Holdings Channel
EntityShares/Amount
Change
Position Value
Change
VTEB +15,525+$786
WFC +1,877+$303
BSX +3,201+$219
CE +1,266+$218
CTVA +3,773+$218
FDX +739+$214
PRI +825+$209
INTU +313+$203
ALL +1,159+$201
PNC +1,171+$189
EntityShares/Amount
Change
Position Value
Change
GLD -4,180-$799
SHY -6,857-$563
EEM -11,662-$469
RAVI -3,971-$298
GUT -50,954-$276
TIP -2,191-$236
EntityShares/Amount
Change
Position Value
Change
BAC +3,165+$118
WMT +3,144+$36
ODFL +850+$6
VB +657+$188
VO +544+$192
AMZN +534+$629
VV +414+$417
DD +284+$21
NVDA +248+$837
GOOGL +240+$121
EntityShares/Amount
Change
Position Value
Change
PFE -3,787-$127
BMY -1,081-$46
VZ -764+$1
UL -621-$24
T -531+$2
TSLA -474-$191
CMCSA -467-$24
META -410+$807
IBM -400-$13
Size ($ in 1000's)
At 03/31/2024: $129,718
At 12/31/2023: $98,276

Riverview Trust Co holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Riverview Trust Co 13F filings. Link to 13F filings: SEC filings

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

   EntityAmountChange
 12/31/2023 to 03/31/2024
Position Size
($ in 1000's)
iShares Core MSCI EAFE ETF (IEFA) 156,465 +208 $11,613
     IEFA156,465+208$11,613
Apple Inc 41,697 +68 $7,150
     AAPL41,697+68$7,150
Microsoft Corp 13,988 UNCH $5,885
     MSFT13,988UNCH$5,885
Vanguard Real Estate Index ETF (VNQ) 44,865 +65 $3,880
     VNQ44,865+65$3,880
Vanguard Large Cap Index Fund ETF (VV) 15,118 +414 $3,625
     VV15,118+414$3,625
Meta Platforms Inc Cl A 7,234 -410 $3,513
     META7,234-410$3,513
Amazon.com Inc 19,261 +534 $3,474
     AMZN19,261+534$3,474
Merck & Co Inc 26,290 -140 $3,469
     MRK26,290-140$3,469
JPMorgan Chase & Co 16,127 +120 $3,230
     JPM16,127+120$3,230
Alphabet Inc C 20,388 UNCH $3,104
     GOOG20,388UNCH$3,104
iShares Core US Aggregate Bond ETF (AGG) 25,819 UNCH $2,529
     AGG25,819UNCH$2,529
Intel Corp 47,208 UNCH $2,085
     INTC47,208UNCH$2,085
Eli Lilly and Co 2,577 UNCH $2,005
     LLY2,577UNCH$2,005
Nvidia Corporation 1,749 +248 $1,580
     NVDA1,749+248$1,580
Vanguard S&P 500 ETF (VOO) 3,131 UNCH $1,505
     VOO3,131UNCH$1,505
AMERIPRISE FINL INC COM 3,384 UNCH $1,484
     AMP3,384UNCH$1,484
Abbott Laboratories 12,923 UNCH $1,469
     ABT12,923UNCH$1,469
AbbVie Inc 7,674 UNCH $1,397
     ABBV7,674UNCH$1,397
Booking Holdings Inc 385 UNCH $1,397
     BKNG385UNCH$1,397
Berkshire Hathaway Inc B      $1,396
     BRK.B1,811UNCH$762
     BRK.A1UNCH$634
Monster Beverage Corp 23,238 UNCH $1,378
     MNST23,238UNCH$1,378
Target Corp 7,746 +125 $1,373
     TGT7,746+125$1,373
UnitedHealth Group Inc. 2,714 +85 $1,343
     UNH2,714+85$1,343
Cisco Systems Inc 24,909 UNCH $1,243
     CSCO24,909UNCH$1,243
Eaton Corp PLC Shs 3,882 UNCH $1,214
     ETN3,882UNCH$1,214
Kla Tencor Corp Com 1,737 +150 $1,213
     KLAC1,737+150$1,213
Alphabet Inc A 7,758 +240 $1,171
     GOOGL7,758+240$1,171
Johnson & Johnson 7,270 -300 $1,150
     JNJ7,270-300$1,150
Salesforce Inc. 3,706 UNCH $1,116
     CRM3,706UNCH$1,116
Broadcom Inc 814 -30 $1,079
     AVGO814-30$1,079
Deere & Co 2,360 +50 $969
     DE2,360+50$969
Lowe s Companies Inc 3,796 UNCH $967
     LOW3,796UNCH$967
BlackRock Inc 1,156 +35 $964
     BLK1,156+35$964
Vanguard Mid Cap Index Fund ETF (VO) 3,765 +544 $941
     VO3,765+544$941
Vanguard Mun Bd Fds Tax Exempt Bd (VTEB) 15,525 +15,525 $786
     VTEB15,525+15,525$786
CVS Health Corp 9,672 +91 $771
     CVS9,672+91$771
CME Group Inc.Com Cl A 3,363 UNCH $724
     CME3,363UNCH$724
Vanguard Index Fds Small Cap ETF (VB) 3,145 +657 $719
     VB3,145+657$719
Costco Wholesale Corp 979 UNCH $717
     COST979UNCH$717
Illinois Tool Works Inc 2,661 UNCH $714
     ITW2,661UNCH$714
ConocoPhillips 4,638 UNCH $590
     COP4,638UNCH$590
PepsiCo Inc 3,341 UNCH $585
     PEP3,341UNCH$585
Procter & Gamble Co 3,479 -90 $564
     PG3,479-90$564
Visa Inc Class A 2,020 +134 $564
     V2,020+134$564
McDonald s Corp 1,861 UNCH $525
     MCD1,861UNCH$525
Pfizer Inc 17,476 -3,787 $485
     PFE17,476-3,787$485
Copart Inc Com 7,960 UNCH $461
     CPRT7,960UNCH$461
iShares Core S&P 500 ETF (IVV) 830 UNCH $436
     IVV830UNCH$436
Constellation Brands Inc A 1,577 UNCH $429
     STZ1,577UNCH$429
The Home Depot Inc 1,105 +75 $424
     HD1,105+75$424
Paychex Inc 3,408 UNCH $419
     PAYX3,408UNCH$419
Lockheed Martin Corp Com 912 -100 $415
     LMT912-100$415
Old Dominion Freight Lines Inc Com 1,820 +850 $399
     ODFL1,820+850$399
Fortune Brands Innovations Inc Com 4,651 UNCH $394
     FBIN4,651UNCH$394
Exxon Mobil Corp 3,386 UNCH $394
     XOM3,386UNCH$394
Qualcomm Inc 2,289 UNCH $388
     QCOM2,289UNCH$388
Synopsys Inc Com 675 UNCH $386
     SNPS675UNCH$386
Capital One Financial Corp 2,536 UNCH $378
     COF2,536UNCH$378
Public Service Enterprise Group Inc 5,515 UNCH $368
     PEG5,515UNCH$368
International Business Machines Corp 1,908 -400 $364
     IBM1,908-400$364
Mastercard Incorporated Cl A 756 +50 $364
     MA756+50$364
Novartis AG Sponsored ADR 3,763 UNCH $364
     NVS3,763UNCH$364
Seagate Technology Hldngs PLC ADR 3,829 UNCH $356
     STX3,829UNCH$356
Boeing Co 1,797 -125 $347
     BA1,797-125$347
Bank America Corp Cnv Pfd L      $328
     BAC.PRL174UNCH$208
     BAC3,165+3,165$120
Chevron Corp 2,031 +110 $320
     CVX2,031+110$320
Dupont De Nemours Inc Com 4,086 +284 $313
     DD4,086+284$313
Comcast Corp Class A 7,149 -467 $310
     CMCSA7,149-467$310
Vanguard Total Stock Market ETF (VTI) 1,165 UNCH $303
     VTI1,165UNCH$303
Wells Fargo Co New Perp Pfd Cnv A      $303
     WFC.PRL167+167$204
     WFC1,710+1,710$99
CDW Corp Com 1,170 UNCH $299
     CDW1,170UNCH$299
Becton Dickinson and Co 1,187 -47 $294
     BDX1,187-47$294
Verizon Communications Inc 7,003 -764 $294
     VZ7,003-764$294
Amgen Inc 1,006 +100 $286
     AMGN1,006+100$286
Starbucks Corp 3,134 -155 $286
     SBUX3,134-155$286
iShares Russell Midcap Index ETF (IWR) 3,395 UNCH $285
     IWR3,395UNCH$285
Wal Mart Inc 4,716 +3,144 $284
     WMT4,716+3,144$284
US Bancorp 6,308 UNCH $282
     USB6,308UNCH$282
Royal Bank of Canada 2,653 UNCH $268
     RY2,653UNCH$268
ALIGN TECHNOLOGY INC COM 805 UNCH $264
     ALGN805UNCH$264
Union Pacific Corp 1,049 +128 $258
     UNP1,049+128$258
Goldman Sachs Group Inc 612 UNCH $256
     GS612UNCH$256
Gilead Sciences Inc 3,324 UNCH $243
     GILD3,324UNCH$243
Linde Plc ADR 524 UNCH $243
     LIN524UNCH$243
Adobe Inc 475 UNCH $240
     ADBE475UNCH$240
Digital Rlty Tr Inc 1,666 -306 $240
     DLR1,666-306$240
Marsh & McLennan Companies Inc 1,110 UNCH $229
     MMC1,110UNCH$229
AT&T Inc 12,776 -531 $225
     T12,776-531$225
Boston Scientific Corp Com 3,201 +3,201 $219
     BSX3,201+3,201$219
Celanese Corp Del Com Ser A 1,266 +1,266 $218
     CE1,266+1,266$218
Corteva Inc Com 3,773 +3,773 $218
     CTVA3,773+3,773$218
Dow Inc Com 3,701 UNCH $214
     DOW3,701UNCH$214
FedEx Corp 739 +739 $214
     FDX739+739$214
Primerica Inc Com 825 +825 $209
     PRI825+825$209
Intuit Inc. 313 +313 $203
     INTU313+313$203
Allstate Corp 1,159 +1,159 $201
     ALL1,159+1,159$201
Teledyne Technologies Inc Com 453 UNCH $194
     TDY453UNCH$194
Unilever Plc Spon Adr New 3,849 -621 $193
     UL3,849-621$193
PNC Financial Services Group Inc 1,171 +1,171 $189
     PNC1,171+1,171$189
Fomento Economico Mexicano ADR 1,434 +1,434 $187
     FMX1,434+1,434$187
Charles Schwab Corp 2,555 +2,555 $185
     SCHW2,555+2,555$185
Phillips 66 1,119 +1,119 $183
     PSX1,119+1,119$183
Intuitive Surgical Inc 457 +457 $182
     ISRG457+457$182
Netflix Inc 294 +294 $179
     NFLX294+294$179
RTX CORPORATION 1,840 +1,840 $179
     RTX1,840+1,840$179
Caterpillar Inc 485 +485 $178
     CAT485+485$178
Bristol Myers Squibb Company 3,248 -1,081 $176
     BMY3,248-1,081$176
Shell Plc Spon ADS 2,629 +2,629 $176
     SHEL2,629+2,629$176
Advanced Micro Devices Inc 971 +971 $175
     AMD971+971$175
Stryker Corporation 489 +489 $175
     SYK489+489$175
Tesla Inc 998 -474 $175
     TSLA998-474$175
3M Co 1,634 +1,634 $173
     MMM1,634+1,634$173
Arch Cap Group Ltd 1,865 +1,865 $172
     ACGL1,865+1,865$172
Oracle Corp 1,370 +1,370 $172
     ORCL1,370+1,370$172
Pool Corporation Com 424 +424 $171
     POOL424+424$171
GE Aerospace 955 +955 $168
     GE955+955$168
Walt Disney Co 1,357 +1,357 $166
     DIS1,357+1,357$166
Equinix Inc Com Par 198 +198 $163
     EQIX198+198$163
iShares Core MSCI Emerging Markets ETF (IEMG) 3,165 +3,165 $163
     IEMG3,165+3,165$163
Motorola Solutions Inc 445 +445 $158
     MSI445+445$158
Fiserv Inc 980 +980 $157
     FI980+980$157
DTE Energy Co 1,375 +1,375 $154
     DTE1,375+1,375$154
Uber Technologies Inc 1,935 +1,935 $149
     UBER1,935+1,935$149
Welltower Inc REIT 1,582 +1,582 $148
     WELL1,582+1,582$148
iShares Select Dividend ETF (DVY) 1,196 +1,196 $147
     DVY1,196+1,196$147
Waste Mgmt Inc 675 +675 $144
     WM675+675$144
Honeywell International Inc 687 +687 $141
     HON687+687$141
Amphenol Corp New Cl A 1,211 +1,211 $140
     APH1,211+1,211$140
Factset Resh Sys Inc Com 301 +301 $137
     FDS301+301$137
HP Inc 4,501 +4,501 $136
     HPQ4,501+4,501$136
Automatic Data Processing Inc 541 +541 $135
     ADP541+541$135
Morgan Stanley 1,422 +1,422 $134
     MS1,422+1,422$134
Southern Co 1,867 +1,867 $134
     SO1,867+1,867$134
T Mobile US Inc 824 +824 $134
     TMUS824+824$134
Airbnb Inc 792 +792 $131
     ABNB792+792$131
Graco Inc Com 1,400 +1,400 $131
     GGG1,400+1,400$131
Truist Financial Corporation 3,295 +3,295 $128
     TFC3,295+3,295$128
Coterra Energy Inc 4,542 +4,542 $127
     CTRA4,542+4,542$127
Parker Hannifin Corp Com 226 +226 $126
     PH226+226$126
Xcel Energy Inc 2,333 +2,333 $125
     XEL2,333+2,333$125
Cadence Design System Inc 397 +397 $124
     CDNS397+397$124
Royal Caribbean Cruises LTD 890 +890 $124
     RCL890+890$124
Progressive Corp Ohio 587 +587 $121
     PGR587+587$121
Genuine Parts Co 772 +772 $120
     GPC772+772$120
TotalEnergies SE ADR 1,750 +1,750 $120
     TTE1,750+1,750$120
Danaher Corp. 477 +477 $119
     DHR477+477$119
FREEPORT MCMORAN INC CL B 2,527 +2,527 $119
     FCX2,527+2,527$119
Sherwin Williams Co. 344 +344 $119
     SHW344+344$119
Zoetis Inc Cl A 701 +701 $119
     ZTS701+701$119
NextEra Energy Inc 1,848 +1,848 $118
     NEE1,848+1,848$118
Valero Energy Corp 691 +691 $118
     VLO691+691$118
Nuveen CA Quality Muni Income Fund (NAC) 10,612 +10,612 $117
     NAC10,612+10,612$117
Williams Cos Inc 2,993 +2,993 $117
     WMB2,993+2,993$117
Constellation Energy Corp 624 +624 $115
     CEG624+624$115
Servicenow Inc 149 +149 $114
     NOW149+149$114
DOLLAR GEN CORP NEW COM 725 +725 $113
     DG725+725$113
Accenture PLC Ireland Class A ADR 324 +324 $112
     ACN324+324$112
L3 Harris Technologies Inc Com 517 +517 $110
     LHX517+517$110
Rio Tinto Plc ADR 1,728 +1,728 $110
     RIO1,728+1,728$110
Monolithic Pwr Sys Inc 160 +160 $108
     MPWR160+160$108
Granite Construction Inc Com 1,879 +1,879 $107
     GVA1,879+1,879$107
Lam Research Corp 109 +109 $106
     LRCX109+109$106
Ashland Global Hldgs Inc Com 1,049 +1,049 $102
     ASH1,049+1,049$102
EQT Corp Com 2,764 +2,764 $102
     EQT2,764+2,764$102
Coca Cola Co 1,673 +1,673 $102
     KO1,673+1,673$102
Aflac Inc 1,168 +1,168 $100
     AFL1,168+1,168$100
Charles River Labs Intl Inc Com 368 +368 $100
     CRL368+368$100
Cardinal Health Inc 887 +887 $99
     CAH887+887$99
Church & Dwight Inc 948 +948 $99
     CHD948+948$99
Johnson Controls International PLC 1,522 +1,522 $99
     JCI1,522+1,522$99
CIGNA GROUP 264 +264 $96
     CI264+264$96
Darden Restaurants Inc. 563 +563 $94
     DRI563+563$94
Suncor Energy Inc New Com 2,539 +2,539 $94
     SU2,539+2,539$94
State Street Corp 1,197 +1,197 $93
     STT1,197+1,197$93
Spotify Technology SA 344 +344 $91
     SPOT344+344$91
Global Payments Inc 650 +650 $87
     GPN650+650$87
Masterbrand Inc 4,651 +4,651 $87
     MBC4,651+4,651$87
CSX Corp 2,329 +2,329 $86
     CSX2,329+2,329$86
BCE Inc Com New 2,512 +2,512 $85
     BCE2,512+2,512$85
Dover Corp Com 471 +471 $83
     DOV471+471$83
On Semiconductor Corp Com 1,127 +1,127 $83
     ON1,127+1,127$83
Thermo Fisher Scientific Inc. 139 +139 $81
     TMO139+139$81
Vertex Parmaceuticals Inc 194 +194 $81
     VRTX194+194$81
Doordash Inc Cl A 584 +584 $80
     DASH584+584$80
TJX Inc 792 +792 $80
     TJX792+792$80
CENCORA INC 327 +327 $79
     COR327+327$79
Workday Inc Cl A 290 +290 $79
     WDAY290+290$79
Ambev Sa Sponsored ADR 31,548 UNCH $78
     ABEV31,548UNCH$78
Cummins Inc 266 +266 $78
     CMI266+266$78
CONSOLIDATED EDISON INC COM 860 +860 $78
     ED860+860$78
Sysco Corp. 943 +943 $77
     SYY943+943$77
MSCI Inc Cl A 133 +133 $75
     MSCI133+133$75
Regal Rexnord Corp Com 414 +414 $75
     RRX414+414$75
Air Prods Chems Inc 306 +306 $74
     APD306+306$74
Philip Morris International Inc 801 +801 $73
     PM801+801$73
Toro Co Com 786 +786 $72
     TTC786+786$72
Cognizant Technology Solutions Corp A 966 +966 $71
     CTSH966+966$71
Regeneron Pharmaceuticals 74 +74 $71
     REGN74+74$71
Walgreens Boots Alliance Inc 3,220 +3,220 $70
     WBA3,220+3,220$70
Kimberly Clark Corp 537 +537 $69
     KMB537+537$69
Marathon Petroleum Corp 340 +340 $69
     MPC340+340$69
Carrier Global Corporation 1,177 +1,177 $68
     CARR1,177+1,177$68
Marketaxess Hldgs Inc Com 309 +309 $68
     MKTX309+309$68
Quanta Svcs Inc 255 +255 $66
     PWR255+255$66
Trane Technologies Plc 220 +220 $66
     TT220+220$66
Wingstop Inc 180 +180 $66
     WING180+180$66
iShares Russell Mid Cap Value ETF (IWS) 520 +520 $65
     IWS520+520$65
Dollar Tree Inc Com 483 +483 $64
     DLTR483+483$64
Electronic Arts Inc 484 +484 $64
     EA484+484$64
Chubb Limited 242 +242 $63
     CB242+242$63
Elevance Health Inc 122 +122 $63
     ELV122+122$63
Occidental Petroleum Corp 976 +976 $63
     OXY976+976$63
Transdigm Group Inc 51 +51 $63
     TDG51+51$63
AMERICAN ELEC PWR INC COM 720 +720 $62
     AEP720+720$62
General Dynamics Corp 217 +217 $61
     GD217+217$61
Grainger W W Inc 60 +60 $61
     GWW60+60$61
Lennar Corp      $61
     LEN181+181$31
     LEN.B197+197$30
iShares National Muni Bond ETF (MUB) 566 +566 $61
     MUB566+566$61
Kinder Morgan Inc P 3,232 +3,232 $59
     KMI3,232+3,232$59
American Tower Corp New Com 295 +295 $58
     AMT295+295$58
HCA Healthcare Inc 174 +174 $58
     HCA174+174$58
Cintas Corp 83 +83 $57
     CTAS83+83$57
iShares Russell 2000 ETF (IWM) 269 +269 $57
     IWM269+269$57
Match Group Inc New 1,559 +1,559 $57
     MTCH1,559+1,559$57
Nike Inc B 602 +602 $57
     NKE602+602$57
Weyerhaeuser Co 1,596 +1,596 $57
     WY1,596+1,596$57
BWX Technologies Inc 550 +550 $56
     BWXT550+550$56
Roper Technologies Inc Com 99 +99 $56
     ROP99+99$56
Darling Ingredients Inc Com 1,173 +1,173 $55
     DAR1,173+1,173$55
Amdocs Ltd 611 +611 $55
     DOX611+611$55
AptarGroup Inc Com 375 +375 $54
     ATR375+375$54
The Kroger Co 931 +931 $53
     KR931+931$53
Hubbell Inc 126 +126 $52
     HUBB126+126$52
Sprott Physical Gold Tr Unit 3,000 +3,000 $52
     PHYS3,000+3,000$52
Sempra Energy Com 730 +730 $52
     SRE730+730$52
Diodes Inc 718 +718 $51
     DIOD718+718$51
Ford Motor Co 3,842 +3,842 $51
     F3,842+3,842$51
Henry Jack & Assoc Inc Com 292 +292 $51
     JKHY292+292$51
Citigroup Inc 798 +798 $50
     C798+798$50
Steel Dynamics Inc 338 +338 $50
     STLD338+338$50
Gallagher Arthur J & Co 197 +197 $49
     AJG197+197$49
First Citizens Bancshares Inc nc (FCNCA) 30 +30 $49
     FCNCA30+30$49
McKesson Corp 91 +91 $49
     MCK91+91$49
TE Connectivity Ltd 335 +335 $49
     TEL335+335$49
Blackstone Inc Com 367 +367 $48
     BX367+367$48
Ebay Inc 905 +905 $48
     EBAY905+905$48
Goldman Sachs ActiveBeta US Large Cap ETF (GSLC) 461 +461 $48
     GSLC461+461$48
Invesco QQQ Trust ETF (QQQ) 109 +109 $48
     QQQ109+109$48
Macom Tech Solutions Hldgs Inc Com 492 +492 $47
     MTSI492+492$47
Northrop Grumman Corp 98 +98 $47
     NOC98+98$47
Paypal Hldgs Inc Com 697 +697 $47
     PYPL697+697$47
Bunge Global Sa Com Shs 452 +452 $46
     BG452+452$46
Donaldson Inc Com 616 +616 $46
     DCI616+616$46
Pinnacle West Cap Corp Com 622 +622 $46
     PNW622+622$46
Apollo Global Management Inc 401 +401 $45
     APO401+401$45
S&P Global Inc 105 +105 $45
     SPGI105+105$45
CBOE Global Mkts Inc 237 +237 $44
     CBOE237+237$44
Mondelez Intl Inc Cl A 625 +625 $44
     MDLZ625+625$44
RLI Corp Com 293 +293 $44
     RLI293+293$44
Clorox Co 278 +278 $43
     CLX278+278$43
Coinbase Global Inc 161 +161 $43
     COIN161+161$43
Evergy Inc Com 804 +804 $43
     EVRG804+804$43
Masco Corp 544 +544 $43
     MAS544+544$43
National Retail PPTYS INC COM 1,007 +1,007 $43
     NNN1,007+1,007$43
Essential Utils Inc 1,154 +1,154 $43
     WTRG1,154+1,154$43
Atlantica Sustainable Infr Plc Shs ADR 2,254 +2,254 $42
     AY2,254+2,254$42
Prologis Inc Com 321 +321 $42
     PLD321+321$42
Palantir Technologies Inc 1,821 +1,821 $42
     PLTR1,821+1,821$42
Resmed Inc 210 +210 $42
     RMD210+210$42
SPDR S&P 500 ETF (SPY) 80 +80 $42
     SPY80+80$42
Agilent Technologies Inc 283 +283 $41
     A283+283$41
Autozone Inc 13 +13 $41
     AZO13+13$41
Southwest Airlines Co 1,390 +1,390 $41
     LUV1,390+1,390$41
O Reilly Automotive 36 +36 $41
     ORLY36+36$41
Arista Networks Inc 137 +137 $40
     ANET137+137$40
Charter Communications Inc A 136 +136 $40
     CHTR136+136$40
Qorvo Inc Com 344 +344 $40
     QRVO344+344$40
Verisk Analytics Inc 170 +170 $40
     VRSK170+170$40
Booz Allen Hamilton Hldg Corp Cl A 260 +260 $39
     BAH260+260$39
Medtronic PLC 442 +442 $39
     MDT442+442$39
Micron Technology Inc Com 327 +327 $39
     MU327+327$39
Nov Inc 1,989 +1,989 $39
     NOV1,989+1,989$39
Vistra Energy Corp Com 558 +558 $39
     VST558+558$39
American Express Co 169 +169 $38
     AXP169+169$38
Black Hills Corp 704 +704 $38
     BKH704+704$38
General Mtrs Co Com 830 +830 $38
     GM830+830$38
Jones Lang Lasalle Inc Com 197 +197 $38
     JLL197+197$38
Alexandria Real Estate Equities Inc. 286 +286 $37
     ARE286+286$37
Prudential Financial Inc 314 +314 $37
     PRU314+314$37
Public Storage 129 +129 $37
     PSA129+129$37
Crowdstrike Hldgs Inc Cl A 113 +113 $36
     CRWD113+113$36
Hess Corp 233 +233 $36
     HES233+233$36
Altria Group Inc 818 +818 $36
     MO818+818$36
PVH Corp 257 +257 $36
     PVH257+257$36
Costar Group Inc 360 +360 $35
     CSGP360+360$35
General Mills Inc Com 504 +504 $35
     GIS504+504$35
Corning Inc 1,061 +1,061 $35
     GLW1,061+1,061$35
Heico Corp New      $35
     HEI98+98$19
     HEI.A105+105$16
Idex Corp 142 +142 $35
     IEX142+142$35
Spirit Aerosystems Hldgs Inc Com Cl A 977 +977 $35
     SPR977+977$35
Caci Intl Inc 90 +90 $34
     CACI90+90$34
Discover Finl Svcs 257 +257 $34
     DFS257+257$34
Edwards Lifesciences Corp Com 357 +357 $34
     EW357+357$34
Highwoods Pptys Inc 1,297 +1,297 $34
     HIW1,297+1,297$34
Realty Income Corp. REIT 630 +630 $34
     O630+630$34
Principal Financial Group Inc 396 +396 $34
     PFG396+396$34
PPG Industries Inc 238 +238 $34
     PPG238+238$34
PTC Inc Com 181 +181 $34
     PTC181+181$34
AES Corp 1,851 +1,851 $33
     AES1,851+1,851$33
Autonation Inc 198 +198 $33
     AN198+198$33
Quest Diagnostics Inc 248 +248 $33
     DGX248+248$33
iShares Core S&P Small Cap Index ETF (IJR) 297 +297 $33
     IJR297+297$33
Jabil Circuit Inc 250 +250 $33
     JBL250+250$33
Kenvue Inc 1,557 +1,557 $33
     KVUE1,557+1,557$33
Outfront Media Inc 1,965 +1,965 $33
     OUT1,965+1,965$33
Vontier Corporation 721 +721 $33
     VNT721+721$33
Dexcom Inc 231 +231 $32
     DXCM231+231$32
First Solar Inc 187 +187 $32
     FSLR187+187$32
Iqvia Hldgs Inc 127 +127 $32
     IQV127+127$32
Lear Corp Com New 221 +221 $32
     LEA221+221$32
Lennox Intl Inc 65 +65 $32
     LII65+65$32
The Western Union Co 2,262 +2,262 $32
     WU2,262+2,262$32
HF Sinclair Corporation Com 508 +508 $31
     DINO508+508$31
Ge Healthcare Technologies Inc 342 +342 $31
     GEHC342+342$31
Icon Plc Shs 92 +92 $31
     ICLR92+92$31
Interdigital Inc Com 288 +288 $31
     IDCC288+288$31
Snowflake Inc Cl A 194 +194 $31
     SNOW194+194$31
Teleflex Inc 136 +136 $31
     TFX136+136$31
Hanover Ins Group Inc Com 228 +228 $31
     THG228+228$31
United Rentals Inc Com 43 +43 $31
     URI43+43$31
XPO Logistics Inc 251 +251 $31
     XPO251+251$31
Analog Devices Inc 154 +154 $30
     ADI154+154$30
Borgwarner Inc Com 875 +875 $30
     BWA875+875$30
D R Horton Inc sh Sh 182 +182 $30
     DHI182+182$30
Duke Energy Corp 314 +314 $30
     DUK314+314$30
Huntington Ingalls Inds Inc 102 +102 $30
     HII102+102$30
LPL Finl Hldgs Inc 113 +113 $30
     LPLA113+113$30
Shockwave Med Inc Com 92 +92 $30
     SWAV92+92$30
Ulta Beauty Inc Com 57 +57 $30
     ULTA57+57$30
Ares Management Corporation Cl A Com 218 +218 $29
     ARES218+218$29
Banc of California Inc Com 1,916 +1,916 $29
     BANC1,916+1,916$29
Epam Sys Inc 105 +105 $29
     EPAM105+105$29
Hershey Co 149 +149 $29
     HSY149+149$29
Incyte Corp 516 +516 $29
     INCY516+516$29
Ingersoll Rand Inc 302 +302 $29
     IR302+302$29
Cheniere Energy Inc Com 180 +180 $29
     LNG180+180$29
Lululemon Athletica Inc 75 +75 $29
     LULU75+75$29
Newmark Group Inc Cl A 2,602 +2,602 $29
     NMRK2,602+2,602$29
Paccar Inc 231 +231 $29
     PCAR231+231$29
Vanguard MC Growth Index ETF (VOT) 122 +122 $29
     VOT122+122$29
United States Stl Corp New 713 +713 $29
     X713+713$29
Amcor PLC ORD 2,993 +2,993 $28
     AMCR2,993+2,993$28
Formfactor Inc 607 +607 $28
     FORM607+607$28
Live Oak Bancshares Inc Com (LOB) 684 +684 $28
     LOB684+684$28
Owens Corning New 165 +165 $28
     OC165+165$28
Healthpeak Properties Inc 1,512 +1,512 $28
     PEAK1,512+1,512$28
Qiagen Nv Shs New ADR 642 +642 $28
     QGEN642+642$28
Rockwell Automation Inc 97 +97 $28
     ROK97+97$28
Square Inc Cl A 329 +329 $28
     SQ329+329$28
Waters Corp 80 +80 $28
     WAT80+80$28
Wp Carey Inc 493 +493 $28
     WPC493+493$28
FMC Corp Com New 431 +431 $27
     FMC431+431$27
Hyatt Hotels Corp 170 +170 $27
     H170+170$27
Host Hotels & Resorts Inc Com 1,301 +1,301 $27
     HST1,301+1,301$27
Hubspot Inc 43 +43 $27
     HUBS43+43$27
IAC Interactive Corp New 505 +505 $27
     IAC505+505$27
International Flavors&Fragrance 319 +319 $27
     IFF319+319$27
KKR & Co Inc Cl A Com 273 +273 $27
     KKR273+273$27
Macys Inc Com 1,375 +1,375 $27
     M1,375+1,375$27
Marathon Oil Corp 960 +960 $27
     MRO960+960$27
Cloudflare Inc Cl A 274 +274 $27
     NET274+274$27
Southern Copper Corp Com 256 +256 $27
     SCCO256+256$27
The Trade Desk Inc Com Cl A 307 +307 $27
     TTD307+307$27
Wayfair Inc Cl A 400 +400 $27
     W400+400$27
Airsculpt Technologies Inc Com 4,269 +4,269 $26
     AIRS4,269+4,269$26
Beam Therapeutics Inc 796 +796 $26
     BEAM796+796$26
Datadog Inc Cl A Com 207 +207 $26
     DDOG207+207$26
iShares MSCI EAFE Growth ETF (EFG) 248 +248 $26
     EFG248+248$26
Eagle Bancorp Inc Md 1,093 +1,093 $26
     EGBN1,093+1,093$26
Lauder Estee Cos Inc 168 +168 $26
     EL168+168$26
Floor & Decor Hldgs Inc 197 +197 $26
     FND197+197$26
Idexx Labs Inc 48 +48 $26
     IDXX48+48$26
Lincoln Elec Hldgs Inc 103 +103 $26
     LECO103+103$26
Martin Marietta Matls Inc 43 +43 $26
     MLM43+43$26
Renaissancere Holdings Ltd 111 +111 $26
     RNR111+111$26
Ross Stores Inc 179 +179 $26
     ROST179+179$26
Splunk Inc 168 +168 $26
     SPLK168+168$26
Virtu Finl Inc Cl A Com 1,290 +1,290 $26
     VIRT1,290+1,290$26
Aptiv PLC 318 +318 $25
     APTV318+318$25
Bright Horizons Fam Sol In Del 217 +217 $25
     BFAM217+217$25
Corebridge Financial Inc Com 856 +856 $25
     CRBG856+856$25
East West Bancorp Inc. 313 +313 $25
     EWBC313+313$25
First Fndtn Inc Com 3,377 +3,377 $25
     FFWM3,377+3,377$25
Masimo Corp 169 +169 $25
     MASI169+169$25
Owens & Minor Inc New Com 919 +919 $25
     OMI919+919$25
Reliance Inc. 75 +75 $25
     RS75+75$25
Advance Auto Parts Inc 283 +283 $24
     AAP283+283$24
AON PLC A 71 +71 $24
     AON71+71$24
Bank Hawaii Corp 392 +392 $24
     BOH392+392$24
Burlington Stores Inc 103 +103 $24
     BURL103+103$24
Columbia Bkg Sys Inc 1,253 +1,253 $24
     COLB1,253+1,253$24
Dominion Resources Inc 484 +484 $24
     D484+484$24
Digitalbridge Group Inc 1,250 +1,250 $24
     DBRG1,250+1,250$24
Shift4 Pmts Inc 366 +366 $24
     FOUR366+366$24
Jetblue Awys Corp 3,201 +3,201 $24
     JBLU3,201+3,201$24
KeyCorp 1,508 +1,508 $24
     KEY1,508+1,508$24
Lancaster Colony Corp. 116 +116 $24
     LANC116+116$24
LKQ Corp Com 448 +448 $24
     LKQ448+448$24
Mongodb Inc 68 +68 $24
     MDB68+68$24
Neurocrine Biosciences Inc 176 +176 $24
     NBIX176+176$24
Norwegian Cruise Line Hldg Ltd Com 1,128 +1,128 $24
     NCLH1,128+1,128$24
NVR Inc 3 +3 $24
     NVR3+3$24
Uipath Inc 1,069 +1,069 $24
     PATH1,069+1,069$24
Pinterest Inc 683 +683 $24
     PINS683+683$24
Asbury Automotive Group Inc 98 +98 $23
     ABG98+98$23
Agco Corp 185 +185 $23
     AGCO185+185$23
Chipotle Mexican Grill Inc 8 +8 $23
     CMG8+8$23
Coty Inc 1,935 +1,935 $23
     COTY1,935+1,935$23
Fastenal Co 292 +292 $23
     FAST292+292$23
Garmin Ltd 154 +154 $23
     GRMN154+154$23
Las Vegas Sands Corp Com 436 +436 $23
     LVS436+436$23
Sealed Air Corp 631 +631 $23
     SEE631+631$23
Targa Res Corp 209 +209 $23
     TRGP209+209$23
Tradeweb Mkts Inc Com 221 +221 $23
     TW221+221$23
Amerco      $23
     UHAL.B308+308$21
     UHAL23+23$2
Assurant Inc 115 +115 $22
     AIZ115+115$22
Allegro Microsystems Inc 808 +808 $22
     ALGM808+808$22
Caseys Gen Stores Inc 68 +68 $22
     CASY68+68$22
Clearway Energy Inc Cl C 969 +969 $22
     CWEN969+969$22
EVEREST GROUP LTD 55 +55 $22
     EG55+55$22
Fifth Third Bancorp Com 579 +579 $22
     FITB579+579$22
1 800 Flowers Com Inc Cl A 2,076 +2,076 $22
     FLWS2,076+2,076$22
Hilton Worldwide Hldgs Inc 101 +101 $22
     HLT101+101$22
Ichor Holdings 574 +574 $22
     ICHR574+574$22
Lincoln Natl Corp Ind 688 +688 $22
     LNC688+688$22
Lattice Semiconductor Corp 282 +282 $22
     LSCC282+282$22
Marriott Intl Inc.New Cl A 87 +87 $22
     MAR87+87$22
Okta Inc 206 +206 $22
     OKTA206+206$22
RBC Bearings Inc Com 82 +82 $22
     RBC82+82$22
RH Com 63 +63 $22
     RH63+63$22
Rapid7 Inc 442 +442 $22
     RPD442+442$22
Sonoco Prods Co Com 374 +374 $22
     SON374+374$22
Viatris Inc 1,852 +1,852 $22
     VTRS1,852+1,852$22
American International Group Inc 269 +269 $21
     AIG269+269$21
Arcadium Lithium Plc Com Shs 4,809 +4,809 $21
     ALTM4,809+4,809$21
Diamondback Energy Inc Com 105 +105 $21
     FANG105+105$21
Fidelity National Financial In Fnf Group Com 394 +394 $21
     FNF394+394$21
Godaddy Inc 180 +180 $21
     GDDY180+180$21
Hartford Finl Svcs Group Inc Com 204 +204 $21
     HIG204+204$21
Hope Bancorp Inc 1,818 +1,818 $21
     HOPE1,818+1,818$21
Ionis Pharmaceuticals Inc Com 476 +476 $21
     IONS476+476$21
Mgic Invt Corp Wis 940 +940 $21
     MTG940+940$21
Nucor Corp 107 +107 $21
     NUE107+107$21
Organon & Co 1,101 +1,101 $21
     OGN1,101+1,101$21
Ovintiv Inc Com 412 +412 $21
     OVV412+412$21
Servisfirst Bancshares Inc (SFBS) 322 +322 $21
     SFBS322+322$21
Vulcan Matls Co 78 +78 $21
     VMC78+78$21
Warner Bros Discovery Inc Com Ser A 2,378 +2,378 $21
     WBD2,378+2,378$21
Wesco Intl Inc 121 +121 $21
     WCC121+121$21
Berkley W R Corp 240 +240 $21
     WRB240+240$21
West Pharmaceutical Svsc Inc 52 +52 $21
     WST52+52$21
Xylem Inc 162 +162 $21
     XYL162+162$21
Akamai Technologies Inc 185 +185 $20
     AKAM185+185$20
Axalta Coating Sys Ltd 570 +570 $20
     AXTA570+570$20
BIOGEN INC COM 93 +93 $20
     BIIB93+93$20
Central Garden & Pet A 530 +530 $20
     CENTA530+530$20
Citizens Finl Group Inc 553 +553 $20
     CFG553+553$20
Conmed Corp 255 +255 $20
     CNMD255+255$20
Delta Air Lines Inc 417 +417 $20
     DAL417+417$20
Docgo Inc Com 5,034 +5,034 $20
     DCGO5,034+5,034$20
Driven Brands Holdings Inc Com 1,246 +1,246 $20
     DRVN1,246+1,246$20
Essent Group Ltd ADR 340 +340 $20
     ESNT340+340$20
Five Below Inc 113 +113 $20
     FIVE113+113$20
Fortive Corp 233 +233 $20
     FTV233+233$20
Globant SA 99 +99 $20
     GLOB99+99$20
GARTNER INC COM 42 +42 $20
     IT42+42$20
Janus Henderson Group PLC ADR 593 +593 $20
     JHG593+593$20
Louisiana Pac Corp 234 +234 $20
     LPX234+234$20
MetLife Inc 268 +268 $20
     MET268+268$20
MGM Mirage 426 +426 $20
     MGM426+426$20
Molina Healthcare Inc 49 +49 $20
     MOH49+49$20
Noble Corp PLC Ord Shs ADR 419 +419 $20
     NE419+419$20
Annaly Capital Management Inc Com New 1,014 +1,014 $20
     NLY1,014+1,014$20
Palo Alto Networks Inc 70 +70 $20
     PANW70+70$20
Selective Insurance Group Inc. 180 +180 $20
     SIGI180+180$20
Simon Property Group Inc 129 +129 $20
     SPG129+129$20
Triumph Financial Inc Com 256 +256 $20
     TFIN256+256$20
Zillow Group Inc Cl C 419 +419 $20
     Z419+419$20
Zillow Group Inc 419 +419 $20
     ZG419+419$20
Advanced Energy Inds 184 +184 $19
     AEIS184+184$19
Ametek Inc New 105 +105 $19
     AME105+105$19
BJS Wholesale Club Inc 245 +245 $19
     BJ245+245$19
Baker Hughes Company Cl A 573 +573 $19
     BKR573+573$19
Dominos Pizza Inc 39 +39 $19
     DPZ39+39$19
Entergy Corp New 182 +182 $19
     ETR182+182$19
Green Plains Inc Com 838 +838 $19
     GPRE838+838$19
Hanesbrands Inc 3,328 +3,328 $19
     HBI3,328+3,328$19
Hormel Foods Corp Com 554 +554 $19
     HRL554+554$19
Intercontinental Exchange Inc (ICE) 136 +136 $19
     ICE136+136$19
Innovative Indl Pptys Inc 188 +188 $19
     IIPR188+188$19
Loews Corp 239 +239 $19
     L239+239$19
NetApp Inc 185 +185 $19
     NTAP185+185$19
Pilgrims Pride Corp 567 +567 $19
     PPC567+567$19
Sonic Automotive Inc 341 +341 $19
     SAH341+341$19
Schlumberger Ltd 340 +340 $19
     SLB340+340$19
Snap On Inc Com 64 +64 $19
     SNA64+64$19
The Travelers Companies Inc 82 +82 $19
     TRV82+82$19
Take Two Interactive Software 128 +128 $19
     TTWO128+128$19
Textron Inc 200 +200 $19
     TXT200+200$19
Wolfspeed Inc 653 +653 $19
     WOLF653+653$19
Ansys Inc 53 +53 $18
     ANSS53+53$18
Armour Residential Reit Inc Com 923 +923 $18
     ARR923+923$18
Biomarin Pharmaceutical Inc 211 +211 $18
     BMRN211+211$18
Cogent Communications Hldgs In 270 +270 $18
     CCOI270+270$18
Exact Sciences Corp 264 +264 $18
     EXAS264+264$18
Expedia Group Inc 130 +130 $18
     EXPE130+130$18
FTI Consulting Inc. 87 +87 $18
     FCN87+87$18
Flushing Finl Corp 1,452 +1,452 $18
     FFIC1,452+1,452$18
Forward Air Corp Com 589 +589 $18
     FWRD589+589$18
Gentex Corp 506 +506 $18
     GNTX506+506$18
Lithia Mtrs Inc 60 +60 $18
     LAD60+60$18
Moody s Corporation 45 +45 $18
     MCO45+45$18
Moderna Inc 173 +173 $18
     MRNA173+173$18
Neogen Corp 1,126 +1,126 $18
     NEOG1,126+1,126$18
Insulet Corp 107 +107 $18
     PODD107+107$18
Pacific Premier Bancorp 759 +759 $18
     PPBI759+759$18
Seacoast Bkg Corp Fla 723 +723 $18
     SBCF723+723$18
Sabra Health Care REIT Inc. 1,187 +1,187 $18
     SBRA1,187+1,187$18
Stifel Finl Corp 225 +225 $18
     SF225+225$18
Teradyne Inc Com 158 +158 $18
     TER158+158$18
T Rowe Price Group Inc 151 +151 $18
     TROW151+151$18
Autodesk Inc 67 +67 $17
     ADSK67+67$17
Avantor Inc 672 +672 $17
     AVTR672+672$17
Cirrus Logic Inc. 180 +180 $17
     CRUS180+180$17
Douglas Emmett Inc 1,222 +1,222 $17
     DEI1,222+1,222$17
Dynatrace Inc 364 +364 $17
     DT364+364$17
Enphase Energy Inc 142 +142 $17
     ENPH142+142$17
International Paper Company 433 +433 $17
     IP433+433$17
Ishares Tr Russell Mid Cap Growth ETF (IWP) 150 +150 $17
     IWP150+150$17
Kulicke & Soffa Inds Inc 328 +328 $17
     KLIC328+328$17
Lamar Advertising Co New Cl A 144 +144 $17
     LAMR144+144$17
Markel Group INC COM 11 +11 $17
     MKL11+11$17
M & T Bank Corp Com 116 +116 $17
     MTB116+116$17
Nordson Corp 63 +63 $17
     NDSN63+63$17
Norfolk Southern Corp Com 66 +66 $17
     NSC66+66$17
Repligen Corp 90 +90 $17
     RGEN90+90$17
Ringcentral Inc Cl A 477 +477 $17
     RNG477+477$17
Roku Inc 265 +265 $17
     ROKU265+265$17
TD Synnex Corporation Com 148 +148 $17
     SNX148+148$17
Stag Indl Inc 448 +448 $17
     STAG448+448$17
Sun Cmntys Inc Com 133 +133 $17
     SUI133+133$17
Transunion Com 212 +212 $17
     TRU212+212$17
United Cmnty Bks Blairsvle GA 648 +648 $17
     UCBI648+648$17
Veeva Sys Inc Cl A 74 +74 $17
     VEEV74+74$17
Vishay Intertechnology Inc 734 +734 $17
     VSH734+734$17
Alnylam Pharmaceuticals Inc 104 +104 $16
     ALNY104+104$16
Bank Of Marin Bancorp 949 +949 $16
     BMRC949+949$16
DAYFORCE INC 238 +238 $16
     CDAY238+238$16
Cerevel Therapeutics Holdings Inc 385 +385 $16
     CERE385+385$16
Cincinnati Finl Corp Com 130 +130 $16
     CINF130+130$16
Centene Corp Com 207 +207 $16
     CNC207+207$16
DOLBY LABORATORIES INC COM 189 +189 $16
     DLB189+189$16
Eastgroup Properties Inc Com 89 +89 $16
     EGP89+89$16
Five9 Inc 257 +257 $16
     FIVN257+257$16
GXO Logistics Incorporated 289 +289 $16
     GXO289+289$16
Hawaiian Electric Industries Com 1,445 +1,445 $16
     HE1,445+1,445$16
Independent Bk Corp Mass 302 +302 $16
     INDB302+302$16
Kraft Heinz Co 429 +429 $16
     KHC429+429$16
Leggett & Platt Inc 834 +834 $16
     LEG834+834$16
Landstar Sys Inc Com 85 +85 $16
     LSTR85+85$16
Nasdaq Inc Com 246 +246 $16
     NDAQ246+246$16
Olin Corp Com Par 1 280 +280 $16
     OLN280+280$16
Premier Inc Cl A 714 +714 $16
     PINC714+714$16
Prothena Corp PLC 659 +659 $16
     PRTA659+659$16
Redfin Corp sh 2,356 +2,356 $16
     RDFN2,356+2,356$16
Revance Therapeutics Inc Com 3,237 +3,237 $16
     RVNC3,237+3,237$16
Shoals Technologies Group Inc Cl A 1,390 +1,390 $16
     SHLS1,390+1,390$16
Tractor Supply Co 63 +63 $16
     TSCO63+63$16
Twilio Inc Cl A 262 +262 $16
     TWLO262+262$16
Yeti Hldgs Inc Com 414 +414 $16
     YETI414+414$16
Yum Brands Inc 112 +112 $16
     YUM112+112$16
Zimmer Biomet Holdings Inc 123 +123 $16
     ZBH123+123$16
Atmos Energy Corp Com 123 +123 $15
     ATO123+123$15
Bok Finl Corp 166 +166 $15
     BOKF166+166$15
Coca Cola Cons Inc 18 +18 $15
     COKE18+18$15
First Indl Rlty Tr Inc Com 276 +276 $15
     FR276+276$15
Mattel Inc sh 757 +757 $15
     MAT757+757$15
Ready Capital Corp Com 1,625 +1,625 $15
     RC1,625+1,625$15
Stanley Black & Decker Inc 158 +158 $15
     SWK158+158$15
Vanguard FTSE Emerging Markets ETF (VWO) 350 +350 $15
     VWO350+350$15
Warby Parker Inc 1,125 +1,125 $15
     WRBY1,125+1,125$15
Central Garden & Pet Co Com 338 +338 $14
     CENT338+338$14
Cubesmart Com 320 +320 $14
     CUBE320+320$14
3 dD Sys Corp Del 3,132 +3,132 $14
     DDD3,132+3,132$14
Energizer Hldgs Inc New 479 +479 $14
     ENR479+479$14
Henry Schein Inc 181 +181 $14
     HSIC181+181$14
IPG Photonics Corp 150 +150 $14
     IPGP150+150$14
Knight Swift Transn Holdings Inc 254 +254 $14
     KNX254+254$14
Laboratory Corp Amer Hldgs 62 +62 $14
     LH62+62$14
Nisource Inc 500 +500 $14
     NI500+500$14
PG&E Corp 820 +820 $14
     PCG820+820$14
Quantumscape Corp Com CL A 2,274 +2,274 $14
     QS2,274+2,274$14
Verisign Inc 75 +75 $14
     VRSN75+75$14
Allegiant Travel Co 179 +179 $13
     ALGT179+179$13
Asana Inc Cl A 865 +865 $13
     ASAN865+865$13
Bill Com Hldgs Inc 182 +182 $13
     BILL182+182$13
CMS Energy Corp 222 +222 $13
     CMS222+222$13
Centerpoint Energy Inc 457 +457 $13
     CNP457+457$13
Concentrix Corporation 198 +198 $13
     CNXC198+198$13
Americold Realty Trust Inc Com 506 +506 $13
     COLD506+506$13
Equity Lifestyle Pptys Inc Com 201 +201 $13
     ELS201+201$13
Firstenergy Corp 339 +339 $13
     FE339+339$13
Boston Beer Inc Cl A 44 +44 $13
     SAM44+44$13
Schneider National Inc 590 +590 $13
     SNDR590+590$13
BRITISH AMERN TOB PLC SPONSORED ADR 400 +400 $12
     BTI400+400$12
Gaming & Leisure Pptys Inc 264 +264 $12
     GLPI264+264$12
Alliant Energy Corp Com 247 +247 $12
     LNT247+247$12
Medifast Inc Com 321 +321 $12
     MED321+321$12
Oge Energy Corp 356 +356 $12
     OGE356+356$12
Alps Tr Alerian Mlp ETF (AMLP) 240 +240 $11
     AMLP240+240$11
Vanguard FTSE All World ex US Small Cap ETF (VSS) 95 +95 $11
     VSS95+95$11
DT Midstream Inc. 161 +161 $10
     DTM161+161$10
Iridium Communications Inc 388 +388 $10
     IRDM388+388$10
Emerson Electric Co 73 +73 $8
     EMR73+73$8
iShares Short Term National Muni Bd ETF (SUB) 73 +73 $8
     SUB73+73$8
Texas Instruments Inc 30 +30 $5
     TXN30+30$5
Vanguard Information Technology ETF (VGT) 8 +8 $4
     VGT8+8$4
WisdomTree US Large Cap Dividend ETF (DLN) 44 +44 $3
     DLN44+44$3
Embecta Corp 252 +252 $3
     EMBC252+252$3
Phinia Inc 75 +75 $3
     PHIN75+75$3
Vimeo Inc 819 +819 $3
     VMEO819+819$3
Fortrea Holdings Inc 62 +62 $2
     FTRE62+62$2
Adient PLC 40 +40 $1
     ADNT40+40$1
Enhabit Inc Com 108 +108 $1
     EHAB108+108$1
F&G Annuities & Life Inc 23 +23 $1
     FG23+23$1
Kontoor Brands Inc Com 11 +11 $1
     KTB11+11$1
Net Lease Office Properties 32 +32 $1
     NLOP32+32$1
VF Corporation 80 +80 $1
     VFC80+80$1
iShares MSCI Emerging Markets ETF $0 (exited)
     EEM0-11,662$0
SPDR Gold Trust Gold Shs ETF $0 (exited)
     GLD0-4,180$0
Gabelli Util Tr Com $0 (exited)
     GUT0-50,954$0
Flexshares Tr Ultra ETF $0 (exited)
     RAVI0-3,971$0
IShares Tr 1 3 Yr Treas Bd ETF $0 (exited)
     SHY0-6,857$0
Ishares Tr Tips Bd ETF 0 -2,191 $0 (exited)
     TIP0-2,191$0

See Summary: Riverview Trust Co Top Holdings
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