HoldingsChannel.com
Park National Corp OH Top Holdings
As of  06/30/2019

   EntityAmountChange
 03/31/2019 to 06/30/2019
Position Size
($ in 1000's)
Park National Corporation 1,695,814 +23,816 $168,547
     PRK1,695,814+23,816$168,547
Microsoft Corporation 564,294 -24,537 $75,593
     MSFT564,294-24,537$75,593
JPMorgan Chase & Company 575,641 -3,860 $64,357
     JPM575,641-3,860$64,357
Apple Inc 253,468 -5,131 $50,167
     AAPL253,468-5,131$50,167
Cisco Systems Inc 915,734 -13,919 $50,119
     CSCO915,734-13,919$50,119
Johnson & Johnson 339,020 -4,257 $47,219
     JNJ339,020-4,257$47,219
Abbott Laboratories 542,808 -7,173 $45,650
     ABT542,808-7,173$45,650
Disney Walt Company 309,121 -2,229 $43,166
     DIS309,121-2,229$43,166
Intel Corporation 867,851 +11,755 $41,544
     INTC867,851+11,755$41,544
Procter & Gamble Company 358,112 +13,646 $39,267
     PG358,112+13,646$39,267
Facebook Inc Class A 202,943 +1,427 $39,168
     FB202,943+1,427$39,168
3M Company 192,590 +10,852 $33,383
     MMM192,590+10,852$33,383
Vanguard Real Estate ETF (VNQ) 374,352 -44,461 $32,718
     VNQ374,352-44,461$32,718
Genuine Parts Company 302,304 -693 $31,313
     GPC302,304-693$31,313
Exxon Mobil Corporation 407,330 -9,314 $31,213
     XOM407,330-9,314$31,213
Target Corporation 357,166 -4,892 $30,934
     TGT357,166-4,892$30,934
Chevron Corp 231,399 -2,723 $28,795
     CVX231,399-2,723$28,795
Verizon Communications Inc 486,094 -83,451 $27,770
     VZ486,094-83,451$27,770
Nike Inc Class B 323,149 -546 $27,128
     NKE323,149-546$27,128
Merck & Company Inc New 320,700 -49,791 $26,890
     MRK320,700-49,791$26,890
PepsiCo Inc 192,778 -2,601 $25,279
     PEP192,778-2,601$25,279
Automatic Data Processing Inc 142,424 -24,766 $23,547
     ADP142,424-24,766$23,547
AbbVie Inc 305,685 +5,472 $22,229
     ABBV305,685+5,472$22,229
Emerson Electric Company 332,124 -12,222 $22,159
     EMR332,124-12,222$22,159
US Bancorp DE 418,077 -47,178 $21,908
     USB418,077-47,178$21,908
AT&T Inc 639,378 +160,252 $21,426
     T639,378+160,252$21,426
Danaher Corporation 144,107 -5,374 $20,595
     DHR144,107-5,374$20,595
CSX Corporation 263,452 +64,070 $20,383
     CSX263,452+64,070$20,383
Visa Inc Class A 115,812 +8,901 $20,099
     V115,812+8,901$20,099
Coca Cola Company 392,699 -25,918 $19,996
     KO392,699-25,918$19,996
General Electric Company 1,903,454 +309,755 $19,986
     GE1,903,454+309,755$19,986
Chubb Ltd New 131,537 -19,944 $19,374
     CB131,537-19,944$19,374
Air Products & Chemicals Inc 80,724 -7,209 $18,274
     APD80,724-7,209$18,274
Bank of America Corp 619,857 -57,176 $17,976
     BAC619,857-57,176$17,976
Home Depot Inc 84,914 -2,678 $17,660
     HD84,914-2,678$17,660
Alphabet Inc Class A 13,999 +5,746 $15,158
     GOOGL13,999+5,746$15,158
Adobe Inc 44,995 +7,257 $13,258
     ADBE44,995+7,257$13,258
Intercontinental Exchange Inc (ICE) 153,890 +835 $13,225
     ICE153,890+835$13,225
Novartis AG Sponsored ADR 143,171 -46,661 $13,073
     NVS143,171-46,661$13,073
Zoetis Inc 110,650 +4,271 $12,558
     ZTS110,650+4,271$12,558
Berkshire Hathaway Inc Class A      $12,456
     BRK.A32UNCH$10,187
     BRK.B10,648-313$2,269
General Dynamics Corporation 67,504 -12,776 $12,274
     GD67,504-12,776$12,274
NextEra Energy Inc 58,191 +7,038 $11,921
     NEE58,191+7,038$11,921
McDonald s Corporation 56,556 -1,260 $11,745
     MCD56,556-1,260$11,745
AstraZeneca PLC Sponsored ADR 278,271 +40,391 $11,487
     AZN278,271+40,391$11,487
First Trust Enhanced Short Mat (FTSM) 185,545 +12,161 $11,142
     FTSM185,545+12,161$11,142
Pfizer Inc 252,546 +54,642 $10,941
     PFE252,546+54,642$10,941
American Express Co 87,313 -8,231 $10,778
     AXP87,313-8,231$10,778
BlackRock Inc 22,513 +4,839 $10,565
     BLK22,513+4,839$10,565
PNC Financial Services Group 74,862 +6,529 $10,277
     PNC74,862+6,529$10,277

See Full List: All Stocks Held By Park National Corp OH
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Park National Corp OH

Size ($ in 1000's)
At 06/30/2019: $1,840,180
At 03/31/2019: $1,777,584

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

Park National Corp OH Top Holdings 13F Filings | www.HoldingsChannel.com

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