Holdings Channel
EntityShares/Amount
Change
Position Value
Change
MSTR +40+$68
SMH +246+$55
ROK +150+$44
URTH +300+$43
WTRG +1,100+$41
CTAS +55+$38
FLIC +2,550+$28
UBER +278+$21
WRB +155+$14
CSL +34+$13
EntityShares/Amount
Change
Position Value
Change
KBE -4,740-$218
NYMT -24,988-$213
SWX -3,306-$209
BIDU -500-$60
KMI -3,025-$53
SSNT -2,900-$50
SPLK -288-$44
TM -200-$37
CW -133-$30
WMB -700-$24
EntityShares/Amount
Change
Position Value
Change
WMT +126,794+$1,533
USFR +56,919+$2,895
BSCP +47,285+$961
JPST +33,915+$1,719
FLRN +23,375+$728
GVI +17,088+$1,746
IGM +15,065+$208
BAC +14,003+$1,232
VTV +9,939+$1,639
AGG +9,739+$780
EntityShares/Amount
Change
Position Value
Change
SHYG -87,004-$3,647
DIVO -11,174-$392
PFLD -11,080-$205
NVG -10,915-$125
VNQ -9,886-$893
CSCO -7,942-$466
VWO -7,000-$274
PFE -5,337-$218
AAPL -5,146-$6,042
Size ($ in 1000's)
At 03/31/2024: $894,963
At 12/31/2023: $816,656

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

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

   EntityAmountChange
 12/31/2023 to 03/31/2024
Position Size
($ in 1000's)
State Street ETF USA (SPY) 167,850 -4,233 $87,797
     SPY167,850-4,233$87,797
VANGUARD (VOO) 145,140 +3,421 $69,769
     VOO145,140+3,421$69,769
Apple Inc 239,967 -5,146 $41,150
     AAPL239,967-5,146$41,150
WisdomTree ETFs USA (USFR) 702,483 +56,919 $35,328
     USFR702,483+56,919$35,328
MICROSOFT CORP 70,375 -1,123 $29,608
     MSFT70,375-1,123$29,608
NVIDIA Corp 31,940 -644 $28,860
     NVDA31,940-644$28,860
Amazon.com Inc 124,536 +700 $22,464
     AMZN124,536+700$22,464
ALPHABET INC 143,839 +2,208 $21,710
     GOOGL143,839+2,208$21,710
JPMorgan Chase & Co 107,133 +974 $21,459
     JPM107,133+974$21,459
iShares ETFs USA (AGG) 141,785 +9,739 $13,886
     AGG141,785+9,739$13,886
VANGUARD ETF USA (VTI) 48,145 -93 $12,513
     VTI48,145-93$12,513
AbbVie Inc 67,406 -175 $12,275
     ABBV67,406-175$12,275
Danaher Corp 48,889 -903 $12,209
     DHR48,889-903$12,209
VISA INC 43,445 +709 $12,125
     V43,445+709$12,125
Walmart Inc 189,334 +126,794 $11,392
     WMT189,334+126,794$11,392
ISHARES (IVV) 21,626 +2,516 $11,369
     IVV21,626+2,516$11,369
Thermo Fisher Scientific Inc 19,510 -1,258 $11,339
     TMO19,510-1,258$11,339
FISERV INC 68,870 -1,835 $11,007
     FI68,870-1,835$11,007
BlackRock Inc 13,148 -219 $10,961
     BLK13,148-219$10,961
Invesco ETFs USA (BSCO) 492,766 -1,152 $10,333
     BSCO492,766-1,152$10,333
Costco Wholesale Corp 13,783 -356 $10,098
     COST13,783-356$10,098
Fastenal Co 116,133 -3,313 $8,958
     FAST116,133-3,313$8,958
Procter & Gamble Co The 54,891 -266 $8,906
     PG54,891-266$8,906
ISHARES (IEFA) 119,912 +4,649 $8,900
     IEFA119,912+4,649$8,900
Vanguard ETF USA (VB) 37,824 -5,036 $8,646
     VB37,824-5,036$8,646
PEPSICO INC 48,462 -739 $8,481
     PEP48,462-739$8,481
Johnson & Johnson 51,953 +285 $8,218
     JNJ51,953+285$8,218
Home Depot Inc The 20,538 +139 $7,878
     HD20,538+139$7,878
Meta Platforms Inc 16,113 +471 $7,824
     META16,113+471$7,824
BK OF AMERICA CORP      $7,769
     BAC181,006+14,003$6,864
     BAC.PRL758UNCH$905
ORACLE CORP 61,648 -2,712 $7,744
     ORCL61,648-2,712$7,744
SALESFORCE.COM INC 25,653 -338 $7,726
     CRM25,653-338$7,726
iShares ETFs USA (IEMG) 143,221 -2,165 $7,390
     IEMG143,221-2,165$7,390
SELECT SECTOR SPDR (XLK) 34,092 +3,998 $7,100
     XLK34,092+3,998$7,100
TRAVELERS CO INC 30,720 +199 $7,070
     TRV30,720+199$7,070
Berkshire Hathaway Inc      $6,632
     BRK.B11,246+589$4,729
     BRK.A3UNCH$1,903
Exxon Mobil Corp 53,762 +227 $6,249
     XOM53,762+227$6,249
CVS Health Corp 77,836 -2,734 $6,208
     CVS77,836-2,734$6,208
iShares ETFs USA (GVI) 56,063 +17,088 $5,829
     GVI56,063+17,088$5,829
iShares ETFs USA (EFA) 72,861 +972 $5,819
     EFA72,861+972$5,819
Invesco ETFs USA (QQQ) 13,091 +1,167 $5,813
     QQQ13,091+1,167$5,813
CISCO SYSTEMS 107,586 -7,942 $5,370
     CSCO107,586-7,942$5,370
Caterpillar Inc 14,619 +56 $5,357
     CAT14,619+56$5,357
ISHARES TRUST (IWD) 29,490 -3,457 $5,282
     IWD29,490-3,457$5,282
Invesco ETFs USA (BSCP) 258,012 +47,285 $5,271
     BSCP258,012+47,285$5,271
Vanguard ETF USA (VHT) 18,544 -16 $5,017
     VHT18,544-16$5,017
MCDONALD&apos S CORP 16,453 -1,275 $4,639
     MCD16,453-1,275$4,639
ECOLAB INC 19,348 -399 $4,467
     ECL19,348-399$4,467
GEN DYNAMICS CORP 15,462 +839 $4,368
     GD15,462+839$4,368
Capital One Financial Corp 27,287 -393 $4,063
     COF27,287-393$4,063
Alphabet Inc 26,687 -314 $4,063
     GOOG26,687-314$4,063
Paychex Inc 32,737 -3,256 $4,020
     PAYX32,737-3,256$4,020
Eaton Corp PLC 12,442 +549 $3,890
     ETN12,442+549$3,890
VANGUARD ETF USA (VTIP) 80,928 -3,288 $3,876
     VTIP80,928-3,288$3,876
Chevron Corp 24,355 +1,563 $3,842
     CVX24,355+1,563$3,842
WASTE MANAGEMENT 17,683 +834 $3,769
     WM17,683+834$3,769
JP Morgan ETFs USA (JPST) 70,726 +33,915 $3,568
     JPST70,726+33,915$3,568
SSGA FUNDS MANAGEMENT INC (SRLN) 83,213 +1,193 $3,504
     SRLN83,213+1,193$3,504
iShares ETFs USA (SHYG) 81,631 -87,004 $3,473
     SHYG81,631-87,004$3,473
Vanguard ETF USA (ESGV) 36,729 UNCH $3,423
     ESGV36,729UNCH$3,423
AMER EXPRESS CO 14,299 +259 $3,256
     AXP14,299+259$3,256
Honeywell International Inc 15,791 +134 $3,241
     HON15,791+134$3,241
ISHARES (IWM) 15,214 +393 $3,200
     IWM15,214+393$3,200
Accenture PLC 9,155 +724 $3,173
     ACN9,155+724$3,173
ServiceNow Inc 4,025 +580 $3,069
     NOW4,025+580$3,069
AUTOMATIC DATA PROCESSING 12,218 -77 $3,051
     ADP12,218-77$3,051
Charles Schwab Corp The 42,099 -563 $3,045
     SCHW42,099-563$3,045
Merck & Co Inc 22,194 -46 $2,928
     MRK22,194-46$2,928
INTERCONTINENTAL EXCHANGE (ICE) 20,269 -1,300 $2,786
     ICE20,269-1,300$2,786
Walt Disney Co The 22,443 +63 $2,746
     DIS22,443+63$2,746
Medtronic PLC 27,387 +1,085 $2,387
     MDT27,387+1,085$2,387
BECTON DICKINSON 9,529 -875 $2,358
     BDX9,529-875$2,358
VERIZON COMMUN 55,259 +1,426 $2,319
     VZ55,259+1,426$2,319
State Street ETF USA (XLI) 17,817 +740 $2,244
     XLI17,817+740$2,244
PNC Financial Services Group I 13,225 +94 $2,137
     PNC13,225+94$2,137
ILLINOIS TOOL WKS 7,955 -243 $2,135
     ITW7,955-243$2,135
iShares ETFs USA (MEAR) 42,146 UNCH $2,112
     MEAR42,146UNCH$2,112
ETF Series Solutions Advisors (PFLD) 99,457 -11,080 $2,104
     PFLD99,457-11,080$2,104
Vanguard ETF USA (VEU) 33,390 +3,756 $1,958
     VEU33,390+3,756$1,958
Constellation Brands Inc 7,108 -202 $1,932
     STZ7,108-202$1,932
VANGUARD WHITEHALL (VYM) 15,940 -269 $1,929
     VYM15,940-269$1,929
Vanguard ETF USA (VTV) 11,446 +9,939 $1,864
     VTV11,446+9,939$1,864
iShares ETFs USA (IWB) 6,407 UNCH $1,845
     IWB6,407UNCH$1,845
SSGA FUNDS MANAGEMENT INC (TOTL) 44,579 +858 $1,785
     TOTL44,579+858$1,785
Pfizer Inc 61,782 -5,337 $1,714
     PFE61,782-5,337$1,714
Tesla Inc 9,750 +6,818 $1,714
     TSLA9,750+6,818$1,714
State Street ETF USA (FLRN) 53,799 +23,375 $1,659
     FLRN53,799+23,375$1,659
NETFLIX INC 2,693 -448 $1,636
     NFLX2,693-448$1,636
RTX Corp 16,674 -1,621 $1,626
     RTX16,674-1,621$1,626
LOWE&apos S COS INC 6,287 +755 $1,601
     LOW6,287+755$1,601
PRUDENTIAL FINL 13,575 -1,238 $1,594
     PRU13,575-1,238$1,594
Cigna Group The 4,361 -216 $1,584
     CI4,361-216$1,584
iShares ETFs USA (IGM) 18,078 +15,065 $1,558
     IGM18,078+15,065$1,558
Eli Lilly & Co 1,982 +56 $1,542
     LLY1,982+56$1,542
VANGUARD ETF USA (VONG) 16,693 +8,066 $1,447
     VONG16,693+8,066$1,447
iShares ETFs USA (IWR) 17,152 -696 $1,442
     IWR17,152-696$1,442
BlackRock Fund Advisors (SUB) 13,731 UNCH $1,438
     SUB13,731UNCH$1,438
Union Pacific Corp 5,840 +761 $1,436
     UNP5,840+761$1,436
Webster Financial Corp 28,214 UNCH $1,432
     WBS28,214UNCH$1,432
Abbott Laboratories 12,344 +1,351 $1,403
     ABT12,344+1,351$1,403
DEERE & CO 3,401 +35 $1,397
     DE3,401+35$1,397
BRISTOL MYRS SQUIB 25,700 -1,044 $1,394
     BMY25,700-1,044$1,394
INTL BUSINESS MCHN 6,940 -191 $1,325
     IBM6,940-191$1,325
CHUBB LIMITED COM 5,077 +312 $1,316
     CB5,077+312$1,316
ISHARES (OEF) 5,052 +776 $1,250
     OEF5,052+776$1,250
New Fortress Energy Inc 40,658 UNCH $1,244
     NFE40,658UNCH$1,244
Laboratory Corp of America Hol 5,433 -75 $1,187
     LH5,433-75$1,187
Broadcom Inc 858 -15 $1,137
     AVGO858-15$1,137
Amgen Inc 3,854 +584 $1,096
     AMGN3,854+584$1,096
Target Corp 6,112 +26 $1,083
     TGT6,112+26$1,083
ISHARES (DVY) 8,733 +869 $1,076
     DVY8,733+869$1,076
ISHARES USA (MUB) 10,000 UNCH $1,076
     MUB10,000UNCH$1,076
NEXTERA ENERGY 16,820 +113 $1,075
     NEE16,820+113$1,075
Coca Cola Co The 16,497 -204 $1,009
     KO16,497-204$1,009
ISHARES (IBB) 7,314 -527 $1,004
     IBB7,314-527$1,004
SPDR SERIES TRUST (CWB) 13,617 UNCH $995
     CWB13,617UNCH$995
ROPER INDUSTRIES INC 1,766 UNCH $990
     ROP1,766UNCH$990
Invesco ETFs USA (BSCQ) 49,828 +988 $957
     BSCQ49,828+988$957
ISHARES TR (EEM) 23,238 -251 $955
     EEM23,238-251$955
COGNIZANT TECHNOLO 12,664 UNCH $928
     CTSH12,664UNCH$928
CHARLES SCHWAB INVESTMENT MANAGEMENT INC 11,395 UNCH $919
     SCHD11,395UNCH$919
iShares ETFs USA (ACWX) 17,190 UNCH $918
     ACWX17,190UNCH$918
VANGUARD ETF USA (VWO) 21,407 -7,000 $894
     VWO21,407-7,000$894
Vanguard ETF USA (VNQ) 10,224 -9,886 $884
     VNQ10,224-9,886$884
SELECT SECTOR SPDR (XLF) 20,874 -5 $879
     XLF20,874-5$879
MASTERCARD INC 1,818 +97 $875
     MA1,818+97$875
Vanguard ETF USA (VYMI) 12,505 UNCH $860
     VYMI12,505UNCH$860
Veralto Corp 9,680 -2,174 $858
     VLTO9,680-2,174$858
CORNING INC 25,154 -500 $829
     GLW25,154-500$829
ESTEE LAUDER COS 5,345 +20 $824
     EL5,345+20$824
Invesco ETFs USA (BSMO) 32,810 -605 $813
     BSMO32,810-605$813
ISHARES TRUST (HYG) 10,266 UNCH $798
     HYG10,266UNCH$798
VANGUARD ETF USA (VIG) 4,369 +11 $798
     VIG4,369+11$798
UnitedHealth Group Inc 1,610 +423 $796
     UNH1,610+423$796
Intel Corp 17,721 -2,200 $783
     INTC17,721-2,200$783
AT&T INC 43,617 -1,216 $768
     T43,617-1,216$768
Arthur J Gallagher & Co 2,850 UNCH $713
     AJG2,850UNCH$713
CARRIER GLOBAL CORP 12,264 -150 $713
     CARR12,264-150$713
SELECT SECTOR SPDR (XLE) 7,439 -1,135 $702
     XLE7,439-1,135$702
Vulcan Materials Co 2,543 -5 $694
     VMC2,543-5$694
Novo Holdings A S 5,351 +101 $687
     NVO5,351+101$687
XPO Inc 5,560 UNCH $678
     XPO5,560UNCH$678
Vanguard ETF USA (VO) 2,609 +126 $652
     VO2,609+126$652
WATSCO INC 1,493 UNCH $645
     WSO1,493UNCH$645
Vanguard ETF USA (VEA) 12,684 -3,556 $636
     VEA12,684-3,556$636
Vanguard Group Inc The (VTWO) 7,321 +905 $623
     VTWO7,321+905$623
Vanguard ETF USA (BND) 8,274 -233 $601
     BND8,274-233$601
JP Morgan ETFs USA (JMST) 11,816 +500 $600
     JMST11,816+500$600
WELLS FARGO & CO 10,153 +202 $588
     WFC10,153+202$588
General Electric Co 3,343 -167 $587
     GE3,343-167$587
TRANSDIGM INC 460 UNCH $567
     TDG460UNCH$567
HOLOGIC INC 7,120 UNCH $555
     HOLX7,120UNCH$555
ISHARES USA (IWF) 1,638 -61 $552
     IWF1,638-61$552
Invesco ETFs USA (BSMP) 22,355 +2,455 $544
     BSMP22,355+2,455$544
3M Co 5,012 -250 $532
     MMM5,012-250$532
WisdomTree ETFs USA (XSOE) 16,780 -50 $494
     XSOE16,780-50$494
FEDEX CORP 1,677 -200 $486
     FDX1,677-200$486
Ares Capital Corp 23,052 +9,690 $480
     ARCC23,052+9,690$480
VANGUARD GROUP (BSV) 6,228 UNCH $478
     BSV6,228UNCH$478
State Street ETF USA (BIL) 5,054 UNCH $464
     BIL5,054UNCH$464
WISDOMTREE ETFS USA (AIVL) 4,460 -840 $454
     AIVL4,460-840$454
Linde PLC 967 -33 $449
     LIN967-33$449
Vanguard ETF USA (VSGX) 7,625 UNCH $438
     VSGX7,625UNCH$438
iShares ETFs USA (USMV) 5,226 -62 $437
     USMV5,226-62$437
Comcast Corp 9,792 UNCH $424
     CMCSA9,792UNCH$424
GXO Logistics Inc 6,625 UNCH $356
     GXO6,625UNCH$356
Mondelez International Inc 5,073 -345 $355
     MDLZ5,073-345$355
BOEING CO 1,819 -312 $351
     BA1,819-312$351
Invesco ETFs USA (PHO) 5,220 UNCH $347
     PHO5,220UNCH$347
TJX Cos Inc The 3,418 +486 $347
     TJX3,418+486$347
WisdomTree ETFs USA (SHAG) 7,307 +1,098 $344
     SHAG7,307+1,098$344
iShares ETFs USA (EEMV) 6,064 UNCH $343
     EEMV6,064UNCH$343
iShares ETFs USA (IJR) 3,081 UNCH $341
     IJR3,081UNCH$341
ISHARES TRUST (AAXJ) 5,014 -87 $340
     AAXJ5,014-87$340
iShares ETFs USA (IDV) 11,530 UNCH $323
     IDV11,530UNCH$323
Sysco Corp 3,922 UNCH $318
     SYY3,922UNCH$318
VANGUARD ETF USA (VGT) 605 UNCH $317
     VGT605UNCH$317
ISHARES (IXJ) 3,335 +3,085 $311
     IXJ3,335+3,085$311
EMERSON ELECTRIC 2,640 -149 $299
     EMR2,640-149$299
PHILIP MORRIS INTL 3,184 -30 $292
     PM3,184-30$292
Otis Worldwide Corp 2,921 -174 $290
     OTIS2,921-174$290
Booking Holdings Inc 79 UNCH $287
     BKNG79UNCH$287
SPDR GOLD TRUST (GLD) 1,397 UNCH $287
     GLD1,397UNCH$287
QUALCOMM Inc 1,689 -85 $286
     QCOM1,689-85$286
TEXAS INSTRUMENTS 1,616 -47 $282
     TXN1,616-47$282
Air Products and Chemicals Inc 1,137 -261 $275
     APD1,137-261$275
Amplify Investments LLC ETF (DIVO) 7,000 -11,174 $272
     DIVO7,000-11,174$272
DR HORTON INC 1,618 UNCH $266
     DHI1,618UNCH$266
Invesco ETFs USA (RSP) 1,516 -68 $257
     RSP1,516-68$257
Aptiv PLC 3,202 UNCH $255
     APTV3,202UNCH$255
GOLDMAN SACHS GRP 597 +326 $249
     GS597+326$249
ADVANCED MICRO DEV 1,360 UNCH $245
     AMD1,360UNCH$245
PayPal Holdings Inc 3,621 -1,262 $243
     PYPL3,621-1,262$243
Stanley Black & Decker Inc 2,447 -200 $240
     SWK2,447-200$240
WISDOMTREE ETFS USA (DHS) 2,730 UNCH $237
     DHS2,730UNCH$237
Dover Corp 1,333 UNCH $236
     DOV1,333UNCH$236
Fortive Corp 2,713 +23 $233
     FTV2,713+23$233
Hilton Worldwide Holdings Inc 1,090 UNCH $233
     HLT1,090UNCH$233
AECOM 2,333 UNCH $229
     ACM2,333UNCH$229
MORGAN STANLEY 2,391 -208 $225
     MS2,391-208$225
MCKESSON CORP 411 +6 $221
     MCK411+6$221
Starboard Investment Trust 8,508 UNCH $218
     AGOX8,508UNCH$218
State Street Corp 2,824 -40 $218
     STT2,824-40$218
OMNICOM GROUP INC 2,241 -10 $217
     OMC2,241-10$217
SELECT SECTOR SPDR (XLV) 1,469 +331 $217
     XLV1,469+331$217
iShares ETFs USA (IGSB) 4,215 +65 $216
     IGSB4,215+65$216
ALTRIA GROUP INC 4,963 -500 $216
     MO4,963-500$216
Invesco ETFs USA (BSMQ) 8,810 +1,545 $208
     BSMQ8,810+1,545$208
Crowdstrike Holdings Inc 639 +609 $205
     CRWD639+609$205
Everest Group Ltd 500 UNCH $199
     EG500UNCH$199
Avnet Inc 4,000 UNCH $198
     AVT4,000UNCH$198
Valero Energy Corp 1,133 UNCH $193
     VLO1,133UNCH$193
Vanguard ETF USA (VUG) 558 UNCH $192
     VUG558UNCH$192
iShares ETFs USA (IGIB) 3,604 UNCH $186
     IGIB3,604UNCH$186
ISHARES TRUST (TIP) 1,712 UNCH $184
     TIP1,712UNCH$184
KIMBERLY CLARK CP 1,413 -100 $183
     KMB1,413-100$183
Vanguard ETF USA (VTEB) 3,558 UNCH $180
     VTEB3,558UNCH$180
CONOCOPHILLIPS 1,410 -357 $179
     COP1,410-357$179
DIAGEO 1,191 -100 $177
     DEO1,191-100$177
COLGATE PALMOLIVE 1,958 UNCH $176
     CL1,958UNCH$176
KKR & Co Inc 1,751 -182 $176
     KKR1,751-182$176
Genuine Parts Co 1,121 UNCH $174
     GPC1,121UNCH$174
SSGA Funds Management Inc (SDY) 1,316 UNCH $173
     SDY1,316UNCH$173
YUM BRANDS INC 1,230 UNCH $171
     YUM1,230UNCH$171
Invesco Capital Management LLC 4,410 UNCH $170
     PRF4,410UNCH$170
Duff & Phelps Investment Management Co 18,530 UNCH $168
     DNP18,530UNCH$168
ISHARES (IVE) 898 UNCH $168
     IVE898UNCH$168
Clorox Co The 1,082 +6 $166
     CLX1,082+6$166
APPLIED MATERIALS 800 UNCH $165
     AMAT800UNCH$165
NIKE INC 1,735 +15 $163
     NKE1,735+15$163
ONEOK Inc 2,000 UNCH $160
     OKE2,000UNCH$160
Dow Inc 2,723 UNCH $158
     DOW2,723UNCH$158
Ameriprise Financial Inc 359 UNCH $157
     AMP359UNCH$157
American Tower Corp 795 +41 $157
     AMT795+41$157
Nuveen Closed End Funds USA (NVG) 12,588 -10,915 $153
     NVG12,588-10,915$153
Schlumberger NV 2,798 -575 $153
     SLB2,798-575$153
BK OF NY MELLON CP 2,611 UNCH $150
     BK2,611UNCH$150
GENERAL MILLS INC 2,135 UNCH $149
     GIS2,135UNCH$149
TE Connectivity Ltd 1,013 +25 $147
     TEL1,013+25$147
Energy Transfer LP 9,025 UNCH $142
     ET9,025UNCH$142
iShares ETFs USA (IJH) 2,335 +1,868 $142
     IJH2,335+1,868$142
BK OF MONTREAL 1,400 UNCH $137
     BMO1,400UNCH$137
Boston Scientific Corp 1,961 +142 $134
     BSX1,961+142$134
iShares ETFs USA (EFG) 1,295 UNCH $134
     EFG1,295UNCH$134
Madison Square Garden Co The 700 UNCH $129
     MSGS700UNCH$129
Invesco ETFs USA (BSCR) 6,538 UNCH $126
     BSCR6,538UNCH$126
HALLIBURTON 3,200 UNCH $126
     HAL3,200UNCH$126
ISHARES (IJS) 1,203 +883 $124
     IJS1,203+883$124
iShares ETFs USA (IWO) 459 UNCH $124
     IWO459UNCH$124
PARKER HANNIFIN 222 -19 $123
     PH222-19$123
RXO Inc 5,560 UNCH $122
     RXO5,560UNCH$122
DuPont de Nemours Inc 1,552 +34 $119
     DD1,552+34$119
Invesco ETFs USA (PBE) 1,825 -1,470 $118
     PBE1,825-1,470$118
S&P Global Inc 274 +24 $117
     SPGI274+24$117
UTD PARCEL SERV 788 +5 $117
     UPS788+5$117
ALPS CLOSED END FUNDS USA (USA) 15,898 +372 $114
     USA15,898+372$114
DTE Energy Co 995 UNCH $112
     DTE995UNCH$112
CUMMINS INC 371 UNCH $109
     CMI371UNCH$109
ISHARES TRUST (SHY) 1,327 UNCH $109
     SHY1,327UNCH$109
United Rentals Inc 150 UNCH $108
     URI150UNCH$108
ANALOG DEVICES INC 532 UNCH $105
     ADI532UNCH$105
ISHARES (LQD) 967 UNCH $105
     LQD967UNCH$105
NORTHROP GRUMMAN 220 UNCH $105
     NOC220UNCH$105
TRACTOR SUPPLY CO 400 UNCH $105
     TSCO400UNCH$105
AGILENT TECHS INC 716 +25 $104
     A716+25$104
Sherwin Williams Co The 300 UNCH $104
     SHW300UNCH$104
Shell PLC 1,539 UNCH $103
     SHEL1,539UNCH$103
SELECT SECTOR SPDR (XLB) 1,110 +1,010 $103
     XLB1,110+1,010$103
DUKE ENERGY CORP 1,059 -116 $102
     DUK1,059-116$102
HP Inc 3,200 UNCH $97
     HPQ3,200UNCH$97
Adobe Inc 190 +165 $96
     ADBE190+165$96
VANGUARD GROUP INC THE (BNDX) 1,908 UNCH $94
     BNDX1,908UNCH$94
Constellation Energy Corp 511 -29 $94
     CEG511-29$94
BROADRIDGE FIN SOL 447 +244 $92
     BR447+244$92
AMER INTL GRP 1,150 +115 $90
     AIG1,150+115$90
Lockheed Martin Corp 194 +50 $88
     LMT194+50$88
MetLife Inc 1,190 UNCH $88
     MET1,190UNCH$88
Microchip Technology Inc 974 UNCH $87
     MCHP974UNCH$87
iShares ETFs USA (INDY) 1,705 UNCH $86
     INDY1,705UNCH$86
DOMINION RES VIR 1,729 -200 $85
     D1,729-200$85
WISDOMTREE ASSET MANAGEMENT INC 2,604 UNCH $85
     DES2,604UNCH$85
STARBUCKS CORP 927 -1,275 $85
     SBUX927-1,275$85
AstraZeneca PLC 1,225 -91 $83
     AZN1,225-91$83
Pacer ETFs USA (COWZ) 1,420 UNCH $83
     COWZ1,420UNCH$83
Van Eck Associates Corp 3,393 UNCH $83
     EMLC3,393UNCH$83
L3Harris Technologies Inc 384 +13 $82
     LHX384+13$82
WESTN DIGITAL CORP 1,200 UNCH $82
     WDC1,200UNCH$82
Snap on Inc 275 UNCH $81
     SNA275UNCH$81
Stryker Corp 225 -25 $81
     SYK225-25$81
Amphenol Corp 697 +97 $80
     APH697+97$80
iShares ETFs USA (EMB) 882 -29 $79
     EMB882-29$79
OGE Energy Corp 2,300 UNCH $79
     OGE2,300UNCH$79
PIONEER NATURAL RESOURCE 300 UNCH $79
     PXD300UNCH$79
VANGUARD ETF USA (VT) 703 +178 $78
     VT703+178$78
Alibaba Group Holding Ltd 1,068 -85 $77
     BABA1,068-85$77
Gilead Sciences Inc 1,051 UNCH $77
     GILD1,051UNCH$77
Nuveen Closed End Funds USA (NEA) 6,893 -438 $76
     NEA6,893-438$76
ETFis Series Trust I 3,472 UNCH $73
     PFFA3,472UNCH$73
Dell Technologies Inc 631 +30 $72
     DELL631+30$72
iShares ETFs USA (PICK) 1,690 -250 $70
     PICK1,690-250$70
State Street ETF USA (DGT) 530 UNCH $68
     DGT530UNCH$68
Intuitive Surgical Inc 171 UNCH $68
     ISRG171UNCH$68
MARSH & MCLENNAN 328 +31 $68
     MMC328+31$68
MICROSTRATEGY 40 +40 $68
     MSTR40+40$68
Quest Diagnostics Inc 500 UNCH $67
     DGX500UNCH$67
EXELON CORP 1,785 -723 $67
     EXC1,785-723$67
Yum China Holdings Inc 1,650 UNCH $66
     YUMC1,650UNCH$66
Blackstone Inc 496 -125 $65
     BX496-125$65
iShares ETFs USA (IEF) 686 UNCH $65
     IEF686UNCH$65
WELLTOWER INC COM 700 UNCH $65
     WELL700UNCH$65
Eaton Vance Management 4,825 UNCH $64
     ETY4,825UNCH$64
VANGUARD GROUP INC THE (VGSH) 1,106 UNCH $64
     VGSH1,106UNCH$64
Nuveen Closed End Funds USA (JRS) 7,973 UNCH $63
     JRS7,973UNCH$63
Vanguard Group Inc The (VV) 257 UNCH $62
     VV257UNCH$62
Aflac Inc 714 UNCH $61
     AFL714UNCH$61
CSX CORP 1,638 +138 $61
     CSX1,638+138$61
iShares ETFs USA (INDA) 1,180 UNCH $61
     INDA1,180UNCH$61
Invesco ETFs USA (BSMR) 2,525 +840 $60
     BSMR2,525+840$60
BlackRock Funds Closed End USA (CII) 3,058 UNCH $60
     CII3,058UNCH$60
Eversource Energy 1,008 -760 $60
     ES1,008-760$60
iShares ETFs USA (PFF) 1,867 +482 $60
     PFF1,867+482$60
Trane Technologies PLC 200 -734 $60
     TT200-734$60
Invesco ETFs USA (DBC) 2,570 UNCH $59
     DBC2,570UNCH$59
VanEck ETFs USA (BIZD) 3,456 UNCH $58
     BIZD3,456UNCH$58
SELECT SECTOR SPDR (XLY) 313 UNCH $58
     XLY313UNCH$58
Hewlett Packard Enterprise Co 3,200 UNCH $57
     HPE3,200UNCH$57
American Electric Power Co Inc 650 UNCH $56
     AEP650UNCH$56
VANGUARD ETF USA (VAW) 275 -41 $56
     VAW275-41$56
Vanguard ETF USA (VGIT) 962 UNCH $56
     VGIT962UNCH$56
ZIMMER HLDGS INC 425 -152 $56
     ZBH425-152$56
PROGRESSIVE CP OH 267 -68 $55
     PGR267-68$55
VanEck ETFs USA (SMH) 246 +246 $55
     SMH246+246$55
ENBRIDGE INC 1,480 +75 $54
     ENB1,480+75$54
DISCOVER FINL SVCS 403 UNCH $53
     DFS403UNCH$53
Intuit Inc 81 +16 $53
     INTU81+16$53
LIVE NAT ENTER INC 500 UNCH $53
     LYV500UNCH$53
M&T Bank Corp 360 +13 $52
     MTB360+13$52
PPG Industries Inc 362 -130 $52
     PPG362-130$52
BCE Inc 1,500 UNCH $51
     BCE1,500UNCH$51
IDEXX Laboratories Inc 95 +3 $51
     IDXX95+3$51
JP Morgan ETFs USA (BBJP) 849 UNCH $50
     BBJP849UNCH$50
Fortrea Holdings Inc 1,240 -254 $50
     FTRE1,240-254$50
ONE Gas Inc 771 UNCH $50
     OGS771UNCH$50
EXPEDTRS INTL WASH 400 -100 $49
     EXPD400-100$49
Sanofi SA 1,000 UNCH $49
     SNY1,000UNCH$49
Verisk Analytics Inc 208 +46 $49
     VRSK208+46$49
Corteva Inc 829 -116 $48
     CTVA829-116$48
JOHN HANCOCK FUNDS CLOSED END (HPF) 2,879 UNCH $48
     HPF2,879UNCH$48
Keysight Technologies Inc 305 UNCH $48
     KEYS305UNCH$48
Textron Inc 500 UNCH $48
     TXT500UNCH$48
DWS Xtrackers ETFs USA (HDEF) 1,911 UNCH $47
     HDEF1,911UNCH$47
ISHARES TR (EFAV) 650 UNCH $46
     EFAV650UNCH$46
Invesco Advisers Inc US 1,284 +25 $46
     HYLB1,284+25$46
Norfolk Southern Corp 179 -221 $46
     NSC179-221$46
Iron Mountain Inc 557 UNCH $45
     IRM557UNCH$45
TELEKOMUNIKASI IND 2,000 UNCH $45
     TLK2,000UNCH$45
VANGUARD INTL EQUI (VGK) 670 UNCH $45
     VGK670UNCH$45
Donaldson Co Inc 594 -56 $44
     DCI594-56$44
DT Midstream Inc 725 -175 $44
     DTM725-175$44
EOG Resources Inc 348 +27 $44
     EOG348+27$44
Invesco ETFs USA (PFM) 1,039 -240 $44
     PFM1,039-240$44
ROCKWELL AUTOMATION 150 +150 $44
     ROK150+150$44
Crown Castle Inc 405 +12 $43
     CCI405+12$43
iShares ETFs USA (EWT) 880 UNCH $43
     EWT880UNCH$43
International Paper Co 1,095 UNCH $43
     IP1,095UNCH$43
ProShares ETFs USA (RXL) 400 UNCH $43
     RXL400UNCH$43
Southern Co The 596 UNCH $43
     SO596UNCH$43
iShares ETFs USA (URTH) 300 +300 $43
     URTH300+300$43
FREEPORT MCMOR C&G 898 +44 $42
     FCX898+44$42
Murphy USA Inc 100 UNCH $42
     MUSA100UNCH$42
Palo Alto Networks Inc 143 +44 $41
     PANW143+44$41
Essential Utilities Inc 1,100 +1,100 $41
     WTRG1,100+1,100$41
ISHARES (EWY) 600 UNCH $40
     EWY600UNCH$40
MOTOROLA INC 113 -120 $40
     MSI113-120$40
Omega Healthcare Investors Inc 1,276 UNCH $40
     OHI1,276UNCH$40
Occidental Petroleum Corp      $39
     OXY600+600$39
     OXY.WT4UNCH$0
CINTAS CORP 55 +55 $38
     CTAS55+55$38
First Trust Advisors (FBT) 238 UNCH $37
     FBT238UNCH$37
GE HealthCare Technologies Inc 404 -416 $37
     GEHC404-416$37
SPDR INDEX SHS FDS (GXC) 565 UNCH $37
     GXC565UNCH$37
Phillips 66 225 +51 $37
     PSX225+51$37
Ares Capital Management II LLC USA 2,531 UNCH $36
     ARDC2,531UNCH$36
BlackRock Funds Closed End USA (BIT) 2,255 UNCH $36
     BIT2,255UNCH$36
Novartis AG 375 UNCH $36
     NVS375UNCH$36
Weyerhaeuser Co 1,000 UNCH $36
     WY1,000UNCH$36
JP Morgan ETFs USA (BBCA) 519 UNCH $35
     BBCA519UNCH$35
T Rowe Price Group Inc 291 UNCH $35
     TROW291UNCH$35
Valmont Industries Inc 150 UNCH $34
     VMI150UNCH$34
Pacific Investment Management Co LLC 2,200 UNCH $33
     PTY2,200UNCH$33
Xylem Inc NY 248 +61 $32
     XYL248+61$32
STATE STREET ETF USA (MDY) 55 UNCH $31
     MDY55UNCH$31
SIMON PROP GROUP 200 -220 $31
     SPG200-220$31
Take Two Interactive Software 203 UNCH $30
     TTWO203UNCH$30
PIMCO ETF TR (HYS) 305 UNCH $29
     HYS305UNCH$29
US Bancorp 646 UNCH $29
     USB646UNCH$29
Zoetis Inc 174 +82 $29
     ZTS174+82$29
First of Long Island Corp The 2,550 +2,550 $28
     FLIC2,550+2,550$28
Moderna Inc 266 UNCH $28
     MRNA266UNCH$28
PIMCO Funds Closed End USA (PDI) 1,459 UNCH $28
     PDI1,459UNCH$28
Prologis Inc 213 -120 $28
     PLD213-120$28
SPDR SER TR (SPSM) 650 +300 $28
     SPSM650+300$28
JP Morgan ETFs USA (BBEU) 462 UNCH $27
     BBEU462UNCH$27
GATX Corp 200 UNCH $27
     GATX200UNCH$27
Reaves Utility Income Trust Cl 995 UNCH $27
     UTG995UNCH$27
SSGA Funds Management (RWO) 601 UNCH $26
     RWO601UNCH$26
JP Morgan ETFs USA (BBAX) 524 UNCH $25
     BBAX524UNCH$25
iShares ETFs USA (GOVT) 1,087 UNCH $25
     GOVT1,087UNCH$25
Johnson Controls International 388 +91 $25
     JCI388+91$25
Marathon Petroleum Corp 123 UNCH $25
     MPC123UNCH$25
BAXTER INTL INC 550 -130 $24
     BAX550-130$24
iShares ETFs USA (IGF) 500 UNCH $24
     IGF500UNCH$24
UDR Inc 648 UNCH $24
     UDR648UNCH$24
HANESBRANDS INC 4,000 UNCH $23
     HBI4,000UNCH$23
IDEX CORP 94 +40 $23
     IEX94+40$23
LyondellBasell Industries NV 229 -200 $23
     LYB229-200$23
Primerica Inc 92 UNCH $23
     PRI92UNCH$23
Huntington Ingalls Industries 75 +27 $22
     HII75+27$22
CDW Corp DE 82 UNCH $21
     CDW82UNCH$21
Elevance Health Inc 40 UNCH $21
     ELV40UNCH$21
State Street ETF USA (JNK) 223 UNCH $21
     JNK223UNCH$21
KLA Corp 30 UNCH $21
     KLAC30UNCH$21
Main Street Capital Corp 441 -112 $21
     MAIN441-112$21
Uber Technologies Inc 278 +278 $21
     UBER278+278$21
EQUINIX INC 24 -2 $20
     EQIX24-2$20
Unilever PLC 400 UNCH $20
     UL400UNCH$20
ANSYS INC. 54 UNCH $19
     ANSS54UNCH$19
5TH THIRD BANCORP 508 UNCH $19
     FITB508UNCH$19
Nuveen Closed End Funds USA (NAD) 1,689 -972 $19
     NAD1,689-972$19
Tortoise Capital Advisors LLC 621 UNCH $19
     TYG621UNCH$19
Whirlpool Corp 155 UNCH $19
     WHR155UNCH$19
Consolidated Edison Inc 200 UNCH $18
     ED200UNCH$18
ASML HOLDING NV 18 +14 $17
     ASML18+14$17
Boston Properties Inc 257 UNCH $17
     BXP257UNCH$17
First Trust ETFs USA (CIBR) 300 UNCH $17
     CIBR300UNCH$17
Ingersoll Rand Inc 176 -914 $17
     IR176-914$17
SPROTT ASSET MANAGEMENT LP CAN 1,000 UNCH $17
     PHYS1,000UNCH$17
Xcel Energy Inc 325 UNCH $17
     XEL325UNCH$17
Biogen Inc 75 UNCH $16
     BIIB75UNCH$16
FlexShares ETFs USA (GUNR) 393 UNCH $16
     GUNR393UNCH$16
Nuveen Closed End Funds USA (NMZ) 1,500 UNCH $16
     NMZ1,500UNCH$16
APA Corp 435 UNCH $15
     APA435UNCH$15
BlackRock Funds Closed End USA (BTZ) 1,378 UNCH $15
     BTZ1,378UNCH$15
FIDELITY SELECTCO LLC 294 UNCH $15
     FCOM294UNCH$15
FRANCO NEVADA CORP 123 UNCH $15
     FNV123UNCH$15
Vanguard ETF USA (VBK) 57 UNCH $15
     VBK57UNCH$15
Brookline Bancorp Inc 1,418 UNCH $14
     BRKL1,418UNCH$14
Devon Energy Corp 283 -2,157 $14
     DVN283-2,157$14
Truist Financial Corp 361 -32 $14
     TFC361-32$14
VANGUARD ETF USA (VBR) 71 UNCH $14
     VBR71UNCH$14
BERKLEY WR CORP 155 +155 $14
     WRB155+155$14
Citigroup Inc 200 -6 $13
     C200-6$13
CenterPoint Energy Inc 450 -62 $13
     CNP450-62$13
CARLISLE COS INC 34 +34 $13
     CSL34+34$13
Kyndryl Holdings Inc 577 UNCH $13
     KD577UNCH$13
Marvell Technology Inc 189 +82 $13
     MRVL189+82$13
Pool Corp 33 +8 $13
     POOL33+8$13
Trade Desk Inc The 150 UNCH $13
     TTD150UNCH$13
BlackRock Funds Closed End USA (BKT) 997 UNCH $12
     BKT997UNCH$12
GSK PLC 278 UNCH $12
     GSK278UNCH$12
GARTNER INC 25 +25 $12
     IT25+25$12
Kraft Heinz Co The 317 -200 $12
     KHC317-200$12
iShares ETFs USA (MBB) 134 UNCH $12
     MBB134UNCH$12
Micron Technology Inc 106 +106 $12
     MU106+106$12
VIATRIS INC 1,032 UNCH $12
     VTRS1,032UNCH$12
B&G Foods Inc 1,002 -500 $11
     BGS1,002-500$11
iShares ETFs USA (IWP) 98 UNCH $11
     IWP98UNCH$11
Annaly Capital Management Inc 550 UNCH $11
     NLY550UNCH$11
TERADATA CORP 292 UNCH $11
     TDC292UNCH$11
Akamai Technologies Inc 96 UNCH $10
     AKAM96UNCH$10
BALL CORP 152 -523 $10
     BALL152-523$10
Blackstone Mortgage Trust Inc 508 UNCH $10
     BXMT508UNCH$10
CRISPR Therapeutics AG 140 -231 $10
     CRSP140-231$10
Vontier Corp 210 UNCH $10
     VNT210UNCH$10
Walgreens Boots Alliance Inc 440 -18 $10
     WBA440-18$10
WD 40 Co 40 +40 $10
     WDFC40+40$10
Arbor Realty Trust Inc 700 UNCH $9
     ABR700UNCH$9
Allegion plc 66 -383 $9
     ALLE66-383$9
EBAY INC 179 UNCH $9
     EBAY179UNCH$9
InterContinental Hotels Group 86 +86 $9
     IHG86+86$9
MGM MIRAGE INC 184 +87 $9
     MGM184+87$9
NiSource Inc 330 UNCH $9
     NI330UNCH$9
PennyMac Financial Services In 100 UNCH $9
     PFSI100UNCH$9
Prospect Capital Corp 1,620 -1,000 $9
     PSEC1,620-1,000$9
PROSHARES TRUST (QLD) 100 UNCH $9
     QLD100UNCH$9
Vodafone Group PLC 1,050 UNCH $9
     VOD1,050UNCH$9
Brown & Brown Inc 94 +94 $8
     BRO94+94$8
CACI International Inc 21 +21 $8
     CACI21+21$8
Eaton Vance Management 1,000 UNCH $8
     EXG1,000UNCH$8
GoDaddy Inc 64 +64 $8
     GDDY64+64$8
General Motors Co 166 +72 $8
     GM166+72$8
HSBC HLDGS 193 +193 $8
     HSBC193+193$8
Hexcel Corp 109 +109 $8
     HXL109+109$8
Markel Group Inc 5 +5 $8
     MKL5+5$8
NCR CORP 292 UNCH $8
     NCR292UNCH$8
Reinsurance Group of America I 40 +40 $8
     RGA40+40$8
Banco Santander SA 1,741 +1,741 $8
     SAN1,741+1,741$8
Vertex Pharmaceuticals Inc 19 +19 $8
     VRTX19+19$8
State Street ETF USA (XLC) 100 UNCH $8
     XLC100UNCH$8
BP PLC 180 UNCH $7
     BP180UNCH$7
Dollar General Corp 43 +43 $7
     DG43+43$7
Trump Media & Technology Group 140 +140 $7
     DWAC140+140$7
FORD MOTOR CO 500 -1,343 $7
     F500-1,343$7
iShares ETFs USA (IEI) 60 UNCH $7
     IEI60UNCH$7
International Seaways Inc 135 UNCH $7
     INSW135UNCH$7
iShares ETFs USA (ISCG) 150 UNCH $7
     ISCG150UNCH$7
Morningstar Inc 22 +22 $7
     MORN22+22$7
RELX PLC 171 +171 $7
     RELX171+171$7
Teleflex Inc 29 +29 $7
     TFX29+29$7
United Microelectronics Corp 880 UNCH $7
     UMC880UNCH$7
State Street ETF USA (XLRE) 170 UNCH $7
     XLRE170UNCH$7
Affiliated Managers Group Inc 33 +33 $6
     AMG33+33$6
APTARGROUP INC 45 +45 $6
     ATR45+45$6
Booz Allen Hamilton Holding Co 40 +40 $6
     BAH40+40$6
BJ&apos s Wholesale Club Holdings I 83 +83 $6
     BJ83+83$6
Burlington Stores Inc 24 +24 $6
     BURL24+24$6
Church & Dwight Co Inc 60 UNCH $6
     CHD60UNCH$6
CME Group Inc 29 UNCH $6
     CME29UNCH$6
Dolby Laboratories Inc 69 +69 $6
     DLB69+69$6
iShares ETFs USA (ICVT) 72 +5 $6
     ICVT72+5$6
Coca Cola Femsa SAB de CV 60 UNCH $6
     KOF60UNCH$6
Lennox International Inc 12 +12 $6
     LII12+12$6
LANDSTAR SYSTEMS 31 +31 $6
     LSTR31+31$6
MFA Financial Inc 500 UNCH $6
     MFA500UNCH$6
PennantPark Investment Corp 857 -1,143 $6
     PNNT857-1,143$6
RPM INTERNATIONAL 54 +54 $6
     RPM54+54$6
SEMPRA ENERGY 85 +54 $6
     SRE85+54$6
Westinghouse Air Brake Technol 43 +42 $6
     WAB43+42$6
WEX Inc 25 +25 $6
     WEX25+25$6
Aramark 147 +147 $5
     ARMK147+147$5
Choice Hotels International In 39 +39 $5
     CHH39+39$5
CMS Energy Corp 78 +78 $5
     CMS78+78$5
Deckers Outdoor Corp 5 +5 $5
     DECK5+5$5
Embecta Corp 342 -34 $5
     EMBC342-34$5
First Horizon Corp 315 UNCH $5
     FHN315UNCH$5
BlackRock Funds Closed End USA (HYT) 535 UNCH $5
     HYT535UNCH$5
JB Hunt Transport Services Inc 23 +23 $5
     JBHT23+23$5
Kirby Corp 49 +49 $5
     KEX49+49$5
LKQ Corp 94 +94 $5
     LKQ94+94$5
Napco Security Technologies In 135 UNCH $5
     NSSC135UNCH$5
O&apos Reilly Automotive Inc 4 +4 $5
     ORLY4+4$5
PACCAR INC 42 +42 $5
     PCAR42+42$5
Schwab ETFs USA (SCHO) 111 UNCH $5
     SCHO111UNCH$5
iShares ETFs USA (SCZ) 83 UNCH $5
     SCZ83UNCH$5
SEI INVESTMENTS 73 +73 $5
     SEIC73+73$5
Trimble Inc 74 +74 $5
     TRMB74+74$5
TSMC 36 +36 $5
     TSM36+36$5
Aon PLC 12 +12 $4
     AON12+12$4
Ardelyx Inc 500 +500 $4
     ARDX500+500$4
Invesco ETFs USA (BKLN) 175 UNCH $4
     BKLN175UNCH$4
Casey&apos s General Stores Inc 12 +12 $4
     CASY12+12$4
Dollar Tree Inc 30 +30 $4
     DLTR30+30$4
iShares ETFs USA (EEMA) 53 +17 $4
     EEMA53+17$4
FNB Corp PA 250 UNCH $4
     FNB250UNCH$4
IQVIA Holdings Inc 16 UNCH $4
     IQV16UNCH$4
ISHARES (IVW) 49 UNCH $4
     IVW49UNCH$4
Jones Lang LaSalle Inc 20 +20 $4
     JLL20+20$4
Kellanova 75 -400 $4
     K75-400$4
MACY&apos S INC 185 -4,834 $4
     M185-4,834$4
Manhattan Associates Inc 14 +14 $4
     MANH14+14$4
Neurocrine Biosciences Inc 30 +30 $4
     NBIX30+30$4
Nordson Corp 15 +15 $4
     NDSN15+15$4
Organon & Co 203 -110 $4
     OGN203-110$4
ON Semiconductor Corp 60 +60 $4
     ON60+60$4
Bio Techne Corp 50 +50 $4
     TECH50+50$4
TransUnion 56 +56 $4
     TRU56+56$4
Zebra Technologies Corp 14 +14 $4
     ZBRA14+14$4
AVANGRID INC 82 UNCH $3
     AGR82UNCH$3
AVERY DENNISON CORP 14 +14 $3
     AVY14+14$3
American Water Works Co Inc 28 -4 $3
     AWK28-4$3
Blackbaud Inc 45 +45 $3
     BLKB45+45$3
Cboe Global Markets Inc 14 +14 $3
     CBOE14+14$3
Columbia Sportswear Co 41 +41 $3
     COLM41+41$3
FTI Consulting Inc 13 +13 $3
     FCN13+13$3
FactSet Research Systems Inc 6 +6 $3
     FDS6+6$3
Graco Inc 32 +32 $3
     GGG32+32$3
GAMCO GLOBAL GOLD 700 UNCH $3
     GGN700UNCH$3
Heritage Global Inc 1,300 UNCH $3
     HGBL1,300UNCH$3
Haleon PLC 348 UNCH $3
     HLN348UNCH$3
John Hancock Investment Management LLC 164 UNCH $3
     HPI164UNCH$3
Interactive Brokers Group Inc 26 +26 $3
     IBKR26+26$3
NCR Atleos Corp 146 UNCH $3
     NATL146UNCH$3
Robert Half Inc 32 +32 $3
     RHI32+32$3
Service Corp International US 36 +36 $3
     SCI36+36$3
Sylvamo Corp 54 UNCH $3
     SLVM54UNCH$3
Tyler Technologies Inc 8 +8 $3
     TYL8+8$3
Ulta Beauty Inc 6 -62 $3
     ULTA6-62$3
WESTERN UNION COMP 200 UNCH $3
     WU200UNCH$3
ALCON AG 20 UNCH $2
     ALC20UNCH$2
Cousins Properties Inc 88 +88 $2
     CUZ88+88$2
ELECTRONIC ARTS 14 +1 $2
     EA14+1$2
Fidelity National Information 32 +32 $2
     FIS32+32$2
Invesco ETFs USA (PGX) 129 UNCH $2
     PGX129UNCH$2
Qorvo Inc 20 -62 $2
     QRVO20-62$2
Teva Pharmaceutical Industries 175 UNCH $2
     TEVA175UNCH$2
Endeavor Group Holdings Inc 20 +20 $2
     TKO20+20$2
Warner Bros Discovery Inc 276 -909 $2
     WBD276-909$2
Chemours Co The 20 UNCH $1
     CC20UNCH$1
WORLD GOLD TRUST SERVICES LLC 32 -536 $1
     GLDM32-536$1
Kinsale Capital Group Inc 2 +2 $1
     KNSL2+2$1
Nokia Oyj 322 UNCH $1
     NOK322UNCH$1
Envista Holdings Corp 34 -11 $1
     NVST34-11$1
Plug Power Inc 390 UNCH $1
     PLUG390UNCH$1
Quanta Services Inc 2 -1 $1
     PWR2-1$1
Stericycle Inc 11 UNCH $1
     SRCL11UNCH$1
Xerox Holdings Corp 74 UNCH $1
     XRX74UNCH$1
Brightcove Inc 135 UNCH <$1
     BCOV135UNCH$0
Conduent Inc 20 UNCH <$1
     CNDT20UNCH$0
WISDOMTREE ASSET MANAGEMENT INC 1 UNCH <$1
     DXJ1UNCH$0
WisdomTree Asset Management Inc 1 UNCH <$1
     HEDJ1UNCH$0
Global X ETFs USA (PFFD) 20 +20 $0
     PFFD20+20$0
ATI Inc $0 (exited)
     ATI0-120$0
BlackRock Funds Closed End USA $0 (exited)
     BFK0-700$0
Baidu Inc $0 (exited)
     BIDU0-500$0
BlackRock Funds Closed End USA $0 (exited)
     BLE0-2,122$0
BioSig Technologies Inc $0 (exited)
     BSGM0-40,000$0
BlackRock Funds Closed End USA $0 (exited)
     BTA0-1,241$0
BorgWarner Inc $0 (exited)
     BWA0-250$0
CONAGRA FOODS INC $0 (exited)
     CAG0-200$0
Curtiss Wright Corp $0 (exited)
     CW0-133$0
Massachusetts Financial Services Co $0 (exited)
     CXE0-2,288$0
SSgA Funds Management Inc $0 (exited)
     FITE0-100$0
Huntington Bancshares Inc OH $0 (exited)
     HBAN0-789$0
HERSHEY CO THE $0 (exited)
     HSY0-90$0
Van Kampen Funds Closed end US $0 (exited)
     IQI0-1,357$0
STATE STREET ETF USA $0 (exited)
     KBE0-4,740$0
Keurig Dr Pepper Inc $0 (exited)
     KDP0-120$0
WK Kellogg Co $0 (exited)
     KLG0-100$0
Kinder Morgan Inc $0 (exited)
     KMI0-3,025$0
BlackRock Funds Closed End USA $0 (exited)
     MHD0-669$0
BlackRock Funds Closed End USA $0 (exited)
     MUI0-594$0
BlackRock Funds Closed End USA $0 (exited)
     MYD0-357$0
Energy Vault Holdings Inc $0 (exited)
     NRGV0-500$0
Nutrien Ltd $0 (exited)
     NTR0-116$0
New York Mortgage Trust Inc $0 (exited)
     NYMT0-24,988$0
Universal Display Corp $0 (exited)
     OLED0-20$0
Oatly Group AB $0 (exited)
     OTLY0-1,000$0
Palantir Technologies Inc $0 (exited)
     PLTR0-500$0
Pacific Investment Management Co LLC $0 (exited)
     PML0-1,133$0
Allianz Global Investors Fund Management LLC $0 (exited)
     PMX0-1,447$0
Regions Financial Corp $0 (exited)
     RF0-333$0
Harbor ETF Trust $0 (exited)
     SIHY0-78$0
Splunk Inc $0 (exited)
     SPLK0-288$0
Business Tech Solutions Group $0 (exited)
     SSNT0-2,900$0
Southwest Gas Holdings Inc New $0 (exited)
     SWX0-3,306$0
Teledyne Technologies Inc $0 (exited)
     TDY0-34$0
TOYOTA MOTOR CORP $0 (exited)
     TM0-200$0
RBB Fund Inc Motley Fool $0 (exited)
     TMFG0-339$0
UGI Corp $0 (exited)
     UGI0-318$0
Wheels Up Experience Inc $0 (exited)
     UP0-240$0
Van Kampen Funds Closed end US $0 (exited)
     VGM0-1,633$0
Van Kampen Funds Closed end US $0 (exited)
     VKI0-933$0
Van Kampen Funds Closed end US $0 (exited)
     VMO0-798$0
WEC Energy Group Inc $0 (exited)
     WEC0-282$0
Williams Cos Inc The 0 -700 $0 (exited)
     WMB0-700$0

See Summary: Webster Bank N. A. Top Holdings
See Details: Top 10 Stocks Held By Webster Bank N. A.

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