Entity | Amount | Change
12/31/2023 to 03/31/2024 |
Position Size ($ in 1000's) |
---|---|---|---|
Park National Corporation | 1,193,681 | -37,230 | $162,162 |
PRK | 1,193,681 | -37,230 | $162,162 |
Microsoft Corporation | 328,782 | -22,848 | $138,325 |
MSFT | 328,782 | -22,848 | $138,325 |
NVIDIA Corporation | 125,915 | -26,625 | $113,772 |
NVDA | 125,915 | -26,625 | $113,772 |
Apple Inc | 644,449 | -8,286 | $110,510 |
AAPL | 644,449 | -8,286 | $110,510 |
JPMorgan Chase & Co | 445,822 | -14,931 | $89,298 |
JPM | 445,822 | -14,931 | $89,298 |
Alphabet Inc Class A | 417,740 | +48,125 | $63,049 |
GOOGL | 417,740 | +48,125 | $63,049 |
First Trust Preferred Securiti (FPE) | 3,262,711 | -33,834 | $56,510 |
FPE | 3,262,711 | -33,834 | $56,510 |
Cisco Systems Inc | 985,628 | +50,324 | $49,193 |
CSCO | 985,628 | +50,324 | $49,193 |
Take Two Interactive Software | 318,945 | +70,952 | $47,360 |
TTWO | 318,945 | +70,952 | $47,360 |
Waste Management Inc | 212,319 | -1,509 | $45,256 |
WM | 212,319 | -1,509 | $45,256 |
Accenture PLC Class A | 126,206 | +6,155 | $43,744 |
ACN | 126,206 | +6,155 | $43,744 |
First Trust Capital Strength E (FTCS) | 490,858 | -7,069 | $42,042 |
FTCS | 490,858 | -7,069 | $42,042 |
Analog Devices Inc | 204,411 | +17,983 | $40,430 |
ADI | 204,411 | +17,983 | $40,430 |
Procter & Gamble Company | 241,689 | -4,540 | $39,214 |
PG | 241,689 | -4,540 | $39,214 |
Johnson & Johnson | 244,488 | -7,069 | $38,676 |
JNJ | 244,488 | -7,069 | $38,676 |
Deere & Company | 93,897 | +6,026 | $38,567 |
DE | 93,897 | +6,026 | $38,567 |
Abbott Laboratories | 312,738 | -26,182 | $35,546 |
ABT | 312,738 | -26,182 | $35,546 |
Cadence Design Systems Inc | 113,714 | +9,281 | $35,397 |
CDNS | 113,714 | +9,281 | $35,397 |
Lockheed Martin Corporation | 77,378 | +7,861 | $35,197 |
LMT | 77,378 | +7,861 | $35,197 |
Visa Inc Class A | 122,759 | +60 | $34,260 |
V | 122,759 | +60 | $34,260 |
DR Horton Inc | 207,578 | +3,886 | $34,157 |
DHI | 207,578 | +3,886 | $34,157 |
Amazon.com Inc | 180,874 | +3,494 | $32,626 |
AMZN | 180,874 | +3,494 | $32,626 |
Vanguard Information Technolog (VGT) | 61,648 | -5,464 | $32,325 |
VGT | 61,648 | -5,464 | $32,325 |
Chevron Corp | 202,909 | -3,440 | $32,007 |
CVX | 202,909 | -3,440 | $32,007 |
McDonald s Corporation | 111,830 | +10,547 | $31,530 |
MCD | 111,830 | +10,547 | $31,530 |
BlackRock Inc | 35,942 | +300 | $29,965 |
BLK | 35,942 | +300 | $29,965 |
Exxon Mobil Corporation | 244,638 | -7,760 | $28,437 |
XOM | 244,638 | -7,760 | $28,437 |
Chipotle Mexican Grill Inc | 9,723 | -33 | $28,263 |
CMG | 9,723 | -33 | $28,263 |
Intercontinental Exchange Inc (ICE) | 201,450 | +373 | $27,685 |
ICE | 201,450 | +373 | $27,685 |
Arista Networks Inc | 93,319 | +47,252 | $27,061 |
ANET | 93,319 | +47,252 | $27,061 |
PepsiCo Inc | 152,413 | -471 | $26,674 |
PEP | 152,413 | -471 | $26,674 |
TJX Companies Inc | 262,080 | +17,337 | $26,580 |
TJX | 262,080 | +17,337 | $26,580 |
S&P Global Inc | 58,446 | +2,402 | $24,866 |
SPGI | 58,446 | +2,402 | $24,866 |
AbbVie Inc | 134,426 | -10,771 | $24,479 |
ABBV | 134,426 | -10,771 | $24,479 |
Schwab Charles Corporation | 338,347 | +21,764 | $24,476 |
SCHW | 338,347 | +21,764 | $24,476 |
Costco Wholesale Corporation | 32,369 | -2,457 | $23,714 |
COST | 32,369 | -2,457 | $23,714 |
Coca Cola Company | 385,116 | -4,142 | $23,561 |
KO | 385,116 | -4,142 | $23,561 |
NextEra Energy Inc | 356,410 | -6,719 | $22,778 |
NEE | 356,410 | -6,719 | $22,778 |
Danaher Corporation | 89,420 | -8,809 | $22,330 |
DHR | 89,420 | -8,809 | $22,330 |
First Trust NASDAQ Tech Divide (TDIV) | 315,716 | -1,347 | $21,996 |
TDIV | 315,716 | -1,347 | $21,996 |
Disney Walt Company | 178,159 | -200,189 | $21,800 |
DIS | 178,159 | -200,189 | $21,800 |
ConocoPhillips | 167,927 | -3,517 | $21,374 |
COP | 167,927 | -3,517 | $21,374 |
First Trust Value Line Dividen (FVD) | 504,712 | -4,160 | $21,314 |
FVD | 504,712 | -4,160 | $21,314 |
First Trust Enhanced Short Mat (FTSM) | 326,489 | -21,687 | $19,465 |
FTSM | 326,489 | -21,687 | $19,465 |
Stryker Corporation | 51,834 | +211 | $18,550 |
SYK | 51,834 | +211 | $18,550 |
Schlumberger Limited | 331,358 | -7,146 | $18,162 |
SLB | 331,358 | -7,146 | $18,162 |
Vanguard Communication Service (VOX) | 138,253 | +44,399 | $18,142 |
VOX | 138,253 | +44,399 | $18,142 |
Ecolab Inc | 74,494 | -2,752 | $17,201 |
ECL | 74,494 | -2,752 | $17,201 |
First Trust Rising Dividend Ac (RDVY) | 292,999 | -1,111 | $16,458 |
RDVY | 292,999 | -1,111 | $16,458 |
Berkshire Hathaway Inc Class A | $15,951 | ||
BRK.A | 20 | UNCH | $12,689 |
BRK.B | 7,756 | -180 | $3,262 |
See Full List: All Stocks Held By Park National Corp OH
— Including:
Biggest new positions
Biggest exits
Biggest increased positions
Biggest decreased positions
See Details: Top 10 Stocks Held By Park National Corp OH
Size ($ in 1000's)
At 03/31/2024: $2,595,923 At 12/31/2023: $2,443,810 Park National Corp OH holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Park National Corp OH 13F filings. Link to 13F filings: SEC filings |