Vanguard Total Stock Market Etf

0.82%

488,450

$115,869,873,00024.90%Vanguard Short Term Corp Bd Etf #3145

4.06%

643,177

$49,762,367,00010.69%Apple Inc

1.16%

158,736

$30,561,386,0006.57%Vanguard Intermediate Term Bond Index Etf

5.49%

337,650

$25,789,524,0005.54%I Shares Select Dividend Etf

0.25%

195,665

$22,935,694,0004.93%I Shares Msci Eafe Core

0.93%

277,734

$19,538,388,0004.20%Microsoft Corp Com

2.85%

43,515

$16,362,893,0003.52%I Shrs Tips Bond Etf

1.35%

94,036

$10,107,809,0002.17%Home Depot, Inc.

0.88%

28,870

$10,004,567,0002.15%Invesco Water Resources ETF

0.76%

142,823

$8,692,171,0001.87%Invesco Preferred Etf

0.76%

671,289

$7,699,578,0001.65%Pepsico Inc Com

3.39%

44,047

$7,480,881,0001.61%Johnson Johnson Com

3.68%

42,196

$6,613,762,0001.42%Procter And Gamble Co Com

2.04%

38,467

$5,636,928,0001.21%Exxon Mobil Corp Com

2.91%

53,682

$5,367,096,0001.15%Honeywell Intl Inc Com

1.00%

25,162

$5,276,685,0001.13%Essential Utilities Inc

0.97%

123,168

$4,599,060,0000.99%Chevron Corp.

2.10%

28,395

$4,235,364,0000.91%Merck Co Inc New

0.40%

37,010

$4,034,809,0000.87%Mcdonalds Corp Com

1.08%

13,247

$3,927,836,0000.84%Target Corp

0.55%

27,052

$3,852,719,0000.83%Kimberly-clark Corp Com

3.07%

23,355

$2,837,826,0000.61%Verizon Communications Inc

0.29%

74,880

$2,822,942,0000.61%Caterpillar Inc.

1.60%

9,489

$2,805,511,0000.60%NVIDIA Corp

No change

5,664

$2,804,866,0000.60%Berkshire Hathaway Inc. Delware Cl

No change

5

$2,713,125,0000.58%Alphabet Inc

1.33%

18,905

$2,640,832,0000.57%Abbvie Inc

1.66%

14,855

$2,302,065,0000.49%I Shares Core S P Total U S Stock Market

0.93%

20,560

$2,163,523,0000.46%Eli Lilly Co Com

5.36%

3,534

$2,059,997,0000.44%NextEra Energy Inc

0.96%

31,709

$1,926,003,0000.41%Alphabet Inc

No change

13,400

$1,888,459,0000.41%Emerson Elec Co Com

3.83%

19,340

$1,882,355,0000.40%Vanguard Reit Index #0986

10.43%

20,092

$1,775,306,0000.38%Vaneck Vec Agribusiness Etf

0.44%

22,668

$1,726,826,0000.37%3m Co Common

5.12%

15,779

$1,724,942,0000.37%Pnc Finl Svcs Group Inc Com

No change

11,101

$1,718,984,0000.37%Intel Corp Com

1.08%

33,123

$1,664,424,0000.36%Pfizer Inc.

10.22%

55,861

$1,608,197,0000.35%Conocophillips Com

2.93%

13,735

$1,594,206,0000.34%Bristol Myers Squibb Co Com

1.93%

30,260

$1,552,619,0000.33%Walmart Inc

1.25%

9,474

$1,493,566,0000.32%J P Morgan Chase Co

0.69%

8,686

$1,477,484,0000.32%Corning, Inc.

2.76%

47,598

$1,449,353,0000.31%Abbott Labs Com

No change

12,741

$1,402,393,0000.30%Vanguard Ftse Developed Market Etf

No change

29,095

$1,393,650,0000.30%Lockheed Martin Corp Com

No change

3,001

$1,360,128,0000.29%Ishares S P Growth Etf

No change

17,281

$1,297,801,0000.28%Disney (walt) Company Holding Co

0.42%

14,308

$1,291,844,0000.28%General Electric Co.

2.58%

10,115

$1,290,933,0000.28%Bank Of America Corp.

0.53%

37,514

$1,262,708,0000.27%Yum Brands Inc.

1.15%

9,587

$1,252,621,0000.27%TE Connectivity Ltd

17.72%

7,655

$1,075,517,0000.23%Phillip Morris Internationalinc

15.55%

11,415

$1,073,915,0000.23%International Business Machscom

11.59%

5,909

$966,406,0000.21%Baxter Intl Inc Com

1.97%

24,929

$963,490,0000.21%Vanguard Ftse Emerging Markets Etf

No change

23,161

$951,649,0000.20%DuPont de Nemours Inc

3.58%

12,216

$939,742,0000.20%A T T Inc

1.09%

55,378

$928,668,0000.20%Berkshire Hathaway Inc.

0.39%

2,575

$918,370,0000.20%Eaton Corp Plc

No change

3,708

$892,958,0000.19%Phillips 66

3.01%

6,679

$889,228,0000.19%Blackrock Sbi

2.21%

79,435

$866,607,0000.19%Automatic Data Processing Incom

5.13%

3,700

$861,989,0000.19%Duke Energy Corp.

0.87%

8,571

$831,715,0000.18%Amazon.com Inc.

No change

5,090

$773,363,0000.17%Coca Cola Co Com

1.63%

13,003

$766,261,0000.16%Medtronic Plc

15.91%

9,207

$758,451,0000.16%CVS Health Corp

2.77%

9,397

$741,985,0000.16%Oracle Corp Com

No change

6,840

$721,140,0000.15%I Shrs Momentum

7.96%

4,565

$716,177,0000.15%Comcast Corp Class A

0.19%

16,166

$708,708,0000.15%Deere Co Com

No change

1,680

$671,758,0000.14%Dow Inc

2.01%

12,062

$661,440,0000.14%Nuveen Credit Strategies Income Fund

4.96%

124,473

$649,745,0000.14%I Shares Core S P Small Cap Etf

0.03%

5,858

$634,121,0000.14%Xcel Energy Inc.

0.50%

10,042

$621,595,0000.13%Altria Group Inc.

8.94%

15,157

$611,425,0000.13%H P Inc

No change

20,025

$602,549,0000.13%Costco Wholesale Corp

No change

881

$581,525,0000.12%Corteva Inc

2.02%

12,044

$577,004,0000.12%Mondelez International Inc.

16.59%

7,962

$576,677,0000.12%Fiserv, Inc.

No change

4,280

$568,555,0000.12%Illinois Tool Wks Inc Com

No change

2,034

$532,785,0000.11%AMGEN Inc.

1.09%

1,821

$524,459,0000.11%Proshares Ultra S P 500 Eft

No change

8,060

$524,383,0000.11%I Shares Russell Mid-cap Etf

No change

6,114

$475,177,0000.10%Ppl Corp Common

4.66%

17,527

$474,802,0000.10%Yum China Holdings Inc

2.53%

10,479

$444,610,0000.10%Cigna Group (The)

11.93%

1,477

$442,256,0000.10%I Shares Msci Eafe Etf

No change

5,627

$423,987,0000.09%Cisco Sys Inc Com

2.36%

7,642

$386,071,0000.08%I Shares S P 500 Value Etf

No change

2,177

$378,557,0000.08%Bank New York Mellon Corp

No change

7,183

$373,801,0000.08%Ppg Inds Inc Com

No change

2,495

$373,125,0000.08%Southern Co Com

3.41%

5,235

$367,024,0000.08%Zimmer Biomet Holdings Inc

5.02%

2,989

$363,752,0000.08%Wells Fargo Co New

1.99%

7,288

$358,711,0000.08%Mckesson Corp Usd

No change

763

$353,245,0000.08%Colgate Palmolive Co Com

4.32%

4,429

$353,033,0000.08%Nuveen Select Tax-Free Income Portfolio

No change

23,550

$348,069,0000.07%Hewlett Packard Enterprise Co

No change

20,024

$339,804,0000.07%General Mls Inc Com

No change

5,075

$330,530,0000.07%I Shares Core S P 500 Etf

15.31%

664

$317,139,0000.07%Ametek Inc New Com

No change

1,900

$313,291,0000.07%Exelon Corp.

2.30%

8,721

$312,988,0000.07%The Hershey Company Com

7.00%

1,666

$310,607,0000.07%Boeing Co Com

4.04%

1,188

$309,648,0000.07%L3Harris Technologies Inc

No change

1,464

$308,345,0000.07%Lowes Cos Inc Com

No change

1,367

$304,224,0000.07%Raytheon Technologies Corp

No change

3,536

$297,514,0000.06%I Shares Core S P Mid-cap Etf

0.10%

1,025

$284,061,0000.06%Dominion Energy Inc Npv

21.74%

6,028

$283,316,0000.06%Constellation Energy Corp Npv

14.63%

2,386

$278,895,0000.06%Schlumberger Ltd Com Stk

3.98%

5,302

$275,913,0000.06%Public Svc Enterprise Grp Incom

No change

4,472

$273,461,0000.06%Visa Inc

No change

1,046

$272,312,0000.06%I Shares S P Midcap 400 Growth Etf

No change

3,255

$257,860,0000.06%Ge Healthcare Technoligies Inc

3.91%

3,320

$256,616,0000.06%I Shares S P Mid Cap 400 Value Etf

No change

2,142

$244,273,0000.05%Manulife Financial Corp.

No change

10,892

$240,603,0000.05%Meta Platforms Inc

No change

677

$239,621,0000.05%Moodys Corp

Opened

600

$234,330,0000.05%Health Care Select Sector Spdr Fund

No change

1,658

$226,117,0000.05%I Shares Russell 1000 Growth Etf

Opened

741

$224,641,0000.05%Union Pac Corp Com

Opened

874

$214,668,0000.05%Johnson Controls International plc

Opened

3,700

$213,217,0000.05%I Shrs Convertible Bond Etf

3.94%

2,685

$211,008,0000.05%Constellation Brands, Inc.$208,627,0000.04%Genuine Parts Co Common

No change

1,500

$207,750,0000.04%Oneok Inc New Common

Opened

2,904

$203,918,0000.04%Toyota Motor Corporation

Opened

1,100

$201,718,0000.04%No transactions foundShowing first 500 out of 132 holdings