Holdings Channel
EntityShares/Amount
Change
Position Value
Change
ZS +14,193+$2,734
GBTC +6,606+$417
FNDX +3,397+$229
IBIT +3,951+$160
CYBR +493+$131
ICLR +367+$123
MEDP +299+$121
AVAV +784+$120
IDXX +208+$112
CSGP +1,110+$107
EntityShares/Amount
Change
Position Value
Change
AMP -294-$112
SPSB -2,896-$86
PREF -4,259-$75
MBB -771-$73
VGSH -1,233-$72
VNLA -1,213-$59
VMBS -1,237-$57
IGEB -1,236-$56
MPLX -1,400-$51
HYS -507-$47
EntityShares/Amount
Change
Position Value
Change
WMT +176,123+$2,009
NEE +46,220+$3,254
SHY +43,563+$3,517
PYPL +39,352+$2,637
IJH +15,404+$430
ACN +11,949+$4,090
DGRO +7,111+$431
LNG +6,740+$965
TJX +6,601+$2,060
DIS +6,571+$2,021
EntityShares/Amount
Change
Position Value
Change
CSCO -59,457-$3,094
PHYS -30,842+$2,236
PSLV -29,800-$203
JNJ -21,782-$3,290
BAC -16,931+$548
DUK -16,606-$1,634
PFE -14,932-$473
VEU -13,451-$71
PFF -12,393-$292
Size ($ in 1000's)
At 03/31/2024: $1,283,757
At 12/31/2023: $1,172,465

Combined Holding Report Includes:
SouthState Corp
SouthState Bank National Association
South State Advisory Inc.

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

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

   EntityAmountChange
 12/31/2023 to 03/31/2024
Position Size
($ in 1000's)
Microsoft Corp 196,121 +685 $82,512
     MSFT196,121+685$82,512
Apple Inc 291,651 +2,669 $50,012
     AAPL291,651+2,669$50,012
Berkshire Hathaway Inc Cl B      $46,196
     BRK.B109,854+2,543$46,196
Sprott Physical Gold Trust 1,990,434 -30,842 $34,435
     PHYS1,990,434-30,842$34,435
Broadcom Inc 25,183 -122 $33,378
     AVGO25,183-122$33,378
Amazon.Com Inc 164,063 +5,358 $29,594
     AMZN164,063+5,358$29,594
JP Morgan Chase & CO 147,129 +3,710 $29,470
     JPM147,129+3,710$29,470
Mastercard Inc A 59,749 +1,308 $28,773
     MA59,749+1,308$28,773
Danaher Corp 97,419 +3,006 $24,327
     DHR97,419+3,006$24,327
Ishares Core S&P 500 ETF (IVV) 45,644 -104 $23,996
     IVV45,644-104$23,996
Elevance Health INC 42,127 +226 $21,845
     ELV42,127+226$21,845
Visa Inc 76,330 +756 $21,302
     V76,330+756$21,302
Home Depot Inc 55,201 +1,177 $21,175
     HD55,201+1,177$21,175
Coca Cola CO 343,336 -5,166 $21,005
     KO343,336-5,166$21,005
Adobe Inc 41,202 +1,107 $20,791
     ADBE41,202+1,107$20,791
Roper Technologies Inc 34,776 +1,302 $19,504
     ROP34,776+1,302$19,504
Alphabet Inc Cl C 127,187 -129 $19,365
     GOOG127,187-129$19,365
TJX Companies 189,301 +6,601 $19,199
     TJX189,301+6,601$19,199
Oracle Corporation Com 146,600 +6,563 $18,414
     ORCL146,600+6,563$18,414
Ishares Barclays 1 3 Year Tr E (SHY) 221,235 +43,563 $18,093
     SHY221,235+43,563$18,093
Costco Whsl Corp New 24,611 +580 $18,031
     COST24,611+580$18,031
Vanguard Ftse All World Ex US (VEU) 272,527 -13,451 $15,984
     VEU272,527-13,451$15,984
Walmart Inc 264,230 +176,123 $15,899
     WMT264,230+176,123$15,899
Servicenow Inc 19,781 +338 $15,081
     NOW19,781+338$15,081
Parker Hannifin Corp Com 26,984 +707 $14,997
     PH26,984+707$14,997
Intuitive Surgical Inc 35,454 +1,726 $14,149
     ISRG35,454+1,726$14,149
Chevron Corporation 87,075 +3,397 $13,735
     CVX87,075+3,397$13,735
Johnson & Johnson 85,859 -21,782 $13,582
     JNJ85,859-21,782$13,582
Chubb Ltd ADR 50,076 +1,018 $12,976
     CB50,076+1,018$12,976
SPDR S&P 500 ETF Trust (SPY) 24,753 +663 $12,948
     SPY24,753+663$12,948
Abbvie Inc 69,675 +1,601 $12,688
     ABBV69,675+1,601$12,688
Sony Group Corp Spons ADR 142,892 +4,258 $12,252
     SONY142,892+4,258$12,252
Procter & Gamble Company 75,348 -263 $12,225
     PG75,348-263$12,225
Rockwell Automation Inc 41,514 +2,003 $12,094
     ROK41,514+2,003$12,094
Mondelez International Inc 172,383 +4,003 $12,067
     MDLZ172,383+4,003$12,067
Union Pac Corp 47,953 +2,053 $11,793
     UNP47,953+2,053$11,793
L3 Harris Technologies Inc 55,145 +3,320 $11,751
     LHX55,145+3,320$11,751
Boston Scientific Corp 156,209 +2,114 $10,699
     BSX156,209+2,114$10,699
Eli Lilly & CO. 13,446 -292 $10,460
     LLY13,446-292$10,460
Bank Amer Corp 263,082 -16,931 $9,976
     BAC263,082-16,931$9,976
Alphabet Inc Cl A 65,009 +4,545 $9,812
     GOOGL65,009+4,545$9,812
Vanguard Short Term Corp Bond (VCSH) 121,811 -5,461 $9,417
     VCSH121,811-5,461$9,417
Nextera Energy Inc 140,949 +46,220 $9,008
     NEE140,949+46,220$9,008
Pepsico Inc 48,596 -1,511 $8,505
     PEP48,596-1,511$8,505
Accenture PLC ADR 23,983 +11,949 $8,313
     ACN23,983+11,949$8,313
Vanguard Short Term Bond ETF (BSV) 106,676 -2,013 $8,179
     BSV106,676-2,013$8,179
Vanguard Dividend Apprec ETF (VIG) 43,101 -846 $7,871
     VIG43,101-846$7,871
Exxon Mobil Corp 67,125 +715 $7,803
     XOM67,125+715$7,803
Intercontinental Exchange Inc (ICE) 56,596 +4,188 $7,778
     ICE56,596+4,188$7,778
Constellation Brands Inc 28,115 +2,418 $7,641
     STZ28,115+2,418$7,641
Novo Nordisk As Spons ADR 59,391 +6,473 $7,626
     NVO59,391+6,473$7,626
Barrick Gold Corp 448,414 -672 $7,462
     GOLD448,414-672$7,462
Cisco Systems Inc 147,426 -59,457 $7,358
     CSCO147,426-59,457$7,358
Meta Platforms Inc. Class A 14,195 +678 $6,893
     META14,195+678$6,893
Amgen Inc 23,522 +990 $6,688
     AMGN23,522+990$6,688
Lowes Cos Inc 25,465 -720 $6,487
     LOW25,465-720$6,487
Duke Energy Corp 66,987 -16,606 $6,478
     DUK66,987-16,606$6,478
Snap On Inc 20,251 +1,025 $5,999
     SNA20,251+1,025$5,999
Abbott Labs 50,769 +2,471 $5,770
     ABT50,769+2,471$5,770
Ishares 1 5y Inv Grade Corp ET (IGSB) 110,767 -9,834 $5,680
     IGSB110,767-9,834$5,680
Shell PLC Spon ADR 84,608 +4,589 $5,672
     SHEL84,608+4,589$5,672
Emerson Electric 48,582 +1,753 $5,510
     EMR48,582+1,753$5,510
Disney Walt Co New 44,508 +6,571 $5,446
     DIS44,508+6,571$5,446
Honeywell International Inc 25,543 +335 $5,243
     HON25,543+335$5,243
Salesforce Inc. 17,386 -432 $5,236
     CRM17,386-432$5,236
Motorola Solutions Inc 14,567 -510 $5,171
     MSI14,567-510$5,171
First Citizens Bancshares Inc (FCNCA) 3,149 UNCH $5,149
     FCNCA3,149UNCH$5,149
Nike Inc Class B Com 54,388 +3,767 $5,111
     NKE54,388+3,767$5,111
Intl. Business Machines Corp 25,969 +525 $4,959
     IBM25,969+525$4,959
Vanguard Ftse Developed Market (VEA) 98,140 -125 $4,924
     VEA98,140-125$4,924
BP PLC Spons ADR 127,853 +3,735 $4,818
     BP127,853+3,735$4,818
Stryker Corp 13,162 +1,233 $4,710
     SYK13,162+1,233$4,710
South State Corporation 54,561 -2,500 $4,639
     SSB54,561-2,500$4,639
Merck & Co Inc 34,606 +124 $4,566
     MRK34,606+124$4,566
Automatic Data Processing Inc 18,022 +706 $4,501
     ADP18,022+706$4,501
Fiserv Inc 27,753 +1,276 $4,435
     FI27,753+1,276$4,435
Astrazeneca PLC Spons ADR 63,989 +1,708 $4,335
     AZN63,989+1,708$4,335
Republic Services Inc 22,224 +843 $4,255
     RSG22,224+843$4,255
Ulta Beauty Inc 7,515 +84 $3,929
     ULTA7,515+84$3,929
Comcast Corp Cl A 89,616 +577 $3,885
     CMCSA89,616+577$3,885
McDonalds Corp 13,719 +540 $3,868
     MCD13,719+540$3,868
Vanguard Ind Fd Mid Cap (VO) 15,227 +431 $3,805
     VO15,227+431$3,805
Unitedhealth Group Inc Com 7,679 +21 $3,799
     UNH7,679+21$3,799
Hyatt Hotels Corporation 21,450 +2,746 $3,424
     H21,450+2,746$3,424
Verizon Communications 78,403 -10,635 $3,290
     VZ78,403-10,635$3,290
Cheniere Energy Inc Com 19,675 +6,740 $3,173
     LNG19,675+6,740$3,173
Vanguard Large Cap ETF (VV) 13,159 +36 $3,155
     VV13,159+36$3,155
Centene Corp 39,541 +615 $3,103
     CNC39,541+615$3,103
American Express CO 13,623 +480 $3,102
     AXP13,623+480$3,102
Bhp Group Limited ADR 53,022 +2,079 $3,059
     BHP53,022+2,079$3,059
Invesco Qqq Trust Series 1 6,672 -46 $2,962
     QQQ6,672-46$2,962
Ishares Tr Pfd And Incm Sec (PFF) 90,929 -12,393 $2,931
     PFF90,929-12,393$2,931
Zscaler Inc Com 14,193 +14,193 $2,734
     ZS14,193+14,193$2,734
Ishares Russell Midcap ETF (IWR) 31,757 -25 $2,670
     IWR31,757-25$2,670
Paypal Holdings Inc 39,608 +39,352 $2,653
     PYPL39,608+39,352$2,653
Vanguard Small Cap Value ETF (VBR) 12,959 UNCH $2,487
     VBR12,959UNCH$2,487
Pimco Etf Tr Enhan Shrt Ma Ac (MINT) 24,642 -2,055 $2,478
     MINT24,642-2,055$2,478
Ishares Barclays TIPS Bond ETF (TIP) 21,883 -2,383 $2,350
     TIP21,883-2,383$2,350
Vanguard Total Stck Mk ETF (VTI) 9,040 -126 $2,349
     VTI9,040-126$2,349
Southern CO 31,254 +1,041 $2,242
     SO31,254+1,041$2,242
Nucor Corp 11,052 +17 $2,187
     NUE11,052+17$2,187
Nvidia Corp 2,345 +160 $2,119
     NVDA2,345+160$2,119
SPDR Djia Trust (DIA) 5,208 UNCH $2,072
     DIA5,208UNCH$2,072
Church & Dwight Co Inc 19,723 -45 $2,057
     CHD19,723-45$2,057
Eog Res Inc 15,995 +299 $2,045
     EOG15,995+299$2,045
Diageo PLC ADR 13,211 +2,291 $1,965
     DEO13,211+2,291$1,965
Energy Select Sector SPDR (XLE) 20,067 -265 $1,895
     XLE20,067-265$1,895
Philip Morris International 20,053 +693 $1,837
     PM20,053+693$1,837
Ecolab Inc Com 7,900 -263 $1,824
     ECL7,900-263$1,824
Ross Stores Inc Com 12,237 -271 $1,796
     ROST12,237-271$1,796
Altria Group Inc 41,011 -947 $1,789
     MO41,011-947$1,789
Becton Dickinson & CO 7,133 -208 $1,765
     BDX7,133-208$1,765
Bristol Myers Squibb CO 31,996 +1,297 $1,735
     BMY31,996+1,297$1,735
Phillips 66 10,582 +108 $1,728
     PSX10,582+108$1,728
United Parcel Svc Inc Cl B 11,209 -2,289 $1,666
     UPS11,209-2,289$1,666
Vanguard Small Cap ETF (VB) 7,101 +247 $1,623
     VB7,101+247$1,623
US Bancorp 36,095 +380 $1,613
     USB36,095+380$1,613
Ishares Russell 1000 Growth ET (IWF) 4,736 +53 $1,596
     IWF4,736+53$1,596
The Mosaic Company 47,873 -5,582 $1,554
     MOS47,873-5,582$1,554
Goldman Sachs Group Inc Com 3,688 -17 $1,540
     GS3,688-17$1,540
Aflac Inc 17,853 -2,265 $1,533
     AFL17,853-2,265$1,533
Sprott Physical Silver Trust 179,287 -29,800 $1,486
     PSLV179,287-29,800$1,486
Ishares Msci Eafe ETF (EFA) 18,342 -233 $1,465
     EFA18,342-233$1,465
Ishares Msci Eafe Value ETF (EFV) 25,234 +261 $1,373
     EFV25,234+261$1,373
Fortive Corp 15,183 +125 $1,306
     FTV15,183+125$1,306
Ishares Core S&P Small Cap ETF (IJR) 10,762 +2,443 $1,189
     IJR10,762+2,443$1,189
Gilead Sciences Inc 16,175 -1,887 $1,185
     GILD16,175-1,887$1,185
Crown Castle Inc 11,122 +272 $1,177
     CCI11,122+272$1,177
Pfizer Inc 40,984 -14,932 $1,137
     PFE40,984-14,932$1,137
Waste Mgmt Inc Del 5,327 -45 $1,135
     WM5,327-45$1,135
RTX CORPORATION 11,559 -1,136 $1,127
     RTX11,559-1,136$1,127
Price T Rowe Group Inc 9,136 +264 $1,114
     TROW9,136+264$1,114
Ishares Core S&P Mid Cap ETF (IJH) 17,741 +15,404 $1,078
     IJH17,741+15,404$1,078
Caterpillar Inc 2,916 -699 $1,069
     CAT2,916-699$1,069
Novartis Ag Sponsored ADR 10,985 -324 $1,063
     NVS10,985-324$1,063
Linde Plc ADR 2,234 -50 $1,037
     LIN2,234-50$1,037
Morgan Stanley 10,857 -1,917 $1,022
     MS10,857-1,917$1,022
Lockheed Martin Corp 2,198 -77 $1,000
     LMT2,198-77$1,000
Illinois Tool Works 3,673 +21 $986
     ITW3,673+21$986
Vanguard Extended Market ETF (VXF) 5,502 -271 $964
     VXF5,502-271$964
Ishares Russell 1000 Value ETF (IWD) 5,301 +46 $949
     IWD5,301+46$949
Texas Instruments 5,352 -806 $932
     TXN5,352-806$932
CSX Corporation 24,790 +291 $919
     CSX24,790+291$919
Dominion Energy Inc 18,643 -3,559 $917
     D18,643-3,559$917
Truist Financial Corp 22,994 -4,040 $896
     TFC22,994-4,040$896
Ishares Core Msci Eafe ETF (IEFA) 12,053 +1,165 $895
     IEFA12,053+1,165$895
Renasant Corp 28,000 UNCH $877
     RNST28,000UNCH$877
Deere & CO. 2,079 +10 $854
     DE2,079+10$854
Ppg Industries Inc 5,888 +575 $853
     PPG5,888+575$853
Marathon Petroleum Corporation 4,061 UNCH $818
     MPC4,061UNCH$818
Invesco S&P 500 Low Volatility 12,141 -1,000 $800
     SPLV12,141-1,000$800
Applied Materials Inc 3,766 -128 $777
     AMAT3,766-128$777
Qualcomm Inc 4,575 +7 $775
     QCOM4,575+7$775
Lyondellbasell Industries NV A 7,559 -157 $773
     LYB7,559-157$773
Ishares Core High Dividend ETF (HDV) 6,779 -2,458 $747
     HDV6,779-2,458$747
Eaton Corp PLC ADR 2,365 -199 $739
     ETN2,365-199$739
Health Care Select Sector SPDR (XLV) 4,984 UNCH $736
     XLV4,984UNCH$736
Intel Corp 16,403 -346 $725
     INTC16,403-346$725
Vanguard Ftse All World X US S (VSS) 6,084 UNCH $711
     VSS6,084UNCH$711
Ishares Russell Midcap Grwth E (IWP) 6,188 +74 $706
     IWP6,188+74$706
M & T BK Corp 4,837 +125 $703
     MTB4,837+125$703
Financial Select Sector SPDR (XLF) 16,633 -394 $701
     XLF16,633-394$701
Vanguard Info Tech ETF (VGT) 1,332 -227 $698
     VGT1,332-227$698
Ishares DJ Select Dividend ETF (DVY) 5,450 -172 $671
     DVY5,450-172$671
Ishares Core Dividend Growth E (DGRO) 11,390 +7,111 $661
     DGRO11,390+7,111$661
Ishares S&P Midcap 400 Grwth E (IJK) 7,036 UNCH $642
     IJK7,036UNCH$642
Capital One Financial 4,265 -182 $635
     COF4,265-182$635
Tractor Supply CO 2,427 UNCH $635
     TSCO2,427UNCH$635
Allstate Corp 3,649 +108 $631
     ALL3,649+108$631
Yum Brands Inc 4,539 +350 $629
     YUM4,539+350$629
3M Co 5,897 -803 $625
     MMM5,897-803$625
CVS Health Corp 7,732 -3,057 $617
     CVS7,732-3,057$617
Electronic Arts Inc 4,607 -328 $611
     EA4,607-328$611
Norfolk Southern Corp 2,374 UNCH $605
     NSC2,374UNCH$605
American Elec Pwr Inc 6,954 UNCH $599
     AEP6,954UNCH$599
Vanguard Value ETF (VTV) 3,669 +247 $598
     VTV3,669+247$598
General Dynamics Corp 2,096 -148 $592
     GD2,096-148$592
Conocophillips 4,628 +75 $589
     COP4,628+75$589
SPDR Gold Trust (GLD) 2,858 -141 $588
     GLD2,858-141$588
Wells Fargo & CO 10,143 -1,091 $588
     WFC10,143-1,091$588
Ishares Russell 2000 ETF (IWM) 2,752 -765 $579
     IWM2,752-765$579
Wisdomtree US Midcap Dividend 11,724 UNCH $572
     DON11,724UNCH$572
Genuine Parts CO 3,492 UNCH $541
     GPC3,492UNCH$541
Target Corp 3,046 -35 $540
     TGT3,046-35$540
Vanguard Scottsdale Fds Int Term Corp (VCIT) 6,699 -327 $539
     VCIT6,699-327$539
Sherwin Williams CO 1,535 +9 $533
     SHW1,535+9$533
Colgate Palmolive CO 5,810 -447 $523
     CL5,810-447$523
Ishares Tr Russell 3000 Etf (IWV) 1,717 UNCH $515
     IWV1,717UNCH$515
Travelers Companies Inc 2,239 +37 $515
     TRV2,239+37$515
Paychex Inc 4,125 UNCH $507
     PAYX4,125UNCH$507
First Bancorp NC Com 13,497 UNCH $488
     FBNC13,497UNCH$488
Acuity Brands Inc. 1,800 +6 $484
     AYI1,800+6$484
Fedex Corporation 1,646 -337 $477
     FDX1,646-337$477
Kite Realty Group Trust REIT 21,385 UNCH $464
     KRG21,385UNCH$464
Vanguard High Dvd Yield ETF (VYM) 3,725 UNCH $451
     VYM3,725UNCH$451
Ishares MSCI Global Gold Min E (RING) 17,508 UNCH $443
     RING17,508UNCH$443
Boeing Company 2,291 +400 $442
     BA2,291+400$442
Blackstone Inc. 3,280 UNCH $431
     BX3,280UNCH$431
American Water Works Co Inc 3,488 -432 $426
     AWK3,488-432$426
Ishares Core U.S. Aggregate ET (AGG) 4,317 +749 $423
     AGG4,317+749$423
Sprott Physical Gold & Silve Tr Unit 20,576 -1,850 $419
     CEF20,576-1,850$419
Invesco High Yield Equity Divi 20,261 UNCH $418
     PEY20,261UNCH$418
Carrier Global Corp 7,179 -281 $417
     CARR7,179-281$417
Grayscale Bitcoin Tr Btc Shs Rep Com Ut 6,606 +6,606 $417
     GBTC6,606+6,606$417
PNC Financial Services Group 2,566 -613 $415
     PNC2,566-613$415
Ishares S&P Midcap 400 Value E (IJJ) 3,445 -175 $408
     IJJ3,445-175$408
Murphy Usa Inc Com 955 -66 $400
     MUSA955-66$400
Unilever PLC 7,681 +33 $386
     UL7,681+33$386
Intuit 579 +43 $376
     INTU579+43$376
Corteva Inc 6,421 -286 $370
     CTVA6,421-286$370
Charter Communications Inc Cl 1,269 -198 $369
     CHTR1,269-198$369
Dollar Tree Inc 2,753 -406 $367
     DLTR2,753-406$367
Cincinnati Financial Corp 2,824 UNCH $351
     CINF2,824UNCH$351
Starbucks Corp 3,761 +23 $344
     SBUX3,761+23$344
Kimberly Clark Corp 2,550 -2,094 $330
     KMB2,550-2,094$330
Dow Inc 5,669 -224 $328
     DOW5,669-224$328
Lyft Inc Cl A 16,576 +4,231 $321
     LYFT16,576+4,231$321
AT & T Inc 17,767 -2,575 $313
     T17,767-2,575$313
Tesla Inc 1,748 +41 $307
     TSLA1,748+41$307
Pimco Dynamic Income Fund Shs (PDI) 15,613 -481 $301
     PDI15,613-481$301
Park National Corp Com 2,200 UNCH $299
     PRK2,200UNCH$299
Ishares S&P Smallcap 600 Val E (IJS) 2,895 UNCH $297
     IJS2,895UNCH$297
Jm Smucker CO The New 2,348 UNCH $296
     SJM2,348UNCH$296
Sysco Corp 3,593 +20 $292
     SYY3,593+20$292
International Paper CO 7,449 -18 $291
     IP7,449-18$291
Otis Worldwide Corp 2,910 -333 $289
     OTIS2,910-333$289
Canadian National Railway CO 2,159 -774 $284
     CNI2,159-774$284
Dupont DE Nemours Inc 3,708 -189 $284
     DD3,708-189$284
SPDR Dow Jones REIT ETF (RWR) 2,975 UNCH $280
     RWR2,975UNCH$280
IShares Gold Tr New ETF (IAU) 6,616 +4,089 $278
     IAU6,616+4,089$278
Technology Select Sector SPDR (XLK) 1,324 UNCH $276
     XLK1,324UNCH$276
Stifel Financial Corporation 3,500 UNCH $274
     SF3,500UNCH$274
Blackrock Inc Class A 326 +16 $272
     BLK326+16$272
Discover Finl Svcs 2,018 UNCH $265
     DFS2,018UNCH$265
SPDR S&P Midcap 400 ETF Trust (MDY) 440 -41 $245
     MDY440-41$245
Fluor Corp New 5,500 UNCH $233
     FLR5,500UNCH$233
Advanced Micro Devices Inc 1,288 +253 $232
     AMD1,288+253$232
Agilent Technologies Inc 1,575 UNCH $229
     A1,575UNCH$229
Schwab Strategic Tr Schwab Fdt Us Lg 3,397 +3,397 $229
     FNDX3,397+3,397$229
Xcel Energy Inc 4,268 UNCH $229
     XEL4,268UNCH$229
Apollo Global Mgmt Inc Com 2,000 UNCH $225
     APO2,000UNCH$225
Micron Technology Inc 1,896 +32 $224
     MU1,896+32$224
Wisdomtree US Dividend Ex Fina 2,124 UNCH $216
     AIVL2,124UNCH$216
Vanguard Growth ETF (VUG) 623 +461 $214
     VUG623+461$214
Metlife Inc 2,811 UNCH $208
     MET2,811UNCH$208
Bassett Furniture Industries I 13,552 UNCH $200
     BSET13,552UNCH$200
Ford Motor Co Del 14,842 -11 $197
     F14,842-11$197
Air Prods & Chems Inc 810 UNCH $196
     APD810UNCH$196
Materials Select SPDR Fund (XLB) 2,101 -149 $195
     XLB2,101-149$195
Ishares Russell Midcap Value E (IWS) 1,543 -469 $193
     IWS1,543-469$193
Sap SE ADR 971 +21 $189
     SAP971+21$189
Airbnb Inc Cl A 1,139 +76 $188
     ABNB1,139+76$188
Netflix Inc 304 +34 $185
     NFLX304+34$185
CIGNA GROUP 498 -2,976 $181
     CI498-2,976$181
Ishares Russell Top 200 Growth (IWY) 929 UNCH $181
     IWY929UNCH$181
Vanguard Real Estate ETF (VNQ) 2,096 -464 $181
     VNQ2,096-464$181
Ishares S&P Smallcap 600 Growt (IJT) 1,325 UNCH $173
     IJT1,325UNCH$173
McKesson Corp. Common Stock 320 -48 $172
     MCK320-48$172
Eversource Energy 2,856 -578 $171
     ES2,856-578$171
GE Aerospace 967 +222 $170
     GE967+222$170
Snap Inc Cl A 14,815 -4,070 $170
     SNAP14,815-4,070$170
Atmos Energy Corporation 1,380 UNCH $164
     ATO1,380UNCH$164
Palo Alto Networks Inc 577 UNCH $164
     PANW577UNCH$164
HCA Healthcare Inc 486 UNCH $162
     HCA486UNCH$162
Baxter International Inc 3,745 -1,200 $160
     BAX3,745-1,200$160
Ishares Bitcoin Tr Shs (IBIT) 3,951 +3,951 $160
     IBIT3,951+3,951$160
Kraft Heinz CO 4,182 -395 $154
     KHC4,182-395$154
Microchip Technology Inc 1,722 UNCH $154
     MCHP1,722UNCH$154
Atlantic Union Bankshares Corp (AUB) 4,335 UNCH $153
     AUB4,335UNCH$153
Civitas Resources Inc Com New 2,000 UNCH $152
     CIVI2,000UNCH$152
Industrial Select Sector SPDR (XLI) 1,189 +12 $150
     XLI1,189+12$150
Ishares Russell Top 200 Value (IWX) 1,898 UNCH $145
     IWX1,898UNCH$145
Halliburton CO 3,584 +445 $141
     HAL3,584+445$141
Mks Instrs Inc Com 1,000 UNCH $133
     MKSI1,000UNCH$133
Cyberark Software Ltd Shs 493 +493 $131
     CYBR493+493$131
Ishares Russell 1000 ETF (IWB) 446 UNCH $128
     IWB446UNCH$128
Consumer Discretionary Selt 694 +418 $128
     XLY694+418$128
Enphase Energy Inc Com 1,050 -200 $127
     ENPH1,050-200$127
General Mls Inc 1,810 +900 $127
     GIS1,810+900$127
Jack Henry & Associates Inc 716 +247 $124
     JKHY716+247$124
Icon Plc Shs 367 +367 $123
     ICLR367+367$123
Carmax Inc 1,417 UNCH $123
     KMX1,417UNCH$123
Medpace Hldgs Inc Com 299 +299 $121
     MEDP299+299$121
Aerovironment Inc Com 784 +784 $120
     AVAV784+784$120
Martin Marietta Materials Inc 194 +5 $119
     MLM194+5$119
Palantir Technologies Inc Cl A 5,188 +188 $119
     PLTR5,188+188$119
Crowdstrike Holdings Inc Cl A 369 UNCH $118
     CRWD369UNCH$118
Ishares Core S&P Total U.S. (ITOT) 1,008 UNCH $116
     ITOT1,008UNCH$116
Vanguard Mid Cap Growth ETF (VOT) 478 UNCH $113
     VOT478UNCH$113
Idexx Labs Inc 208 +208 $112
     IDXX208+208$112
Vanguard Financials ETF (VFH) 1,090 UNCH $112
     VFH1,090UNCH$112
Ishares Russell 2000 Value ETF (IWN) 701 UNCH $111
     IWN701UNCH$111
Consumer Staples SPDR (XLP) 1,453 +82 $111
     XLP1,453+82$111
Vanguard Ftse Emerging Markets (VWO) 2,641 -408 $110
     VWO2,641-408$110
Village Bank And Trust Finl Co 2,557 UNCH $109
     VBFC2,557UNCH$109
Fastenal CO 1,403 UNCH $108
     FAST1,403UNCH$108
Costar Group Inc 1,110 +1,110 $107
     CSGP1,110+1,110$107
Cemex Sab De Cv Sponsored ADR 11,856 -350 $107
     CX11,856-350$107
Ares Capital Corp Com 5,000 UNCH $104
     ARCC5,000UNCH$104
Nice Ltd Sponsored Adr 400 +400 $104
     NICE400+400$104
Cardinal Health Inc 919 -22 $103
     CAH919-22$103
Dover Corp 578 -100 $102
     DOV578-100$102
Illumina Inc 742 -415 $102
     ILMN742-415$102
Manhattan Associates Inc Com 407 +407 $102
     MANH407+407$102
Moodys Corp 260 +15 $102
     MCO260+15$102
Piper Sandler Companies Com 515 UNCH $102
     PIPR515UNCH$102
Vanguard Tot World Stk ETF (VT) 921 UNCH $102
     VT921UNCH$102
Vanguard Total International (BNDX) 2,042 UNCH $100
     BNDX2,042UNCH$100
Fortinet Inc Com 1,471 +1,471 $100
     FTNT1,471+1,471$100
Casella Waste Systems Inc Cl A 1,000 UNCH $99
     CWST1,000UNCH$99
Hess Corporation 646 +31 $99
     HES646+31$99
Veeva Sys Inc Cl A Com 419 +419 $97
     VEEV419+419$97
Ishares Tr Core S&P US Growth (IUSG) 818 +611 $96
     IUSG818+611$96
Kinder Morgan Inc 5,230 UNCH $96
     KMI5,230UNCH$96
Aberdeen Standard Physical Gol 4,500 UNCH $96
     SGOL4,500UNCH$96
Nasdaq Inc 1,500 UNCH $95
     NDAQ1,500UNCH$95
Thermo Fisher Scientific Inc 164 +126 $95
     TMO164+126$95
Seagate Technology Hldngs Pl Ord Shs 1,000 UNCH $93
     STX1,000UNCH$93
Chemours Co Com 3,500 UNCH $92
     CC3,500UNCH$92
Rbc Bearings Inc Com 341 +341 $92
     RBC341+341$92
Consolidated Edison Inc Com 1,000 UNCH $91
     ED1,000UNCH$91
Carnival Corp ADR 5,445 +125 $89
     CCL5,445+125$89
Valero Energy Corp Com 520 UNCH $89
     VLO520UNCH$89
Cintas Corp 128 -31 $88
     CTAS128-31$88
Qualys Inc Com 514 +514 $86
     QLYS514+514$86
Enbridge Incorporated ADR 2,287 -1,398 $83
     ENB2,287-1,398$83
Dexcom Inc Com 591 +591 $82
     DXCM591+591$82
Ishares S&P 500 Growth ETF (IVW) 977 +977 $82
     IVW977+977$82
Vanguard World Mega Cap Fund E (MGK) 280 UNCH $80
     MGK280UNCH$80
Ishares MSCI Intl Quality Fact (IQLT) 2,000 UNCH $79
     IQLT2,000UNCH$79
Markel Group INC COM 52 UNCH $79
     MKL52UNCH$79
Monster Beverage Corp 1,300 UNCH $77
     MNST1,300UNCH$77
Tradeweb Mkts Inc Cl A 726 +726 $76
     TW726+726$76
Vanguard World Fd Mega Cap Val (MGV) 630 UNCH $75
     MGV630UNCH$75
Ansys Inc Com 214 +214 $74
     ANSS214+214$74
Cummins Inc Com 250 -8 $74
     CMI250-8$74
Xylem Inc 570 UNCH $74
     XYL570UNCH$74
Prudential Finl Inc 622 UNCH $73
     PRU622UNCH$73
Invesco S&P 500 Pure Value ETF (RPV) 825 UNCH $73
     RPV825UNCH$73
Curtiss Wright Corp Com 282 -90 $72
     CW282-90$72
Eni Spa Spons ADR 2,255 -358 $72
     E2,255-358$72
Brt Apartments Corp 4,250 +1,250 $71
     BRT4,250+1,250$71
Factset Resh Sys Inc Com 156 +156 $71
     FDS156+156$71
Sonoco Products CO 1,235 UNCH $71
     SON1,235UNCH$71
Invesco S&P 500 Pure Growth ET 1,900 UNCH $70
     RPG1,900UNCH$70
Wp Carey Inc REIT 1,244 UNCH $70
     WPC1,244UNCH$70
Repligen Corp Com 377 +377 $69
     RGEN377+377$69
Veralto Corp Com 773 -2,461 $69
     VLTO773-2,461$69
American Tower Corp REIT 344 -109 $68
     AMT344-109$68
SEI Investments Company 930 UNCH $67
     SEIC930UNCH$67
Towne Bank 2,316 UNCH $65
     TOWN2,316UNCH$65
Alarm Com Hldgs Inc Com 882 +882 $64
     ALRM882+882$64
Vanguard Total Bond Market ETF (BND) 880 -2,240 $64
     BND880-2,240$64
Medtronic PLC ADR 735 -148 $64
     MDT735-148$64
Guidewire Software Inc Com 530 +530 $62
     GWRE530+530$62
Northrop 130 +4 $62
     NOC130+4$62
Vanguard Scottsdale Fds Inter Term Treas (VGIT) 1,019 UNCH $60
     VGIT1,019UNCH$60
Oneok Inc New Com 733 -1,138 $59
     OKE733-1,138$59
Energy Transfer LP 3,682 -449 $58
     ET3,682-449$58
Resmed Inc Com 291 +291 $58
     RMD291+291$58
Utilities Select Sector SPDR (XLU) 861 UNCH $57
     XLU861UNCH$57
SPDR S&P Dividend ETF (SDY) 430 UNCH $56
     SDY430UNCH$56
Ishares Tr Shrt Nat Mun Etf (SUB) 538 UNCH $56
     SUB538UNCH$56
Cadence Design Systems Inc. 178 +5 $55
     CDNS178+5$55
Trane Technologies PLC ADR 177 UNCH $53
     TT177UNCH$53
Toro CO 582 UNCH $53
     TTC582UNCH$53
Dolby Laboratories Inc Com Cl A 624 +624 $52
     DLB624+624$52
Endeavor Group Holdings Inc 2,000 UNCH $51
     EDR2,000UNCH$51
Keysight Technologies Inc Com 328 UNCH $51
     KEYS328UNCH$51
Synopsys Inc Com 90 +8 $51
     SNPS90+8$51
Vanguard Health Care ETF (VHT) 186 +50 $50
     VHT186+50$50
Atlanta Braves Holdings Inc 1,250 UNCH $49
     BATRK1,250UNCH$49
Marsh & McClennan 236 +27 $49
     MMC236+27$49
Sps Comm Inc Com 267 +267 $49
     SPSC267+267$49
Vanguard Intermediate Term .1 (BIV) 630 UNCH $48
     BIV630UNCH$48
Occidental Pete Corp      $48
     OXY672-298$44
     OXY.WT85+62$4
Delta Air Lines Inc 977 +752 $47
     DAL977+752$47
Estee Lauder Inc 306 +306 $47
     EL306+306$47
Blackbaud Inc Com 614 +614 $46
     BLKB614+614$46
Landstar Sys Inc Com 240 UNCH $46
     LSTR240UNCH$46
JPMorgan US Quality Factor ETF (JQUA) 852 UNCH $45
     JQUA852UNCH$45
Bio Techne Corp Com 636 +636 $45
     TECH636+636$45
Vanguard Small Cap Growth ETF (VBK) 174 +86 $45
     VBK174+86$45
WSFS Financial Corp Com 1,000 UNCH $45
     WSFS1,000UNCH$45
Western Midstream Partners Lp 1,251 +1,251 $44
     WES1,251+1,251$44
Ishares Tr U.S. Tech Etf (IYW) 320 UNCH $43
     IYW320UNCH$43
Mv Oil Tr Tr Units 4,000 UNCH $43
     MVO4,000UNCH$43
iShares MSCI USA Small Cap Mul (SMLF) 675 UNCH $43
     SMLF675UNCH$43
United Airlines Holdings Inc C 900 +900 $43
     UAL900+900$43
Archer Daniels Midland CO 665 UNCH $42
     ADM665UNCH$42
Brown Forman Corp Cl B      $42
     BF.B808UNCH$42
Toyota Mtr Corp Sponsd ADR 165 UNCH $42
     TM165UNCH$42
Vaneck Vectors Gold Miners ETF (GDX) 1,300 -624 $41
     GDX1,300-624$41
Gentex Corp Com 1,132 +1,132 $41
     GNTX1,132+1,132$41
Ishares Russell 2000 Growth ET (IWO) 150 UNCH $41
     IWO150UNCH$41
Booz Allen Hamilton Holding Co 270 UNCH $40
     BAH270UNCH$40
Lam Research Corp 41 +8 $40
     LRCX41+8$40
Packaging Corp of America 210 UNCH $40
     PKG210UNCH$40
Edison International 554 +54 $39
     EIX554+54$39
Enterprise Prods Partners L Com 1,333 -124 $39
     EPD1,333-124$39
Cognex Corp Com 891 +891 $38
     CGNX891+891$38
Paycom Software Inc Com 193 +193 $38
     PAYC193+193$38
KLA Corp Com New 52 +9 $36
     KLAC52+9$36
Analog Devices Inc 175 UNCH $35
     ADI175UNCH$35
Darden Restaurants Inc Com 212 +212 $35
     DRI212+212$35
SPDR S&P Bank ETF (KBE) 733 -2,055 $35
     KBE733-2,055$35
Norwegian Cruise Line Holdings 1,650 +1,650 $35
     NCLH1,650+1,650$35
Asml Holding ADR 35 +35 $34
     ASML35+35$34
Cbre Group Inc 350 UNCH $34
     CBRE350UNCH$34
Alcon Inc 400 -47 $33
     ALC400-47$33
Matador Resources Co 500 +500 $33
     MTDR500+500$33
Baker Hughes CO 965 UNCH $32
     BKR965UNCH$32
Fulton Financial Corp 2,000 UNCH $32
     FULT2,000UNCH$32
Rio Tinto Plc Sponsored ADR 500 UNCH $32
     RIO500UNCH$32
Spirit Aerosystems Holdings In 901 +901 $32
     SPR901+901$32
V F Corp 2,075 +750 $32
     VFC2,075+750$32
Southwest Gas Holdings Inc 406 UNCH $31
     SWX406UNCH$31
Ishares Tr Us Consm Staples (IYK) 450 +300 $30
     IYK450+300$30
Alliant Corp 600 UNCH $30
     LNT600UNCH$30
Rivian Automotive Inc Com Cl A 2,750 UNCH $30
     RIVN2,750UNCH$30
Arista Networks Inc 101 UNCH $29
     ANET101UNCH$29
World Acceptance Corp 200 UNCH $29
     WRLD200UNCH$29
Akamai Technologies Inc 262 UNCH $28
     AKAM262UNCH$28
Ishares 20 Year Treasury Bond (TLT) 300 +208 $28
     TLT300+208$28
Laboratory Corp America Holdin 125 UNCH $27
     LH125UNCH$27
BWX Technologies Inc 250 UNCH $26
     BWXT250UNCH$26
Ishares Tr Us Consum Discre (IYC) 320 UNCH $26
     IYC320UNCH$26
Progressive Corp Ohio Com 125 UNCH $26
     PGR125UNCH$26
Southern First 804 UNCH $26
     SFST804UNCH$26
Vanguard Mid Cap Value ETF (VOE) 164 +94 $26
     VOE164+94$26
American International Group 320 -100 $25
     AIG320-100$25
Aspen Technology Inc Com 117 +117 $25
     AZPN117+117$25
Capital Group Dividend Value E 770 +770 $25
     CGDV770+770$25
Invesco Exchange Trade Fd Tr S (SPHQ) 410 +410 $25
     SPHQ410+410$25
Vanguard World Fd Consum Dis Etf (VCR) 80 UNCH $25
     VCR80UNCH$25
Ferguson PLC New ADR 110 UNCH $24
     FERG110UNCH$24
Tyler Technologies Inc Com 57 +57 $24
     TYL57+57$24
Chipotle Mexican Grill Inc 8 +2 $23
     CMG8+2$23
GSK PLC ADR 532 +40 $23
     GSK532+40$23
Oceaneering International Inc 1,000 +1,000 $23
     OII1,000+1,000$23
Ishares Global Timber & Forest (WOOD) 275 UNCH $23
     WOOD275UNCH$23
Ishares Tr Grwt Allocat Etf (AOR) 390 UNCH $22
     AOR390UNCH$22
Marvell Technology Inc Com 316 +116 $22
     MRVL316+116$22
Ishares Tr Semiconductor ETF (SOXX) 96 +64 $22
     SOXX96+64$22
Vanguard Industrials ETF (VIS) 90 UNCH $22
     VIS90UNCH$22
Coinbase Global Inc Cl A 81 UNCH $21
     COIN81UNCH$21
Dbx Etf Tr Xtrack Msci Eafe (DBEF) 502 UNCH $21
     DBEF502UNCH$21
Freeport McMoran Inc 438 +406 $21
     FCX438+406$21
International Flavors & Fragra 250 UNCH $21
     IFF250UNCH$21
Kornit Digital Ltd Shs 1,151 +1,151 $21
     KRNT1,151+1,151$21
PIMCO Corporate & Income Opp 1,390 UNCH $21
     PTY1,390UNCH$21
C & F Financial Corporation 404 UNCH $20
     CFFI404UNCH$20
Citigroup Inc Tier 1 Preferred      $20
     Pfd Stk20,000UNCH$20
Euronav Nv Shs ADR 1,177 +1,177 $20
     EURN1,177+1,177$20
Ishares Tr Us Industrials (IYJ) 160 UNCH $20
     IYJ160UNCH$20
Shake Shack Inc Cl A 189 UNCH $20
     SHAK189UNCH$20
Taiwan Semiconductor Manufactu 146 +146 $20
     TSM146+146$20
Walker & Dunlop Inc Com 200 -200 $20
     WD200-200$20
JP Morgan Chase Preferred Stoc 20,000 UNCH $19
     Com20,000UNCH$19
Nutrien Ltd ADR 342 +35 $19
     NTR342+35$19
Texas Roadhouse Inc Com 120 +120 $19
     TXRH120+120$19
Canadian Pacific Kansas City A 200 UNCH $18
     CP200UNCH$18
Newpark Resources Inc. 2,500 +2,500 $18
     NR2,500+2,500$18
Block Inc Cl A 211 UNCH $18
     SQ211UNCH$18
Vanguard Index Fds S&P 500 Etf Shs (VOO) 38 UNCH $18
     VOO38UNCH$18
Coterra Energy Inc Com 602 UNCH $17
     CTRA602UNCH$17
Ishares Self Driving Ev&tech (IDRV) 525 UNCH $17
     IDRV525UNCH$17
Ishares Core Msci Emerging (IEMG) 328 +129 $17
     IEMG328+129$17
Navios Maritime Partners LP Co 398 +398 $17
     NMM398+398$17
Silverbow Resources Inc 500 +500 $17
     SBOW500+500$17
Avery Dennison Corp 70 UNCH $16
     AVY70UNCH$16
Wisdomtree Tr US Smallcap Divi 479 UNCH $16
     DES479UNCH$16
Evolv Technologies Hldngs Inc 3,571 UNCH $16
     EVLV3,571UNCH$16
Olin Corp 269 UNCH $16
     OLN269UNCH$16
Waste Connections Inc ADR 92 +10 $16
     WCN92+10$16
Yum China Holdings Inc 400 +400 $16
     YUMC400+400$16
S&P Global Inc 35 +14 $15
     SPGI35+14$15
Cubesmart Com 300 UNCH $14
     CUBE300UNCH$14
Ingersoll Rand Inc 144 +144 $14
     IR144+144$14
Ishares Tr U.S. Utilits Etf (IDU) 150 UNCH $13
     IDU150UNCH$13
JPMorgan US Value Factor ETF (JVAL) 311 UNCH $13
     JVAL311UNCH$13
Nextera Energy Partners LP 441 UNCH $13
     NEP441UNCH$13
Dave & Buster s Entertainment 200 +200 $13
     PLAY200+200$13
Varonis Systems Inc 275 UNCH $13
     VRNS275UNCH$13
Avis Budget Group Inc 100 +100 $12
     CAR100+100$12
iShares US Energy ETF (IYE) 238 +123 $12
     IYE238+123$12
PBF Energy Inc Cl A 204 +204 $12
     PBF204+204$12
Paccar Inc 96 +96 $12
     PCAR96+96$12
Vaneck Trust Rare Earth ETF (REMX) 233 UNCH $12
     REMX233UNCH$12
Twilio Inc Cl A 193 UNCH $12
     TWLO193UNCH$12
Invesco Capital Management Llc 510 UNCH $11
     BKLN510UNCH$11
Blackrock Mun Inc Trust II 999 UNCH $11
     BLE999UNCH$11
Cf Industries Holdings Inc 129 -1,371 $11
     CF129-1,371$11
Callon Pete Co Del Com 300 +300 $11
     CPE300+300$11
Devon Energy 220 UNCH $11
     DVN220UNCH$11
Ishares Biotechnology ETF (IBB) 82 UNCH $11
     IBB82UNCH$11
SPDR Bloomberg High Yield Bond (JNK) 120 -72 $11
     JNK120-72$11
Ocugen Inc Com 7,000 +7,000 $11
     OCGN7,000+7,000$11
San Juan Basin Rty Tr Unit Ben Int 2,000 UNCH $11
     SJT2,000UNCH$11
Tyson Foods Inc Cl A 190 +39 $11
     TSN190+39$11
Vanguard Malvern Fds Strm Infproidx (VTIP) 239 UNCH $11
     VTIP239UNCH$11
Zoetis Inc 64 +53 $11
     ZTS64+53$11
Capital Group Dividend Value S 355 +355 $10
     CGGO355+355$10
Cerence Inc Com 648 +648 $10
     CRNC648+648$10
Cenovus Energy Inc ADR 518 +518 $10
     CVE518+518$10
Goldman Sachs Fs Government In      $10
     ETF10,020+10,020$10
Royal Bank of Canada ADR 100 UNCH $10
     RY100UNCH$10
United States Steel Corp Com 250 UNCH $10
     X250UNCH$10
Bloomin Brands Inc Com 300 +300 $9
     BLMN300+300$9
Amdocs Ltd Shs ADR 101 +41 $9
     DOX101+41$9
Goldman Sachs Access Treasury 88 +78 $9
     GBIL88+78$9
Haleon PLC ADR 1,011 +396 $9
     HLN1,011+396$9
Select Sector Spdr Tr Communication (XLC) 115 UNCH $9
     XLC115UNCH$9
Cava Group Inc Com 110 UNCH $8
     CAVA110UNCH$8
Destra Multi Alternative Fd 1,027 UNCH $8
     DMA1,027UNCH$8
Elanco Animal Health Inc 515 UNCH $8
     ELAN515UNCH$8
First Tr Exchange Traded Fd Ca (FTCS) 98 +98 $8
     FTCS98+98$8
Kroger 137 -458 $8
     KR137-458$8
Marathon Oil Corp 296 +261 $8
     MRO296+261$8
First Tr Lrge Cp Core Alpha ET (FEX) 75 +75 $7
     FEX75+75$7
First Tr IV Enh New ETF (FTSM) 124 +124 $7
     FTSM124+124$7
Ishares Tr Core S&P Us Vlu (IUSV) 77 UNCH $7
     IUSV77UNCH$7
Ishares Tr Us Hlthcare Etf (IYH) 115 +92 $7
     IYH115+92$7
Kenvue Inc Com 347 +347 $7
     KVUE347+347$7
PG&E Corp Com 424 +424 $7
     PCG424+424$7
Schwab Strategic Tr Us Lrg Cap Etf (SCHX) 118 UNCH $7
     SCHX118UNCH$7
Ishares Tr Short Treas Bd (SHV) 64 UNCH $7
     SHV64UNCH$7
SPDR Ser Tr Portfolio Intrmd E (SPIB) 210 +210 $7
     SPIB210+210$7
Vanguard World Fd Consum Stp Etf (VDC) 32 UNCH $7
     VDC32UNCH$7
Gallagher Arthur J & Co Com 24 +24 $6
     AJG24+24$6
Amphenol Corp 48 +48 $6
     APH48+48$6
Boor Drilling Ltd Shs ADR 1,000 +1,000 $6
     BORR1,000+1,000$6
Core Alternative ETF (CCOR) 234 UNCH $6
     CCOR234UNCH$6
Constellation Energy Corporati 33 +33 $6
     CEG33+33$6
Copart Inc 105 +105 $6
     CPRT105+105$6
Vaneck JP Morgan Emerging Mark 226 -83 $6
     EMLC226-83$6
Diamondback Energy Inc Com 28 UNCH $6
     FANG28UNCH$6
Hilton Worldwide Holdings Inc 27 +27 $6
     HLT27+27$6
H&R Block Inc 115 +115 $6
     HRB115+115$6
Pool Corporation Com 14 +14 $6
     POOL14+14$6
Transocean Ltd Registered Shs 1,000 +1,000 $6
     RIG1,000+1,000$6
Ryan Specialty Holdings Inc 102 +102 $6
     RYAN102+102$6
Uber Technologies Inc 78 +78 $6
     UBER78+78$6
United Rentals Inc Com 8 +8 $6
     URI8+8$6
Verisk Analytic Cl B 27 +17 $6
     VRSK27+17$6
Workday Inc 21 +21 $6
     WDAY21+21$6
Aon PLC ADR 15 +15 $5
     AON15+15$5
Anheuser Busch Inbev Spons ADR 75 +75 $5
     BUD75+75$5
CDW Corp 19 +19 $5
     CDW19+19$5
Draftkings Inc New Cl A 100 UNCH $5
     DKNG100UNCH$5
Ishares Tr MSCI Kld400 SOC ETF (DSI) 50 +50 $5
     DSI50+50$5
iShares JPMorgan USD Emerging (EMB) 52 UNCH $5
     EMB52UNCH$5
Ericsson Spons ADR 910 UNCH $5
     ERIC910UNCH$5
Ishares Tr Esg Aw MSCI Eafe ET (ESGD) 60 +60 $5
     ESGD60+60$5
Fortrea Holdings Inc 125 UNCH $5
     FTRE125UNCH$5
Gartner Inc 10 +10 $5
     IT10+10$5
Kinetik Holdings Inc Com 130 +130 $5
     KNTK130+130$5
Eastman Kodak CO 1,000 UNCH $5
     KODK1,000UNCH$5
Mongodb Inc Cl A 15 +15 $5
     MDB15+15$5
NXP Semiconductors ADR 21 +21 $5
     NXPI21+21$5
O Reilly Automotive Inc 4 +4 $5
     ORLY4+4$5
Quanta Services Inc Com 18 +18 $5
     PWR18+18$5
Schwab Strategic Tr Us Lcap Va Etf (SCHV) 67 UNCH $5
     SCHV67UNCH$5
Sanofi Sponsored ADR 108 +108 $5
     SNY108+108$5
Transdigm Group Incorporated 4 +4 $5
     TDG4+4$5
US Foods Holding Corp 87 +87 $5
     USFD87+87$5
Vanguard World Fd Materials Etf (VAW) 25 UNCH $5
     VAW25UNCH$5
Voc Energy Tr Unit 776 +776 $5
     VOC776+776$5
Ametek Inc New 22 +22 $4
     AME22+22$4
Alibaba Group Holding Ltd Spon 60 -2 $4
     BABA60-2$4
Coca Cola Europacific Partners 51 +51 $4
     CCEP51+51$4
AmerisourceBergen Corp Com 15 +15 $4
     COR15+15$4
First Trust Long Short Equity (FTLS) 60 UNCH $4
     FTLS60UNCH$4
Gen Digital Inc 157 +157 $4
     GEN157+157$4
Heico Corp New Cl A      $4
     HEI.A29+29$4
Ishares Tr U.S. Bas Mtl Etf (IYM) 30 UNCH $4
     IYM30UNCH$4
Kyndryl Hldgs Inc Common Stock 166 +160 $4
     KD166+160$4
Marriott International Inc 16 +16 $4
     MAR16+16$4
Nio Inc Sponsored ADR 793 -1,620 $4
     NIO793-1,620$4
Northern Trust Corp 43 +43 $4
     NTRS43+43$4
Pentair PLC ADR 43 +43 $4
     PNR43+43$4
First Trust Exchange Traded Fu (RDVY) 75 +55 $4
     RDVY75+55$4
ProShares DJ Brookfield Glbl I (TOLZ) 87 -27 $4
     TOLZ87-27$4
Vulcan Materials Co 13 +13 $4
     VMC13+13$4
Vanguard International Equity (VNQI) 96 -41 $4
     VNQI96-41$4
Willis Towers Watson PLC ADR 14 -36 $4
     WTW14-36$4
Zimmer Biomet Holdings Inc Com 30 +30 $4
     ZBH30+30$4
Affiliated Managers Group Inc. 16 +16 $3
     AMG16+16$3
Ares Mgmt L P ut Ltd Partn Int 25 +25 $3
     ARES25+25$3
Autozone Inc 1 +1 $3
     AZO1+1$3
Fuelcell Energy Inc Com 2,355 UNCH $3
     FCEL2,355UNCH$3
Ge Healthcare Technologies I Common Stock 33 +13 $3
     GEHC33+13$3
Keurig Dr Pepper Inc 94 +94 $3
     KDP94+94$3
Kkr & Co Inc 25 +25 $3
     KKR25+25$3
Sempra Com 47 +47 $3
     SRE47+47$3
Vertiv Holdings Cl A 33 +33 $3
     VRT33+33$3
Archer Aviation Inc Cl A 400 UNCH $2
     ACHR400UNCH$2
American Eagle Outfitters Inc. 63 +63 $2
     AEO63+63$2
AES Corp Com 105 +105 $2
     AES105+105$2
Butterfly Network Inc Cl A 1,563 UNCH $2
     BFLY1,563UNCH$2
Brighthouse Finl Inc Com 46 -33 $2
     BHF46-33$2
BJ s Wholesale Club Holdings I 23 +23 $2
     BJ23+23$2
Blink Charging CO 700 UNCH $2
     BLNK700UNCH$2
Celsius Holdings Inc 27 +27 $2
     CELH27+27$2
Clorox Company 14 +14 $2
     CLX14+14$2
Cardiol Therapeutics Inc Cl A 1,000 UNCH $2
     CRDL1,000UNCH$2
Cognizant Technology Solutions 32 -115 $2
     CTSH32-115$2
Equinor ASA Spons ADR 82 +82 $2
     EQNR82+82$2
Ishares Inc MSCI Japan ETF (EWJ) 30 +30 $2
     EWJ30+30$2
Corning Inc 63 UNCH $2
     GLW63UNCH$2
Humana Inc Com 5 +5 $2
     HUM5+5$2
Imperial Oil LTD 28 +28 $2
     IMO28+28$2
iShares Tr Iboxx Inv Cp ETF (LQD) 17 +17 $2
     LQD17+17$2
Moneylion Inc Cl A 33 UNCH $2
     ML33UNCH$2
Maximus Inc 29 +29 $2
     MMS29+29$2
National Grid PLC Spons ADR 34 +34 $2
     NGG34+34$2
Open Text Corp 50 +50 $2
     OTEX50+50$2
Ovintiv Inc 48 +48 $2
     OVV48+48$2
Invesco Exchange Traded Fd T Water Res Etf (PHO) 35 UNCH $2
     PHO35UNCH$2
Regal Rexnord Corp 13 +13 $2
     RRX13+13$2
Nuscale Power Corporation 300 UNCH $2
     SMR300UNCH$2
Simon Property Group Inc New C 10 +10 $2
     SPG10+10$2
Alnylam Pharmaceuticals Inc 6 +6 $1
     ALNY6+6$1
Altaba Inc Escrow 100 UNCH $1
     Com100UNCH$1
Abercrombie & Fitch Co. 10 +10 $1
     ANF10+10$1
Byrna Technologies Inc Com 100 +100 $1
     BYRN100+100$1
Crown Holdings Inc 15 +15 $1
     CCK15+15$1
Chargepoint Holdings Inc 390 UNCH $1
     CHPT390UNCH$1
Crocs Inc 7 +7 $1
     CROX7+7$1
Caesars Entertainment Inc 22 +22 $1
     CZR22+22$1
Embecta Corp 102 -3 $1
     EMBC102-3$1
Ishares Inc Esg Awr MSCI ETF (ESGE) 38 +38 $1
     ESGE38+38$1
Esperion Therapeutics Inc 314 UNCH $1
     ESPR314UNCH$1
Elastic NV Ord Shares (ESTC) 7 +7 $1
     ESTC7+7$1
Five Below Inc 6 +6 $1
     FIVE6+6$1
Globalfoundries Ord Shares (GFS) 23 +23 $1
     GFS23+23$1
Western Asset High Income Op Com 326 +326 $1
     HIO326+326$1
Holley Inc 200 UNCH $1
     HLLY200UNCH$1
Hubspot Inc 2 +2 $1
     HUBS2+2$1
Knight Swift Transportation Ho 22 +22 $1
     KNX22+22$1
Kosmos Energy LTD 186 +186 $1
     KOS186+186$1
Lamb Weston Holdings Inc 14 +14 $1
     LW14+14$1
Monolithic Power System Inc 1 +1 $1
     MPWR1+1$1
Match Group Inc 17 +17 $1
     MTCH17+17$1
Newmont Corp 26 -225 $1
     NEM26-225$1
Nushares Tr Nuveen Esg Mid Vl (NUMV) 20 +20 $1
     NUMV20+20$1
Organon & CO 52 UNCH $1
     OGN52UNCH$1
Okta Inc Cl A 7 +7 $1
     OKTA7+7$1
ON Semiconductor Corp. 20 +20 $1
     ON20+20$1
Oshkosh Corp 9 +9 $1
     OSK9+9$1
Penn Entertainment Inc Com 34 +14 $1
     PENN34+14$1
Paysafe Limited Shs ADR 91 UNCH $1
     PSFE91UNCH$1
Regeneron Pharmaceuticals Inc 1 +1 $1
     REGN1+1$1
RH Com 4 +4 $1
     RH4+4$1
Scio Diamond Technology Corp 115,000 UNCH $1
     Com115,000UNCH$1
Senseonics Hldgs Inc Com 1,000 UNCH $1
     SENS1,000UNCH$1
Sylvamo Corp 17 UNCH $1
     SLVM17UNCH$1
Teladoc Health Inc 80 UNCH $1
     TDOC80UNCH$1
Tyco Electronic sh Sh ADR 9 +9 $1
     TEL9+9$1
TPI Composites Inc Com 200 UNCH $1
     TPIC200UNCH$1
Vertex Pharmaceuticals Inc 2 +2 $1
     VRTX2+2$1
Vanguard Scotts vanguard Russe (VTWO) 10 -24 $1
     VTWO10-24$1
Warner Music Group Corp 38 +38 $1
     WMG38+38$1
Canopy Growth Corporation ADR 10 UNCH <$1
     CGC10UNCH$0
Chaparral Energy Inc 13 +13 <$1
     Com13+13$0
Chaparral Energy Inc Wt 13 +13 <$1
     Com13+13$0
Hertz Global Holdings Inc Wt 2,839 +2,839 <$1
     HTZWW2,839+2,839$0
PDD Holdings Inc Spons ADR 4 +4 <$1
     PDD4+4$0
Sage Therapeutics Inc 9 UNCH <$1
     SAGE9UNCH$0
Southwestern Energy Company 2 +2 <$1
     SWN2+2$0
Viatris Inc Com 0 +0 $0
     VTRS0UNCH$0
Ishares Tr Msci Acwi Etf $0 (exited)
     ACWI0-291$0
Agnico Eagle Mines Ltd Com ADR $0 (exited)
     AEM0-110$0
Aeva Technologies Inc $0 (exited)
     AEVA0-1,400$0
Albemarle Corp $0 (exited)
     ALB0-200$0
Ameriprise Financial Inc Com $0 (exited)
     AMP0-294$0
Atlanticus Holdings Corp Com $0 (exited)
     ATLC0-100$0
Avantor Inc Com $0 (exited)
     AVTR0-253$0
Brookfield Renewable Partners $0 (exited)
     BEP0-75$0
Brookfield Renewable Corp ADR $0 (exited)
     BEPC0-60$0
SPDR Ser Tr Bloomberg 1 3 ETF $0 (exited)
     BIL0-35$0
Brookfield Infrastructure Part $0 (exited)
     BIP0-232$0
Brookfield Infrastructure Corp $0 (exited)
     BIPC0-210$0
Biontech Se Sponsored ADR $0 (exited)
     BNTX0-2$0
Blackrock Science & Technolo Shs $0 (exited)
     BST0-445$0
Global X Fds Cybersecurity ETF $0 (exited)
     BUG0-80$0
Boyd Gaming Corp Com $0 (exited)
     BYD0-50$0
Citigroup Inc $0 (exited)
     C0-367$0
Caretrust REIT Inc Com $0 (exited)
     CTRE0-145$0
Precision Biosciences Inc $0 (exited)
     DTIL0-2,850$0
IShares MSCI Emrg Chn ETF $0 (exited)
     EMXC0-17$0
Eaton Vance Tax Managed Divers $0 (exited)
     ETY0-1,000$0
Ishares Tr Faln Angls Usd $0 (exited)
     FALN0-1,129$0
Fortune Brands Innovations I Com $0 (exited)
     FBIN0-73$0
Fidelity Natl Information Sv Com $0 (exited)
     FIS0-14$0
Ishares Tr Fltg Rate Nt Etf $0 (exited)
     FLOT0-638$0
SPDR Bloomberg Invt ETF $0 (exited)
     FLRN0-78$0
Fs Kkr Cap Corp Com $0 (exited)
     FSK0-65$0
Fisker Inc $0 (exited)
     FSR0-100$0
Gevo Inc Com $0 (exited)
     GEVO0-1,500$0
Globe Life Inc $0 (exited)
     GL0-339$0
General Motors CO $0 (exited)
     GM0-195$0
Ishares Intermediate Governmen $0 (exited)
     GVI0-372$0
Hasbro Inc Com $0 (exited)
     HAS0-29$0
Ishares Iboxx Usd High Yield $0 (exited)
     HYG0-142$0
Pimco ETF Tr 0 5 High Yield $0 (exited)
     HYS0-507$0
Ishares Tr 7 10 Yr Trsy Bd $0 (exited)
     IEF0-299$0
Ishares Tr Investment Grade $0 (exited)
     IGEB0-1,236$0
Jacobs Solutions Inc $0 (exited)
     J0-18$0
Janus Detroit Str Henderson AA $0 (exited)
     JAAA0-52$0
SPDR SSGA US Lrg ETF $0 (exited)
     LGLV0-14$0
Louis J Aieta & Co Inc Voting $0 (exited)
     Com0-30$0
Mid America Apartment Communit $0 (exited)
     MAA0-8$0
Masco Corp Com $0 (exited)
     MAS0-32$0
Ishares Tr Mbs Etf $0 (exited)
     MBB0-771$0
Masterbrand Inc Common Stock $0 (exited)
     MBC0-84$0
MGM Resorts International $0 (exited)
     MGM0-12$0
Indexiq Tr Iq Merger Arb ETF $0 (exited)
     MNA0-400$0
MPLX Lp Com $0 (exited)
     MPLX0-1,400$0
MFC Investment Managers Ser Tr $0 (exited)
     NXTE0-607$0
Pan American Silver Corp Com $0 (exited)
     PAAS0-900$0
Healthpeak Properties Inc REIT $0 (exited)
     PEAK0-48$0
Phillips Edison & Company Inc $0 (exited)
     PECO0-72$0
Invesco Financial Preferred ET $0 (exited)
     PGF0-230$0
Peakstone Realty Trust $0 (exited)
     PKST0-69$0
Plug Power Inc Com New $0 (exited)
     PLUG0-800$0
Invesco ETF Tr Aerospace Defen $0 (exited)
     PPA0-105$0
Principal Spectrum Pfd ETF $0 (exited)
     PREF0-4,259$0
Pioneer Nat Res Co Com $0 (exited)
     PXD0-86$0
First Trust ETF Nasdaq Clean E $0 (exited)
     QCLN0-171$0
Qorvo Inc Com $0 (exited)
     QRVO0-49$0
Invesco S&P 500 Equal Weight E $0 (exited)
     RSP0-7$0
Sunrun Inc Com $0 (exited)
     RUN0-20$0
Ishares MSCI EAFE Small Cap ET $0 (exited)
     SCZ0-14$0
Ishares Tr 0 5Yr Hi Yl Cp $0 (exited)
     SHYG0-985$0
SPDR Bloomberg Short Term High $0 (exited)
     SJNK0-57$0
Schlumberger Ltd $0 (exited)
     SLB0-189$0
Sonos Inc $0 (exited)
     SONO0-9$0
SPDR Portfolio S&P 500 ETF $0 (exited)
     SPLG0-51$0
SPDR Tr Portfolio Short ETF $0 (exited)
     SPSB0-2,896$0
SPDR Portfolio S&P1500 ETF $0 (exited)
     SPTM0-41$0
Suncor Energy Inc $0 (exited)
     SU0-325$0
Sensient Technologies Corp $0 (exited)
     SXT0-343$0
Ishares Tr Trs Flt Rt Bd $0 (exited)
     TFLO0-805$0
IShares Tr 10 20 Yr Trs ETF $0 (exited)
     TLH0-10$0
Unity Software Inc Com $0 (exited)
     U0-115$0
Global X Fds Global X Uranium $0 (exited)
     URA0-25$0
Victory Portfolios Short Trm B $0 (exited)
     USTB0-22$0
Vanguard Short Term Treasury E $0 (exited)
     VGSH0-1,233$0
MFC Manager Directed Portfolio $0 (exited)
     VGSR0-661$0
Vanguard Scottsdale Fds Mtg Bk $0 (exited)
     VMBS0-1,237$0
Janus Detroit Str Tr Henderson $0 (exited)
     VNLA0-1,213$0
Wheaton Precious Metals Corp $0 (exited)
     WPM0-40$0
Essential Utils Inc Com 0 -201 $0 (exited)
     WTRG0-201$0

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