|
Entity | Shares/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 |
Entity | Shares/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 |
Entity | Shares/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 |
Entity | Shares/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: $2,443,810
Park National Corp OH holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Park National Corp OH 13F filings.
Link to 13F filings: SEC filings
|
|
|
As of 03/31/2024, we find all stocks held by Park National Corp OH to be as follows, presented in the
table below with each row detailing each Park National Corp OH position, ordered by largest to smallest position size.
The all-stocks-held-by-Park National Corp OH table shows the entity held in the first column (click any entity to explore other funds
holding positions), the share amount held, the share count change between the last two reporting periods, and finally the
position size for all stocks held by Park National Corp OH as of the latest filing.
Entity | Amount | Change
12/31/2023 to 03/31/2024 |
Position Size
($ 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 |
|
|
$15,951 | BRK.A | 20 | UNCH | $12,689 | BRK.B | 7,756 | -180 | $3,262 | CVS Health Corporation |
197,087 |
+103 |
$15,720 | CVS | 197,087 | +103 | $15,720 | First Trust Tactical High Yiel (HYLS) |
378,233 |
-21,984 |
$15,595 | HYLS | 378,233 | -21,984 | $15,595 | Zoetis Inc |
89,335 |
-3,178 |
$15,116 | ZTS | 89,335 | -3,178 | $15,116 | First Trust TCW Unconstrained (UCON) |
598,259 |
+103,719 |
$14,717 | UCON | 598,259 | +103,719 | $14,717 | Monster Beverage Corporation |
228,887 |
+18,731 |
$13,568 | MNST | 228,887 | +18,731 | $13,568 | Vanguard Real Estate ETF (VNQ) |
154,452 |
-1,332 |
$13,357 | VNQ | 154,452 | -1,332 | $13,357 | Home Depot Inc |
34,508 |
-961 |
$13,237 | HD | 34,508 | -961 | $13,237 | FT Cboe Vest Rising Div Achiev |
538,862 |
+59,796 |
$13,191 | RDVI | 538,862 | +59,796 | $13,191 | Ford Motor Company |
952,943 |
-726,015 |
$12,655 | F | 952,943 | -726,015 | $12,655 | Pfizer Inc |
446,577 |
-23,764 |
$12,393 | PFE | 446,577 | -23,764 | $12,393 | Halliburton Company |
302,143 |
-9,832 |
$11,910 | HAL | 302,143 | -9,832 | $11,910 | iShares Core S&P 500 ETF (IVV) |
22,160 |
-42 |
$11,650 | IVV | 22,160 | -42 | $11,650 | Merck & Company Inc New |
83,183 |
-7,994 |
$10,976 | MRK | 83,183 | -7,994 | $10,976 | American Tower Corporation REI |
50,873 |
+827 |
$10,052 | AMT | 50,873 | +827 | $10,052 | AstraZeneca PLC Sponsored ADR |
141,883 |
-4,263 |
$9,613 | AZN | 141,883 | -4,263 | $9,613 | Target Corporation |
52,069 |
-17,802 |
$9,227 | TGT | 52,069 | -17,802 | $9,227 | Lilly Eli & Company |
11,751 |
-475 |
$9,142 | LLY | 11,751 | -475 | $9,142 | First Trust Growth Strength ET (FTGS) |
293,910 |
+2,895 |
$9,026 | FTGS | 293,910 | +2,895 | $9,026 | Automatic Data Processing Inc |
34,307 |
-119 |
$8,568 | ADP | 34,307 | -119 | $8,568 | Intel Corporation |
191,398 |
-32,872 |
$8,454 | INTC | 191,398 | -32,872 | $8,454 | HCA Healthcare Inc |
25,102 |
-1,397 |
$8,372 | HCA | 25,102 | -1,397 | $8,372 | Vanguard Total Stock Market ET (VTI) |
31,985 |
-1,999 |
$8,313 | VTI | 31,985 | -1,999 | $8,313 | McKesson Corporation |
15,482 |
-341 |
$8,312 | MCK | 15,482 | -341 | $8,312 | CSX Corporation |
222,130 |
-28,646 |
$8,234 | CSX | 222,130 | -28,646 | $8,234 | First Trust Small Cap Core Alp (FYX) |
86,065 |
-1,824 |
$8,025 | FYX | 86,065 | -1,824 | $8,025 | PNC Financial Services Group |
48,787 |
-19,445 |
$7,884 | PNC | 48,787 | -19,445 | $7,884 | First Trust Dow Jones Global S (FGD) |
343,189 |
-2,335 |
$7,814 | FGD | 343,189 | -2,335 | $7,814 | Emerson Electric Company |
67,807 |
-10,529 |
$7,691 | EMR | 67,807 | -10,529 | $7,691 | Vanguard Health Care ETF (VHT) |
26,200 |
-872 |
$7,088 | VHT | 26,200 | -872 | $7,088 | Becton Dickinson & Co |
27,300 |
+2,914 |
$6,755 | BDX | 27,300 | +2,914 | $6,755 | Nike Inc Class B |
69,213 |
-5,783 |
$6,505 | NKE | 69,213 | -5,783 | $6,505 | Marathon Petroleum Corporation |
30,106 |
+1,989 |
$6,066 | MPC | 30,106 | +1,989 | $6,066 | Cencora Inc |
24,476 |
+24,476 |
$5,947 | COR | 24,476 | +24,476 | $5,947 | Air Products & Chemicals Inc |
24,395 |
-4,511 |
$5,910 | APD | 24,395 | -4,511 | $5,910 | Vanguard Consumer Discretionar (VCR) |
18,471 |
-1,000 |
$5,869 | VCR | 18,471 | -1,000 | $5,869 | Vanguard Intermediate Term Bon (BIV) |
76,162 |
-16,791 |
$5,743 | BIV | 76,162 | -16,791 | $5,743 | RPM International Inc |
47,655 |
-757 |
$5,669 | RPM | 47,655 | -757 | $5,669 | First Trust North Amer Energy (EMLP) |
191,712 |
-9,713 |
$5,661 | EMLP | 191,712 | -9,713 | $5,661 | FlexShares Core Select Bond ET (BNDC) |
254,722 |
-32,904 |
$5,619 | BNDC | 254,722 | -32,904 | $5,619 | Chubb Ltd New |
20,813 |
-753 |
$5,393 | CB | 20,813 | -753 | $5,393 | Vanguard S&P 500 ETF (VOO) |
11,111 |
-281 |
$5,341 | VOO | 11,111 | -281 | $5,341 | Bank of America Corp |
137,894 |
-9,690 |
$5,229 | BAC | 137,894 | -9,690 | $5,229 | Brown & Brown Inc |
58,800 |
-400 |
$5,147 | BRO | 58,800 | -400 | $5,147 | Trane Technologies PLC |
15,610 |
-1,645 |
$4,686 | TT | 15,610 | -1,645 | $4,686 | FT Indxx Global Natural Resour |
328,354 |
+2,458 |
$4,359 | FTRI | 328,354 | +2,458 | $4,359 | American Express Co |
18,249 |
-1,040 |
$4,155 | AXP | 18,249 | -1,040 | $4,155 | Cintas Corporation |
6,026 |
-145 |
$4,140 | CTAS | 6,026 | -145 | $4,140 | Genuine Parts Company |
26,713 |
-1,491 |
$4,139 | GPC | 26,713 | -1,491 | $4,139 | General Dynamics Corporation |
13,981 |
-833 |
$3,949 | GD | 13,981 | -833 | $3,949 | Vanguard Financials ETF (VFH) |
36,589 |
-2,486 |
$3,746 | VFH | 36,589 | -2,486 | $3,746 | Vanguard FTSE Developed Market (VEA) |
73,081 |
-4,239 |
$3,666 | VEA | 73,081 | -4,239 | $3,666 | Union Pacific Corporation |
14,594 |
-144 |
$3,589 | UNP | 14,594 | -144 | $3,589 | Texas Instruments Inc |
20,357 |
+46 |
$3,546 | TXN | 20,357 | +46 | $3,546 | Huntington Bancshares Inc (HBAN) |
249,490 |
-4,314 |
$3,480 | HBAN | 249,490 | -4,314 | $3,480 | Meta Platforms Inc Class A |
6,923 |
-461 |
$3,362 | META | 6,923 | -461 | $3,362 | FlexShares Morningstar Glbl Up (GUNR) |
78,360 |
-28,209 |
$3,218 | GUNR | 78,360 | -28,209 | $3,218 | SPDR S&P 500 ETF (SPY) |
6,127 |
-100 |
$3,205 | SPY | 6,127 | -100 | $3,205 | Vanguard Industrials ETF (VIS) |
13,060 |
-1,624 |
$3,189 | VIS | 13,060 | -1,624 | $3,189 | Caterpillar Inc |
8,686 |
-230 |
$3,183 | CAT | 8,686 | -230 | $3,183 | Honeywell International Inc |
15,397 |
-2,845 |
$3,160 | HON | 15,397 | -2,845 | $3,160 | Gorman Rupp Company |
78,012 |
UNCH |
$3,085 | GRC | 78,012 | UNCH | $3,085 | US Bancorp DE |
68,483 |
-16,251 |
$3,061 | USB | 68,483 | -16,251 | $3,061 | International Business Machine |
15,561 |
-500 |
$2,972 | IBM | 15,561 | -500 | $2,972 | QUALCOMM Inc |
17,024 |
-8,539 |
$2,882 | QCOM | 17,024 | -8,539 | $2,882 | Bank of New York Mellon Corp |
47,067 |
-1,037 |
$2,712 | BK | 47,067 | -1,037 | $2,712 | 3M Company |
24,630 |
-4,627 |
$2,613 | MMM | 24,630 | -4,627 | $2,613 | Vanguard Energy ETF (VDE) |
18,841 |
-1,885 |
$2,481 | VDE | 18,841 | -1,885 | $2,481 | Comcast Corporation Class A N |
56,001 |
-5,435 |
$2,428 | CMCSA | 56,001 | -5,435 | $2,428 | Sherwin Williams Company |
6,987 |
-698 |
$2,427 | SHW | 6,987 | -698 | $2,427 | Illinois Tool Works Inc |
8,900 |
-543 |
$2,388 | ITW | 8,900 | -543 | $2,388 | Alphabet Inc Class C |
15,297 |
+2,485 |
$2,329 | GOOG | 15,297 | +2,485 | $2,329 | Lancaster Colony Corporation |
11,000 |
-115 |
$2,284 | LANC | 11,000 | -115 | $2,284 | Adobe Inc |
4,343 |
-284 |
$2,191 | ADBE | 4,343 | -284 | $2,191 | United Parcel Service Inc Clas |
14,412 |
-5,008 |
$2,142 | UPS | 14,412 | -5,008 | $2,142 | Norfolk Southern Corporation |
8,308 |
-427 |
$2,117 | NSC | 8,308 | -427 | $2,117 | iShares Select Dividend ETF (DVY) |
16,915 |
UNCH |
$2,084 | DVY | 16,915 | UNCH | $2,084 | Verizon Communications Inc |
48,218 |
-5,560 |
$2,023 | VZ | 48,218 | -5,560 | $2,023 | General Electric Company New |
11,517 |
-3,637 |
$2,022 | GE | 11,517 | -3,637 | $2,022 | First Trust Mid Cap Core Alpha (FNX) |
17,443 |
-300 |
$1,978 | FNX | 17,443 | -300 | $1,978 | FlexShares iBoxx 3 Year Target (TDTT) |
82,846 |
-11,586 |
$1,968 | TDTT | 82,846 | -11,586 | $1,968 | Shell PLC Sponsored ADR |
29,008 |
+1,663 |
$1,945 | SHEL | 29,008 | +1,663 | $1,945 | Vanguard Materials ETF (VAW) |
9,403 |
-83 |
$1,922 | VAW | 9,403 | -83 | $1,922 | PACCAR Inc |
14,961 |
-52 |
$1,854 | PCAR | 14,961 | -52 | $1,854 | Lowe s Companies Inc |
7,255 |
+375 |
$1,848 | LOW | 7,255 | +375 | $1,848 | Cincinnati Financial Corporati |
14,370 |
-46 |
$1,784 | CINF | 14,370 | -46 | $1,784 | Broadcom Inc |
1,323 |
-676 |
$1,754 | AVGO | 1,323 | -676 | $1,754 | Cardinal Health Inc |
15,566 |
+15,566 |
$1,742 | CAH | 15,566 | +15,566 | $1,742 | Delta Air Lines Inc |
36,250 |
UNCH |
$1,735 | DAL | 36,250 | UNCH | $1,735 | Walmart Inc |
28,062 |
+19,359 |
$1,688 | WMT | 28,062 | +19,359 | $1,688 | Oracle Corporation |
12,981 |
-1,377 |
$1,631 | ORCL | 12,981 | -1,377 | $1,631 | Duke Energy Corporation New |
16,593 |
-741 |
$1,605 | DUK | 16,593 | -741 | $1,605 | Novartis AG Sponsored ADR |
16,034 |
-1,878 |
$1,551 | NVS | 16,034 | -1,878 | $1,551 | Vanguard Growth ETF (VUG) |
4,414 |
UNCH |
$1,519 | VUG | 4,414 | UNCH | $1,519 | Vanguard Consumer Staples ETF (VDC) |
7,293 |
-896 |
$1,489 | VDC | 7,293 | -896 | $1,489 | First Trust Large Cap Core Alp (FEX) |
14,936 |
-445 |
$1,482 | FEX | 14,936 | -445 | $1,482 | Vanguard FTSE Emerging Markets (VWO) |
35,124 |
-2,250 |
$1,467 | VWO | 35,124 | -2,250 | $1,467 | Nucor Corporation |
6,900 |
-1,522 |
$1,366 | NUE | 6,900 | -1,522 | $1,366 | Invesco QQQ Trust Series 1 |
3,059 |
+960 |
$1,358 | QQQ | 3,059 | +960 | $1,358 | Fifth Third Bancorp |
36,092 |
-474 |
$1,343 | FITB | 36,092 | -474 | $1,343 | Sysco Corporation |
16,518 |
+1,783 |
$1,341 | SYY | 16,518 | +1,783 | $1,341 | AT&T Inc |
75,772 |
-9,534 |
$1,334 | T | 75,772 | -9,534 | $1,334 | FlexShares US Quality Large Ca (QLC) |
22,161 |
-1,408 |
$1,305 | QLC | 22,161 | -1,408 | $1,305 | Allstate Corp |
7,526 |
+286 |
$1,302 | ALL | 7,526 | +286 | $1,302 | VanEck Gold Miners ETF USA (GDX) |
40,000 |
UNCH |
$1,265 | GDX | 40,000 | UNCH | $1,265 | SPDR Gold Shares ETF (GLD) |
6,010 |
+3,070 |
$1,236 | GLD | 6,010 | +3,070 | $1,236 | Vanguard High Dividend Yield E (VYM) |
10,178 |
-607 |
$1,231 | VYM | 10,178 | -607 | $1,231 | Bristol Myers Squibb Company |
22,122 |
-4,743 |
$1,200 | BMY | 22,122 | -4,743 | $1,200 | FlexShares Global Quality Real (GQRE) |
20,611 |
+560 |
$1,171 | GQRE | 20,611 | +560 | $1,171 | FlexShares STOXX Global Broad (NFRA) |
21,143 |
+992 |
$1,154 | NFRA | 21,143 | +992 | $1,154 | UnitedHealth Group Inc |
2,282 |
+15 |
$1,129 | UNH | 2,282 | +15 | $1,129 | Vanguard Small Cap ETF (VB) |
4,896 |
-20 |
$1,119 | VB | 4,896 | -20 | $1,119 | Altria Group Inc |
25,181 |
-2,931 |
$1,098 | MO | 25,181 | -2,931 | $1,098 | iShares iBoxx Invest Grade C (LQD) |
10,004 |
-130 |
$1,090 | LQD | 10,004 | -130 | $1,090 | Vanguard Extended Market ETF (VXF) |
6,175 |
UNCH |
$1,082 | VXF | 6,175 | UNCH | $1,082 | American Electric Power Co |
12,388 |
-1,167 |
$1,067 | AEP | 12,388 | -1,167 | $1,067 | Paychex Inc |
8,093 |
+37 |
$994 | PAYX | 8,093 | +37 | $994 | Vanguard Dividend Appreciation (VIG) |
5,280 |
-206 |
$964 | VIG | 5,280 | -206 | $964 | Philip Morris International In |
10,424 |
-1,294 |
$955 | PM | 10,424 | -1,294 | $955 | Vanguard Utilities ETF (VPU) |
6,405 |
-335 |
$913 | VPU | 6,405 | -335 | $913 | Eaton Corporation PLC |
2,869 |
+82 |
$897 | ETN | 2,869 | +82 | $897 | iShares U.S. Technology ETF (IYW) |
6,619 |
-300 |
$894 | IYW | 6,619 | -300 | $894 | Veralto Corp |
9,982 |
-5,129 |
$885 | VLTO | 9,982 | -5,129 | $885 | Boeing Company The |
4,459 |
+155 |
$861 | BA | 4,459 | +155 | $861 | FlexShares MS US Market Factor (TILT) |
4,243 |
-17 |
$842 | TILT | 4,243 | -17 | $842 | iShares MSCI EAFE ETF (EFA) |
10,510 |
UNCH |
$839 | EFA | 10,510 | UNCH | $839 | SPDR S&P MidCap 400 ETF (MDY) |
1,477 |
+110 |
$822 | MDY | 1,477 | +110 | $822 | FlexShares Morn Dev Mkts ex US (TLTD) |
11,477 |
-391 |
$822 | TLTD | 11,477 | -391 | $822 | Wells Fargo & Co New |
13,771 |
UNCH |
$798 | WFC | 13,771 | UNCH | $798 | Kroger Co |
13,868 |
+2,788 |
$792 | KR | 13,868 | +2,788 | $792 | Arthur J Gallagher & Co |
3,017 |
-10 |
$754 | AJG | 3,017 | -10 | $754 | Cigna Group |
1,988 |
-63 |
$722 | CI | 1,988 | -63 | $722 | Worthington Enterprises Inc |
11,391 |
UNCH |
$709 | WOR | 11,391 | UNCH | $709 | RTX Corporation |
7,247 |
-775 |
$707 | RTX | 7,247 | -775 | $707 | Franklin Resources Inc |
24,988 |
UNCH |
$702 | BEN | 24,988 | UNCH | $702 | Intuitive Surgical Inc |
1,750 |
UNCH |
$698 | ISRG | 1,750 | UNCH | $698 | Southern Company |
9,637 |
-262 |
$691 | SO | 9,637 | -262 | $691 | Travelers Companies Inc |
3,004 |
-550 |
$691 | TRV | 3,004 | -550 | $691 | Corning Inc |
20,329 |
-2,003 |
$670 | GLW | 20,329 | -2,003 | $670 | Clorox Company |
4,232 |
-17 |
$648 | CLX | 4,232 | -17 | $648 | PPG Industries Inc |
4,465 |
UNCH |
$647 | PPG | 4,465 | UNCH | $647 | Amgen Inc |
2,228 |
+29 |
$633 | AMGN | 2,228 | +29 | $633 | Constellation Brands Inc Class |
2,310 |
UNCH |
$628 | STZ | 2,310 | UNCH | $628 | AutoZone Inc |
188 |
-52 |
$593 | AZO | 188 | -52 | $593 | Fastenal Company |
7,642 |
-22 |
$590 | FAST | 7,642 | -22 | $590 | First Tr NASDAQ Clean Edge Gre (QCLN) |
16,772 |
-378 |
$582 | QCLN | 16,772 | -378 | $582 | Tractor Supply Company |
2,187 |
UNCH |
$572 | TSCO | 2,187 | UNCH | $572 | Novo Nordisk A S Sponsored ADR |
4,432 |
-289 |
$569 | NVO | 4,432 | -289 | $569 | iShares S&P 500 Growth ETF (IVW) |
6,706 |
+632 |
$566 | IVW | 6,706 | +632 | $566 | Dow Inc |
9,671 |
+183 |
$560 | DOW | 9,671 | +183 | $560 | Mondelez International Inc Cla |
7,992 |
+250 |
$559 | MDLZ | 7,992 | +250 | $559 | Salesforce Inc |
1,780 |
UNCH |
$536 | CRM | 1,780 | UNCH | $536 | Mastercard Inc Class A |
1,086 |
+91 |
$523 | MA | 1,086 | +91 | $523 | Watsco Inc |
1,132 |
UNCH |
$489 | WSO | 1,132 | UNCH | $489 | Colgate Palmolive Company |
5,252 |
-334 |
$473 | CL | 5,252 | -334 | $473 | Corteva Inc |
7,881 |
-1,330 |
$454 | CTVA | 7,881 | -1,330 | $454 | ICON PLC |
1,309 |
+11 |
$440 | ICLR | 1,309 | +11 | $440 | Blackstone Inc |
3,335 |
UNCH |
$438 | BX | 3,335 | UNCH | $438 | Peabody Energy Corp |
18,000 |
UNCH |
$437 | BTU | 18,000 | UNCH | $437 | Micron Technology Inc |
3,690 |
-32 |
$435 | MU | 3,690 | -32 | $435 | ASML Holding NV NY Reg Shs |
441 |
-3 |
$428 | ASML | 441 | -3 | $428 | Lincoln Electric Holdings Inc |
1,675 |
UNCH |
$428 | LECO | 1,675 | UNCH | $428 | Gilead Sciences Inc |
5,813 |
+2,071 |
$426 | GILD | 5,813 | +2,071 | $426 | Kimberly Clark Corporation |
3,295 |
-1,231 |
$426 | KMB | 3,295 | -1,231 | $426 | Estee Lauder Companies Inc Cla |
2,746 |
-4,169 |
$423 | EL | 2,746 | -4,169 | $423 | Discover Financial Services |
3,198 |
+222 |
$419 | DFS | 3,198 | +222 | $419 | MSA Safety Inc |
2,143 |
UNCH |
$415 | MSA | 2,143 | UNCH | $415 | Aflac Inc |
4,635 |
UNCH |
$398 | AFL | 4,635 | UNCH | $398 | Civista Bancshares Inc (CIVB) |
25,275 |
UNCH |
$389 | CIVB | 25,275 | UNCH | $389 | Ameriprise Financial Inc |
874 |
UNCH |
$383 | AMP | 874 | UNCH | $383 | Morgan Stanley |
4,062 |
+444 |
$382 | MS | 4,062 | +444 | $382 | Microchip Technology Inc |
4,200 |
UNCH |
$377 | MCHP | 4,200 | UNCH | $377 | DuPont de Nemours Inc |
4,836 |
+104 |
$371 | DD | 4,836 | +104 | $371 | GE Healthcare Technologies Inc |
4,042 |
-4,587 |
$367 | GEHC | 4,042 | -4,587 | $367 | Smucker J M Co New |
2,914 |
-9 |
$367 | SJM | 2,914 | -9 | $367 | Baxter International Inc |
8,560 |
-200 |
$366 | BAX | 8,560 | -200 | $366 | FlexShares MS Emerging Mkts Fa (TLTE) |
6,960 |
+758 |
$357 | TLTE | 6,960 | +758 | $357 | Antero Resources Corporation |
12,000 |
UNCH |
$348 | AR | 12,000 | UNCH | $348 | Northrop Grumman Corporation |
714 |
+7 |
$342 | NOC | 714 | +7 | $342 | Dominion Energy Inc |
6,750 |
+73 |
$332 | D | 6,750 | +73 | $332 | Medtronic PLC |
3,617 |
+216 |
$315 | MDT | 3,617 | +216 | $315 | Iron Mountain Inc New |
3,905 |
UNCH |
$313 | IRM | 3,905 | UNCH | $313 | H&R Block Inc |
6,357 |
UNCH |
$312 | HRB | 6,357 | UNCH | $312 | Aon PLC Class A |
889 |
-2 |
$297 | AON | 889 | -2 | $297 | Equifax Inc |
1,100 |
UNCH |
$294 | EFX | 1,100 | UNCH | $294 | Ferguson PLC |
1,342 |
-24 |
$293 | FERG | 1,342 | -24 | $293 | Dillards Inc Class A |
620 |
-155 |
$292 | DDS | 620 | -155 | $292 | Atlassian Corporation Class A |
1,497 |
+58 |
$292 | TEAM | 1,497 | +58 | $292 | Amplify CWP Enhanced Dividend |
7,463 |
-7,462 |
$290 | DIVO | 7,463 | -7,462 | $290 | Snap on Incorporated |
975 |
-50 |
$289 | SNA | 975 | -50 | $289 | Advanced Micro Devices Inc |
1,595 |
-1,954 |
$288 | AMD | 1,595 | -1,954 | $288 | Bank of Montreal |
2,935 |
UNCH |
$287 | BMO | 2,935 | UNCH | $287 | Starbucks Corporation |
3,082 |
+349 |
$282 | SBUX | 3,082 | +349 | $282 | Vanguard ESG US Stock ETF (ESGV) |
3,005 |
UNCH |
$280 | ESGV | 3,005 | UNCH | $280 | KeyCorp |
17,738 |
-159 |
$280 | KEY | 17,738 | -159 | $280 | Farmers & Merchants Bancorp |
12,360 |
UNCH |
$276 | FMAO | 12,360 | UNCH | $276 | Phillips 66 |
1,685 |
-207 |
$275 | PSX | 1,685 | -207 | $275 | Weyerhaeuser Company |
7,647 |
-1 |
$275 | WY | 7,647 | -1 | $275 | Rio Tinto PLC Sponsored ADR |
4,229 |
-596 |
$270 | RIO | 4,229 | -596 | $270 | Technology Select Sector SPDR (XLK) |
1,294 |
+65 |
$270 | XLK | 1,294 | +65 | $270 | Tesla Inc |
1,533 |
-117 |
$269 | TSLA | 1,533 | -117 | $269 | WestRock Company |
5,425 |
UNCH |
$268 | WRK | 5,425 | UNCH | $268 | Industrial Select Sector SPDR (XLI) |
2,126 |
-50 |
$268 | XLI | 2,126 | -50 | $268 | WEC Energy Group Inc |
3,245 |
+10 |
$266 | WEC | 3,245 | +10 | $266 | Arch Capital Group Ltd |
2,833 |
-41 |
$262 | ACGL | 2,833 | -41 | $262 | MercadoLibre Inc |
171 |
-37 |
$259 | MELI | 171 | -37 | $259 | Fortune Brands Innovations Inc |
3,035 |
UNCH |
$257 | FBIN | 3,035 | UNCH | $257 | Allegion PLC |
1,850 |
UNCH |
$249 | ALLE | 1,850 | UNCH | $249 | Vanguard Short Term Bond ETF (BSV) |
3,229 |
-415 |
$248 | BSV | 3,229 | -415 | $248 | iShares U.S. Healthcare ETF (IYH) |
4,000 |
+3,200 |
$248 | IYH | 4,000 | +3,200 | $248 | CME Group Inc |
1,149 |
-1,370 |
$247 | CME | 1,149 | -1,370 | $247 | Chemed Corporation |
383 |
UNCH |
$246 | CHE | 383 | UNCH | $246 | Principal Financial Group Inc |
2,780 |
-137 |
$240 | PFG | 2,780 | -137 | $240 | Dollar General Corporation Ne |
1,521 |
-4,908 |
$237 | DG | 1,521 | -4,908 | $237 | ONEOK Inc |
2,957 |
UNCH |
$237 | OKE | 2,957 | UNCH | $237 | UBS Group AG |
7,645 |
+1,090 |
$235 | UBS | 7,645 | +1,090 | $235 | Broadridge Financial Solutions |
1,132 |
UNCH |
$232 | BR | 1,132 | UNCH | $232 | ICICI Bank Ltd Sponsored ADR |
8,555 |
-566 |
$226 | IBN | 8,555 | -566 | $226 | Steris PLC New |
1,003 |
UNCH |
$225 | STE | 1,003 | UNCH | $225 | Waste Connections Inc |
1,309 |
+1,309 |
$225 | WCN | 1,309 | +1,309 | $225 | Quaker Chemical Corp |
1,092 |
UNCH |
$224 | KWR | 1,092 | UNCH | $224 | iShares Core S&P Small Cap ETF (IJR) |
2,019 |
-72 |
$223 | IJR | 2,019 | -72 | $223 | Elevance Health Inc |
425 |
UNCH |
$220 | ELV | 425 | UNCH | $220 | NU Holdings Ltd Class A |
18,344 |
+18,344 |
$219 | NU | 18,344 | +18,344 | $219 | Applied Materials Inc |
1,058 |
+1,058 |
$218 | AMAT | 1,058 | +1,058 | $218 | Cummins Inc |
730 |
+730 |
$215 | CMI | 730 | +730 | $215 | Graco Inc |
2,250 |
+2,250 |
$210 | GGG | 2,250 | +2,250 | $210 | Progressive Corporation |
1,001 |
+1,001 |
$207 | PGR | 1,001 | +1,001 | $207 | Thermo Fisher Scientific Inc |
356 |
+356 |
$207 | TMO | 356 | +356 | $207 | Diageo PLC Sponsored ADR |
1,380 |
+1,380 |
$205 | DEO | 1,380 | +1,380 | $205 | Thomson Reuters Corp New |
1,295 |
+1,295 |
$202 | TRI | 1,295 | +1,295 | $202 | Veritex Holdings Inc |
9,875 |
UNCH |
$202 | VBTX | 9,875 | UNCH | $202 | Antero Midstream Corporation |
14,000 |
UNCH |
$197 | AM | 14,000 | UNCH | $197 | Barclays PLC Sponsored ADR |
14,552 |
+2,792 |
$138 | BCS | 14,552 | +2,792 | $138 | Vodafone Group PLC Sponsored A |
15,251 |
+15,251 |
$136 | VOD | 15,251 | +15,251 | $136 | Nokia Oyj Sponsored ADR |
16,274 |
+4,998 |
$58 | NOK | 16,274 | +4,998 | $58 | Ambev SA Sponsored ADR |
14,164 |
+2,476 |
$35 | ABEV | 14,164 | +2,476 | $35 | Cencora Inc |
|
|
$0 (exited) | ABC | 0 | -9,214 | $0 | BP PLC Sponsored ADR |
|
|
$0 (exited) | BP | 0 | -6,135 | $0 | BNY Mellon Strategic Municipal |
|
|
$0 (exited) | DSM | 0 | -11,019 | $0 | Freeport McMoran Inc Class B |
|
|
$0 (exited) | FCX | 0 | -8,960 | $0 | Netflix Inc |
|
|
$0 (exited) | NFLX | 0 | -470 | $0 | ServiceNow Inc |
|
|
$0 (exited) | NOW | 0 | -316 | $0 | ProLogis Inc |
|
|
$0 (exited) | PLD | 0 | -1,683 | $0 | TC Energy Corporation |
0 |
-9,375 |
$0 (exited) | TRP | 0 | -9,375 | $0 |
See Summary: Park National Corp OH Top Holdings
See Details: Top 10 Stocks Held By Park National Corp OH
|
|