054 +954 $80
     XLP1,054+954$80
Wisdomtree US Ai Enhanced Value Fund ETF (AIVL) 775 +775 $79
     AIVL775+775$79
Financials SPDR Select Sector ETF (XLF) 1,879 +809 $79
     XLF1,879+809$79
Franklin Res Inc Common 2,749 -250 $77
     BEN2,749-250$77
Fifth Third Bancorp 2,038 UNCH $76
     FITB2,038UNCH$76
Iron Mountain Inc 905 UNCH $73
     IRM905UNCH$73
Vanguard Health Care ETF (VHT) 265 -40 $72
     VHT265-40$72
BCE Inc Common New 2,085 UNCH $71
     BCE2,085UNCH$71
Crown Castle Intl Corp Common 673 -182 $71
     CCI673-182$71
Rockwell Automation Inc 240 UNCH $70
     ROK240UNCH$70
Carrier Global Corp Common 1,181 UNCH $69
     CARR1,181UNCH$69
Northern Trust Corp 775 UNCH $69
     NTRS775UNCH$69
Toyota Mtr Corp ADR 2 275 UNCH $69
     TM275UNCH$69
Consumer Discretionary SPDR Select Sector ETF (XLY) 377 +217 $69
     XLY377+217$69
Firstenergy Corp 1,750 -389 $68
     FE1,750-389$68
Innovative Industrial Properties Inc REIT 660 +20 $68
     IIPR660+20$68
Prudential Financial 577 UNCH $68
     PRU577UNCH$68
Regions Financial Corp COM 3,223 UNCH $68
     RF3,223UNCH$68
Roper Technologies Inc Corp 122 +65 $68
     ROP122+65$68
International Paper 1,675 -1,511 $65
     IP1,675-1,511$65
Cheniere Energy Inc Common New 400 UNCH $65
     LNG400UNCH$65
Freeport McMoran Inc 1,310 -48 $62
     FCX1,310-48$62
Wec Energy Group Inc 756 UNCH $62
     WEC756UNCH$62
Travelers Cos Inc 247 UNCH $57
     TRV247UNCH$57
Toronto Dominion Bk Ont Common New 925 UNCH $56
     TD925UNCH$56
Fidelity MSCI Communication Services Index ETF (FCOM) 1,080 -225 $54
     FCOM1,080-225$54
Ishares Trust S&P 500 Growth ETF (IVW) 632 UNCH $53
     IVW632UNCH$53
Ishares Trust DJ US Financial Financials ETF (IYF) 555 -60 $53
     IYF555-60$53
Darden Restaurants 310 UNCH $52
     DRI310UNCH$52
Ishares Silver Tr (SLV) 2,300 UNCH $52
     SLV2,300UNCH$52
FedEx Corporation 175 -20 $51
     FDX175-20$51
Cummins Inc 170 -115 $50
     CMI170-115$50
W P Carey Inc Common 880 UNCH $50
     WPC880UNCH$50
Communication Services SPDR Select Sector ETF (XLC) 606 +491 $49
     XLC606+491$49
Vanguard Intl Equity Index Fund Ftse Europe ETF (VGK) 720 +685 $48
     VGK720+685$48
Ball Corp 700 +700 $47
     BALL700+700$47
Ishares Trust Corporate Bond ETF (IGSB) 864 UNCH $44
     IGSB864UNCH$44
Live Oak Bancshares Inc. (LOB) 1,050 +1,050 $44
     LOB1,050+1,050$44
Kinder Morgan Inc Del 2,328 UNCH $43
     KMI2,328UNCH$43
Proshares S&P 500 Dividend Aristocrats ETF (NOBL) 417 -165 $42
     NOBL417-165$42
FS KKR Capital Corp 2,084 UNCH $40
     FSK2,084UNCH$40
Ishares S&P 500 Value ETF (IVE) 212 UNCH $40
     IVE212UNCH$40
JPMorgan NASDAQ Equity Premium Income ETF (JEPQ) 720 UNCH $39
     JEPQ720UNCH$39
Health Care SPDR Select Sector ETF (XLV) 263 +263 $39
     XLV263+263$39
Chipotle Mexican Grill Inc Common 13 UNCH $38
     CMG13UNCH$38
Gilead Sciences Inc 525 -75 $38
     GILD525-75$38
Ishares Tr Core S&P Mid Cap ETF (IJH) 625 +450 $38
     IJH625+450$38
Schwab Strategic Tr ETF (SCHH) 1,882 UNCH $38
     SCHH1,882UNCH$38
Valvoline Inc 863 UNCH $38
     VVV863UNCH$38
Ishares Trust S&P Small Capital 600 Growth ETF (IJT) 280 UNCH $37
     IJT280UNCH$37
Ashland Global Hldgs 370 UNCH $36
     ASH370UNCH$36
Parker Hannifin Corp Common 65 UNCH $36
     PH65UNCH$36
Astrazeneca PLC ADR 515 UNCH $35
     AZN515UNCH$35
Vanguard Industrials ETF (VIS) 145 -70 $35
     VIS145-70$35
Industrial Select Sector Spdr Fund Etf (XLI) 276 +213 $35
     XLI276+213$35
Ishares Msci Emerging Markets Min Vol Factor ETF (EEMV) 590 UNCH $33
     EEMV590UNCH$33
Emcor Group Inc Common 95 +95 $33
     EME95+95$33
Vaneck High Yield Muni ETF (HYD) 635 UNCH $33
     HYD635UNCH$33
Ishares S&P Small Cap 600 Value Index ETF (IJS) 318 UNCH $33
     IJS318UNCH$33
First Tr Nasdaq ABA Cmnty Bk Index Fund (QABA) 700 UNCH $33
     QABA700UNCH$33
Zoetis Inc Class A 195 +30 $33
     ZTS195+30$33
Autozone Inc Common 10 UNCH $32
     AZO10UNCH$32
PPL Corporation Corp Common 1,165 UNCH $32
     PPL1,165UNCH$32
Vanguard Short Term Inflation Protected ETF (VTIP) 660 -200 $32
     VTIP660-200$32
First Tr Fund NYSE Arca Biotechnology Index Fd (FBT) 200 +200 $31
     FBT200+200$31
Western Asset Managed Muns Fd Inc Common 3,000 UNCH $31
     MMU3,000UNCH$31
Schwab US Tips ETF (SCHP) 600 UNCH $31
     SCHP600UNCH$31
Evergy Inc 556 UNCH $30
     EVRG556UNCH$30
HP Inc Common 1,000 UNCH $30
     HPQ1,000UNCH$30
Ishares Core Dividend Growth ETF (DGRO) 505 UNCH $29
     DGRO505UNCH$29
Vanguard Total International ETF (BNDX) 576 UNCH $28
     BNDX576UNCH$28
Wesbanco Inc Common 936 UNCH $28
     WSBC936UNCH$28
Hilton Worldwide Holdings Inc. 125 +50 $27
     HLT125+50$27
BP P.L.C. 700 UNCH $26
     BP700UNCH$26
Invesco Zacks Multi asset Income ETF (CVY) 1,000 UNCH $26
     CVY1,000UNCH$26
Exelon Corp 700 UNCH $26
     EXC700UNCH$26
SPDR Nuveen Bloomberg Short Term Municipal Bond ETF (SHM) 545 UNCH $26
     SHM545UNCH$26
Tyson Foods Inc Class A 450 -50 $26
     TSN450-50$26
Constellation Energy Corp Common 133 UNCH $25
     CEG133UNCH$25
Quantum Computing Inc 25,350 +25,350 $25
     QUBT25,350+25,350$25
Anheuser Busch Inbev Sa nv Sponsored ADR 400 UNCH $24
     BUD400UNCH$24
Principal Finl Group Inc 280 +280 $24
     PFG280+280$24
Pinnacle West Capital Corp Common 325 UNCH $24
     PNW325UNCH$24
Howmet Aerospace Inc Common 333 UNCH $23
     HWM333UNCH$23
Skyworks Solutions Inc 215 UNCH $23
     SWKS215UNCH$23
Huntington Ingalls Industries Inc Com 75 +75 $22
     HII75+75$22
iShrares U.S. Technology ETF (IYW) 160 UNCH $22
     IYW160UNCH$22
Vanguard Consumer Staples Index Fund ETF (VDC) 110 -55 $22
     VDC110-55$22
Best Buy Inc 250 UNCH $21
     BBY250UNCH$21
Corning Incorporated 648 -100 $21
     GLW648-100$21
Ishares Biotechnology ETF (IBB) 154 -6 $21
     IBB154-6$21
Baxter International Inc Com 475 UNCH $20
     BAX475UNCH$20
Ebay Inc 380 UNCH $20
     EBAY380UNCH$20
Intuit Inc. 30 +10 $20
     INTU30+10$20
Masco Corp Common 252 UNCH $20
     MAS252UNCH$20
Essential Utilities Inc Common 528 +528 $20
     WTRG528+528$20
Archer Danels Midland 300 UNCH $19
     ADM300UNCH$19
Broadridge Finl Solutions Inc Common 95 UNCH $19
     BR95UNCH$19
SPDR Bloomberg High Yield Bond ETF (JNK) 200 UNCH $19
     JNK200UNCH$19
Live Nation Entertainment Inc Corp 175 UNCH $19
     LYV175UNCH$19
Paccar Inc 150 UNCH $19
     PCAR150UNCH$19
Ishares Tips Bond ETF (TIP) 175 UNCH $19
     TIP175UNCH$19
Booking Holdings Inc 5 +5 $18
     BKNG5+5$18
Carnival Corporation 1,124 UNCH $18
     CCL1,124UNCH$18
Lyondellbasell Industries N.V. London Shs 172 +26 $18
     LYB172+26$18
First Trust Nasdaq Al & Robotics ETF (ROBT) 404 UNCH $18
     ROBT404UNCH$18
Snap on Inc 60 UNCH $18
     SNA60UNCH$18
Spdr Ser Tr S&p Homebuilders ETF (XHB) 160 UNCH $18
     XHB160UNCH$18
First Solar Inc Common 100 UNCH $17
     FSLR100UNCH$17
Hormel Foods Corp 475 UNCH $17
     HRL475UNCH$17
Idacorp Inc 182 UNCH $17
     IDA182UNCH$17
Otter Tail Corp Common 200 UNCH $17
     OTTR200UNCH$17
Vaneck Short High Yield Muni ETF (SHYD) 750 UNCH $17
     SHYD750UNCH$17
Ishares MSCI All Country Asia Ex Japan ETF (AAXJ) 242 +242 $16
     AAXJ242+242$16
Biogen Incorporated 75 UNCH $16
     BIIB75UNCH$16
First Financial Bancorp Corp 693 UNCH $16
     FFBC693UNCH$16
Nasdaq Inc Corp 250 UNCH $16
     NDAQ250UNCH$16
Calamos Dynamic Convertible And Income Fund (CCD) 682 UNCH $15
     CCD682UNCH$15
Century Aluminum Co 1,000 UNCH $15
     CENX1,000UNCH$15
Centene Corp Del Common 196 UNCH $15
     CNC196UNCH$15
Proshares Investment Grade Interest Rate Hedged ETF (IGHG) 200 UNCH $15
     IGHG200UNCH$15
Texas Roadhouse Inc 100 +100 $15
     TXRH100+100$15
Vanguard FTSE All World Ex US Small Cap ETF (VSS) 128 UNCH $15
     VSS128UNCH$15
AES Corp 800 +800 $14
     AES800+800$14
General Motors 300 UNCH $14
     GM300UNCH$14
Invesco Exchange Traded Fd Tr Finl PFD ETF (PGF) 950 UNCH $14
     PGF950UNCH$14
Royal Caribbean Cruises Ltd Shs 100 UNCH $14
     RCL100UNCH$14
Wolfspeed Inc 464 -247 $14
     WOLF464-247$14
CME Group Inc Common 60 UNCH $13
     CME60UNCH$13
Quest Diagnostics Inc 100 UNCH $13
     DGX100UNCH$13
Equity Residential Com Shs 200 +200 $13
     EQR200+200$13
Fortive Corporation 150 UNCH $13
     FTV150UNCH$13
Iqvia Holdings Inc. 50 UNCH $13
     IQV50UNCH$13
Mid America Apartment Com 100 +100 $13
     MAA100+100$13
Danimer Scientific Inc Class A 10,582 UNCH $12
     DNMR10,582UNCH$12
Hess Corp 79 +50 $12
     HES79+50$12
Vanguard Materials Index Fund ETF (VAW) 60 -30 $12
     VAW60-30$12
Align Technology Inc 33 UNCH $11
     ALGN33UNCH$11
Community Trust Bancorp Inc Common 250 UNCH $11
     CTBI250UNCH$11
NXP Semiconductors Nv Corp 45 UNCH $11
     NXPI45UNCH$11
Walgreens Boots Alliance Inc 505 -250 $11
     WBA505-250$11
Benson Hill Inc 50,000 +25,000 $10
     BHIL50,000+25,000$10
First Busey Corp Common New 400 UNCH $10
     BUSE400UNCH$10
Vanguard Utilities ETF (VPU) 70 UNCH $10
     VPU70UNCH$10
AFLAC Inc 100 UNCH $9
     AFL100UNCH$9
Ishares Core S&P US Value ETF (IUSV) 100 UNCH $9
     IUSV100UNCH$9
Carmax Inc 104 UNCH $9
     KMX104UNCH$9
Marriott Intl Inc New Cl A 35 UNCH $9
     MAR35UNCH$9
Mettler toledo International Inc. 7 UNCH $9
     MTD7UNCH$9
Invesco Active US Real Estate Fund ETF (PSR) 100 UNCH $9
     PSR100UNCH$9
United States Steel Common 225 UNCH $9
     X225UNCH$9
Alps ETF Tr (AMLP) 160 UNCH $8
     AMLP160UNCH$8
Brighthouse Finl Inc Common 147 UNCH $8
     BHF147UNCH$8
Ishares Trust S & P Global 100 Etf (IOO) 90 UNCH $8
     IOO90UNCH$8
Ishares Tr Dow Jones Real ES (IYR) 90 UNCH $8
     IYR90UNCH$8
SBA Communications Corp REIT 35 -230 $8
     SBAC35-230$8
Yum China Holdings Inc 200 +200 $8
     YUMC200+200$8
Fair Isaac Corp 6 UNCH $7
     FICO6UNCH$7
Nordson Corp. 27 UNCH $7
     NDSN27UNCH$7
Newmont Mining Corp New 200 UNCH $7
     NEM200UNCH$7
Synopsys Inc Common 13 UNCH $7
     SNPS13UNCH$7
Sanofi Aventis 134 UNCH $7
     SNY134UNCH$7
Vulcan Materials Common 25 UNCH $7
     VMC25UNCH$7
Becton Dickinson & Co 25 UNCH $6
     BDX25UNCH$6
Bank of Hawaii Corp 100 UNCH $6
     BOH100UNCH$6
Cardinal Health Inc 50 UNCH $6
     CAH50UNCH$6
Cadence Design Systems Inc Corp Common 20 UNCH $6
     CDNS20UNCH$6
Grainger W Inc Common 6 -6 $6
     GWW6-6$6
Halliburton Co 162 UNCH $6
     HAL162UNCH$6
Highwoods Pptys Inc Common 248 UNCH $6
     HIW248UNCH$6
Haleon PLC 680 UNCH $6
     HLN680UNCH$6
Marathon Oil Corp Com 200 +200 $6
     MRO200+200$6
MSCI Inc. 10 UNCH $6
     MSCI10UNCH$6
Perkinelmer Inc 55 UNCH $6
     RVTY55UNCH$6
Simon Property Group INC Prop Grp REIT 40 UNCH $6
     SPG40UNCH$6
Stellantis N V F 200 UNCH $6
     STLA200UNCH$6
Cintas Corp 7 UNCH $5
     CTAS7UNCH$5
Five Below Inc. 25 UNCH $5
     FIVE25UNCH$5
FMC Corp 80 UNCH $5
     FMC80UNCH$5
Northrop Grumman Corp Common 10 UNCH $5
     NOC10UNCH$5
Shockwave Medical Inc. 15 UNCH $5
     SWAV15UNCH$5
Tapestry Inc Common 100 UNCH $5
     TPR100UNCH$5
Alaska Air Group Inc Corp Common 100 UNCH $4
     ALK100UNCH$4
America Movil Sab DE ADR Cls B 234 UNCH $4
     AMX234UNCH$4
Ansys Inc 11 UNCH $4
     ANSS11UNCH$4
Fortune Brands Home & Security Inc 50 +50 $4
     FBIN50+50$4
Vaneck Natural Resources ETF (HAP) 85 UNCH $4
     HAP85UNCH$4
Republic Bancorp Inc Class A 75 +75 $4
     RBCAA75+75$4
Dr Reddy& 39 s Laboratories LTD ADR 55 UNCH $4
     RDY55UNCH$4
Sentinelone Inc. 165 UNCH $4
     S165UNCH$4
Invesco BulletShares 2024 Hi Yld Corp Bd ETF (BSJO) 131 -795 $3
     BSJO131-795$3
Invesco BulletShares 2025 Hi Yld Corp Bd ETF (BSJP) 129 UNCH $3
     BSJP129UNCH$3
Invesco BulletShares 2026 Hi Yld Corp Bd ETF (BSJQ) 127 UNCH $3
     BSJQ127UNCH$3
Coin UW Equity Common 13 +13 $3
     COIN13+13$3
Enphase Energy Inc Corp Common 25 -150 $3
     ENPH25-150$3
Innoviz Technologies Ltd Corp 2,000 UNCH $3
     INVZ2,000UNCH$3
Ishares Tr US Telecommunications ETF (IYZ) 150 UNCH $3
     IYZ150UNCH$3
Moody& 39 s Corp. 8 UNCH $3
     MCO8UNCH$3
Schwab Strategic Trust International Equity ETF (SCHF) 87 UNCH $3
     SCHF87UNCH$3
Ishares Broad Usd High Yield Corp Bond ETF (USHY) 79 UNCH $3
     USHY79UNCH$3
Viatris Inc 229 UNCH $3
     VTRS229UNCH$3
Extra Space Storage Inc REIT 17 UNCH $2
     EXR17UNCH$2
Health Corp America 5 UNCH $2
     HCA5UNCH$2
Harley Davidson 50 UNCH $2
     HOG50UNCH$2
Ishares S&P Small Cap 600 Index Fund (IJR) 20 UNCH $2
     IJR20UNCH$2
Keurig Dr Pepper Inc 80 UNCH $2
     KDP80UNCH$2
McCormick & Co Inc Common Non Vtg 23 UNCH $2
     MKC23UNCH$2
Pentair PLC 20 UNCH $2
     PNR20UNCH$2
Spdr DJ Wilshire Small Cap Gr ETF S&P 600 (SLYG) 27 UNCH $2
     SLYG27UNCH$2
Take Two Interactive Software Inc 15 UNCH $2
     TTWO15UNCH$2
US Foods Holding Corp. 41 UNCH $2
     USFD41UNCH$2
Vanguard Small Cap Value ETF (VBR) 9 UNCH $2
     VBR9UNCH$2
Masterbrand Inc 50 +50 $1
     MBC50+50$1
Novavax Inc Common 142 UNCH $1
     NVAX142UNCH$1
Berry Global Group Inc 5 -175 <$1
     BERY5-175$0
Calamos Strategic Total Return Fund (CSQ) 8 UNCH <$1
     CSQ8UNCH$0
Ishares Barclays 3 7 Year Treasury Bond Fund ETF (IEI) 3 UNCH <$1
     IEI3UNCH$0
Sylvamo Corp Common 6 UNCH <$1
     SLVM6UNCH$0
Weyerhaeuser Common 1 +0 $0
     WY1UNCH$0
ABB LTD Spons ADR $0 (exited)
     SPONSORED ADR0-260$0
ARK Innovation ETF $0 (exited)
     ARKK0-1,400$0
BHP Group Limited $0 (exited)
     BHP0-50$0
Bank New York Mellon Corp $0 (exited)
     BK0-150$0
Bank Montreal Que Common $0 (exited)
     BMO0-600$0
Charter Communications Inc Class A $0 (exited)
     CHTR0-10$0
BNY Mellon High Yield Strategies $0 (exited)
     DHF0-3,162$0
Delek US Holdings Inc $0 (exited)
     DK0-490$0
DNP Select Income FD Inc $0 (exited)
     DNP0-926$0
Ecolab Inc $0 (exited)
     ECL0-8$0
First Trust Opportunistic Fixed Income ETF $0 (exited)
     FIXD0-83$0
First Trust Managed Municipal ETF $0 (exited)
     FMB0-521$0
Goldman Sachs Treasury 0 1 Year ETF $0 (exited)
     GBIL0-11$0
Ishares Tr Iboxx High Yld ETF $0 (exited)
     HYG0-1,350$0
ING Groep N V $0 (exited)
     ING0-500$0
Global X Lithium & Battery Tech ETF $0 (exited)
     LIT0-1,737$0
First Trust Low Duration Opportunities ETF $0 (exited)
     LMBS0-20$0
Livent Corp $0 (exited)
     LTHM0-233$0
Southwest Airlines Common $0 (exited)
     LUV0-311$0
Mohawk Ind Inc $0 (exited)
     MHK0-100$0
ETFMG Alternative Harvest ETF $0 (exited)
     MJ0-295$0
Ishares S&P 100 Index Fund ETF $0 (exited)
     OEF0-20$0
Omega Healthcare Invst REIT $0 (exited)
     OHI0-554$0
Occidental Petroleum Corp $0 (exited)
     OXY0-23$0
Pimco Dynamic Income Opportunities Fund $0 (exited)
     PDO0-147$0
PJT Partnership Incorporated $0 (exited)
     PJT0-12$0
Invesco Equal Weight 0 30 Year Treasury ETF $0 (exited)
     PLW0-91$0
Transocean LTD $0 (exited)
     RIG0-6,000$0
SolarEdge Technologies Inc. $0 (exited)
     SEDG0-125$0
Ishares 0 5 Year High Yield Corporate Bond ETF $0 (exited)
     SHYG0-26$0
Invesco Solar ETF $0 (exited)
     TAN0-5,335$0
Tractor Supply Co $0 (exited)
     TSCO0-14$0
Xylem Inc Common 0 -14 $0 (exited)
     XYL0-14$0

See Summary: Independence Bank of Kentucky Top Holdings
See Details: Top 10 Stocks Held By Independence Bank of Kentucky

All Stocks Held By Independence Bank of Kentucky | www.HoldingsChannel.com | Copyright © 2013 - 2024, All Rights Reserved

Nothing in Holdings Channel is intended to be investment advice, nor does it represent the opinion of, counsel from, or recommendations by BNK Invest Inc. or any of its affiliates, subsidiaries or partners. None of the information contained herein constitutes a recommendation that any particular security, portfolio, transaction, or investment strategy is suitable for any specific person. All viewers agree that under no circumstances will BNK Invest, Inc,. its subsidiaries, partners, officers, employees, affiliates, or agents be held liable for any loss or damage caused by your reliance on information obtained. By visiting, using or viewing this site, you agree to the following Full Disclaimer & Terms of Use and Privacy Policy. Video widget and market videos powered by Market News Video. Quote and option data delayed at least 15 minutes; stock quote data powered by Ticker Technologies, and Mergent. Contact Holdings Channel; Meet Our Editorial Staff.