PARK NATIONAL CORP /OH/ - Stock Holdings in 13F Filings (SEC)

Updated on March 15, 2026.

Based on 13F Filings filed with the SEC on January 5, 2026, for the 2025 Q4 period, PARK NATIONAL CORP /OH/ held in its portfolio 315 assets valued at $3,206,391,904 (i.e. $3.21B).

The most valuable assets in the portfolio included: Park National Corporation ($160.22M), WisdomTree Dynamic Currency He ($154.18M), and First Trust SMID Cap Rising Di ($130.52M).

The chart below shows the top 10 valuable assets, and the table below shows the top 315 valuable assets.

You can see similar for other investment managers.

Related Topics: SEC Topic List.
Data Source: SEC.
Top Valuable Stocks in PARK NATIONAL CORP /OH/ Portfolio
Park National Corporation
WisdomTree Dynamic Currency He
First Trust SMID Cap Rising Di
NVIDIA Corporation
Apple Inc
Microsoft Corporation
Alphabet Inc Class A
JPMorgan Chase & Co
Cisco Systems Inc
Meta Platforms Inc Class A
PARK NATIONAL CORP /OH/ - Stock Holdings in 13F Filings (SEC)
Items per page:
0 of 0
Name of Issuer No. of Shares Value ($) Class
Park National Corporation 1052822 160218452 Com
WisdomTree Dynamic Currency He 3541209 154184240 Com
First Trust SMID Cap Rising Di 3405941 130515659 Com
NVIDIA Corporation 674252 125747999 Com
Apple Inc 461360 125425330 Com
Microsoft Corporation 245208 118587493 Com
Alphabet Inc Class A 318817 99789721 Com
JPMorgan Chase & Co 304655 98165934 Com
Cisco Systems Inc 800548 61666212 Com
Meta Platforms Inc Class A 78774 51997930 Com
Analog Devices Inc 188935 51239172 Com
Arista Networks Inc 337148 44176503 Com
Amazon.com Inc 189058 43638368 Com
Accenture PLC Class A 158479 42519915 Com
Cadence Design Systems Inc 133314 41671290 Com
TJX Companies Inc 261136 40113101 Com
Capital Group Dividend Value E 913226 39853183 Com
Procter & Gamble Company 277164 39720373 Com
Netflix Inc 421449 39515058 Com
McDonald's Corporation 128401 39243198 Com
Waste Management Inc 178121 39134965 Com
Vanguard Information Technolog 51350 38706603 Com
Palo Alto Networks Inc 208583 38420988 Com
Salesforce Inc 143118 37913390 Com
Monolithic Power Systems Inc 41606 37710014 Com
GE Vernova Inc 55617 36349603 Com
DR Horton Inc 249067 35873120 Com
Visa Inc Class A 96130 33713752 Com
First Trust Preferred Securiti 1780421 32439271 Com
Coca-Cola Company 455781 31863650 Com
First Trust Capital Strength E 338391 31305093 Com
Costco Wholesale Corporation 35814 30883844 Com
Blackrock Inc 27169 29080068 Com
Nike Inc Class B 431055 27462514 Com
S&P Global Inc 51926 27136008 Com
Intercontinental Exchange Inc 165558 26813774 Com
Abbott Laboratories 210373 26357633 Com
First Trust NASDAQ Tech Divide 261023 25277468 Com
Take-Two Interactive Software 98490 25216394 Com
First Trust Rising Dividend Ac 361464 25110905 Com
Johnson & Johnson 118637 24551928 Com
Schwab (Charles) Corporation 237455 23724129 Com
AbbVie Inc 99596 22756690 Com
Berkshire Hathaway Inc Class B 44655 22445836 Com
Caterpillar Inc 38928 22300683 Com
First Trust Value Line Dividen 483039 22258437 Com
Exxon Mobil Corporation 183994 22141838 Com
Chevron Corp 142105 21658223 Com
Capital One Financial Corporat 85263 20664341 Com
First Trust Enhanced Short Mat 343126 20563541 Com
iShares MSCI USA Quality GARP 295367 20114493 Com
Quanta Services Inc 42459 17920246 Com
FT Vest Rising Dividend Achiev 673817 17680958 Com
Danaher Corporation 74271 17002118 Com
Vanguard Communication Service 86874 16821413 Com
Vanguard Total Stock Market ET 48689 16323961 Com
Stryker Corporation 45802 16098029 Com
Deere & Company 34462 16044473 Com
First Trust Dow Jones Global S 527649 15971935 Com
Robinhood Markets Inc Class A 132129 14943790 Com
iShares Core S&P 500 ETF 21505 14729635 Com
First Tr Smith Opportunistic F 331976 14713176 Com
Berkshire Hathaway Inc Class A 19 14341200 Com
WEC Energy Group Inc 135010 14238155 Com
AstraZeneca PLC Sponsored ADR 139437 12818443 Com
First Trust Growth Strength ET 361445 12777370 Com
ConocoPhillips 133337 12481676 Com
First Trust Tactical High Yiel 296442 12409062 Com
Merck & Company Inc (New) 111325 11718069 Com
Vanguard FTSE Developed Market 185466 11586061 Com
Lilly (Eli) & Company 10474 11256199 Com
McKesson Corporation 13604 11159225 Com
CVS Health Corporation 139677 11084767 Com
Cardinal Health Inc 53084 10908763 Com
Zoetis Inc 86327 10861663 Com
HCA Healthcare Inc 23201 10831619 Com
Home Depot Inc 31076 10693252 Com
NextEra Energy Inc 128615 10325212 Com
Cencora Inc 29862 10085891 Com
First Trust Alternative Opport 361922 9949222 Com
SLB Limited 258112 9906339 Com
Medtronic PLC 94790 9105528 Com
First Trust Smith Unconstraine 335347 8440684 Com
First Trust North Amer Energy 207581 7861092 Com
Becton Dickinson & Co 40113 7784730 Com
Halliburton Company 265914 7514730 Com
Emerson Electric Company 54795 7272393 Com
Linde PLC 16852 7185525 Com
Automatic Data Processing Inc 27240 7006945 Com
American Tower Corporation 39624 6956786 Com
Vanguard S&P 500 ETF 10843 6799971 Com
Vanguard Consumer Discretionar 16655 6560737 Com
PepsiCo Inc 44977 6455099 Com
American Express Co 16326 6039804 Com
Realty Income Corp 106293 5991736 Com
Vanguard Materials ETF 25498 5292110 Com
Vanguard Intermediate-Term Bon 66779 5200749 Com
Cintas Corporation 26535 4990437 Com
PNC Financial Services Group 23474 4899728 Com
Trane Technologies PLC 12208 4751353 Com
Disney (Walt) Company 40382 4594260 Com
Vanguard Real Estate ETF 49232 4356539 Com
FlexShares High Yield Value-Sc 106395 4334000 Com
FlexShares STOXX Global Broad 71391 4319869 Com
FlexShares Core Select Bond ET 190423 4258772 Com
RPM International Inc 40853 4248712 Com
Vanguard Health Care ETF 14561 4191384 Com
FT Indxx Global Natural Resour 262910 4119537 Com
Huntington Bancshares Inc 232322 4030787 Com
SPDR S&P 500 ETF 5728 3906038 Com
Air Products & Chemicals Inc 15755 3891800 Com
General Dynamics Corporation 11144 3751739 Com
Broadcom Inc 10818 3744110 Com
Bank of America Corp 67963 3737965 Com
Vanguard Financials ETF 27500 3670975 Com
International Business Machine 12037 3565480 Com
Brown & Brown Inc 44675 3560598 Com
VanEck Gold Miners ETF (USA) 40000 3430800 Com
Lockheed Martin Corporation 6698 3239621 Com
Chubb Ltd (New) 10085 3147730 Com
Chipotle Mexican Grill Inc 81823 3027451 Com
Vanguard Industrials ETF 10014 2987977 Com
Union Pacific Corporation 12803 2961590 Com
FlexShares iBoxx 3-Year Target 122106 2937870 Com
3M Company 18178 2910298 Com
Texas Instruments Inc 16480 2859115 Com
First Tr RBA Amer Industrial R 28954 2846757 Com
GE Aerospace 9191 2831104 Com
Marathon Petroleum Corporation 17239 2803579 Com
Walmart Inc 24938 2778343 Com
First Trust Small Cap Core Alp 23375 2644676 Com
Genuine Parts Company 21366 2627163 Com
Target Corporation 26546 2594872 Com
Alphabet Inc Class C 8052 2526718 Com
Delta Air Lines Inc 36250 2515750 Com
Ecolab Inc 9457 2482651 Com
Intel Corporation 66005 2435584 Com
iShares Select Dividend ETF 17115 2415611 Com
SPDR Gold Shares ETF 5760 2282745 Com
First Trust Inst Preferred Sec 114940 2228687 Com
Oracle Corporation 11042 2152196 Com
Honeywell International Inc 10628 2073416 Com
Norfolk Southern Corporation 7177 2072144 Com
Gorman-Rupp Company 42366 2022977 Com
Vanguard Energy ETF 15903 2002506 Com
Cincinnati Financial Corporati 12064 1970292 Com
Vanguard Growth ETF 3995 1949001 Com
Illinois Tool Works Inc 7804 1922126 Com
CSX Corporation 51938 1882753 Com
Marzetti Co (The) 11000 1808620 Com
Novartis AG Sponsored ADR 12980 1789553 Com
Shell PLC Sponsored ADR 23400 1719432 Com
Philip Morris International In 10653 1708741 Com
Duke Energy Corporation (New) 13965 1636838 Com
AT&T Inc 62874 1561790 Com
PACCAR Inc 14243 1559751 Com
Bank of New York Mellon Corp 12758 1481076 Com
FlexShares Morningstar Glbl Up 31873 1461377 Com
US Bancorp (DE) 27364 1460143 Com
Vanguard Consumer Staples ETF 6847 1446360 Com
SPDR Dow Jones Industrial Aver 3000 1441710 Com
American Electric Power Co 12403 1430190 Com
Pfizer Inc 56909 1417035 Com
Lowe's Companies Inc 5764 1390046 Com
QUALCOMM Inc 7897 1350782 Com
Vanguard Extended Market ETF 6259 1308882 Com
First Trust Mid Cap Core Alpha 10229 1288603 Com
Invesco QQQ Trust Series 1 2097 1288208 Com
FlexShares US Quality Large Ca 15324 1241091 Com
Wheaton Precious Metals Corp 10500 1233960 Com
Verizon Communications Inc 30057 1224221 Com
Corning Inc 13852 1212881 Com
Vanguard Small-Cap ETF 4666 1203594 Com
Eaton Corporation PLC 3777 1203012 Com
First Tr NASDAQ-100 Select Equ 8400 1193885 Com
iShares U.S. Technology ETF 5850 1168128 Com
Wells Fargo & Co (New) 12482 1163322 Com
Tesla Inc 2537 1140940 Com
iShares MSCI EAFE ETF 11817 1134787 Com
Altria Group Inc 19256 1110301 Com
Vanguard High Dividend Yield E 7534 1081280 Com
RTX Corporation 5784 1060785 Com
Micron Technology Inc 3656 1043459 Com
Bristol-Myers Squibb Company 19065 1028366 Com
Fifth Third Bancorp 21945 1027246 Com
Vanguard FTSE Emerging Markets 18851 1013430 Com
First Trust Large Cap Core Alp 8305 985111 Com
Kroger Co 14592 911708 Com
Schwab Short-Term U.S. Treasur 37404 911535 Com
Trinity Bank NA (TX) 9500 897750 Com
Intuitive Surgical Inc 1573 890884 Com
Taiwan Semiconductor Manufactu 2921 887663 Com
SPDR S&P MidCap 400 ETF 1450 874756 Com
Adobe Inc 2475 866225 Com
Vanguard Dividend Appreciation 3855 847252 Com
Amgen Inc 2578 843805 Com
Amphenol Corp Class A 6226 841382 Com
Sherwin-Williams Company 2552 826924 Com
Nucor Corporation 5056 824684 Com
iShares S&P 500 Growth ETF 6541 806244 Com
Distillate US Fundamental Stab 13529 796858 Com
Travelers Companies Inc 2541 737042 Com
Southern Company 8228 717482 Com
Arthur J Gallagher & Co 2763 715037 Com
FlexShares Global Quality Real 11980 705143 Com
Allstate Corp 3371 701674 Com
United Parcel Service Inc Clas 6900 684411 Com
Applied Materials Inc 2660 683593 Com
FlexShares MS US Market Factor 2668 663492 Com
Sysco Corporation 8939 658715 Com
Morgan Stanley 3638 645854 Com
Vanguard Utilities ETF 3422 633207 Com
JPMorgan Equity Premium Income 11003 629812 Com
Franklin Resources Inc 25712 614260 Com
Mastercard Inc Class A 1070 610842 Com
Ford Motor Company 45255 593746 Com
FlexShares Morn Dev Mkts ex-US 6314 585497 Com
Parker-Hannifin Corporation 658 578356 Com
Paychex Inc 5078 569650 Com
iShares Russell 1000 Growth ET 1197 566540 Com
Worthington Enterprises Inc 10967 565568 Com
Hocking VY Bancshares Inc 19500 565500 Com
Canadian Pacific Kansas City L 7668 564595 Com
Tractor Supply Company 11060 553111 Com
AutoZone Inc 163 552815 Com
Arch Capital Group Ltd 5737 550293 Com
Comcast Corporation Class A 17640 527259 Com
Aflac Inc 4721 520585 Com
Peabody Energy Corp 17500 519750 Com
Civista Bancshares Inc 23275 517171 Com
SAP SE Sponsored ADR 2103 510840 Com
Ameriprise Financial Inc 996 488379 Com
iShares Russell Mid-Cap ETF 5044 485586 Com
Sea Ltd Sponsored ADR 3692 470988 Com
Boeing Company (The) 2163 469631 Com
Advanced Micro Devices Inc 2135 457231 Com
ASML Holding NV-NY Reg Shs 414 442922 Com
McCormick & Company Inc 6489 441966 Com
UnitedHealth Group Inc 1304 430463 Com
Goldman Sachs Group Inc 482 423678 Com
UBS Group AG 9083 420634 Com
Antero Resources Corporation 12000 413520 Com
Expeditors International of Wa 2724 405903 Com
Mondelez International Inc Cla 7487 403025 Com
Worthington Steel Inc 11475 397265 Com
Spotify Technology S A 677 393141 Com
Cigna Group 1383 380643 Com
Fastenal Company 9361 375657 Com
Lincoln Electric Holdings Inc 1560 373838 Com
Baxter International Inc 18840 360033 Com
Cummins Inc 704 359357 Com
Corteva Inc 5341 358007 Com
Blackstone Inc 2271 350052 Com
PPG Industries Inc 3388 347135 Com
Watsco Inc 1019 343352 Com
Vanguard ESG US Stock ETF 2756 333366 Com
Shopify Inc Class A 2035 327574 Com
KeyCorp 15592 321819 Com
H&R Block Inc 7358 320662 Com
Seagate Technology Holdings PL 1162 320003 Com
Iron Mountain Inc (New) 3838 318362 Com
Clorox Company 3150 317615 Com
EOG Resources Inc 3017 316815 Com
First Tr NASDAQ Clean Edge Gre 7008 312504 Com
Chesapeake Utilities Corporati 2450 305662 Com
Bank of Montreal 2325 301762 Com
Diamondback Energy Inc 1976 297052 Com
Vanguard Value ETF 1518 289923 Com
Allegion PLC 1815 288984 Com
C H Robinson Worldwide Inc (Ne 1781 286314 Com
Kimberly-Clark Corporation 2816 284106 Com
NU Holdings Ltd Class A 16623 278269 Com
Novo-Nordisk A/S Sponsored ADR 5438 276685 Com
Veralto Corp 2746 273996 Com
MSA Safety Inc 1700 272238 Com
State Street Industrial Select 1734 268978 Com
Microchip Technology Inc 4200 267624 Com
Wintrust Financial Corp 1897 265239 Com
Coupang Inc 10837 255645 Com
ONEOK Inc 3437 252620 Com
Northrop Grumman Corporation 442 252033 Com
Broadridge Financial Solutions 1127 251513 Com
Antero Midstream Corporation 14000 249060 Com
State Street Technology Select 1716 247052 Com
Principal Financial Group Inc 2780 245224 Com
National Fuel Gas Company (NJ) 3000 240180 Com
Welltower Inc 1290 239437 Com
Equifax Inc 1095 237593 Com
ICICI Bank Ltd Sponsored ADR 7869 234496 Com
JP Morgan Income ETF 5025 232607 Com
Snap-on Incorporated 675 232605 Com
Dominion Energy Inc 3938 230727 Com
BP PLC Sponsored ADR 6629 230226 Com
Ferguson Enterprises Inc 1019 226860 Com
NiSource Inc 5424 226506 Com
Monster Beverage Corporation 2895 221959 Com
Sanofi Sponsored ADR 4532 219621 Com
Citigroup Inc (New) 1881 219494 Com
Carnival Corporation 7081 216254 Com
General Motors Company 2636 214359 Com
Garmin Ltd (Switzerland) 1050 212993 Com
Alphatec Hldgs Inc 10090 212294 Com
Barclays PLC Sponsored ADR 8298 211184 Com
GATX Corporation 1236 209626 Com
Smucker (J M) Co (New) 2122 207553 Com
MercadoLibre Inc 103 207469 Com
Agilysys Inc 1726 205118 Com
iShares U.S. Healthcare ETF 3150 205065 Com
Colgate-Palmolive Company 2582 204030 Com
Vodafone Group PLC Sponsored A 14650 193527 Com
FNB Corporation 10970 187587 Com
Six Flags Entertainment Corp. 11838 181595 Com
Pimco Dynamic Income Opportuni 10974 151880 Com
Nokia Oyj Sponsored ADR 12671 81981 Com
Ambev SA Sponsored ADR 16386 40473 Com