Exxon Mobil Corp Com

7.69%

1,372,052

$161,325,915,000 9.97% Vanguard Total Bond Market Etf

28.80%

1,448,632

$101,085,512,000 6.24% Vanguard Sp 500 Etf

0.91%

253,866

$99,693,196,000 6.16% Ishares Msci Intl Quality Factor Etf

38.45%

1,880,550

$63,205,294,000 3.90% Vanguard Total International Stock Etf

2.69%

1,129,229

$60,436,316,000 3.73% Ishares Msci Usa Quality Factor Etf

65.14%

388,878

$51,250,202,000 3.17% Franklin U.s. Core Bond Etf

7.41%

2,210,842

$45,344,379,000 2.80% iShares MSCI ACWI ETF

3.08%

457,541

$42,263,087,000 2.61% First Trust TCW Opportunistic Fixed Income ETF

4.07%

964,032

$40,542,364,000 2.50% Ishares Core Dividend Growth Etf

4.19%

799,473

$39,597,920,000 2.45% Janus Detroit Street Trust Janus Henderson Aaa Clo Etf

2.85%

714,214

$35,946,386,000 2.22% JPMorgan International Research Enhanced Equity ETF

Opened

654,509

$35,585,654,000 2.20% iShares 7-10 Year Treasury Bond ETF

203,381.93%

337,780

$30,937,271,000 1.91% Vanguard Short-term Bond Etf

10.83%

406,046

$30,522,456,000 1.89% Vanguard Ftse Europe Etf

0.92%

502,628

$29,117,230,000 1.80% iShares Morningstar Mid-Cap Growth ETF

6.28%

370,193

$21,149,142,000 1.31% Microsoft Corp Com

2.46%

60,518

$19,108,578,000 1.18% Columbia Em Core Ex-china Etf

Opened

687,335

$18,846,726,000 1.16% Schwab U.s. Small-cap Etf

10.52%

450,678

$18,667,091,000 1.15% Apple Inc

2.56%

108,893

$18,643,553,000 1.15% Vanguard Mid-cap Value Etf

5.05%

141,925

$18,586,515,000 1.15% Visa Inc

4.68%

57,924

$13,323,181,000 0.82% Caterpillar Inc.

1.33%

46,491

$12,692,174,000 0.78% Cisco Sys Inc Com

1.00%

225,860

$12,142,256,000 0.75% Chevron Corp New Com

0.25%

69,336

$11,691,476,000 0.72% International Business Machs Com

0.30%

81,355

$11,414,080,000 0.71% Honeywell Intl Inc Com

41.30%

58,631

$10,831,426,000 0.67% Lockheed Martin Corp Com

2.38%

26,466

$10,823,644,000 0.67% Amazon.com Inc.

3.18%

84,690

$10,765,793,000 0.67% Comcast Corp New Cl A

12,210.58%

237,348

$10,524,026,000 0.65% Paccar Inc.

Opened

122,932

$10,451,679,000 0.65% Blackrock Inc.

0.83%

15,966

$10,321,824,000 0.64% Pepsico Inc Com

1.71%

60,159

$10,193,320,000 0.63% Duke Energy Corp New Com New

1.93%

111,448

$9,836,390,000 0.61% Restaurant Brands Intl Inc Com

18.55%

144,168

$9,604,472,000 0.59% Pnc Finl Svcs Group Inc Com

19.04%

76,592

$9,403,160,000 0.58% Schwab International Equity Etf

9.67%

274,371

$9,317,639,000 0.58% Old Rep Intl Corp Com

1.86%

343,353

$9,249,939,000 0.57% Alphabet Inc Cap Stk Cl A

3.46%

70,251

$9,193,046,000 0.57% Abbvie Inc

0.89%

60,875

$9,074,042,000 0.56% Digital Rlty Tr Inc Com

0.49%

74,819

$9,054,561,000 0.56% Schwab U.s. Large-cap Growth Etf

2.44%

122,833

$8,932,422,000 0.55% Williams Cos Inc

0.11%

261,498

$8,809,855,000 0.54% Pfizer Inc.

3.22%

263,996

$8,756,750,000 0.54% Palo Alto Networks Inc

32.13%

36,935

$8,659,041,000 0.53% Invesco Qqq Trust Series I

5.46%

22,786

$8,163,688,000 0.50% Salesforce Inc

3.77%

39,741

$8,058,680,000 0.50% Procter And Gamble Co Com

0.54%

53,347

$7,781,260,000 0.48% Att Inc Com

4.09%

509,500

$7,652,693,000 0.47% Home Depot, Inc.

9.20%

24,938

$7,535,239,000 0.47% Schwab U.s. Large-cap Value Etf

11.37%

116,317

$7,497,789,000 0.46% Walmart Inc

34.71%

44,920

$7,184,115,000 0.44% Netflix Inc.

173.87%

18,796

$7,097,370,000 0.44% Unitedhealth Group Inc

7.47%

13,685

$6,899,683,000 0.43% Starbucks Corp Com

6.39%

75,335

$6,875,834,000 0.42% Texas Instrs Inc Com

14.87%

42,980

$6,834,280,000 0.42% General Dynamics Corp Com

8.93%

30,581

$6,757,412,000 0.42% Mcdonalds Corp Com

2.89%

25,624

$6,750,346,000 0.42% Truist Finl Corp Com

9.28%

228,631

$6,541,121,000 0.40% Uber Technologies Inc

1.57%

141,825

$6,522,532,000 0.40% Meta Platforms Inc

14.51%

21,476

$6,447,310,000 0.40% Mastercard Incorporated

4.39%

15,865

$6,281,188,000 0.39% Coca Cola Co Com

7.30%

111,094

$6,219,016,000 0.38% Costco Whsl Corp New Com

6.13%

10,993

$6,210,625,000 0.38% CME Group Inc

Opened

30,474

$6,101,416,000 0.38% Cvs Health Corp Com

4.85%

87,040

$6,077,147,000 0.38% Merck Co Inc Com

0.69%

58,997

$6,073,749,000 0.38% Applied Matls Inc Com

37.27%

42,894

$5,938,708,000 0.37% Xcel Energy Inc.

7.89%

102,911

$5,888,549,000 0.36% Prudential Finl Inc Com

1.21%

61,802

$5,864,391,000 0.36% Vertex Pharmaceuticals, Inc.

45.45%

16,304

$5,669,553,000 0.35% Danaher Corporation Com

25.41%

22,773

$5,649,869,000 0.35% Gilead Sciences, Inc.

1.28%

74,751

$5,601,843,000 0.35% Jpmorgan Chase Co Com

3.62%

38,571

$5,593,555,000 0.35% MercadoLibre Inc

15.95%

4,370

$5,540,636,000 0.34% Nike, Inc.

27.75%

56,485

$5,401,129,000 0.33% AMGEN Inc.

15.35%

20,095

$5,400,785,000 0.33% Te Connectivity Ltd Shs

31,838.81%

42,798

$5,286,837,000 0.33% Bristol-myers Squibb Co Com

4.67%

90,285

$5,240,135,000 0.32% Ishares Core Msci Eafe Etf

0.09%

79,513

$5,116,630,000 0.32% Metlife Inc

14.51%

80,679

$5,075,522,000 0.31% United Parcel Service, Inc.

20.04%

31,989

$4,986,120,000 0.31% Medtronic Plc Shs

15.46%

62,873

$4,926,728,000 0.30% Adobe Inc

34.84%

9,466

$4,826,713,000 0.30% Johnson Johnson Com

6.34%

30,627

$4,770,209,000 0.29% Schwab Us Aggregate Bond Etf

0.63%

104,006

$4,600,164,000 0.28% Spdr Bloomberg Short Term High Yield Bond Etf

Closed

180,272

$4,477,956,000 Price T Rowe Group Inc Com

8.72%

42,418

$4,448,417,000 0.27% Victory Portfolios Ii Victoryshares Core Intermediate Bond Etf

173,907.02%

99,184

$4,417,858,000 0.27% NextEra Energy Inc

26.62%

74,814

$4,286,070,000 0.26% Nvidia Corporation Com

1,173.77%

9,617

$4,183,384,000 0.26% Accenture Plc Ireland Shs Class A

6.25%

12,433

$3,818,299,000 0.24% Goldman Sachs Group, Inc.

22.04%

11,667

$3,775,099,000 0.23% Sp Global Inc Com

109.84%

10,169

$3,715,679,000 0.23% Vanguard Total Stock Market Etf

33.45%

16,031

$3,405,108,000 0.21% Shopify Inc

25.12%

61,181

$3,338,647,000 0.21% Analog Devices Inc.

6,148.15%

18,557

$3,249,158,000 0.20% Lauder Estee Cos Inc Cl A

10.12%

21,136

$3,055,245,000 0.19% Ishares Msci Eafe Growth Etf

No change

34,446

$2,972,718,000 0.18% Ishares Esg Aware Msci Usa Etf

17.09%

29,794

$2,797,918,000 0.17% Ishares U.s. Medical Devices Etf

5.58%

53,389

$2,589,377,000 0.16% Schwab Emerging Markets Equity Etf

87.17%

103,605

$2,480,304,000 0.15% Altria Group Inc.

1,952.20%

55,902

$2,350,679,000 0.15% Invesco Sp 500 Garp Etf

Opened

25,583

$2,334,193,000 0.14% Ishares Core Sp Mid-cap Etf

0.52%

8,476

$2,113,561,000 0.13% Invesco NASDAQ 100 ETF

31.01%

14,131

$2,082,996,000 0.13% Capital Group Dividend Value Etf

Opened

74,082

$1,960,951,000 0.12% Dollar Gen Corp New Com

14.88%

17,983

$1,902,648,000 0.12% Invesco Water Resources ETF

5.16%

33,731

$1,793,837,000 0.11% Vanguard Intermediate-term Bond Etf

2.64%

24,261

$1,754,304,000 0.11% Royal Bk Cda Com

No change

19,732

$1,725,366,000 0.11% Ishares Russell 1000 Growth Etf

3.64%

6,176

$1,642,629,000 0.10% DocuSign Inc

21.27%

36,953

$1,552,026,000 0.10% Pacer Us Small Cap Cash Cows 100 Etf

Opened

35,673

$1,487,564,000 0.09% Schwab U.s. Broad Market Etf

8.09%

28,100

$1,400,776,000 0.09% Health Care Select Sector Spdr Fund

43.84%

10,351

$1,332,613,000 0.08% Spdr Sp Semiconductor Etf

6.31%

6,725

$1,318,090,000 0.08% Janus Henderson Small/Mid Cap Growth Alpha ETF

Opened

21,836

$1,276,096,000 0.08% Consumer Staples Select Sector Spdr Fund

Closed

16,820

$1,256,622,000 Philip Morris Intl Inc Com

1,219.10%

13,125

$1,215,113,000 0.08% Oracle Corp Com

1.13%

11,064

$1,171,890,000 0.07% Shell Plc Spon Ads

22.00%

17,793

$1,145,499,000 0.07% Enterprise Prods Partners L P Com

0.05%

40,218

$1,100,758,000 0.07% iShares MBS ETF

No change

12,254

$1,088,127,000 0.07% iShares MSCI EAFE Small-Cap ETF

No change

17,951

$1,013,693,000 0.06% Schwab U.s. Mid-cap Etf

8.23%

14,838

$1,004,236,000 0.06% Ishares Core Sp Total U.s. Stock Market Etf

1.11%

10,580

$996,530,000 0.06% Franklin Libertyq U.s. Equity Etf

19.11%

21,079

$907,873,000 0.06% Ishares International Select Dividend Etf

0.00%

34,473

$875,603,000 0.05% Vanguard High Dividend Yield Index Etf

1.37%

8,361

$863,825,000 0.05% Ishares Core Sp 500 Etf

33.91%

2,006

$861,358,000 0.05% Xtrackers Usd High Yield Corporate Bond Etf

10.41%

23,431

$794,311,000 0.05% Spdr Gold Shares

24.05%

4,528

$776,326,000 0.05% Ishares Esg Aware Us Aggregate Bond Etf

126.32%

15,691

$710,802,000 0.04% Ishares Russell 1000 Value Etf

No change

4,514

$685,315,000 0.04% Bank Nova Scotia Halifax Com

0.85%

14,992

$683,485,000 0.04% Ishares Sp 500 Growth Etf

257.11%

9,567

$654,605,000 0.04% Eaton Corp Plc Shs

2.46%

2,654

$566,045,000 0.03% Tesla Inc

39.84%

2,215

$554,237,000 0.03% Verizon Communications Inc

7.81%

17,038

$552,206,000 0.03% Ishares Msci Eafe Min Vol Factor Etf

No change

8,088

$527,499,000 0.03% Berkshire Hathaway Inc Del Cl B New

13.43%

1,470

$514,941,000 0.03% Colgate Palmolive Co Com

20.87%

6,944

$493,813,000 0.03% Pioneer Nat Res Co Com

1,332.67%

2,149

$493,303,000 0.03% Vanguard Extended Market Etf

2,466.92%

3,337

$478,292,000 0.03% Spdr Portfolio Sp 500 High Dividend Etf

2.63%

13,433

$471,104,000 0.03% Vanguard Small-cap Etf

1.97%

2,488

$470,409,000 0.03% Wisdomtree Europe Hedged Equity Fund

108.25%

11,764

$464,675,000 0.03% ProShares UltraPro QQQ

Closed

16,025

$452,867,000 Vanguard Value Etf

0.93%

3,179

$438,502,000 0.03% Vanguard Ftse Developed Markets Etf

150.80%

9,533

$416,803,000 0.03% Alphabet Inc Cap Stk Cl C

10.91%

3,039

$400,692,000 0.02% Spdr Sp Midcap 400 Etf Trust

No change

873

$398,647,000 0.02% Ishares Sp 500 Value Etf

101.35%

2,537

$390,336,000 0.02% Ishares Core High Dividend Etf

Opened

3,893

$384,979,000 0.02% Invesco Senior Loan Etf

3,034.78%

18,025

$378,345,000 0.02% iShares 0-3 Month Treasury Bond

7,318.00%

3,709

$373,403,000 0.02% Fidelity Msci Information Technology Index Etf

1,230.63%

2,954

$363,174,000 0.02% Deere Co Com $358,134,000 0.02% Mplx Lp Com Unit Rep Ltd

No change

9,848

$350,293,000 0.02% Blackstone Inc

3.42%

3,173

$339,955,000 0.02% Omega Healthcare Invs Inc Com

No change

10,212

$338,630,000 0.02% Vanguard Financials Etf

2.72%

4,184

$336,059,000 0.02% Lowes Cos Inc Com

5.54%

1,603

$333,215,000 0.02% Vanguard Growth Etf

21.25%

1,212

$330,070,000 0.02% Schwab Us Dividend Equity Etf

99.31%

4,649

$328,969,000 0.02% Vanguard Large-cap Etf

No change

1,656

$324,063,000 0.02% Intel Corp Com

20.34%

9,017

$320,539,000 0.02% Energy Transfer L P Com Ut Ltd Ptn

20.77%

22,228

$311,857,000 0.02% Vanguard Russell 2000 Etf

1.00%

4,361

$311,550,000 0.02% Spdr Sp 500 Etf Trust

35.75%

728

$311,186,000 0.02% Invesco Sp 500 Equal Weight Technology Etf

912.40%

10,944

$308,061,000 0.02% Dominion Energy Inc

95.03%

6,890

$307,782,000 0.02% Ishares Russell 1000 Etf

No change

1,303

$306,088,000 0.02% Ishares Core U.s. Aggregate Bond Etf

12.70%

3,190

$299,988,000 0.02% Janus Henderson Short Duration Income Etf

7.42%

6,190

$296,934,000 0.02% Ishares Core Msci Emerging Markets Etf

4.69%

6,122

$291,346,000 0.02% Magellan Midstream Prtnrs Lp Com Unit Rp Lp

Closed

5,369

$291,331,000 Hershey Co Com

0.56%

1,431

$286,269,000 0.02% Welltower Inc.

0.21%

3,377

$276,644,000 0.02% Schwab Intermediate-term Us Treasury Etf

7.63%

5,741

$275,224,000 0.02% Vanguard Mid-cap Etf

15.72%

1,303

$271,283,000 0.02% Ishares Gold Trust

0.03%

7,637

$267,219,000 0.02% Ishares Esg Aware Msci Eafe Etf

156.23%

3,846

$265,870,000 0.02% Oneok Inc New Com

1,011.29%

4,034

$255,877,000 0.02% Enbridge Inc

0.95%

7,335

$246,016,000 0.02% Iron Mtn Inc Del Com

1.56%

4,109

$244,280,000 0.02% Vanguard Small-cap Growth Etf

11.66%

1,092

$233,935,000 0.01% Regions Financial Corp New Com

Opened

13,218

$227,350,000 0.01% Invesco Ultra Short Duration Etf

8.77%

4,568

$227,014,000 0.01% Broadcom Inc.

10.98%

273

$226,867,000 0.01% Henry Jack Assoc Inc Com

0.60%

1,488

$224,954,000 0.01% Vanguard Energy Etf

No change

1,728

$219,007,000 0.01% Ishares Silver Trust

178.04%

10,663

$216,885,000 0.01% Vanguard Small Cap Value Etf

173.63%

1,245

$198,518,000 0.01% Invesco Sp 500 Top 50 Etf

862.69%

5,805

$197,122,000 0.01% Brighthouse Finl Inc Com

4.21%

192,209

$197,099,000 0.01% Pimco 15 Year Us Tips Index Etf

2.62%

3,601

$189,207,000 0.01% iShares MSCI Emerging Markets ex China ETF

22.56%

3,790

$188,856,000 0.01% Us Bancorp Del Com New

97.13%

5,646

$186,665,000 0.01% Bank Montreal Que Com

31.94%

2,202

$185,783,000 0.01% Advanced Micro Devices Inc.

52.00%

1,789

$183,945,000 0.01% Disney Walt Co Com

93.42%

2,267

$183,702,000 0.01% Yum Brands Inc.

20.10%

1,446

$180,690,000 0.01% General Mls Inc Com

0.04%

2,807

$179,641,000 0.01% Old Dominion Freight Line, Inc.

No change

416

$170,202,000 0.01% Boeing Co Com $169,327,000 0.01% Spdr Bloomberg Convertible Securities Etf

No change

2,482

$168,295,000 0.01% Microchip Technology Inc. Com

4.44%

2,152

$167,964,000 0.01% Seagate Technology Hldngs Plc Ord Shs

No change

2,380

$156,961,000 0.01% Wisdomtree International Hedged Quality Dividend Growth Fund

2,806.62%

3,953

$153,127,000 0.01% Spdr Ssga Us Large Cap Low Volatility Index Etf

2.05%

1,145

$152,842,000 0.01% Vanguard International High Dividend Yield Etf

26.24%

2,420

$149,801,000 0.01% Pacer Global Cash Cows Dividend Etf

Opened

4,576

$148,911,000 0.01% Ishares Core Sp Small Cap Etf

8.69%

1,535

$144,751,000 0.01% Invesco Sp 500 Equal Weight Health Care Etf

902.53%

5,153

$141,187,000 0.01% Automatic Data Processing Inc.

71.01%

578

$139,078,000 0.01% Blackrock Tcp Capital Corp Com

1.87%

11,812

$138,673,000 0.01% Spdr Sp 600 Small Cap Value Etf

374.06%

1,901

$137,592,000 0.01% Vanguard Dividend Appreciation Etf

45.14%

881

$136,932,000 0.01% Blackrock Ultra Short-term Bond Etf

82.99%

2,688

$135,421,000 0.01% Keycorp Com

97.60%

12,219

$131,476,000 0.01% iShares Core Total USD Bond Market ETF

No change

3,000

$131,145,000 0.01% Rtx Corporation Com

47.52%

1,816

$130,698,000 0.01% Spdr Sp Global Dividend Etf

Closed

2,215

$130,606,000 Ishares Esg Aware Msci Em Etf

153.90%

4,268

$129,235,000 0.01% Valero Energy Corp Com $128,362,000 0.01% Vanguard Global Ex-u.s. Real Estate Etf

No change

3,276

$127,535,000 0.01% American Elec Pwr Co Inc Com

109.65%

1,694

$127,423,000 0.01% Bce Inc Com New

13.02%

3,326

$127,053,000 0.01% Devon Energy Corp New Com

5.20%

2,630

$125,451,000 0.01% Vanguard Long-term Treasury Etf

10.12%

2,255

$125,175,000 0.01% Fidelity Msci Industrial Index Etf

Opened

2,295

$124,205,000 0.01% Morgan Stanley Com New

8.71%

1,520

$124,138,000 0.01% Thermo Fisher Scientific Inc. $124,012,000 0.01% Qualcomm, Inc.

21.32%

1,081

$120,090,000 0.01% Marsh Mclennan Cos Inc Com

No change

626

$119,128,000 0.01% Ishares Sp Mid-cap 400 Value Etf

No change

1,165

$117,568,000 0.01% Motorola Solutions Inc Com New

No change

427

$116,246,000 0.01% Energy Select Sector Spdr Fund

83.00%

1,270

$114,785,000 0.01% American Intl Group Inc Com New

1.93%

114,024

$114,024,000 0.01% Union Pac Corp Com

17.80%

554

$112,791,000 0.01% Ishares Frontier And Select Em Etf

No change

4,344

$112,596,000 0.01% Cencora Inc. $111,349,000 0.01% British Amern Tob Plc Sponsored Adr

1.00%

3,534

$111,003,000 0.01% Abbott Labs Com

9.41%

1,139

$110,317,000 0.01% Alibaba Group Hldg Ltd Sponsored Ads

40.18%

1,256

$108,945,000 0.01% Kkr Co Inc Com

No change

1,745

$107,492,000 0.01% Ishares U.s. Treasury Bond Etf

22.10%

4,836

$106,579,000 0.01% Ishares Russell Mid-cap Growth Etf

No change

1,157

$105,692,000 0.01% Lam Research Corp Com $104,671,000 0.01% Kroger Co Com

No change

2,319

$103,775,000 0.01% Ishares Sp Small-cap 600 Growth Etf

No change

939

$102,990,000 0.01% Yum China Hldgs Inc Com

16.86%

1,844

$102,761,000 0.01% Bank America Corp Com

48.86%

3,709

$101,565,000 0.01% Spdr Portfolio Emerging Markets Etf

31.82%

2,900

$97,353,000 0.01% Crown Castle Inc

98.24%

1,058

$97,338,000 0.01% Schwab International Dividend Equity ETF

5.25%

4,210

$96,830,000 0.01% Spdr Russell 1000 Yield Focus Etf

74.50%

1,054

$96,364,000 0.01% Eli Lilly Co Com

103.41%

179

$96,146,000 0.01% Oxford Inds Inc Com

Opened

1,000

$96,130,000 0.01% Vanguard Health Care Etf $93,335,000 0.01% Barrick Gold Corp Com

No change

6,392

$93,004,000 0.01% Blackrock Enhancd Cap Inm Fd Com

No change

4,950

$92,318,000 0.01% Global X Mlp Etf

No change

2,067

$92,168,000 0.01% Alerian Mlp Etf

No change

2,183

$92,123,000 0.01% Spdr Dow Jones Industrial Average Etf Trust

10.98%

273

$91,504,000 0.01% Ishares Msci Eafe Etf

80.11%

1,313

$90,503,000 0.01% Novo-nordisk A S Adr

100.00%

992

$90,212,000 0.01% Vaneck Gold Miners Etf

24.94%

3,172

$85,359,000 0.01% Bp Plc Sponsored Adr

5.93%

2,198

$85,117,000 0.01% Asml Holding N V N Y Registry Shs

118.46%

142

$83,590,000 0.01% Vanguard Total World Stock Etf $83,320,000 0.01% Vanguard Industrials Etf $82,672,000 0.01% 3m Co Com $81,914,000 0.01% Astrazeneca Plc Sponsored Adr

No change

1,208

$81,806,000 0.01% Southern Co Com

7.67%

1,264

$81,784,000 0.01% Ishares Msci Usa Momentum Factor Etf $79,507,000 0.00% Financial Select Sector Spdr Fund

12.64%

2,371

$78,653,000 0.00% Materials Select Sector Spdr Fund

3.29%

1,000

$78,550,000 0.00% Ishares Expanded Tech Sector Etf

No change

201

$76,818,000 0.00% Msc Indl Direct Inc Cl A

No change

780

$76,557,000 0.00% Toast, Inc.

Opened

4,043

$75,725,000 0.00% Constellation Brands, Inc.

98.51%

300

$75,399,000 0.00% Vanguard Short-term Inflation-protected Securities Etf

0.50%

1,594

$75,385,000 0.00% Ventas Inc

0.80%

1,763

$74,277,000 0.00% Wells Fargo Co New Com

18.84%

1,817

$74,243,000 0.00% Ishares Russell Midcap Etf

387.56%

1,058

$73,280,000 0.00% Chipotle Mexican Grill

300.00%

40

$73,273,000 0.00% Vaneck Ig Floating Rate Etf

Closed

2,899

$72,388,000 ForgeRock, Inc.

Closed

3,505

$72,203,000 United Airls Hldgs Inc Com

12.86%

1,703

$72,037,000 0.00% Spdr Sp 600 Small Cap Growth Etf

132.70%

982

$71,923,000 0.00% Fidelity Msci Financials Index Etf

Opened

1,544

$71,889,000 0.00% Invesco Sp 500 Pure Growth Etf

403.65%

2,347

$70,757,000 0.00% Vanguard Mega Cap Growth Etf

65.21%

310

$70,339,000 0.00% American Express Co Com $70,332,000 0.00% Ishares Biotechnology Etf

95.85%

572

$69,950,000 0.00% Kinder Morgan Inc Del Com

3.51%

4,153

$68,851,000 0.00% Apollo Global Mgmt Inc Com

11.56%

765

$68,666,000 0.00% Vanguard Russell 1000 Growth Etf

No change

1,002

$68,544,000 0.00% American Airls Group Inc Com

1,968.50%

5,254

$67,304,000 0.00% Ishares Russell 2000 Etf

No change

380

$67,161,000 0.00% Target Corp Com

19.84%

606

$67,046,000 0.00% Hubbell Inc.

No change

213

$66,756,000 0.00% First Trust Morningstar Dividend Leaders Index Fund

No change

1,983

$66,312,000 0.00% Cameco Corp Com

No change

1,663

$65,921,000 0.00% Allstate Corp Com $64,841,000 0.00% Bhp Group Ltd Sponsored Ads

No change

1,135

$64,559,000 0.00% Sysco Corp Com

No change

973

$64,267,000 0.00% Invesco Db Agriculture Fund

No change

3,000

$64,230,000 0.00% Ishares Ibonds Dec 2024 Term Corporate Etf

Opened

2,537

$62,740,000 0.00% Ishares Ibonds Dec 2023 Term Corporate Etf

Opened

2,473

$62,715,000 0.00% Dell Technologies Inc $62,630,000 0.00% Hf Sinclair Corp Com

0.36%

1,100

$62,623,000 0.00% Ishares Ibonds Dec 2025 Term Corporate Etf

Opened

2,558

$62,338,000 0.00% Ishares Ibonds Dec 2026 Term Corporate Etf

Opened

2,657

$62,001,000 0.00% Vanguard Short-term Corporate Bond Etf $61,973,000 0.00% Spdr Portfolio Mortgage Backed Bond Etf

Closed

2,793

$61,949,000 Gabelli Divid Income Tr Com

No change

3,184

$61,897,000 0.00% Schwab U.s. Large-cap Etf

38.07%

1,217

$61,571,000 0.00% Spdr Sp Biotech Etf

No change

843

$61,556,000 0.00% Ishares Ibonds Dec 2027 Term Corporate Etf

Opened

2,656

$61,460,000 0.00% Ishares Ibonds Dec 2028 Term Corporate Etf

Opened

2,542

$61,084,000 0.00% Blackstone Mtg Tr Inc Com Cl A

No change

2,802

$60,944,000 0.00% Ishares Ibonds Dec 2029 Term Corporate Etf

Opened

2,777

$60,816,000 0.00% Taiwan Semiconductor Mfg Ltd Sponsored Ads

90.96%

697

$60,569,000 0.00% Toyota Motor Corp Ads

No change

336

$60,396,000 0.00% Avista Corp Com

2.48%

1,860

$60,219,000 0.00% Air Prods Chems Inc Com

26.13%

212

$60,081,000 0.00% Ishares Ibonds Dec 2030 Term Corporate Etf

Opened

2,947

$60,060,000 0.00% Vanguard Intermediate-term Corporate Bond Etf

24.44%

774

$58,816,000 0.00% Biogen Inc

14.00%

228

$58,598,000 0.00% Snowflake Inc.

40.74%

380

$58,053,000 0.00% Pimco Dynamic Income Fd Shs

No change

3,354

$57,957,000 0.00% T-Mobile US, Inc.

18.09%

412

$57,701,000 0.00% Markel Group Inc $57,427,000 0.00% Ishares Msci Emerging Markets Small Cap Etf

0.68%

1,030

$56,215,000 0.00% Invesco Sp 500 High Dividend Low Volatility Etf

0.07%

1,425

$55,860,000 0.00% Fidelity Msci Communication Services Index Etf

No change

1,404

$55,742,000 0.00% Vanguard Intermediate-term Treasury Etf

255.47%

974

$55,664,000 0.00% National Bankshares Inc Va Com

120.20%

2,202

$55,138,000 0.00% Martin Marietta Matls Inc Com $55,004,000 0.00% Blackstone Secd Lending Fd Common Stock

No change

1,998

$54,665,000 0.00% Kimberly-clark Corp Com

No change

450

$54,383,000 0.00% T. Rowe Price Growth Stock Etf

No change

2,000

$54,051,000 0.00% Real Estate Select Sector Spdr Fund

14.47%

1,582

$53,905,000 0.00% Garmin Ltd Shs

No change

510

$53,649,000 0.00% Vodafone Group Plc New Sponsored Adr

No change

5,588

$52,974,000 0.00% JPMorgan Equity Premium Income

22.50%

980

$52,489,000 0.00% Vanguard Real Estate Etf

47.48%

688

$52,083,000 0.00% Vanguard Short-term Treasury Etf

80.00%

900

$51,840,000 0.00% Schwab Fundamental Us Large Co. Index Etf

26.76%

914

$51,157,000 0.00% HP Inc

0.46%

1,985

$51,005,000 0.00% Vaneck Fallen Angel High Yield Bond Etf

16.88%

1,861

$50,359,000 0.00% Ishares Core Msci Europe Etf

No change

996

$49,461,000 0.00% Halliburton Co Com

No change

1,204

$48,762,000 0.00% Ishares Esg Aware Msci Usa Small-cap Etf

153.33%

1,444

$48,591,000 0.00% Blackrock Corpor Hi Yld Fd Inc Com

16.69%

5,601

$48,338,000 0.00% Carlyle Group Inc Com

0.13%

1,597

$48,166,000 0.00% Franco Nev Corp Com

No change

360

$48,056,000 0.00% Fidelity Total Bond Etf

119.76%

1,101

$47,961,000 0.00% Vanguard Emerging Markets Government Bond Etf

166.11%

801

$47,410,000 0.00% Ishares International Smallcap Equity Factor Etf

28.00%

1,600

$47,328,000 0.00% Vanguard Sp Small-cap 600 Growth Etf

No change

501

$47,238,000 0.00% Rivian Automotive, Inc.

164.27%

1,945

$47,225,000 0.00% One Liberty Pptys Inc Com

No change

2,442

$46,081,000 0.00% Vanguard Ftse Emerging Markets Etf

45.00%

1,161

$45,523,000 0.00% Zoetis Inc

188.89%

260

$45,235,000 0.00% Novartis Ag Sponsored Adr

No change

441

$44,920,000 0.00% SoFi Weekly Income ETF

Closed

475

$44,707,000 Spdr Portfolio Sp 500 Growth Etf $44,597,000 0.00% Hsbc Hldgs Plc Spon Adr New

7.76%

1,129

$44,550,000 0.00% Norfolk Southn Corp Com $43,249,000 0.00% Waters Corp Com

1,622.22%

155

$42,503,000 0.00% Unilever Plc Spon Adr New $42,286,000 0.00% First Trust NASDAQ-100-Technology Sector Index Fund $42,150,000 0.00% C3.ai Inc

Opened

1,638

$41,802,000 0.00% Eog Res Inc Com $41,577,000 0.00% Cloudflare Inc

No change

657

$41,417,000 0.00% Spdr Portfolio Sp 500 Value Etf

65.99%

1,002

$41,343,000 0.00% Schwab Long-term U.s. Treasury Etf

Opened

1,300

$41,184,000 0.00% Embraer S.a. Sponsored Ads

No change

3,000

$41,160,000 0.00% Warner Bros Discovery Inc Com Ser A

39.48%

3,766

$40,899,000 0.00% Goldman Sachs Activebeta U.s. Large Cap Equity Etf

No change

483

$40,683,000 0.00% General Electric Co Com New $40,628,000 0.00% Ishares Cmbs Etf

No change

891

$40,131,000 0.00% Fedex Corp Com

30.17%

151

$40,003,000 0.00% Waste Mgmt Inc Del Com

13.48%

261

$39,751,000 0.00% Ishares Core Msci Pacific Etf

No change

710

$39,476,000 0.00% Ishares Global Tech Etf

No change

679

$39,273,000 0.00% Tc Energy Corp Com

No change

1,140

$39,227,000 0.00% Spdr Portfolio High Yield Bond Etf

3.52%

1,737

$38,952,000 0.00% Stanley Black Decker Inc Com $38,803,000 0.00% Ishares Russell 2000 Growth Etf

No change

173

$38,785,000 0.00% Ishares Currency Hedged Msci Acwi Ex U.s. Etf

No change

1,377

$38,047,000 0.00% Southern Copper Corp Com

No change

500

$37,645,000 0.00% Vanguard Russell 1000 Value Etf

No change

561

$37,396,000 0.00% Eaton Vance Tax-managed Divers Com

No change

3,231

$37,286,000 0.00% Ford Mtr Co Del Com

12.28%

2,987

$37,099,000 0.00% Schwab Charles Corp Com

53.70%

675

$37,039,000 0.00% Schwab Short-term Us Treasury Etf

61.49%

766

$36,704,000 0.00% Las Vegas Sands Corp Com

No change

800

$36,672,000 0.00% Realty Income Corp Com

22.74%

734

$36,638,000 0.00% Corning, Inc.

No change

1,200

$36,564,000 0.00% Pembina Pipeline Corp Com

No change

1,190

$35,771,000 0.00% Vanguard International Dividend Appreciation Etf

400.00%

500

$35,697,000 0.00% Factset Resh Sys Inc Com

No change

81

$35,418,000 0.00% Block H R Inc Com

Closed

1,000

$35,250,000 Illinois Tool Wks Inc Com

No change

153

$35,237,000 0.00% Teladoc Health Inc

96.38%

1,890

$35,135,000 0.00% Vanguard Information Technology Etf $34,795,000 0.00% Agilent Technologies Inc.

96.67%

295

$33,006,000 0.00% Intuitive Surgical Inc Com New $32,736,000 0.00% Travelers Companies Inc. $32,662,000 0.00% Pacer Data Infrastructure Real Estate Etf

No change

1,250

$32,363,000 0.00% Ishares Core Moderate Allocation Etf

28.09%

827

$32,195,000 0.00% Kellanova Com $31,992,000 0.00% Brinker Intl Inc Com

100.00%

1,000

$31,590,000 0.00% Willis Towers Watson Plc Ltd Shs $31,344,000 0.00% Camping World Holdings Inc

Closed

1,500

$31,305,000 Invesco Sp 500 Quality Etf

34.48%

624

$31,225,000 0.00% Grainger W W Inc Com

No change

45

$31,133,000 0.00% Ishares U.s. Smallcap Equity Factor Etf

19.96%

601

$31,081,000 0.00% Williams-Sonoma, Inc.

Opened

200

$31,080,000 0.00% Regency Ctrs Corp Com

Opened

520

$30,909,000 0.00% Packaging Corp Amer Com

No change

200

$30,710,000 0.00% Paychex Inc.

No change

262

$30,216,000 0.00% Tractor Supply Co Com $29,867,000 0.00% Regeneron Pharmaceuticals Com $29,627,000 0.00% Sap Se Spon Adr

No change

227

$29,356,000 0.00% Eaton Vance Tax-managed Global Com

0.73%

3,953

$29,134,000 0.00% Lululemon Athletica inc.

270.00%

74

$28,535,000 0.00% Ishares Iboxx $ Investment Grade Corporate Bond Etf

31.17%

276

$28,109,000 0.00% Intuit Com $28,102,000 0.00% First Trust Dow Jones Internet Index Fund

108.43%

173

$27,613,000 0.00% Ishares Latin America 40 Etf

1.71%

1,073

$27,429,000 0.00% Eversource Energy Com

No change

470

$27,331,000 0.00% Weyerhaeuser Co Mtn Be Com New

28.76%

891

$27,313,000 0.00% iShares Core 1-5 Year USD Bond ETF

No change

587

$27,225,000 0.00% Clearbridge Mlp And Midstrm Fd Com

No change

767

$27,016,000 0.00% Northrop Grumman Corp Com $26,476,000 0.00% Urstadt Biddle Pptys Inc Cl A

Closed

1,500

$26,355,000 iShares International Treasury Bond ETF

Closed

652

$26,217,000 Sprott Physical Gold Silver Tr Unit

No change

1,500

$25,980,000 0.00% Ishares Asia/pacific Dividend Etf $25,820,000 0.00% Pimco Active Bond Etf

20.38%

293

$25,755,000 0.00% The Cigna Group Com

104.55%

90

$25,746,000 0.00% Sturm Ruger Co Inc Com

No change

493

$25,695,000 0.00% Jpmorgan Betabuilders Europe Etf

No change

501

$25,464,000 0.00% Kraft Heinz Co Com

19.40%

752

$25,297,000 0.00% Etsy Inc

104.71%

391

$25,251,000 0.00% Ishares Russell 3000 Etf

No change

103

$25,241,000 0.00% Vanguard Ftse All-world Ex-us Index Fund

70.77%

485

$25,154,000 0.00% Becton Dickinson Co Com $25,084,000 0.00% NOV Inc

No change

1,200

$25,080,000 0.00% Ishares 20 Year Treasury Bond Etf

182.00%

282

$25,034,000 0.00% Campbell Soup Co Com

50.00%

600

$24,648,000 0.00% Schwab Us Tips Etf $24,581,000 0.00% Pioneer Floating Rate Fund Inc

No change

2,700

$24,327,000 0.00% Gsk Plc Sponsored Adr

178.42%

671

$24,324,000 0.00% Clorox Co Del Com

105.56%

185

$24,246,000 0.00% Mattel, Inc.

1,000.00%

1,100

$24,233,000 0.00% Pge Corp Com

No change

1,500

$24,195,000 0.00% Point Bridge America First Etf

No change

633

$24,164,000 0.00% Hibbett Inc

No change

500

$23,755,000 0.00% Cintas Corp Com

No change

49

$23,569,000 0.00% iShares Exponential Technologies ETF

Closed

444

$23,399,000 Ishares U.s. Financials Etf

No change

310

$23,176,000 0.00% Vanguard Ftse Pacific Etf $23,170,000 0.00% Vanguard Tax-exempt Bond Etf $22,962,000 0.00% Kla Corp Com New $22,933,000 0.00% Carnival Corp Common Stock

No change

1,660

$22,775,000 0.00% Paypal Hldgs Inc Com

29.91%

389

$22,741,000 0.00% Vmware Inc.

Opened

136

$22,641,000 0.00% Jupiter Wellness Inc Com New

Closed

50,785

$22,615,000 Global X Uranium Etf

No change

825

$22,308,000 0.00% Aflac Inc.

No change

290

$22,258,000 0.00% Cirrus Logic, Inc.

No change

300

$22,188,000 0.00% Ge Healthcare Technologies Inc Common Stock

150.00%

320

$21,774,000 0.00% Centerpoint Energy Inc.

29.86%

808

$21,694,000 0.00% Cbre Group Inc Cl A

No change

293

$21,641,000 0.00% Principal Financial Group Inc

No change

300

$21,621,000 0.00% Ark Innovation Etf

33.70%

545

$21,615,000 0.00% Pacer Emerging Markets Cash Cows 100 ETF

4.55%

1,127

$21,596,000 0.00% L3Harris Technologies Inc

No change

124

$21,591,000 0.00% Spdr Sp Kensho New Economies Composite Etf

Closed

505

$21,564,000 Walgreens Boots Alliance Inc

36.65%

956

$21,255,000 0.00% Fox Corp Cl B Com

26.50%

735

$21,227,000 0.00% Blackrock Ltd Duration Income Com Shs

No change

1,618

$20,840,000 0.00% Kirby Corp Com

No change

250

$20,700,000 0.00% Ecolab, Inc.

183.72%

122

$20,667,000 0.00% Roblox Corporation

243.48%

711

$20,591,000 0.00% Marriott Intl Inc New Cl A

13.04%

104

$20,540,000 0.00% Vanguard Mega Cap Value Etf

No change

201

$20,419,000 0.00% Freeport-McMoRan Inc $20,286,000 0.00% Dow Inc

18.49%

388

$20,005,000 0.00% Ishares Broad Usd Investment Grade Corporate Bond Etf

No change

415

$19,949,000 0.00% Blackstone Seni Fltn Rat 2027 Com

Opened

1,500

$19,875,000 0.00% Sanofi Sponsored Adr

No change

367

$19,686,000 0.00% No transactions found in first 500 rows out of 1213 Showing first 500 out of 1213 holdings