Ticker | $ Bought |
---|---|
linde plc | 13,696,800 |
realty income corp | 5,335,710 |
six flags entertainment corp. | 2,936,940 |
canadian pacific kansas city l | 492,044 |
sap se sponsored adr | 415,602 |
worthington steel inc | 409,714 |
smurfit westrock plc | 291,275 |
netflix inc | 217,482 |
Ticker | % Inc. |
---|---|
tractor supply company | 400 |
first trust inst preferred sec | 391 |
advanced micro devices inc | 87.1 |
palo alto networks inc | 79.62 |
flexshares iboxx 3-year target | 69.12 |
tesla inc | 31.1 |
applied materials inc | 27.71 |
first tr nasdaq-100 equal weig | 24.56 |
Ticker | % Reduced |
---|---|
monster beverage corporation ( | -74.8 |
ford motor company | -43.19 |
vanguard real estate etf | -39.59 |
flexshares morn dev mkts ex-us | -37.68 |
dominion energy inc | -30.99 |
flexshares core select bond et | -30.8 |
northrop grumman corporation | -30.17 |
fastenal company | -29.99 |
Ticker | $ Sold |
---|---|
arista networks inc | -39,384,900 |
blackrock inc | -32,548,300 |
nokia oyj sponsored adr | -50,198 |
amplify cwp enhanced dividend | -307,401 |
flexshares ms emerging mkts fa | -417,195 |
hp inc | -200,047 |
sun life financial inc | -230,339 |
fidelity national financial in | -221,865 |
PARK NATIONAL CORP /OH/ has about 22.9% of it's holdings in Others sector.
Sector | % |
---|---|
Others | 22.9 |
Technology | 22.5 |
Financial Services | 16.1 |
Healthcare | 7.4 |
Consumer Cyclical | 6.9 |
Industrials | 6.7 |
Communication Services | 5.6 |
Consumer Defensive | 4.9 |
Energy | 3.6 |
Basic Materials | 1.7 |
PARK NATIONAL CORP /OH/ has about 70.1% of it's portfolio invested in the large-cap and mega-cap stocks.
Category | % |
---|---|
LARGE-CAP | 35.9 |
MEGA-CAP | 34.2 |
UNALLOCATED | 22.6 |
MID-CAP | 7.1 |
About 76.8% of the stocks held by PARK NATIONAL CORP /OH/ either belong to S&P 500 or RUSSELL 2000 index.
Index | % |
---|---|
S&P 500 | 69.6 |
Others | 23.2 |
RUSSELL 2000 | 7.2 |
This heatmap illustrates the top 50 positions within the fund's portfolio.
PARK NATIONAL CORP /OH/ has 287 stocks in it's portfolio. About 35.6% of the portfolio is in top 10 stocks. PANW proved to be the most loss making stock for the portfolio. TTWO was the most profitable stock for PARK NATIONAL CORP /OH/ last quarter.
Last Reported on: 08 Jan, 2025Ticker | Namesorted descending | % Portfolio | Shares Held | $ Value | Type | % Change | Options | |
---|---|---|---|---|---|---|---|---|
PRK | park national corporation | 6.96 | 1,108,320 | 189,999,000 | reduced | -4.46 | ||
Historical Trend of PARK NATIONAL CORPORATION Position Held By PARK NATIONAL CORP /OH/What % of Portfolio is PRK?:Number of PRK shares held:Change in No. of Shares Held: | ||||||||
AAPL | apple inc | 4.61 | 502,193 | 125,759,000 | reduced | -4.27 | ||
MSFT | microsoft corporation | 4.07 | 263,364 | 111,008,000 | reduced | -2.36 | ||
NVDA | nvidia corporation | 4.06 | 825,191 | 110,815,000 | reduced | -5.49 | ||
LEGR | first trust smid cap rising di | 3.71 | 2,827,590 | 101,369,000 | added | 11.72 | ||
JPM | jpmorgan chase & co | 3.33 | 379,172 | 90,891,300 | reduced | -2.69 | ||
GOOG | alphabet inc class a | 2.74 | 395,358 | 74,841,300 | reduced | -6.05 | ||
TTWO | take-two interactive software | 2.33 | 345,009 | 63,509,300 | reduced | -11.17 | ||
CSCO | cisco systems inc | 2.03 | 934,620 | 55,329,500 | reduced | -8.86 | ||
FPE | first trust preferred securiti | 1.76 | 2,713,570 | 48,030,300 | reduced | -7.99 | ||
ACN | accenture plc class a | 1.68 | 130,355 | 45,857,600 | reduced | -6.23 | ||
PG | procter & gamble company | 1.60 | 260,399 | 43,655,900 | added | 7.3 | ||
ADI | analog devices inc | 1.59 | 204,665 | 43,483,100 | reduced | -0.42 | ||
BGLD | first trust capital strength e | 1.55 | 481,410 | 42,277,400 | added | 0.55 | ||
WM | waste management inc | 1.54 | 208,515 | 42,076,200 | added | 0.8 | ||
DE | deere & company | 1.45 | 93,655 | 39,681,600 | reduced | -4.33 | ||
CDNS | cadence design systems inc | 1.39 | 126,079 | 37,881,700 | reduced | -6.08 | ||
AMZN | amazon.com inc | 1.38 | 171,906 | 37,714,500 | reduced | -5.24 | ||
V | visa inc class a | 1.35 | 116,700 | 36,881,900 | reduced | -3.77 | ||
VAW | vanguard information technolog | 1.33 | 58,208 | 36,193,700 | reduced | -2.32 | ||