Holdings Channel
EntityShares/Amount
Change
Position Value
Change
COR +24,476+$5,947
CAH +15,566+$1,742
WCN +1,309+$225
NU +18,344+$219
AMAT +1,058+$218
CMI +730+$215
GGG +2,250+$210
PGR +1,001+$207
TMO +356+$207
DEO +1,380+$205
EntityShares/Amount
Change
Position Value
Change
ABC -9,214-$1,658
FCX -8,960-$381
TRP -9,375-$366
NFLX -470-$229
PLD -1,683-$224
NOW -316-$223
BP -6,135-$217
DSM -11,019-$63
EntityShares/Amount
Change
Position Value
Change
UCON +103,719+$2,482
TTWO +70,952+$7,446
RDVI +59,796+$2,134
CSCO +50,324+$1,941
GOOGL +48,125+$11,417
ANET +47,252+$16,212
VOX +44,399+$7,093
SCHW +21,764+$2,695
WMT +19,359+$316
MNST +18,731+$1,461
EntityShares/Amount
Change
Position Value
Change
F -726,015-$7,811
DIS -200,189-$12,361
PRK -37,230-$1,377
FPE -33,834+$930
BNDC -32,904-$815
INTC -32,872-$2,816
CSX -28,646-$460
GUNR -28,209-$1,146
NVDA -26,625+$38,231
Size ($ 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

All Stocks Held By Park National Corp OH
As of  03/31/2024, we find all stocks held by Park National Corp OH to be as follows, presented in the table below with each row detailing each Park National Corp OH position, ordered by largest to smallest position size. The all-stocks-held-by-Park National Corp OH 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 Park National Corp OH as of the latest filing.

   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
CVS Health Corporation 197,087 +103 $15,720
     CVS197,087+103$15,720
First Trust Tactical High Yiel (HYLS) 378,233 -21,984 $15,595
     HYLS378,233-21,984$15,595
Zoetis Inc 89,335 -3,178 $15,116
     ZTS89,335-3,178$15,116
First Trust TCW Unconstrained (UCON) 598,259 +103,719 $14,717
     UCON598,259+103,719$14,717
Monster Beverage Corporation 228,887 +18,731 $13,568
     MNST228,887+18,731$13,568
Vanguard Real Estate ETF (VNQ) 154,452 -1,332 $13,357
     VNQ154,452-1,332$13,357
Home Depot Inc 34,508 -961 $13,237
     HD34,508-961$13,237
FT Cboe Vest Rising Div Achiev 538,862 +59,796 $13,191
     RDVI538,862+59,796$13,191
Ford Motor Company 952,943 -726,015 $12,655
     F952,943-726,015$12,655
Pfizer Inc 446,577 -23,764 $12,393
     PFE446,577-23,764$12,393
Halliburton Company 302,143 -9,832 $11,910
     HAL302,143-9,832$11,910
iShares Core S&P 500 ETF (IVV) 22,160 -42 $11,650
     IVV22,160-42$11,650
Merck & Company Inc New 83,183 -7,994 $10,976
     MRK83,183-7,994$10,976
American Tower Corporation REI 50,873 +827 $10,052
     AMT50,873+827$10,052
AstraZeneca PLC Sponsored ADR 141,883 -4,263 $9,613
     AZN141,883-4,263$9,613
Target Corporation 52,069 -17,802 $9,227
     TGT52,069-17,802$9,227
Lilly Eli & Company 11,751 -475 $9,142
     LLY11,751-475$9,142
First Trust Growth Strength ET (FTGS) 293,910 +2,895 $9,026
     FTGS293,910+2,895$9,026
Automatic Data Processing Inc 34,307 -119 $8,568
     ADP34,307-119$8,568
Intel Corporation 191,398 -32,872 $8,454
     INTC191,398-32,872$8,454
HCA Healthcare Inc 25,102 -1,397 $8,372
     HCA25,102-1,397$8,372
Vanguard Total Stock Market ET (VTI) 31,985 -1,999 $8,313
     VTI31,985-1,999$8,313
McKesson Corporation 15,482 -341 $8,312
     MCK15,482-341$8,312
CSX Corporation 222,130 -28,646 $8,234
     CSX222,130-28,646$8,234
First Trust Small Cap Core Alp (FYX) 86,065 -1,824 $8,025
     FYX86,065-1,824$8,025
PNC Financial Services Group 48,787 -19,445 $7,884
     PNC48,787-19,445$7,884
First Trust Dow Jones Global S (FGD) 343,189 -2,335 $7,814
     FGD343,189-2,335$7,814
Emerson Electric Company 67,807 -10,529 $7,691
     EMR67,807-10,529$7,691
Vanguard Health Care ETF (VHT) 26,200 -872 $7,088
     VHT26,200-872$7,088
Becton Dickinson & Co 27,300 +2,914 $6,755
     BDX27,300+2,914$6,755
Nike Inc Class B 69,213 -5,783 $6,505
     NKE69,213-5,783$6,505
Marathon Petroleum Corporation 30,106 +1,989 $6,066
     MPC30,106+1,989$6,066
Cencora Inc 24,476 +24,476 $5,947
     COR24,476+24,476$5,947
Air Products & Chemicals Inc 24,395 -4,511 $5,910
     APD24,395-4,511$5,910
Vanguard Consumer Discretionar (VCR) 18,471 -1,000 $5,869
     VCR18,471-1,000$5,869
Vanguard Intermediate Term Bon (BIV) 76,162 -16,791 $5,743
     BIV76,162-16,791$5,743
RPM International Inc 47,655 -757 $5,669
     RPM47,655-757$5,669
First Trust North Amer Energy (EMLP) 191,712 -9,713 $5,661
     EMLP191,712-9,713$5,661
FlexShares Core Select Bond ET (BNDC) 254,722 -32,904 $5,619
     BNDC254,722-32,904$5,619
Chubb Ltd New 20,813 -753 $5,393
     CB20,813-753$5,393
Vanguard S&P 500 ETF (VOO) 11,111 -281 $5,341
     VOO11,111-281$5,341
Bank of America Corp 137,894 -9,690 $5,229
     BAC137,894-9,690$5,229
Brown & Brown Inc 58,800 -400 $5,147
     BRO58,800-400$5,147
Trane Technologies PLC 15,610 -1,645 $4,686
     TT15,610-1,645$4,686
FT Indxx Global Natural Resour 328,354 +2,458 $4,359
     FTRI328,354+2,458$4,359
American Express Co 18,249 -1,040 $4,155
     AXP18,249-1,040$4,155
Cintas Corporation 6,026 -145 $4,140
     CTAS6,026-145$4,140
Genuine Parts Company 26,713 -1,491 $4,139
     GPC26,713-1,491$4,139
General Dynamics Corporation 13,981 -833 $3,949
     GD13,981-833$3,949
Vanguard Financials ETF (VFH) 36,589 -2,486 $3,746
     VFH36,589-2,486$3,746
Vanguard FTSE Developed Market (VEA) 73,081 -4,239 $3,666
     VEA73,081-4,239$3,666
Union Pacific Corporation 14,594 -144 $3,589
     UNP14,594-144$3,589
Texas Instruments Inc 20,357 +46 $3,546
     TXN20,357+46$3,546
Huntington Bancshares Inc (HBAN) 249,490 -4,314 $3,480
     HBAN249,490-4,314$3,480
Meta Platforms Inc Class A 6,923 -461 $3,362
     META6,923-461$3,362
FlexShares Morningstar Glbl Up (GUNR) 78,360 -28,209 $3,218
     GUNR78,360-28,209$3,218
SPDR S&P 500 ETF (SPY) 6,127 -100 $3,205
     SPY6,127-100$3,205
Vanguard Industrials ETF (VIS) 13,060 -1,624 $3,189
     VIS13,060-1,624$3,189
Caterpillar Inc 8,686 -230 $3,183
     CAT8,686-230$3,183
Honeywell International Inc 15,397 -2,845 $3,160
     HON15,397-2,845$3,160
Gorman Rupp Company 78,012 UNCH $3,085
     GRC78,012UNCH$3,085
US Bancorp DE 68,483 -16,251 $3,061
     USB68,483-16,251$3,061
International Business Machine 15,561 -500 $2,972
     IBM15,561-500$2,972
QUALCOMM Inc 17,024 -8,539 $2,882
     QCOM17,024-8,539$2,882
Bank of New York Mellon Corp 47,067 -1,037 $2,712
     BK47,067-1,037$2,712
3M Company 24,630 -4,627 $2,613
     MMM24,630-4,627$2,613
Vanguard Energy ETF (VDE) 18,841 -1,885 $2,481
     VDE18,841-1,885$2,481
Comcast Corporation Class A N 56,001 -5,435 $2,428
     CMCSA56,001-5,435$2,428
Sherwin Williams Company 6,987 -698 $2,427
     SHW6,987-698$2,427
Illinois Tool Works Inc 8,900 -543 $2,388
     ITW8,900-543$2,388
Alphabet Inc Class C 15,297 +2,485 $2,329
     GOOG15,297+2,485$2,329
Lancaster Colony Corporation 11,000 -115 $2,284
     LANC11,000-115$2,284
Adobe Inc 4,343 -284 $2,191
     ADBE4,343-284$2,191
United Parcel Service Inc Clas 14,412 -5,008 $2,142
     UPS14,412-5,008$2,142
Norfolk Southern Corporation 8,308 -427 $2,117
     NSC8,308-427$2,117
iShares Select Dividend ETF (DVY) 16,915 UNCH $2,084
     DVY16,915UNCH$2,084
Verizon Communications Inc 48,218 -5,560 $2,023
     VZ48,218-5,560$2,023
General Electric Company New 11,517 -3,637 $2,022
     GE11,517-3,637$2,022
First Trust Mid Cap Core Alpha (FNX) 17,443 -300 $1,978
     FNX17,443-300$1,978
FlexShares iBoxx 3 Year Target (TDTT) 82,846 -11,586 $1,968
     TDTT82,846-11,586$1,968
Shell PLC Sponsored ADR 29,008 +1,663 $1,945
     SHEL29,008+1,663$1,945
Vanguard Materials ETF (VAW) 9,403 -83 $1,922
     VAW9,403-83$1,922
PACCAR Inc 14,961 -52 $1,854
     PCAR14,961-52$1,854
Lowe s Companies Inc 7,255 +375 $1,848
     LOW7,255+375$1,848
Cincinnati Financial Corporati 14,370 -46 $1,784
     CINF14,370-46$1,784
Broadcom Inc 1,323 -676 $1,754
     AVGO1,323-676$1,754
Cardinal Health Inc 15,566 +15,566 $1,742
     CAH15,566+15,566$1,742
Delta Air Lines Inc 36,250 UNCH $1,735
     DAL36,250UNCH$1,735
Walmart Inc 28,062 +19,359 $1,688
     WMT28,062+19,359$1,688
Oracle Corporation 12,981 -1,377 $1,631
     ORCL12,981-1,377$1,631
Duke Energy Corporation New 16,593 -741 $1,605
     DUK16,593-741$1,605
Novartis AG Sponsored ADR 16,034 -1,878 $1,551
     NVS16,034-1,878$1,551
Vanguard Growth ETF (VUG) 4,414 UNCH $1,519
     VUG4,414UNCH$1,519
Vanguard Consumer Staples ETF (VDC) 7,293 -896 $1,489
     VDC7,293-896$1,489
First Trust Large Cap Core Alp (FEX) 14,936 -445 $1,482
     FEX14,936-445$1,482
Vanguard FTSE Emerging Markets (VWO) 35,124 -2,250 $1,467
     VWO35,124-2,250$1,467
Nucor Corporation 6,900 -1,522 $1,366
     NUE6,900-1,522$1,366
Invesco QQQ Trust Series 1 3,059 +960 $1,358
     QQQ3,059+960$1,358
Fifth Third Bancorp 36,092 -474 $1,343
     FITB36,092-474$1,343
Sysco Corporation 16,518 +1,783 $1,341
     SYY16,518+1,783$1,341
AT&T Inc 75,772 -9,534 $1,334
     T75,772-9,534$1,334
FlexShares US Quality Large Ca (QLC) 22,161 -1,408 $1,305
     QLC22,161-1,408$1,305
Allstate Corp 7,526 +286 $1,302
     ALL7,526+286$1,302
VanEck Gold Miners ETF USA (GDX) 40,000 UNCH $1,265
     GDX40,000UNCH$1,265
SPDR Gold Shares ETF (GLD) 6,010 +3,070 $1,236
     GLD6,010+3,070$1,236
Vanguard High Dividend Yield E (VYM) 10,178 -607 $1,231
     VYM10,178-607$1,231
Bristol Myers Squibb Company 22,122 -4,743 $1,200
     BMY22,122-4,743$1,200
FlexShares Global Quality Real (GQRE) 20,611 +560 $1,171
     GQRE20,611+560$1,171
FlexShares STOXX Global Broad (NFRA) 21,143 +992 $1,154
     NFRA21,143+992$1,154
UnitedHealth Group Inc 2,282 +15 $1,129
     UNH2,282+15$1,129
Vanguard Small Cap ETF (VB) 4,896 -20 $1,119
     VB4,896-20$1,119
Altria Group Inc 25,181 -2,931 $1,098
     MO25,181-2,931$1,098
iShares iBoxx Invest Grade C (LQD) 10,004 -130 $1,090
     LQD10,004-130$1,090
Vanguard Extended Market ETF (VXF) 6,175 UNCH $1,082
     VXF6,175UNCH$1,082
American Electric Power Co 12,388 -1,167 $1,067
     AEP12,388-1,167$1,067
Paychex Inc 8,093 +37 $994
     PAYX8,093+37$994
Vanguard Dividend Appreciation (VIG) 5,280 -206 $964
     VIG5,280-206$964
Philip Morris International In 10,424 -1,294 $955
     PM10,424-1,294$955
Vanguard Utilities ETF (VPU) 6,405 -335 $913
     VPU6,405-335$913
Eaton Corporation PLC 2,869 +82 $897
     ETN2,869+82$897
iShares U.S. Technology ETF (IYW) 6,619 -300 $894
     IYW6,619-300$894
Veralto Corp 9,982 -5,129 $885
     VLTO9,982-5,129$885
Boeing Company The 4,459 +155 $861
     BA4,459+155$861
FlexShares MS US Market Factor (TILT) 4,243 -17 $842
     TILT4,243-17$842
iShares MSCI EAFE ETF (EFA) 10,510 UNCH $839
     EFA10,510UNCH$839
SPDR S&P MidCap 400 ETF (MDY) 1,477 +110 $822
     MDY1,477+110$822
FlexShares Morn Dev Mkts ex US (TLTD) 11,477 -391 $822
     TLTD11,477-391$822
Wells Fargo & Co New 13,771 UNCH $798
     WFC13,771UNCH$798
Kroger Co 13,868 +2,788 $792
     KR13,868+2,788$792
Arthur J Gallagher & Co 3,017 -10 $754
     AJG3,017-10$754
Cigna Group 1,988 -63 $722
     CI1,988-63$722
Worthington Enterprises Inc 11,391 UNCH $709
     WOR11,391UNCH$709
RTX Corporation 7,247 -775 $707
     RTX7,247-775$707
Franklin Resources Inc 24,988 UNCH $702
     BEN24,988UNCH$702
Intuitive Surgical Inc 1,750 UNCH $698
     ISRG1,750UNCH$698
Southern Company 9,637 -262 $691
     SO9,637-262$691
Travelers Companies Inc 3,004 -550 $691
     TRV3,004-550$691
Corning Inc 20,329 -2,003 $670
     GLW20,329-2,003$670
Clorox Company 4,232 -17 $648
     CLX4,232-17$648
PPG Industries Inc 4,465 UNCH $647
     PPG4,465UNCH$647
Amgen Inc 2,228 +29 $633
     AMGN2,228+29$633
Constellation Brands Inc Class 2,310 UNCH $628
     STZ2,310UNCH$628
AutoZone Inc 188 -52 $593
     AZO188-52$593
Fastenal Company 7,642 -22 $590
     FAST7,642-22$590
First Tr NASDAQ Clean Edge Gre (QCLN) 16,772 -378 $582
     QCLN16,772-378$582
Tractor Supply Company 2,187 UNCH $572
     TSCO2,187UNCH$572
Novo Nordisk A S Sponsored ADR 4,432 -289 $569
     NVO4,432-289$569
iShares S&P 500 Growth ETF (IVW) 6,706 +632 $566
     IVW6,706+632$566
Dow Inc 9,671 +183 $560
     DOW9,671+183$560
Mondelez International Inc Cla 7,992 +250 $559
     MDLZ7,992+250$559
Salesforce Inc 1,780 UNCH $536
     CRM1,780UNCH$536
Mastercard Inc Class A 1,086 +91 $523
     MA1,086+91$523
Watsco Inc 1,132 UNCH $489
     WSO1,132UNCH$489
Colgate Palmolive Company 5,252 -334 $473
     CL5,252-334$473
Corteva Inc 7,881 -1,330 $454
     CTVA7,881-1,330$454
ICON PLC 1,309 +11 $440
     ICLR1,309+11$440
Blackstone Inc 3,335 UNCH $438
     BX3,335UNCH$438
Peabody Energy Corp 18,000 UNCH $437
     BTU18,000UNCH$437
Micron Technology Inc 3,690 -32 $435
     MU3,690-32$435
ASML Holding NV NY Reg Shs 441 -3 $428
     ASML441-3$428
Lincoln Electric Holdings Inc 1,675 UNCH $428
     LECO1,675UNCH$428
Gilead Sciences Inc 5,813 +2,071 $426
     GILD5,813+2,071$426
Kimberly Clark Corporation 3,295 -1,231 $426
     KMB3,295-1,231$426
Estee Lauder Companies Inc Cla 2,746 -4,169 $423
     EL2,746-4,169$423
Discover Financial Services 3,198 +222 $419
     DFS3,198+222$419
MSA Safety Inc 2,143 UNCH $415
     MSA2,143UNCH$415
Aflac Inc 4,635 UNCH $398
     AFL4,635UNCH$398
Civista Bancshares Inc (CIVB) 25,275 UNCH $389
     CIVB25,275UNCH$389
Ameriprise Financial Inc 874 UNCH $383
     AMP874UNCH$383
Morgan Stanley 4,062 +444 $382
     MS4,062+444$382
Microchip Technology Inc 4,200 UNCH $377
     MCHP4,200UNCH$377
DuPont de Nemours Inc 4,836 +104 $371
     DD4,836+104$371
GE Healthcare Technologies Inc 4,042 -4,587 $367
     GEHC4,042-4,587$367
Smucker J M Co New 2,914 -9 $367
     SJM2,914-9$367
Baxter International Inc 8,560 -200 $366
     BAX8,560-200$366
FlexShares MS Emerging Mkts Fa (TLTE) 6,960 +758 $357
     TLTE6,960+758$357
Antero Resources Corporation 12,000 UNCH $348
     AR12,000UNCH$348
Northrop Grumman Corporation 714 +7 $342
     NOC714+7$342
Dominion Energy Inc 6,750 +73 $332
     D6,750+73$332
Medtronic PLC 3,617 +216 $315
     MDT3,617+216$315
Iron Mountain Inc New 3,905 UNCH $313
     IRM3,905UNCH$313
H&R Block Inc 6,357 UNCH $312
     HRB6,357UNCH$312
Aon PLC Class A 889 -2 $297
     AON889-2$297
Equifax Inc 1,100 UNCH $294
     EFX1,100UNCH$294
Ferguson PLC 1,342 -24 $293
     FERG1,342-24$293
Dillards Inc Class A 620 -155 $292
     DDS620-155$292
Atlassian Corporation Class A 1,497 +58 $292
     TEAM1,497+58$292
Amplify CWP Enhanced Dividend 7,463 -7,462 $290
     DIVO7,463-7,462$290
Snap on Incorporated 975 -50 $289
     SNA975-50$289
Advanced Micro Devices Inc 1,595 -1,954 $288
     AMD1,595-1,954$288
Bank of Montreal 2,935 UNCH $287
     BMO2,935UNCH$287
Starbucks Corporation 3,082 +349 $282
     SBUX3,082+349$282
Vanguard ESG US Stock ETF (ESGV) 3,005 UNCH $280
     ESGV3,005UNCH$280
KeyCorp 17,738 -159 $280
     KEY17,738-159$280
Farmers & Merchants Bancorp 12,360 UNCH $276
     FMAO12,360UNCH$276
Phillips 66 1,685 -207 $275
     PSX1,685-207$275
Weyerhaeuser Company 7,647 -1 $275
     WY7,647-1$275
Rio Tinto PLC Sponsored ADR 4,229 -596 $270
     RIO4,229-596$270
Technology Select Sector SPDR (XLK) 1,294 +65 $270
     XLK1,294+65$270
Tesla Inc 1,533 -117 $269
     TSLA1,533-117$269
WestRock Company 5,425 UNCH $268
     WRK5,425UNCH$268
Industrial Select Sector SPDR (XLI) 2,126 -50 $268
     XLI2,126-50$268
WEC Energy Group Inc 3,245 +10 $266
     WEC3,245+10$266
Arch Capital Group Ltd 2,833 -41 $262
     ACGL2,833-41$262
MercadoLibre Inc 171 -37 $259
     MELI171-37$259
Fortune Brands Innovations Inc 3,035 UNCH $257
     FBIN3,035UNCH$257
Allegion PLC 1,850 UNCH $249
     ALLE1,850UNCH$249
Vanguard Short Term Bond ETF (BSV) 3,229 -415 $248
     BSV3,229-415$248
iShares U.S. Healthcare ETF (IYH) 4,000 +3,200 $248
     IYH4,000+3,200$248
CME Group Inc 1,149 -1,370 $247
     CME1,149-1,370$247
Chemed Corporation 383 UNCH $246
     CHE383UNCH$246
Principal Financial Group Inc 2,780 -137 $240
     PFG2,780-137$240
Dollar General Corporation Ne 1,521 -4,908 $237
     DG1,521-4,908$237
ONEOK Inc 2,957 UNCH $237
     OKE2,957UNCH$237
UBS Group AG 7,645 +1,090 $235
     UBS7,645+1,090$235
Broadridge Financial Solutions 1,132 UNCH $232
     BR1,132UNCH$232
ICICI Bank Ltd Sponsored ADR 8,555 -566 $226
     IBN8,555-566$226
Steris PLC New 1,003 UNCH $225
     STE1,003UNCH$225
Waste Connections Inc 1,309 +1,309 $225
     WCN1,309+1,309$225
Quaker Chemical Corp 1,092 UNCH $224
     KWR1,092UNCH$224
iShares Core S&P Small Cap ETF (IJR) 2,019 -72 $223
     IJR2,019-72$223
Elevance Health Inc 425 UNCH $220
     ELV425UNCH$220
NU Holdings Ltd Class A 18,344 +18,344 $219
     NU18,344+18,344$219
Applied Materials Inc 1,058 +1,058 $218
     AMAT1,058+1,058$218
Cummins Inc 730 +730 $215
     CMI730+730$215
Graco Inc 2,250 +2,250 $210
     GGG2,250+2,250$210
Progressive Corporation 1,001 +1,001 $207
     PGR1,001+1,001$207
Thermo Fisher Scientific Inc 356 +356 $207
     TMO356+356$207
Diageo PLC Sponsored ADR 1,380 +1,380 $205
     DEO1,380+1,380$205
Thomson Reuters Corp New 1,295 +1,295 $202
     TRI1,295+1,295$202
Veritex Holdings Inc 9,875 UNCH $202
     VBTX9,875UNCH$202
Antero Midstream Corporation 14,000 UNCH $197
     AM14,000UNCH$197
Barclays PLC Sponsored ADR 14,552 +2,792 $138
     BCS14,552+2,792$138
Vodafone Group PLC Sponsored A 15,251 +15,251 $136
     VOD15,251+15,251$136
Nokia Oyj Sponsored ADR 16,274 +4,998 $58
     NOK16,274+4,998$58
Ambev SA Sponsored ADR 14,164 +2,476 $35
     ABEV14,164+2,476$35
Cencora Inc $0 (exited)
     ABC0-9,214$0
BP PLC Sponsored ADR $0 (exited)
     BP0-6,135$0
BNY Mellon Strategic Municipal $0 (exited)
     DSM0-11,019$0
Freeport McMoran Inc Class B $0 (exited)
     FCX0-8,960$0
Netflix Inc $0 (exited)
     NFLX0-470$0
ServiceNow Inc $0 (exited)
     NOW0-316$0
ProLogis Inc $0 (exited)
     PLD0-1,683$0
TC Energy Corporation 0 -9,375 $0 (exited)
     TRP0-9,375$0

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