Park National Corp /oh/

CIK Number: 0000805676

3.03B
Market Value
289
# of Holdings
35 months
Avg. Holding Period
Win Rate
Peformance 3-Years

Filing Date: Apr 2, 2025

Rank Symbol Name Price % Change Shares % Change Shares Market Value Avg. Price Paid % Weight Asset Type
1 PRK Park National C...
169.84
-0.52% 1.09M -1.53% 165.23M 84.59 6.08% Share
2 AAPL Apple Inc.
232.81
-0.22% 488.29K -2.77% 108.46M 19.08 3.99% Share
3 SDVY First Trust SMI...
37.27
-1.27% 3.1M +9.57% 103.79M 35.38 3.82% Share
4 MSFT Microsoft Corpo...
522.28
+0.33% 259.59K -1.43% 97.45M 31.56 3.58% Share
5 JPM JPMorgan Chase ...
294.09
+1.23% 367.81K -3% 90.22M 50.12 3.32% Share
6 NVDA NVIDIA Corporat...
182.02
+0.24% 781.34K -5.31% 84.68M 14.61 3.11% Share
7 TTWO Take-Two Intera...
233.16
-1.26% 278.36K -19.32% 57.69M 132.27 2.12% Share
8 GOOGL Alphabet Inc.
202.88
+0.46% 371.36K -6.07% 57.43M 78.45 2.11% Share
9 CSCO Cisco Systems, ...
69.28
-1.58% 857.88K -8.21% 52.94M 39.71 1.95% Share
10 WM Waste Managemen...
225.97
-1.71% 203.33K -2.49% 47.07M 137.88 1.73% Share
11 FPE First Trust Pre...
18.11
+0.03% 2.53M -6.78% 44.5M 19.91 1.64% Share
12 FTCS First Trust Cap...
92.65
-0.6% 471.65K -2.03% 42.28M 67.84 1.55% Share
13 PG The Procter & G...
153.70
-1.1% 247.74K -4.86% 42.22M 83.12 1.55% Share
14 DE Deere & Company
478.62
-6.8% 88.63K -5.37% 41.6M 369.44 1.53% Share
15 ADI Analog Devices,...
236.13
-0.63% 197.83K -3.34% 39.9M 156.12 1.47% Share
16 MCD McDonald's Corp...
308.84
+1.24% 124.89K +3.32% 39.01M 183.67 1.43% Share
17 ACN Accenture plc
246.13
+0.18% 124.28K -4.66% 38.78M 239.37 1.43% Share
18 V Visa Inc.
345.40
+0.83% 108.94K -6.65% 38.18M 173.2 1.40% Share
19 AMZN Amazon.com, Inc...
230.94
+2.84% 180.01K +4.72% 34.25M 134.24 1.26% Share
20 TJX The TJX Compani...
132.95
-0.86% 280.28K +7.15% 34.14M 71.3 1.26% Share
21 DSTL Distillate U.S....
56.41
-0.47% 611.73K +2.58% 33.18M 52.2 1.22% Share
22 VGT Vanguard Inform...
704.44
-0.4% 60.99K +4.78% 33.08M 332.24 1.22% Share
23 CDNS Cadence Design ...
348.98
-0.04% 126.55K +0.38% 32.19M 252.43 1.18% Share
24 ICE Intercontinenta...
182.62
+0.67% 184.08K -2.89% 31.75M 89.43 1.17% Share
25 ABT Abbott Laborato...
129.32
-0.06% 237.79K -8.53% 31.54M 40.27 1.16% Share
26 DHI D.R. Horton, In...
163.90
-1% 247.66K +16.37% 31.48M 78.03 1.16% Share
27 KO The Coca-Cola C...
69.52
-1.33% 420.37K -9.72% 30.11M 43.73 1.11% Share
28 BLK BlackRock, Inc.
1160.35
+0.03% 31.63K +100.00% 29.94M 946.48 1.10% Share
29 PANW Palo Alto Netwo...
173.55
-1.87% 172.8K -3.03% 29.49M 170.57 1.08% Share
30 SPGI S&P Global Inc.
564.10
+0.27% 57.29K -0.04% 29.11M 310.44 1.07% Share
31 COST Costco Wholesal...
975.42
-0.35% 30.68K -7.01% 29.02M 349.42 1.07% Share
32 CVX Chevron Corpora...
155.20
-0.43% 166.72K -4.34% 27.89M 92.47 1.03% Share
33 CRM Salesforce, Inc...
233.32
-1.57% 103.63K +2.57% 27.81M 272.5 1.02% Share
34 CMG Chipotle Mexica...
43.16
-0.74% 545.45K +14.16% 27.39M 31.08 1.01% Share
35 ANET Arista Networks...
136.47
-1.12% 349.16K +100.00% 27.05M 77.48 0.99% Share
36 META Meta Platforms,...
781.96
+0.24% 46.48K +558.67% 26.79M 515.19 0.99% Share
37 ABBV AbbVie Inc.
204.72
+1.61% 127.17K -6.97% 26.65M 110.1 0.98% Share
38 XOM Exxon Mobil Cor...
107.38
-0.21% 216.32K -3.4% 25.73M 88.32 0.95% Share
39 BRK-B Berkshire Hatha...
479.02
+0.36% 47.94K +3.98% 25.53M 394.26 0.94% Share
40 SCHW The Charles Sch...
97.75
+2.26% 318.4K -1.76% 24.92M 69.6 0.92% Share
41 NEE NextEra Energy,...
72.22
-0.1% 333.58K -0.48% 23.65M 62.34 0.87% Share
42 TDIV First Trust NAS...
92.63
-0.08% 306.57K -1.78% 22.57M 42.56 0.83% Share
43 UCON First Trust TCW...
24.95
-0.16% 884.33K +4.90% 21.89M 24.38 0.80% Share
44 FVD First Trust Val...
46.02
-0.56% 484.69K -1.33% 21.61M 32.02 0.79% Share
45 LMT Lockheed Martin...
437.38
-1.17% 47.59K -34.67% 21.26M 450.05 0.78% Share
46 MPWR Monolithic Powe...
848.74
-1.52% 33.63K +100.00% 19.51M 579.98 0.72% Share
47 JNJ Johnson & Johns...
174.72
+0.17% 106.52K -17.73% 17.66M 72.66 0.65% Share
48 SYK Stryker Corpora...
378.47
-0.13% 47.38K -2.76% 17.64M 176.05 0.65% Share
49 DHR Danaher Corpora...
210.15
+0.48% 83.77K +0.54% 17.17M 66.15 0.63% Share
50 RDVI FT Cboe Vest Ri...
25.42
-0.31% 700.2K +1.40% 16.61M 22.51 0.61% Share
51 RDVY First Trust Ris...
65.38
-0.29% 282.44K -0.95% 16.53M 45.29 0.61% Share
52 VOX Vanguard Commun...
178.87
+0.11% 106.02K -27.68% 15.73M 108.72 0.58% Share
53 COP ConocoPhillips
95.63
-0.26% 149.37K -0.47% 15.69M 45.37 0.58% Share
54 BRK-A Berkshire Hatha...
718340.00
+0.40% 19 0.00% 15.17M 131591.63 0.56% Share
55 LIN Linde plc
477.49
+0.39% 32.54K -0.52% 15.15M 418.67 0.56% Share
56 FTSM First Trust Enh...
59.99
-0.02% 245.76K +7.42% 14.71M 59.82 0.54% Share
57 ZTS Zoetis Inc.
153.05
+0.40% 86.56K +0.49% 14.25M 105.19 0.52% Share
58 CVS CVS Health Corp...
66.70
+1.22% 205.21K -11.87% 13.9M 59.89 0.51% Share
59 HYLS First Trust Tac...
41.89
-0.26% 325.55K -1.23% 13.36M 47.02 0.49% Share
60 VTI Vanguard Total ...
317.25
-0.13% 47.51K +0.72% 13.06M 228.26 0.48% Share
61 IVV iShares Core S&...
648.15
+0.01% 23.11K +0.98% 12.98M 289.59 0.48% Share
62 GEV GE Vernova Inc.
625.14
-1.45% 41.8K +2.03K% 12.76M 298.82 0.47% Share
63 SLB Schlumberger Li...
33.20
-1.03% 296.85K -2.81% 12.41M 42.46 0.46% Share
64 HD The Home Depot,...
400.32
-1.68% 32.16K -2.46% 11.79M 33.56 0.43% Share
65 CAH Cardinal Health...
150.22
+1.42% 84.19K -6.05% 11.6M 101.77 0.43% Share
66 MDT Medtronic plc
91.95
-1.03% 126.78K -4.37% 11.39M 82.67 0.42% Share
67 AZN AstraZeneca PLC
78.49
+0.71% 147.72K -4.16% 10.86M 56.89 0.40% Share
68 MCK McKesson Corpor...
673.84
+1.61% 16.04K -4.85% 10.79M 272.39 0.40% Share
69 MKC McCormick & Com...
70.21
-0.58% 129.66K +100.00% 10.67M 82.31 0.39% Share
70 FGD First Trust Dow...
28.98
-0.29% 430.15K +2.30% 10.41M 23.39 0.38% Share
71 AMT American Tower ...
203.48
-0.33% 47.77K -1.75% 10.39M 186.46 0.38% Share
72 COR Cencora, Inc.
294.88
+1.32% 37.33K -4.38% 10.38M 173.39 0.38% Share
73 HCA HCA Healthcare,...
393.61
+0.81% 29.4K +0.45% 10.16M 232.31 0.37% Share
74 FTGS First Trust Gro...
34.88
-0.29% 335.79K +2.98% 9.99M 25.23 0.37% Share
75 ADP Automatic Data ...
301.52
-1.12% 30.19K -6.44% 9.22M 47.71 0.34% Share
76 LLY Eli Lilly and C...
684.46
+3.63% 10.85K -5.18% 8.96M 103.32 0.33% Share
77 BDX Becton, Dickins...
195.03
-0.48% 38.26K +2.93% 8.76M 248.37 0.32% Share
78 VAW Vanguard Materi...
203.88
-0.96% 44.64K +590.98% 8.43M 186.16 0.31% Share
79 FANG Diamondback Ene...
140.71
+0.52% 51.49K +13.71% 8.23M 182.07 0.30% Share
80 PEP PepsiCo, Inc.
148.62
-0.49% 54.45K -14.33% 8.16M 74.51 0.30% Share
81 HAL Halliburton Com...
21.35
+0.71% 321K +6.22% 8.14M 28.73 0.30% Share
82 FIXD First Trust TCW...
43.94
-0.26% 178.36K +10.13% 7.82M 43.66 0.29% Share
83 O Realty Income C...
57.83
-0.1% 123.93K +24.05% 7.19M 54.3 0.26% Share
84 ECL Ecolab Inc.
279.98
-0.66% 25.93K -60.59% 6.57M 181.18 0.24% Share
85 EMR Emerson Electri...
134.37
-0.43% 58.78K -6.02% 6.44M 55.05 0.24% Share
86 EMLP First Trust Nor...
38.02
-0.2% 171.8K -2.01% 6.44M 25.18 0.24% Share
87 BRO Brown & Brown, ...
95.14
-0.8% 51.63K -0.32% 6.42M 13.51 0.24% Share
88 APD Air Products an...
292.08
-0.72% 20.09K -5.22% 5.92M 87.31 0.22% Share
89 COF Capital One Fin...
221.13
+1.92% 31.86K +100.00% 5.71M 179.3 0.21% Share
90 CTAS Cintas Corporat...
221.28
-1.7% 27.26K +17.23% 5.6M 64.41 0.21% Share
91 VCR Vanguard Consum...
381.96
-0.19% 17.09K +1.50% 5.56M 221.27 0.20% Share
92 VNQ Vanguard Real E...
89.16
-0.71% 61.41K -25.51% 5.56M 75.36 0.20% Share
93 VOO Vanguard S&P 50...
592.77
-0.01% 10.34K +0.02% 5.31M 326.42 0.20% Share
94 RPM RPM Internation...
124.09
-1.16% 44.7K -3.01% 5.17M 75.85 0.19% Share
95 PNC The PNC Financi...
194.55
+0.59% 27.77K -9.87% 4.88M 116.07 0.18% Share
96 DIS The Walt Disney...
116.33
-0.27% 47.7K -10.84% 4.71M 99.4 0.17% Share
97 BIV Vanguard Interm...
77.31
-0.3% 60.15K +1.00% 4.61M 73.39 0.17% Share
98 MRK Merck & Co., In...
82.74
+0.04% 51.23K -4.53% 4.6M 51.33 0.17% Share
99 AXP American Expres...
307.72
+0.28% 16.73K -3.09% 4.5M 73.88 0.17% Share
100 VEA Vanguard Develo...
58.60
-0.18% 87.7K +2.23% 4.46M 44.46 0.16% Share
101 CSX CSX Corporation
36.35
+0.75% 151.08K -15.05% 4.45M 22.93 0.16% Share
102 TT Trane Technolog...
428.66
-1.43% 13K -4.66% 4.38M 163.41 0.16% Share
103 FTRI First Trust Ind...
14.53
-0.62% 323.68K -0.75% 4.29M 12.67 0.16% Share
104 TGT Target Corporat...
104.22
-1.08% 37.74K -7.6% 3.94M 69.6 0.14% Share
105 VIS Vanguard Indust...
289.59
-0.99% 15.82K +29.48% 3.92M 199.35 0.14% Share
106 VHT Vanguard Health...
248.84
+0.49% 14.67K -1.97% 3.88M 247.97 0.14% Share
107 HYGV FlexShares High...
40.80
-0.16% 93.48K +100.00% 3.77M 40.38 0.14% Share
108 VFH Vanguard Financ...
129.72
+0.42% 31.42K -1.3% 3.75M 82.17 0.14% Share
109 HBAN Huntington Banc...
16.80
+0.45% 242.88K -0.65% 3.65M 15.04 0.13% Share
110 SPY SPDR S&P 500 ET...
644.93
+0.01% 6.51K +14.77% 3.64M 408.03 0.13% Share
111 IBM International B...
237.04
-1.26% 14.01K -1.9% 3.48M 129.51 0.13% Share
112 CB Chubb Limited
275.69
+0.24% 11.14K -3.72% 3.36M 121.71 0.12% Share
113 FYX First Trust Sma...
103.79
-1.42% 36.47K -4.76% 3.29M 79.28 0.12% Share
114 GD General Dynamic...
315.89
-0.5% 11.98K -2.62% 3.26M 149.92 0.12% Share
115 NKE NIKE, Inc.
76.39
-1.04% 49.76K -7.5% 3.16M 48.46 0.12% Share
116 TXN Texas Instrumen...
193.71
+0.22% 17.15K +0.69% 3.08M 37.05 0.11% Share
117 BAC Bank of America...
47.70
+0.97% 73.45K -8.41% 3.07M 17.31 0.11% Share
118 UNP Union Pacific C...
221.35
-0.82% 12.81K -3.52% 3.03M 71.29 0.11% Share
119 GPC Genuine Parts C...
137.79
-0.19% 24.16K -1.02% 2.88M 75.88 0.11% Share
120 MMM 3M Company
156.66
-2.21% 19.5K -4.05% 2.86M 98.62 0.11% Share
121 TDTT FlexShares iBox...
24.29
-0.08% 111.34K +38.76% 2.71M 24.14 0.10% Share
122 CAT Caterpillar Inc...
417.50
+0.92% 8.22K -0.92% 2.71M 105.73 0.10% Share
123 MPC Marathon Petrol...
162.32
+0.36% 17.67K -46.64% 2.57M 112.18 0.09% Share
124 WMT Walmart Inc.
100.84
-0.15% 26.49K +0.07% 2.33M 29.48 0.09% Share
125 HON Honeywell Inter...
218.15
-0.73% 10.77K -12.08% 2.28M 136.27 0.08% Share
126 DVY iShares Select ...
138.75
-0.41% 16.82K 0.00% 2.26M 81.3 0.08% Share
127 VDE Vanguard Energy...
120.19
-0.14% 16.44K -7.6% 2.13M 121.29 0.08% Share
128 GE GE Aerospace
269.72
+0.32% 10.62K -0.5% 2.13M 64.12 0.08% Share
129 GRC The Gorman-Rupp...
42.08
-2.9% 60.2K 0.00% 2.11M 24.72 0.08% Share
130 AVGO Broadcom Inc.
311.19
+0.68% 11.6K -2.62% 1.94M 46.69 0.07% Share
131 ITW Illinois Tool W...
262.44
-1.83% 7.78K +4.01% 1.93M 61.69 0.07% Share
132 LANC Lancaster Colon...
172.77
-4.03% 11K 0.00% 1.93M 54.56 0.07% Share
133 CINF Cincinnati Fina...
154.13
+0.08% 12.69K +0.57% 1.87M 47.54 0.07% Share
134 GDX VanEck Gold Min...
57.70
-0.63% 40K 0.00% 1.84M 32.5 0.07% Share
135 DUK Duke Energy Cor...
124.26
-1.15% 15.07K -7.82% 1.84M 67.84 0.07% Share
136 T AT&T Inc.
28.75
+1.27% 62.77K -0.13% 1.78M 25.24 0.07% Share
137 NSC Norfolk Souther...
282.46
+0.22% 7.36K -0.97% 1.74M 90.44 0.06% Share
138 BNDC FlexShares Core...
22.22
-0.3% 77.53K -35.54% 1.72M 24.37 0.06% Share
139 NFRA FlexShares STOX...
62.66
-0.18% 29.52K +8.85% 1.7M 52.23 0.06% Share
140 SHEL Shell plc
72.64
-0.15% 23.16K -15.56% 1.7M 56.57 0.06% Share
141 FUN Six Flags Enter...
26.70
+1.29% 47.45K -22.14% 1.69M 48.19 0.06% Share
142 GQRE FlexShares Glob...
59.87
-0.46% 29.06K +9.76% 1.68M 58.82 0.06% Share
143 INTC Intel Corporati...
23.86
+7.38% 73.95K +4.03% 1.68M 29.5 0.06% Share
144 SHW The Sherwin-Wil...
365.43
-0.92% 4.77K -29.84% 1.67M 254.01 0.06% Share
145 DAL Delta Air Lines...
58.97
-0.76% 36.29K +0.08% 1.58M 48.28 0.06% Share
146 ORCL Oracle Corporat...
244.93
+0.31% 11.26K -4.89% 1.57M 28.5 0.06% Share
147 QCOM QUALCOMM Incorp...
158.09
+0.96% 10.09K -9.4% 1.55M 128.9 0.06% Share
148 NVS Novartis AG
122.14
+0.78% 13.85K -6.38% 1.54M 62.85 0.06% Share
149 PFE Pfizer Inc.
25.11
-0.22% 59.55K -29.35% 1.51M 31.29 0.06% Share
150 GOOG Alphabet Inc.
203.77
+0.36% 9.21K -20.85% 1.44M 64.8 0.05% Share