HoldingsChannel.com



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

   EntityAmountChange
 12/31/2023 to 03/31/2024
Position Size
($ in 1000's)
FIRST FINANCIAL CORPORATION 737,519 +1,800 $28,262
     THFF737,519+1,800$28,262
VANGUARD S&P 500 ETF (VOO) 45,999 -291 $22,112
     VOO45,999-291$22,112
VANGUARD INFORMATION TECHNOLOGY INDEX (VGT) 18,267 -177 $9,578
     VGT18,267-177$9,578
MICROSOFT CORP 18,084 -1,586 $7,608
     MSFT18,084-1,586$7,608
VANGUARD FTSE DEVELOPED MARKETS ETF (VEA) 99,209 +12,276 $4,976
     VEA99,209+12,276$4,976
APPLE INC 22,538 -6,150 $3,865
     AAPL22,538-6,150$3,865
VANGUARD HEALTH CARE ETF (VHT) 13,194 -473 $3,569
     VHT13,194-473$3,569
LILLY ELI & CO 4,408 -329 $3,429
     LLY4,408-329$3,429
VANGUARD MID CAP ETF (VO) 13,326 -2,267 $3,330
     VO13,326-2,267$3,330
VANGUARD SMALL CAP ETF (VB) 13,011 +464 $2,974
     VB13,011+464$2,974
VANGUARD FINANCIAL ETF (VFH) 26,570 -1,719 $2,720
     VFH26,570-1,719$2,720
NVIDIA CORP 2,881 -908 $2,603
     NVDA2,881-908$2,603
JPMORGAN CHASE & COMPANY 12,012 -276 $2,406
     JPM12,012-276$2,406
VANGUARD TELECOMMUNICATION SERVICES ETF (VOX) 17,760 -1,662 $2,330
     VOX17,760-1,662$2,330
VANGUARD CONSUMER DISCRETIONARY (VCR) 7,170 -77 $2,278
     VCR7,170-77$2,278
EXXON MOBIL CORP 18,715 -1,381 $2,175
     XOM18,715-1,381$2,175
ABBVIE INC 11,078 -5,177 $2,017
     ABBV11,078-5,177$2,017
ABBOTT LABS 17,109 -4,324 $1,945
     ABT17,109-4,324$1,945
PROCTER & GAMBLE CO 11,815 -1,728 $1,917
     PG11,815-1,728$1,917
META PLATFORM INC CLASS A 3,904 -752 $1,896
     META3,904-752$1,896
VANGUARD INDUSTRIALS ETF (VIS) 7,541 +598 $1,841
     VIS7,541+598$1,841
WASTE CONNECTIONS INC 9,750 UNCH $1,677
     WCN9,750UNCH$1,677
MERCK & CO INC 12,649 -2,561 $1,669
     MRK12,649-2,561$1,669
SPDR PORTFOLIO S&P 500 GROWT (SPYG) 22,169 +20,712 $1,622
     SPYG22,169+20,712$1,622
HOME DEPOT INC 4,129 -27 $1,584
     HD4,129-27$1,584
VANGUARD MEGA CAP ETF (MGC) 8,093 +8,093 $1,512
     MGC8,093+8,093$1,512
AVANTIS US SMALL CAP VALUE 15,916 -2,667 $1,491
     AVUV15,916-2,667$1,491
BROADCOM INC 1,034 -78 $1,370
     AVGO1,034-78$1,370
VISA INC CLASS A SHARES (V) 4,865 -1,028 $1,358
     V4,865-1,028$1,358
ISHARES RUSSELL 1000 ETF (IWB) 4,597 +4,597 $1,324
     IWB4,597+4,597$1,324
LOCKHEED MARTIN CORP 2,831 -376 $1,288
     LMT2,831-376$1,288
ALPHABET INC CL A 8,468 -609 $1,278
     GOOGL8,468-609$1,278
VANGUARD ENERGY ETF (VDE) 9,648 -889 $1,271
     VDE9,648-889$1,271
THERMO FISHER SCIENTIFIC INC 2,136 +30 $1,241
     TMO2,136+30$1,241
VANGUARD CONSUMER STAPLE ETF FUND (VDC) 5,804 -559 $1,185
     VDC5,804-559$1,185
AMAZON.COM INC 6,528 -1,842 $1,178
     AMZN6,528-1,842$1,178
INVESCO QQQ TRUST SERIES 1 2,644 +12 $1,174
     QQQ2,644+12$1,174
BP P.L.C. 29,332 -7,714 $1,105
     BP29,332-7,714$1,105
I SHARE TR DJ US REAL ESTATE 12,170 +1,283 $1,094
     IYR12,170+1,283$1,094
COMCAST CORPORATION 24,055 -1,093 $1,043
     CMCSA24,055-1,093$1,043
LINDE PLC 2,231 -194 $1,036
     LIN2,231-194$1,036
ISHARES TR RUSSELL 1000 VALUE ETF (IWD) 5,548 -1,738 $994
     IWD5,548-1,738$994
UNITEDHEALTH GROUP INC 1,996 -436 $987
     UNH1,996-436$987
CHARLES SCHWAB CORP 13,579 -471 $982
     SCHW13,579-471$982
INVESCO NASDAQ 100 ETF (QQQM) 5,230 -326 $955
     QQQM5,230-326$955
HONEYWELL INT L INC 4,641 -1,068 $953
     HON4,641-1,068$953
PALO ALTO NETWORKS INC 3,346 -639 $951
     PANW3,346-639$951
WALMART INC 15,765 +10,289 $949
     WMT15,765+10,289$949
NIKE INC CL B 9,926 -2,457 $933
     NKE9,926-2,457$933
NEXTERA ENERGY INC 14,006 +253 $895
     NEE14,006+253$895
MONDELEZ INTERNATIONAL INC 12,584 -888 $881
     MDLZ12,584-888$881
STARBUCKS CORPORATION 9,628 -1,673 $880
     SBUX9,628-1,673$880
ISHARES TR RUSSELL 1000 GROW (IWF) 2,600 -85 $876
     IWF2,600-85$876
COCA COLA CO 14,311 -1,039 $876
     KO14,311-1,039$876
CHEVRON CORPORATION 5,370 -196 $847
     CVX5,370-196$847
NOVO NORDISK A S SPONS ADR 6,550 UNCH $841
     NVO6,550UNCH$841
UNION PAC CORP 3,325 -25 $818
     UNP3,325-25$818
PAYPAL HOLDINGS INC 11,901 -537 $797
     PYPL11,901-537$797
VANGUARD FTSE EMERGING MKTS ETF (VWO) 19,017 +785 $794
     VWO19,017+785$794
COSTCO WHOLESALE CORP NEW 1,077 -46 $789
     COST1,077-46$789
VANGUARD REIT ETF (VNQ) 9,014 -191 $779
     VNQ9,014-191$779
MCDONALDS CORP 2,755 -911 $777
     MCD2,755-911$777
VANGUARD UTILITIES ETF (VPU) 5,414 -251 $772
     VPU5,414-251$772
SCHWAB US DVD EQUITY ETF (SCHD) 9,342 +184 $753
     SCHD9,342+184$753
SPDR S&P 500 ETF TRUST (SPY) 1,412 -3 $739
     SPY1,412-3$739
VANGUARD MATERIALS ETF (VAW) 3,052 -189 $624
     VAW3,052-189$624
SALESFORCE.COM INC 2,010 -497 $605
     CRM2,010-497$605
SPDR DOW JONES INDUSTRIAL AVG ETF TRUST (DIA) 1,521 -11 $605
     DIA1,521-11$605
SYSCO CORPORATION 7,417 +160 $602
     SYY7,417+160$602
BRISTOL MYERS SQUIBB CO 11,006 -5,865 $597
     BMY11,006-5,865$597
DISNEY WALT COMPANY 4,842 -479 $592
     DIS4,842-479$592
CATERPILLAR INC DEL 1,551 -578 $568
     CAT1,551-578$568
INTEL CORP 12,565 -868 $555
     INTC12,565-868$555
PEPSICO INC 3,081 -214 $539
     PEP3,081-214$539
BOEING CO 2,725 -2,549 $526
     BA2,725-2,549$526
CISCO SYSTEMS INC 10,069 -1,256 $502
     CSCO10,069-1,256$502
REPUBLIC SERVICES INC 2,612 -246 $500
     RSG2,612-246$500
AMERICAN TOWER CORP 2,528 -247 $499
     AMT2,528-247$499
ACCENTURE PLC 1,415 UNCH $490
     ACN1,415UNCH$490
MARATHON PETROLEUM 2,429 +59 $489
     MPC2,429+59$489
RTX CORP 5,019 -465 $489
     RTX5,019-465$489
JOHNSON & JOHNSON 2,977 -600 $471
     JNJ2,977-600$471
SUNCOR ENERGY INC 12,355 -67 $456
     SU12,355-67$456
VANGUARD SM CAP GRWTH ETF (VBK) 1,692 -881 $441
     VBK1,692-881$441
MASTERCARD INCORPORATED 914 -301 $440
     MA914-301$440
BANK OF AMERICA CORP 10,906 -1,620 $413
     BAC10,906-1,620$413
ISHARES RUSSELL MID CAP ETF (IWR) 4,840 +4,840 $407
     IWR4,840+4,840$407
WISDMTREE EMERG MKT EX ST OW 13,782 +399 $406
     XSOE13,782+399$406
LENNAR CORPORATION 2,268 UNCH $390
     LEN2,268UNCH$390
PFIZER INC 13,435 -2,074 $373
     PFE13,435-2,074$373
WELLS FARGO & CO NEW 6,286 +1,691 $364
     WFC6,286+1,691$364
ELEVANCE HEALTH INC 694 +574 $360
     ELV694+574$360
DUKE ENERGY CORP 3,676 -1,575 $355
     DUK3,676-1,575$355
LOWES COMPANIES INC 1,382 -143 $352
     LOW1,382-143$352
I SHARES TR RUSSELL MIDCAP (IWS) 2,782 UNCH $349
     IWS2,782UNCH$349
ORACLE CORP 2,675 -1,328 $336
     ORCL2,675-1,328$336
MARRIOTT INT L CL A 1,319 UNCH $333
     MAR1,319UNCH$333
ISHARES CORE MSCI EAFE ETF (IEFA) 4,345 +4,345 $322
     IEFA4,345+4,345$322
NUCOR CORPORATION 1,615 UNCH $320
     NUE1,615UNCH$320
TEXAS INSTRS INC 1,822 -509 $317
     TXN1,822-509$317
THE ALLSTATE CORPORATION 1,798 -2,038 $311
     ALL1,798-2,038$311
ISHARES TR RUSSELL MID CAP GROWTH ETF (IWP) 2,657 UNCH $303
     IWP2,657UNCH$303
SHELL PLC ADR 4,499 +28 $302
     SHEL4,499+28$302
VANECK VECTORS AGRIBUSINESS ETF (MOO) 4,000 UNCH $301
     MOO4,000UNCH$301
DANAHER CORPORATION 1,201 +28 $300
     DHR1,201+28$300
BHP BILLITON LTD SPON ADR 5,171 -687 $298
     BHP5,171-687$298
WASTE MANAGEMENT INC NEW 1,294 -597 $276
     WM1,294-597$276
ALPHABET INC CL C 1,773 -2,454 $270
     GOOG1,773-2,454$270
I SHARES TR S&P 100 ETF (OEF) 1,082 +1,060 $268
     OEF1,082+1,060$268
GENERAL DYNAMICS CORPORATION 921 +208 $260
     GD921+208$260
CONOCOPHILLIPS 2,010 +37 $256
     COP2,010+37$256
QUALCOMM INCORPORATED 1,471 -709 $249
     QCOM1,471-709$249
CARRIER GLOBAL CORP 4,184 -514 $243
     CARR4,184-514$243
ISHARES TR MSCI EAFE ETF (EFA) 2,856 -31 $228
     EFA2,856-31$228
ISHARES TR MSCI EAFE GROWTH ETF (EFG) 2,201 +40 $228
     EFG2,201+40$228
COLGATE PALMOLIVE CO 2,518 -2,730 $227
     CL2,518-2,730$227
KLA TENCOR CORPORATION 318 +142 $222
     KLAC318+142$222
ALTRIA GROUP INC 5,078 -2,219 $221
     MO5,078-2,219$221
INVESCO S&P MIDCAP 400 REV 1,881 UNCH $217
     RWK1,881UNCH$217
FREEPORT MCMORAN INC 4,499 -18 $212
     FCX4,499-18$212
FIRST INTERNET BK OF IN 6,000 UNCH $208
     INBK6,000UNCH$208
SPDR GOLD TRUST (GLD) 986 -56 $203
     GLD986-56$203
FIRST TRUST INTERMEDIATE DUR (FPF) 11,287 -1,273 $202
     FPF11,287-1,273$202
ISHARES TR S&P SMALLCAP (IJR) 1,821 UNCH $201
     IJR1,821UNCH$201
INTERNATL BUSINESS MACHINES 1,022 UNCH $195
     IBM1,022UNCH$195
VANGUARD RUSSELL 2000 ETF (VTWO) 2,246 +2,246 $191
     VTWO2,246+2,246$191
ECOLAB INC 823 -7 $190
     ECL823-7$190
AMERICAN EXPRESS CO 827 -279 $188
     AXP827-279$188
GENERAL MLS INC 2,689 -1,044 $188
     GIS2,689-1,044$188
ENTERPRISE PRODUCTS PARTNERS LP 6,349 UNCH $185
     EPD6,349UNCH$185
BLACKROCK INC 219 -26 $183
     BLK219-26$183
VANGUARD DIVIDEND APPREC ETF (VIG) 1,000 UNCH $183
     VIG1,000UNCH$183
VERIZON COMMUNICATIONS 4,164 -1,887 $175
     VZ4,164-1,887$175
AT&T CORP NEW 9,912 -765 $174
     T9,912-765$174
SCHLUMBERGER LTD 3,105 +387 $170
     SLB3,105+387$170
OTIS WORLDWIDE CORP 1,699 -215 $169
     OTIS1,699-215$169
LAMB WESTON HOLDINGS 1,578 -20 $168
     LW1,578-20$168
ATRION CORPORATION 360 UNCH $167
     ATRI360UNCH$167
HCA HOLDINGS INC 500 UNCH $167
     HCA500UNCH$167
FIRST TRUST FINANCIAL ALPHAD (FXO) 3,436 -1,054 $163
     FXO3,436-1,054$163
VANGUARD TOTAL STOCK MARKET ETF (VTI) 625 +29 $162
     VTI625+29$162
ISHARES CORE RUSSELL U.S. VALUE ETF (IUSV) 1,759 UNCH $159
     IUSV1,759UNCH$159
ISHARES TR SELECT DIVIDEND (DVY) 1,255 UNCH $155
     DVY1,255UNCH$155
AUTOMATIC DATA PROCESSING 616 -493 $154
     ADP616-493$154
JOHNSON CONTROLS INTL PLC 2,354 +2,354 $154
     JCI2,354+2,354$154
EMERSON ELEC CO 1,343 -563 $152
     EMR1,343-563$152
CONAGRA BRANDS INC 5,019 -75 $149
     CAG5,019-75$149
WISDOMTREE INTERNATIONAL HED 3,250 UNCH $149
     IHDG3,250UNCH$149
FLEXSHARES QUALITY DIVIDEND (QDF) 2,201 UNCH $145
     QDF2,201UNCH$145
ADOBE SYSTEMS INC 283 -45 $143
     ADBE283-45$143
TJX COS INC NEW 1,380 -630 $140
     TJX1,380-630$140
EDWARDS LIFESCIENCES CORP 1,431 +477 $137
     EW1,431+477$137
RAYONIER INC 4,079 -4,393 $136
     RYN4,079-4,393$136
CHUBB LIMITED 520 -161 $135
     CB520-161$135
DUPONT DE NEMOURS INC 1,729 -593 $133
     DD1,729-593$133
BATH & BODY WORKS INC 2,571 +594 $129
     BBWI2,571+594$129
BERKSHIRE HATHAWAY INC      $129
     BRK.B306-25$129
CVS HEALTH CORPORATION 1,622 +409 $129
     CVS1,622+409$129
DOMINION RESOURCES INC VA 2,606 -1,160 $128
     D2,606-1,160$128
ISHARES TR CORE S&P MID CAP (IJH) 2,105 +1,752 $128
     IJH2,105+1,752$128
IRON MOUNTAIN INC 1,500 UNCH $120
     IRM1,500UNCH$120
VANGUARD GROWTH ETF (VUG) 348 UNCH $120
     VUG348UNCH$120
PHILLIP MORRIS INTERNATIONAL 1,274 -262 $117
     PM1,274-262$117
NORTHERN TR CORP 1,300 UNCH $116
     NTRS1,300UNCH$116
AMGEN INC 390 +53 $111
     AMGN390+53$111
MORGAN STANLEY 1,179 +202 $111
     MS1,179+202$111
FIRST BUSEY CORP 4,569 UNCH $110
     BUSE4,569UNCH$110
CUMMINS INC 373 +164 $110
     CMI373+164$110
DARDEN RESTAURANTS INC 650 +50 $109
     DRI650+50$109
NORFOLK SOUTHERN CORP 409 -150 $104
     NSC409-150$104
DIAMONDBACK ENERGY INC 520 +220 $103
     FANG520+220$103
PACKAGING CORP OF AMERICA 528 +28 $100
     PKG528+28$100
DEERE & COMPANY 240 -289 $99
     DE240-289$99
GERMAN AMERICAN BANCORP 2,863 UNCH $99
     GABC2,863UNCH$99
MICROCHIP TECH INC 1,058 +337 $95
     MCHP1,058+337$95
CMS ENERGY CORP 1,555 UNCH $94
     CMS1,555UNCH$94
CARMAX INC 1,045 +585 $91
     KMX1,045+585$91
TRAVELERS COMPANIES INC 381 UNCH $88
     TRV381UNCH$88
AMERIPRISE FINANCIAL INC 198 UNCH $87
     AMP198UNCH$87
CITIGROUP INC 1,324 +712 $84
     C1,324+712$84
CIGNA CORP 225 +33 $82
     CI225+33$82
ALLY FINANCIAL INC 1,994 +1,994 $81
     ALLY1,994+1,994$81
PRUDENTIAL FINANCIAL INC 688 -160 $81
     PRU688-160$81
EVEREST RE GROUP LTD 200 UNCH $80
     EG200UNCH$80
DOW INC 1,351 -1,513 $78
     DOW1,351-1,513$78
I SHS TR S&P SM CAP 600 GRO 600 UNCH $78
     IJT600UNCH$78
SEAGATE TECHNOLOGY PLC 804 UNCH $75
     STX804UNCH$75
APPLIED MATERIALS INC 349 +116 $72
     AMAT349+116$72
FIRST TRUST MORN DVD LEAD IN (FDL) 1,875 UNCH $72
     FDL1,875UNCH$72
VANGUARD SHORT TERM BOND ETF (BSV) 928 UNCH $71
     BSV928UNCH$71
CITIZENS FINANCIAL GROUP 1,950 UNCH $71
     CFG1,950UNCH$71
BLACKSTONE INC 508 -349 $67
     BX508-349$67
GLOBAL PAYMENTS INC 505 +142 $67
     GPN505+142$67
ISHARES CORE MSCI EMERGING (IEMG) 1,297 UNCH $67
     IEMG1,297UNCH$67
SIMON PPTY GROUP INC NEW 426 -322 $67
     SPG426-322$67
CAPITAL ONE FINANCIAL CORP 445 +445 $66
     COF445+445$66
GENERAL ELECTRIC CO 375 UNCH $66
     GE375UNCH$66
VANGUARD TOTAL BOND MKT (BND) 884 UNCH $64
     BND884UNCH$64
CHIPOTLE MEXICAN GRILL INC 22 -57 $64
     CMG22-57$64
EATON CORP PLC 206 +43 $64
     ETN206+43$64
KIMBERLY CLARK CORP 494 -396 $64
     KMB494-396$64
AVALONBAY COMMUNITIES INC 331 -174 $61
     AVB331-174$61
FLEXSHARES GLOBAL UPSTREAM N (GUNR) 1,485 UNCH $61
     GUNR1,485UNCH$61
I SHARES TR CORE S&P 500 ETF (IVV) 116 UNCH $61
     IVV116UNCH$61
METLIFE INC 827 -17 $61
     MET827-17$61
ADVANCED MICRO DEVICES INC 330 -597 $60
     AMD330-597$60
NOVARTIS AG SPNSRD ADR 622 +8 $60
     NVS622+8$60
ANALOG DEVICES 298 -325 $59
     ADI298-325$59
EQUIFAX INC 209 +209 $56
     EFX209+209$56
SMUCKER J M CO 443 +43 $56
     SJM443+43$56
DOLLAR GENERAL CORP 350 -451 $55
     DG350-451$55
EVERGY INC 1,000 UNCH $53
     EVRG1,000UNCH$53
ONEOK INC NEW 667 UNCH $53
     OKE667UNCH$53
PINTEREST INC CLASS A 1,524 +1,524 $53
     PINS1,524+1,524$53
INTERCONTINENTAL EXCHANGE INCOME (ICE) 380 -1,183 $52
     ICE380-1,183$52
BOOKING HOLDINGS INC 14 -39 $51
     BKNG14-39$51
ASML HOLDING NV NY REG SHS 50 +50 $49
     ASML50+50$49
ATMOS ENERGY CORP 400 UNCH $48
     ATO400UNCH$48
GILEAD SCIENCES INC 655 UNCH $48
     GILD655UNCH$48
ISHARES NATIONAL MUNI BOND ETF (MUB) 450 +450 $48
     MUB450+450$48
BAXTER INTL INC 1,016 -17 $43
     BAX1,016-17$43
KIMBALL ELECTRONICS INC 2,000 UNCH $43
     KE2,000UNCH$43
WILLIAMS CO INC DELAWARE 1,042 -43 $41
     WMB1,042-43$41
TAIWAN SEMICONDUCTOR ADR 297 +297 $40
     TSM297+297$40
VANGUARD TAX EXEMPT BOND ETF (VTEB) 775 UNCH $39
     VTEB775UNCH$39
WALGREENS BOOTS ALLIANCE INC 1,800 UNCH $39
     WBA1,800UNCH$39
EOG RESOURCES INC 297 -67 $38
     EOG297-67$38
OLD NATL BANCORP IND 2,199 UNCH $38
     ONB2,199UNCH$38
TORONTO DOMINION BANK 624 -721 $38
     TD624-721$38
AMERICAN ELEC PWR INC 430 -190 $37
     AEP430-190$37
PINNACLE WEST CAPITAL 500 UNCH $37
     PNW500UNCH$37
HALLIBURTON CO 903 -1,134 $36
     HAL903-1,134$36
AUTOZONE INC 11 -24 $35
     AZO11-24$35
CONSTELLATION BRANDS CLASS A 130 +130 $35
     STZ130+130$35
TYSON FOODS INC CL A 603 +603 $35
     TSN603+603$35
VANGUARD SHORT TERM CORP BOND ETF (VCSH) 450 -32 $35
     VCSH450-32$35
VEEVA SYSTEMS INC CLASS A 152 +152 $35
     VEEV152+152$35
CDW CORP DE 131 -325 $34
     CDW131-325$34
MEDTRONIC PLC 391 -176 $34
     MDT391-176$34
VALERO REFINING & MARKETING 200 -15 $34
     VLO200-15$34
GENERAL MOTORS CO 717 -17 $33
     GM717-17$33
ALBEMARLE CORP 245 +245 $32
     ALB245+245$32
CONSTELLATION ENERGY 166 UNCH $31
     CEG166UNCH$31
INTUIT COM 48 -134 $31
     INTU48-134$31
NISOURCE INC 1,138 +1,138 $31
     NI1,138+1,138$31
YUM BRANDS INC 221 UNCH $31
     YUM221UNCH$31
ISHARES GOLD TRUST (IAU) 715 -1,000 $30
     IAU715-1,000$30
VENTAS INC 686 +686 $30
     VTR686+686$30
WARNER BROS DISCOVERY INC 3,387 +2,887 $30
     WBD3,387+2,887$30
CARDINAL HEALTH INC 250 UNCH $28
     CAH250UNCH$28
ILLINOIS TOOL WORKS INC 104 -311 $28
     ITW104-311$28
LAM RESEARCH CORP 29 -101 $28
     LRCX29-101$28
PHILLIPS 66 169 -307 $28
     PSX169-307$28
RESTAURANT BRANDS INTL 350 UNCH $28
     QSR350UNCH$28
T MOBILE US INC 174 -325 $28
     TMUS174-325$28
UNITED PARCEL SERVICE 184 -150 $27
     UPS184-150$27
CRH PLC 307 +307 $26
     CRH307+307$26
DTE ENERGY CO 235 UNCH $26
     DTE235UNCH$26
EASTMAN CHEM CO 258 +58 $26
     EMN258+58$26
CORNING INCORPORATED 776 -23 $26
     GLW776-23$26
PAYCHEX INC COM 214 -1,239 $26
     PAYX214-1,239$26
CANADIAN PACIFIC KANSAS CITY 280 -1,623 $25
     CP280-1,623$25
HERSHEY COMPANY 130 -27 $25
     HSY130-27$25
NETFLIX INC 41 -94 $25
     NFLX41-94$25
O REILLY AUTOMOTIVE INC 22 -39 $25
     ORLY22-39$25
UNITED RENTALS INC 34 +34 $25
     URI34+34$25
CME GROUP INC 110 -632 $24
     CME110-632$24
AMERISOURCEBERGEN 97 +97 $24
     COR97+97$24
ASTRAZENECA PLC SPONS ADR 334 -1,460 $23
     AZN334-1,460$23
VANGUARD INTERMEDIATE TERM BOND ETF (BIV) 305 UNCH $23
     BIV305UNCH$23
GOLDMAN SACHS GROUP 54 +31 $23
     GS54+31$23
NORTHROP GRUMMAN CORP 48 -44 $23
     NOC48-44$23
SANOFI ADR 469 +448 $23
     SNY469+448$23
TRACTOR SUPPLY COMPANY 86 -499 $23
     TSCO86-499$23
VISTRA ENERGY CORP 335 UNCH $23
     VST335UNCH$23
APTIV PLAC 275 +275 $22
     APTV275+275$22
COMERICA INC 400 +400 $22
     CMA400+400$22
ICON PLC 64 +64 $22
     ICLR64+64$22
MICRON TECHNOLOGY INC 188 +188 $22
     MU188+188$22
PURE CYCLE CORP COM 2,305 UNCH $22
     PCYO2,305UNCH$22
TESLA MOTORS INC 124 -5 $22
     TSLA124-5$22
UNITED AIRLINES HOLDINGS INC 458 +458 $22
     UAL458+458$22
DELL TECHNOLOGIES C 187 +187 $21
     DELL187+187$21
FORTIVE CORPORATION 249 +49 $21
     FTV249+49$21
ICU MEDICAL INC 200 UNCH $21
     ICUI200UNCH$21
MASCO CORP 271 +271 $21
     MAS271+271$21
MCKESSON CORPORATION 38 +28 $20
     MCK38+28$20
NEWMONT MINING CORP 556 UNCH $20
     NEM556UNCH$20
EXELON CORPORATION 500 -1,125 $19
     EXC500-1,125$19
PROGRESSIVE CORP 91 -236 $19
     PGR91-236$19
VANGUARD TOT WORLD STK ETF (VT) 170 UNCH $19
     VT170UNCH$19
SOUTHWEST AIRLINES COMPANY 616 -14 $18
     LUV616-14$18
NICE LTD SPON ADR 68 -137 $18
     NICE68-137$18
HOWMET AEROSPACE INC 243 +243 $17
     HWM243+243$17
CANADIAN NATURAL RESOURCES 204 +204 $16
     CNQ204+204$16
CENOVUS ENERGY INC 800 +800 $16
     CVE800+800$16
DISCOVER FINANCIAL SERVICES 122 +122 $16
     DFS122+122$16
HUMANA INC COM 47 -296 $16
     HUM47-296$16
NOODLES & CO CL A 8,159 UNCH $16
     NDLS8,159UNCH$16
US FOODS HOLDINGS CORP 301 +301 $16
     USFD301+301$16
CASEY S GENERAL STORES INC 46 -269 $15
     CASY46-269$15
CENTENE CORP 194 +159 $15
     CNC194+159$15
CORPAY INC 49 +49 $15
     CPAY49+49$15
DOVER CORPORATION 83 +83 $15
     DOV83+83$15
INTUITIVE SURGIAL INC 35 -108 $14
     ISRG35-108$14
MELCO CROWN ENTERTAINMENT 2,000 UNCH $14
     MLCO2,000UNCH$14
OCCIDENTAL PETE CORP DEL      $14
     OXY200UNCH$13
     OXY.WT25UNCH$1
CANADIAN NATIONAL RAILWAY CO 99 -471 $13
     CNI99-471$13
FIRSTENERGY CORPORATION 331 +225 $13
     FE331+225$13
3M CO 125 UNCH $13
     MMM125UNCH$13
CINCINNATI FINANCIAL STOCK 98 -567 $12
     CINF98-567$12
COTERRA ENERGY INC 447 +220 $12
     CTRA447+220$12
CONSOLIDATED EDISON INC COM 129 -741 $12
     ED129-741$12
GSK PLC SPON ADR 272 -20 $12
     GSK272-20$12
HNI CORP 260 UNCH $12
     HNI260UNCH$12
JACOBS SOLUTIONS INC 79 +79 $12
     J79+79$12
LEIDOS HOLDINGS INC 93 +93 $12
     LDOS93+93$12
OMNICOM GROUP INC 124 +124 $12
     OMC124+124$12
PRINCIPAL FINANCIAL GROUP 140 -815 $12
     PFG140-815$12
TRUIST FINANCIAL CORP 312 -1,277 $12
     TFC312-1,277$12
TARGET CORPORATION 65 -337 $12
     TGT65-337$12
ULTA SALON COSMETICS & FRAGR 23 +23 $12
     ULTA23+23$12
V F CORP 800 UNCH $12
     VFC800UNCH$12
VERTEX PHARMACEUTICALS INC 29 -88 $12
     VRTX29-88$12
WABTEC CORP 81 +81 $12
     WAB81+81$12
AON PLC CLASS A 32 +32 $11
     AON32+32$11
AVANTOR INC 435 +435 $11
     AVTR435+435$11
ENTEGRIS INC 76 +76 $11
     ENTG76+76$11
MONGODB INC 30 -100 $11
     MDB30-100$11
MONOLITHIC POWER SYSTEMS INC 16 UNCH $11
     MPWR16UNCH$11
CBRE GROUP INC 99 +99 $10
     CBRE99+99$10
COCA COLA EUROPEAN PARTNERS PLC 142 +142 $10
     CCEP142+142$10
COGNIZANT TECHNLGY SOL 139 +139 $10
     CTSH139+139$10
DECKERS OUTDOOR CORP 11 -85 $10
     DECK11-85$10
ISHARES ESG AWARE MSCI USA (ESGU) 83 UNCH $10
     ESGU83UNCH$10
HUNTINGTON BANCSHARES INC (HBAN) 717 +717 $10
     HBAN717+717$10
KEURIG DR PEPPER INC 318 +318 $10
     KDP318+318$10
KENVUE INC 463 +463 $10
     KVUE463+463$10
MGM MIRAGE 206 +206 $10
     MGM206+206$10
MIDDLESEX WATER CO 184 -1,066 $10
     MSEX184-1,066$10
SUNRUN INC 746 +746 $10
     RUN746+746$10
SYNOPSYS INC 18 +18 $10
     SNPS18+18$10
WESCO INTERNATIONAL INC 61 +61 $10
     WCC61+61$10
CORTEVA INC 164 -947 $9
     CTVA164-947$9
D. R. HORTON INC 57 +57 $9
     DHI57+57$9
ORGANON & CO 453 UNCH $9
     OGN453UNCH$9
FERRARI NV 20 UNCH $9
     RACE20UNCH$9
REINSURANCE GROUP 45 +45 $9
     RGA45+45$9
VERALTO CORP 107 -161 $9
     VLTO107-161$9
AES CORPORATION 439 -22 $8
     AES439-22$8
ARTHUR J GALLAGHER & CO 31 +31 $8
     AJG31+31$8
AKAMAI TECHNOLOGIES 75 +75 $8
     AKAM75+75$8
AIR LEASE CORPORATION 146 +146 $8
     AL146+146$8
ALLEGION PLC 58 +58 $8
     ALLE58+58$8
ANSYS INC 23 +23 $8
     ANSS23+23$8
AIR PRODUCTS & CHEMICAL INC. 34 UNCH $8
     APD34UNCH$8
BOOZ ALLEN HAMILTON HOLDINGS 57 -415 $8
     BAH57-415$8
SPDR GOLD MINISHARES TRUST (GLDM) 189 UNCH $8
     GLDM189UNCH$8
HOULIHAN LOKEY INC 60 +60 $8
     HLI60+60$8
KEYSIGHT TECHNOLOGIES INC 48 +48 $8
     KEYS48+48$8
MCCORMICK & CO NON VOTING SHARES (MKC) 98 -572 $8
     MKC98-572$8
NXP SEMICONDUCTORS NV 34 +34 $8
     NXPI34+34$8
RAYMOND JAMES FINANCIAL INC 63 +63 $8
     RJF63+63$8
SHERWIN WILLIAMS CO COM 24 -149 $8
     SHW24-149$8
S&P GLOBAL INC 18 -103 $8
     SPGI18-103$8
SPIRIT AEROSYSTEMS HLG INC CLASS A 228 +228 $8
     SPR228+228$8
SKYWORKS SOLUTIONS INC 71 +51 $8
     SWKS71+51$8
TECK RESOURCES LTD CL B 173 +173 $8
     TECK173+173$8
VANGUARD VALUE ETF (VTV) 51 UNCH $8
     VTV51UNCH$8
AGILENT TECHNOLOGIES 49 +49 $7
     A49+49$7
CSX CORP 198 +169 $7
     CSX198+169$7
DNP SELECT INCOME FD INC COM 720 UNCH $7
     DNP720UNCH$7
DT MIDSTREAM INC 117 UNCH $7
     DTM117UNCH$7
PNC FINL SVCS GROUP INC COM 43 -247 $7
     PNC43-247$7
RENAISSANCERE HOLDINGS LTD 30 +30 $7
     RNR30+30$7
ROSS STORES INC 50 -285 $7
     ROST50-285$7
SOUTHERN COPPER CORP DEL 66 -384 $7
     SCCO66-384$7
STIFEL FINANCIAL CORP 88 +88 $7
     SF88+88$7
SNAP ON INC 23 +23 $7
     SNA23+23$7
THOMSON REUTERS CORP 47 UNCH $7
     TRI47UNCH$7
WORKDAY INC CLASS A 27 UNCH $7
     WDAY27UNCH$7
WILLSCOT MOBILE MINI HLDGS CORP 157 +157 $7
     WSC157+157$7
WOODWARD INC 45 +45 $7
     WWD45+45$7
WEYERHAEUSER COMPANY 187 -1,088 $7
     WY187-1,088$7
ZIMMER BIOMET HOLDINGS INC 55 UNCH $7
     ZBH55UNCH$7
ARES MANAGEMENT CORP A 42 +42 $6
     ARES42+42$6
ARROW ELECTRONICS INC 44 +44 $6
     ARW44+44$6
BUILDERS FIRSTSOURCE INC 31 +31 $6
     BLDR31+31$6
BROADRIDGE FINL SOLUTIONS 30 +30 $6
     BR30+30$6
PEABODY ENERGY CORPORATION 231 +231 $6
     BTU231+231$6
CENTERPOINT ENERGY INC 200 +200 $6
     CNP200+200$6
CATALENT INC 111 +111 $6
     CTLT111+111$6
IDEXX LABORATORIES INC 12 UNCH $6
     IDXX12UNCH$6
KEYCORP 349 +349 $6
     KEY349+349$6
LABORATORY CRP OF AMER HLDGS 26 +26 $6
     LH26+26$6
MERCADOLIBRE INC COM 4 UNCH $6
     MELI4UNCH$6
MARSH & MCLENNAN COS INC 28 -219 $6
     MMC28-219$6
ROYAL BANK OF CANADA 61 -354 $6
     RY61-354$6
SCOTTS MIRACLE GRO CO 81 +81 $6
     SMG81+81$6
UNILEVER PLC AMER SHS 111 -11 $6
     UL111-11$6
YUM CHINA HOLDINGS INC 148 UNCH $6
     YUMC148UNCH$6
BIO RAD LABORATORIES CL A 14 +14 $5
     BIO14+14$5
BROWN & BROWN INC 54 UNCH $5
     BRO54UNCH$5
CLOROX CO DEL 35 UNCH $5
     CLX35UNCH$5
AMERICOLD REALTY TRUST INC 186 +186 $5
     COLD186+186$5
COPART INC 94 -542 $5
     CPRT94-542$5
DIGITAL REALTY TRUST INC 32 -292 $5
     DLR32-292$5
AMDOCS LIMITED 59 -107 $5
     DOX59-107$5
FORD MOTOR COMPANY 349 -250 $5
     F349-250$5
COMFORT SYSTEMS USA INC 16 +16 $5
     FIX16+16$5
GATX CORP 40 +40 $5
     GATX40+40$5
HEXCEL CORP 68 +68 $5
     HXL68+68$5
ICF INTERNATIONAL INC 36 +36 $5
     ICFI36+36$5
INTEGER HOLDINGS CORP 47 +47 $5
     ITGR47+47$5
LINCOLN ELEC HLDGS INC COM 18 UNCH $5
     LECO18UNCH$5
NATIONAL FUEL GAS 100 UNCH $5
     NFG100UNCH$5
ENPRO INDUSTRIES INC 32 +32 $5
     NPO32+32$5
OLIN CORP 89 +89 $5
     OLN89+89$5
SBA COMMUNICATIONS CORP CL A 24 +24 $5
     SBAC24+24$5
SELECTIVE INSURANCE GROUP 48 +48 $5
     SIGI48+48$5
SM ENERGY CO 97 +97 $5
     SM97+97$5
SENSATA TECH HOLDING 135 +135 $5
     ST135+135$5
WEC ENERGY GROUP INC 57 +57 $5
     WEC57+57$5
ADDUS HOMECARE CORP 39 +39 $4
     ADUS39+39$4
AERCAP HOLDINGS NV 49 +49 $4
     AER49+49$4
BALCHEM CORP 23 +23 $4
     BCPC23+23$4
BOOT BARN HOLDINGS INC 41 +41 $4
     BOOT41+41$4
BOSTON PROPERTIES INC 62 +62 $4
     BXP62+62$4
CHAMPIONX CORP 124 +124 $4
     CHX124+124$4
CNX RESOURCES CORP 160 +160 $4
     CNX160+160$4
CSW INDUSTRIALS INC 18 +18 $4
     CSWI18+18$4
DORMAN PRODUCTS INC 38 +38 $4
     DORM38+38$4
FRANKLIN ELECTRIC CO INC 38 +38 $4
     FELE38+38$4
HALEON PLC ADR 525 -25 $4
     HLN525-25$4
HELEMERICH & PAYNE INC 95 +95 $4
     HP95+95$4
KAISER ALUMINUM CORP 40 +40 $4
     KALU40+40$4
KFORCE INC 55 +55 $4
     KFRC55+55$4
KORN FERRY 64 +64 $4
     KFY64+64$4
LUMENTUM HOLDINGS INC 83 +83 $4
     LITE83+83$4
MID AMERICA APARTMENT COMM 32 -265 $4
     MAA32-265$4
MOELIS & CO CL A 79 +79 $4
     MC79+79$4
MONARCH CASINO & RESORT INC 52 +52 $4
     MCRI52+52$4
MITSUBISHI UF J FIN ADR 390 +390 $4
     MUFG390+390$4
MURPHY OIL CORPORATION 81 +81 $4
     MUR81+81$4
NORTHERN OIL & GAS INC 97 +97 $4
     NOG97+97$4
NOV INC 210 +210 $4
     NOV210+210$4
SERVICENOW INC 5 -101 $4
     NOW5-101$4
OLLIES BARGAIN OUTLET HOLDI 44 +44 $4
     OLLI44+44$4
ONTO INNOVATION INC 23 +23 $4
     ONTO23+23$4
PATRICK INDUSTRIES INC 32 +32 $4
     PATK32+32$4
RINGCENTRAL INC CLASS A 122 +122 $4
     RNG122+122$4
SEALED AIR CORP 112 +112 $4
     SEE112+112$4
STERICYCLE INC 72 +72 $4
     SRCL72+72$4
SOUTHSTATE CORP 45 +45 $4
     SSB45+45$4
STATE STREET CORP 50 UNCH $4
     STT50UNCH$4
TOTAL S.A. 51 +51 $4
     TTE51+51$4
TAKE TWO INTERACTIVE SOFTWARE INC 26 +26 $4
     TTWO26+26$4
DENTSPLY SIRONA INC 108 +108 $4
     XRAY108+108$4
ZOETIS INC 25 -192 $4
     ZTS25-192$4
ADVANCED ENERGY INDS 31 +31 $3
     AEIS31+31$3
AMERICAN WOODMARK CORP 25 +25 $3
     AMWD25+25$3
ATLANTIC UNION BANKSHARES CO (AUB) 91 +91 $3
     AUB91+91$3
AMERICAN WATER WORKS CO INC 25 -349 $3
     AWK25-349$3
BARNES GROUP INC 70 +70 $3
     B70+70$3
BENCHMARK ELECTRONICS INC 104 +104 $3
     BHE104+104$3
BLACKBAUD INC 37 +37 $3
     BLKB37+37$3
COCA COLA CONSOLIDATED INC 3 +3 $3
     COKE3+3$3
DIODES INC 36 +36 $3
     DIOD36+36$3
ENOVIS CORP 45 +45 $3
     ENOV45+45$3
ENERSYS 27 +27 $3
     ENS27+27$3
EXLSERVICE HOLDINGS INC 100 +100 $3
     EXLS100+100$3
ACUSHNET HOLDINGS CORP 43 +43 $3
     GOLF43+43$3
IDACORP INC 29 +29 $3
     IDA29+29$3
ING GROEP N V ADR 212 +212 $3
     ING212+212$3
ISHARES TR GLOBAL 100 ETF (IOO) 38 +38 $3
     IOO38+38$3
ITAU UNIBANCO H SPON PRF ADR 486 +486 $3
     ITUB486+486$3
ORIX CORP SP ADR 26 +26 $3
     IX26+26$3
JAZZ PHARMACEUTICALS 22 +22 $3
     JAZZ22+22$3
KB FINANCIAL GROUP INC ADR 64 +64 $3
     KB64+64$3
LGI HOMES INCE 22 +22 $3
     LGIH22+22$3
LKQ CORPORATION 65 +65 $3
     LKQ65+65$3
LYONDELLBASELL INDU CL A 32 +32 $3
     LYB32+32$3
MARCUS & MILLICHAP INC 101 +101 $3
     MMI101+101$3
MATCH GROUP INC 90 -581 $3
     MTCH90-581$3
NETEASE INC SP ADR 27 +27 $3
     NTES27+27$3
PETROLEO BRASILEIRO S.A. ADR 195 +195 $3
     PBR195+195$3
PERMIAN RESOURCES CORP 181 +181 $3
     PR181+181$3
RIO TINTO PLC SPON ADR 43 +43 $3
     RIO43+43$3
ROYCE MICRO CAP TRUST INC 358 UNCH $3
     RMT358UNCH$3
BANCO SANTANDER S A 711 +711 $3
     SAN711+711$3
SUNSTONE HOTEL INVESTORS INC 258 +258 $3
     SHO258+258$3
SUN LIFE FINANCIAL INC 47 +47 $3
     SLF47+47$3
SPS COMMERCE INC 15 +15 $3
     SPSC15+15$3
STEWART INFORMATION SVC CORP 50 +50 $3
     STC50+50$3
UBS GROUP AG REG 97 +97 $3
     UBS97+97$3
UMB FINL CORP 32 +32 $3
     UMBF32+32$3
AGREE REALTY CORP 35 +35 $2
     ADC35+35$2
AMERICAN INTERNATIONAL GROUPINC NEW 26 -25 $2
     AIG26-25$2
AMBARELLA INC 36 +36 $2
     AMBA36+36$2
AMNHEALTHCARE SERVICES INC 40 +40 $2
     AMN40+40$2
AMERICA MOVIL SAB DE CV 104 +104 $2
     AMX104+104$2
AVANOS MEDICAL INC 117 +117 $2
     AVNS117+117$2
BARCLAYS PLC SPONS ADR 215 +215 $2
     BCS215+215$2
BAIDU INC ADR 15 +15 $2
     BIDU15+15$2
BRP GROUP INC A 75 +75 $2
     BRP75+75$2
CASS INFORMATION SYSTEMS INC 48 +48 $2
     CASS48+48$2
CHEMOURS CO THE 76 -444 $2
     CC76-444$2
CARNIVAL CORPORATION 100 UNCH $2
     CCL100UNCH$2
CHESAPEAKE UTILITIES CORP 19 +19 $2
     CPK19+19$2
CTS CORP 47 +47 $2
     CTS47+47$2
EQUINOR ASA SPON ADR 85 +85 $2
     EQNR85+85$2
HDFC BANK LTD ADR 31 +31 $2
     HDB31+31$2
HELIOS TECHNOLOGIES INC 35 +35 $2
     HLIO35+35$2
IAC INTERACTIVECORP 42 -456 $2
     IAC42-456$2
JD.COM INC ADR 57 +57 $2
     JD57+57$2
KYNDRYL HOLDINGS INC 80 UNCH $2
     KD80UNCH$2
KRAFT HEINZ COMPANY THE 46 UNCH $2
     KHC46UNCH$2
L3HARRIS TECHNOLOGIES INC 11 UNCH $2
     LHX11UNCH$2
MERCANTILE BK CORP 44 +44 $2
     MBWM44+44$2
TOPGOLF CALLAWAY BRANDS CORP 100 UNCH $2
     MODG100UNCH$2
NORWEGIAN CRUISE LINE HOLDIN 100 UNCH $2
     NCLH100UNCH$2
NV5 GLBL INC 24 +24 $2
     NVEE24+24$2
NATWEST GROUP PLC SPON ADR 253 +253 $2
     NWG253+253$2
ORIGIN BANCORP INC 58 +58 $2
     OBK58+58$2
OMNICELL INC 55 +55 $2
     OMCL55+55$2
PACIRA PHARMACEUTICALS INC 52 +52 $2
     PCRX52+52$2
POWER INTEGRATIONS INC 34 +34 $2
     POWI34+34$2
SEACOAST BANKING CORP FL 91 +91 $2
     SBCF91+91$2
SHOPIFY INC CLASS A 20 -20 $2
     SHOP20-20$2
SONY CORP SPONSORED ADR 27 +27 $2
     SONY27+27$2
SUPERNUS PHARMACEUTICALS INC 66 +66 $2
     SUPN66+66$2
VALE S A ADR 172 +172 $2
     VALE172+172$2
VIAVI SOLUTIONS INC 196 +196 $2
     VIAV196+196$2
ZTO EXPRESS CAYMAN INC SP ADR 81 +81 $2
     ZTO81+81$2
ALIBABA GROUP HOLDING SP ADR 19 +19 $1
     BABA19+19$1
BRITISH AMERICAN TOB SPON ADR 46 +10 $1
     BTI46+10$1
FMC CORP 16 -17 $1
     FMC16-17$1
FOX CORP CLASS A 17 -18 $1
     FOXA17-18$1
TECHNIPFMC PLC 49 -49 $1
     FTI49-49$1
VENECK VECTORS GOLD MINERS ETF (GDX) 20 UNCH $1
     GDX20UNCH$1
BARRICK GOLD CORP 39 -39 $1
     GOLD39-39$1
GRAY TELEVISION INC 232 +232 $1
     GTN232+232$1
P G & E CORPORATION COM 57 -58 $1
     PCG57-58$1
SIMULATIONS PLUS INC 34 +34 $1
     SLP34+34$1
TERADATA CORP 13 -14 $1
     TDC13-14$1
UBER TECHNOLOGIES INC 15 -15 $1
     UBER15-15$1
VIATRIS INC 83 -84 $1
     VTRS83-84$1
AMERICAN LITHIUM CORP 500 UNCH <$1
     AMLI500UNCH$0
NEWELL BRANDS INC 12 -11 <$1
     NWL12-11$0
KONINKLIJKE PHILIPS ELECT 19 -19 <$1
     PHG19-19$0
QURATE RETAIL GROUP INC 47 -47 <$1
     QRTEA47-47$0
SNAP INC 10 -11 $0
     SNAP10-11$0
AMPHENOL CORPORATION $0 (exited)
     APH0-496$0
CHESAPEAKE ENERGY CORP $0 (exited)
     CHK0-27$0
ISHARES MSCI EMR MRK EX CHNA $0 (exited)
     EMXC0-87$0
FIRST TRUST WATER ETF $0 (exited)
     FIW0-111$0
MUELLER INDUSTRIES INC $0 (exited)
     MLI0-182$0
MARATHON OIL CORP $0 (exited)
     MRO0-468$0
NRG ENERGY INC $0 (exited)
     NRG0-26$0
NEXSTAR MEDIA GROUP INC CL A $0 (exited)
     NXST0-130$0
INVESCO DORSEY WRIGHT MOMENT $0 (exited)
     PDP0-117$0
SCHWAB US SMALL CAP ETF $0 (exited)
     SCHA0-490$0
ISHARES 0 5YR HY CORP BOND $0 (exited)
     SHYG0-204$0
SPDR PORT S&P 500 VALUE $0 (exited)
     SPYV0-1,902$0
VANGUARD SMALL CAP VALUE ETF $0 (exited)
     VBR0-57$0
VANGUARD INT TERM CORP $0 (exited)
     VCIT0-437$0
VANGUARD INTERM TERM GOVT BOND $0 (exited)
     VGIT0-533$0
VANGIARD SHORT TERM TREASURY $0 (exited)
     VGSH0-804$0
VANGUARD MORTGAGE BACKED SEC $0 (exited)
     VMBS0-255$0
VANGUARD MID CAP VALUE ETF $0 (exited)
     VOE0-34$0
VANGUARD MID CAP GROWTH ETF $0 (exited)
     VOT0-22$0
ALKALINE WATER CO $0 (exited)
     WTER0-14$0
ENERGY SELECT SECTOR SPDR 0 -100 $0 (exited)
     XLE0-100$0

See Summary: First Financial Corp IN Top Holdings
See Details: Top 10 Stocks Held By First Financial Corp IN

EntityShares/Amount
Change
Position Value
Change
MGC +8,093+$1,512
IWB +4,597+$1,324
IWR +4,840+$407
IEFA +4,345+$322
VTWO +2,246+$191
JCI +2,354+$154
ALLY +1,994+$81
COF +445+$66
EFX +209+$56
PINS +1,524+$53
EntityShares/Amount
Change
Position Value
Change
SPYV -1,902-$89
APH -496-$49
VGSH -804-$47
VCIT -437-$36
VGIT -533-$32
SCHA -490-$23
NXST -130-$20
VMBS -255-$12
MRO -468-$11
FIW -111-$11
EntityShares/Amount
Change
Position Value
Change
SPYG +20,712+$1,527
VEA +12,276+$812
WMT +10,289+$86
WBD +2,887+$24
THFF +1,800-$3,389
IJH +1,752+$30
WFC +1,691+$138
IYR +1,283+$99
OEF +1,060+$263
VWO +785+$45
EntityShares/Amount
Change
Position Value
Change
BP -7,714-$206
AAPL -6,150-$1,658
BMY -5,865-$269
ABBV -5,177-$502
RYN -4,393-$147
ABT -4,324-$414
CL -2,730-$191
AVUV -2,667-$178
MRK -2,561+$11
Size ($ in 1000's)
At 03/31/2024: $197,004
At 12/31/2023: $196,535

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

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