Apple
(AAPL)
|
5.1 |
$12M |
|
93k |
132.69 |
Vanguard Total Stk Mkt Total Stk Mkt
(VTI)
|
4.6 |
$11M |
|
58k |
194.63 |
Vanguard Mega Cap Growth Etf Mega Grwth Ind
(MGK)
|
3.7 |
$9.0M |
|
44k |
203.73 |
Microsoft Corporation
(MSFT)
|
2.9 |
$7.1M |
|
32k |
222.40 |
Berkshire Hathaway Inc Del Cl B Cl B New
(BRK.B)
|
2.3 |
$5.7M |
|
25k |
231.83 |
Walt Disney Company
(DIS)
|
2.3 |
$5.7M |
|
31k |
181.17 |
Johnson & Johnson
(JNJ)
|
2.3 |
$5.5M |
|
35k |
157.38 |
Vanguard Dividend Appreciation Etf Div App Etf
(VIG)
|
2.1 |
$5.2M |
|
37k |
141.15 |
Powershares Global Water Portfolio Exchange-traded Water Res Etf
(PHO)
|
2.1 |
$5.1M |
|
110k |
46.45 |
Verizon Communications
(VZ)
|
2.1 |
$5.1M |
|
87k |
58.75 |
Pfizer
(PFE)
|
2.1 |
$5.1M |
|
139k |
36.81 |
Costco Wholesale Corporation
(COST)
|
2.1 |
$5.0M |
|
13k |
376.74 |
TJX Companies
(TJX)
|
2.0 |
$5.0M |
|
73k |
68.29 |
Pepsi
(PEP)
|
2.0 |
$4.9M |
|
33k |
148.28 |
Amazon
(AMZN)
|
1.8 |
$4.5M |
|
1.4k |
3256.73 |
Ishares S&p 500 Index Core S&p500 Etf
(IVV)
|
1.7 |
$4.3M |
|
11k |
375.40 |
Google Cap Stk Cl A
(GOOGL)
|
1.7 |
$4.0M |
|
2.3k |
1753.04 |
Vanguard Information Technology Index Fund Inf Tech Etf
(VGT)
|
1.6 |
$3.9M |
|
11k |
353.77 |
Merck & Co
(MRK)
|
1.6 |
$3.8M |
|
47k |
81.80 |
Spdr Portfolio S&p 1500 Composite Stock Market Etf Portfoli S&p1500
(SPTM)
|
1.5 |
$3.6M |
|
79k |
46.08 |
Wal-Mart Stores
(WMT)
|
1.4 |
$3.5M |
|
24k |
144.15 |
PNC Financial Services
(PNC)
|
1.2 |
$3.0M |
|
20k |
148.96 |
Vanguard Short-term Government Bond Etf Short Term Treas
(VGSH)
|
1.2 |
$2.8M |
|
46k |
61.60 |
Bristol Myers Squibb
(BMY)
|
1.1 |
$2.8M |
|
45k |
62.02 |
Nike Inc Class B CL B
(NKE)
|
1.1 |
$2.7M |
|
19k |
141.46 |
Mccormick & Co Inc Com Non Vtg Com Non Vtg
(MKC)
|
1.1 |
$2.6M |
|
28k |
95.59 |
UnitedHealth
(UNH)
|
1.1 |
$2.6M |
|
7.4k |
350.55 |
Home Depot
(HD)
|
1.1 |
$2.6M |
|
9.8k |
265.58 |
Honeywell International
(HON)
|
1.0 |
$2.6M |
|
12k |
212.67 |
Vanguard Health Care Index Fund Health Car Etf
(VHT)
|
1.0 |
$2.5M |
|
11k |
223.68 |
Spdr S&p 500 Etf Tr Unit
(SPY)
|
1.0 |
$2.4M |
|
6.4k |
373.87 |
Spdr Portfolio S&p 500 Value Etf Prtflo S&p500 Vl
(SPYV)
|
1.0 |
$2.4M |
|
68k |
34.38 |
Spdr Portfolio Short Term Treasury Etf Portfolio Sh Tsr
(SPTS)
|
0.9 |
$2.3M |
|
74k |
30.71 |
Bank of America Corporation
(BAC)
|
0.9 |
$2.2M |
|
72k |
30.30 |
JPMorgan Chase & Co.
(JPM)
|
0.9 |
$2.2M |
|
17k |
127.05 |
Waste Management
(WM)
|
0.9 |
$2.1M |
|
18k |
117.89 |
Vanguard Growth Etf Growth Etf
(VUG)
|
0.8 |
$2.1M |
|
8.1k |
253.24 |
Spdr Portfolio S&p 500 Growth Etf Prtflo S&p500 Gw
(SPYG)
|
0.8 |
$2.0M |
|
36k |
55.28 |
Vanguard Value Etf Value Etf
(VTV)
|
0.8 |
$2.0M |
|
17k |
118.95 |
Procter & Gamble Company
(PG)
|
0.8 |
$2.0M |
|
14k |
139.08 |
L3harris Technologies
(LHX)
|
0.8 |
$2.0M |
|
10k |
188.96 |
Abbott Laboratories
(ABT)
|
0.8 |
$1.9M |
|
17k |
109.49 |
Coca-Cola Company
(KO)
|
0.8 |
$1.9M |
|
34k |
54.83 |
Spdr Portfolio S&p 500 Etf Portfolio S&p500
(SPLG)
|
0.8 |
$1.9M |
|
42k |
43.94 |
Vanguard High Dividend Yield High Div Yld
(VYM)
|
0.7 |
$1.8M |
|
19k |
91.48 |
Visa Com Cl A
(V)
|
0.7 |
$1.7M |
|
8.0k |
218.65 |
Boeing Company
(BA)
|
0.7 |
$1.7M |
|
8.0k |
213.96 |
Alibaba Group Hldg Sponsored Ads
(BABA)
|
0.7 |
$1.6M |
|
7.0k |
232.71 |
salesforce
(CRM)
|
0.7 |
$1.6M |
|
7.3k |
222.45 |
Vanguard Financials Index Fund Financials Etf
(VFH)
|
0.7 |
$1.6M |
|
22k |
72.82 |
Comcast Corp New Cl A Cl A
(CMCSA)
|
0.6 |
$1.6M |
|
30k |
52.40 |
United Parcel Service CL B
(UPS)
|
0.6 |
$1.5M |
|
8.8k |
168.33 |
Vanguard Reit Index Etf Real Estate Etf
(VNQ)
|
0.6 |
$1.4M |
|
17k |
84.93 |
Spdr Ser Tr S&p Divid Etf S&p Divid Etf
(SDY)
|
0.6 |
$1.4M |
|
14k |
105.88 |
Autodesk
(ADSK)
|
0.6 |
$1.4M |
|
4.7k |
305.32 |
Vanguard Short Term Corp Bond Fd Etf Shrt Trm Corp Bd
(VCSH)
|
0.6 |
$1.4M |
|
17k |
83.25 |
McDonald's Corporation
(MCD)
|
0.6 |
$1.4M |
|
6.5k |
214.54 |
Spdr Dow Jones Industrial Etf Ut Ser 1
(DIA)
|
0.6 |
$1.4M |
|
4.5k |
305.69 |
Guggenheim Etf Trust S&p 500 Equal Weight S&p500 Eql Wgt
(RSP)
|
0.6 |
$1.4M |
|
11k |
127.49 |
Mondelez Intl Inc Cl A Cl A
(MDLZ)
|
0.5 |
$1.3M |
|
23k |
58.45 |
Philip Morris International
(PM)
|
0.5 |
$1.3M |
|
16k |
82.79 |
Flexshares Ready Access Variable Income Fund Ready Acc Vari
(RAVI)
|
0.5 |
$1.2M |
|
16k |
76.23 |
Unilever Spon Adr New
(UL)
|
0.5 |
$1.2M |
|
20k |
60.33 |
Abbvie
(ABBV)
|
0.5 |
$1.2M |
|
11k |
107.12 |
Starbucks Corporation
(SBUX)
|
0.5 |
$1.2M |
|
11k |
106.94 |
Chevron Corporation
(CVX)
|
0.5 |
$1.2M |
|
14k |
84.43 |
Powershares Qqq Tr Unit Ser 1
(QQQ)
|
0.5 |
$1.2M |
|
3.8k |
313.60 |
CVS Caremark Corporation
(CVS)
|
0.5 |
$1.2M |
|
17k |
68.27 |
Intel Corporation
(INTC)
|
0.5 |
$1.1M |
|
23k |
49.82 |
Ishares Dj Select Dividend Select Divid Etf
(DVY)
|
0.5 |
$1.1M |
|
12k |
96.11 |
3M Company
(MMM)
|
0.5 |
$1.1M |
|
6.4k |
174.65 |
American Express Company
(AXP)
|
0.4 |
$1.0M |
|
8.7k |
120.83 |
Technology Select Sector Spdr Technology
(XLK)
|
0.4 |
$966k |
|
7.4k |
129.96 |
Nextera Energy
(NEE)
|
0.4 |
$928k |
|
12k |
77.13 |
CSX Corporation
(CSX)
|
0.4 |
$928k |
|
10k |
90.74 |
Vanguard S&p 500 Etf S&p 500 Etf Shs
(VOO)
|
0.4 |
$913k |
|
2.7k |
343.36 |
Exxon Mobil Corporation
(XOM)
|
0.4 |
$898k |
|
22k |
41.18 |
Target Corporation
(TGT)
|
0.3 |
$792k |
|
4.5k |
176.47 |
Ishares Russell 1000 Growth Etf Rus 1000 Grw Etf
(IWF)
|
0.3 |
$787k |
|
3.3k |
241.04 |
Constellation Brands Inc Cl A Cl A
(STZ)
|
0.3 |
$741k |
|
3.4k |
218.91 |
Accenture Ltd Bermuda Cl A Shs Class A
(ACN)
|
0.3 |
$728k |
|
2.8k |
260.93 |
Sanofi Sa Sponsored Adr
(SNY)
|
0.3 |
$726k |
|
15k |
48.57 |
Lockheed Martin Corporation
(LMT)
|
0.3 |
$702k |
|
2.0k |
354.72 |
Ishares Russell 2000 Etf Russell 2000 Etf
(IWM)
|
0.3 |
$671k |
|
3.4k |
196.03 |
Prudential Financial
(PRU)
|
0.3 |
$641k |
|
8.2k |
77.99 |
Spdr Portfolio S&p 500 High Dividend Etf Prtflo S&p500 Hi
(SPYD)
|
0.3 |
$612k |
|
19k |
32.93 |
Intercontinental Exchange
(ICE)
|
0.2 |
$596k |
|
5.2k |
115.10 |
Ishares Msci Usa Quality Factor Etf Msci Usa Qlt Fct
(QUAL)
|
0.2 |
$581k |
|
5.0k |
116.04 |
Ishares Core Dividend Growth Etf Core Div Grwth
(DGRO)
|
0.2 |
$577k |
|
13k |
44.77 |
Broadcom
(AVGO)
|
0.2 |
$572k |
|
1.3k |
437.64 |
Vanguard Total Intl Stock Idex Etf Vg Tl Intl Stk F
(VXUS)
|
0.2 |
$558k |
|
9.3k |
60.16 |
Altria
(MO)
|
0.2 |
$547k |
|
13k |
40.94 |
Alphabet Inc Cap Stk Cl C Cap Stk Cl C
(GOOG)
|
0.2 |
$532k |
|
303.00 |
1755.78 |
Vanguard Utilities Index Fund Utilities Etf
(VPU)
|
0.2 |
$527k |
|
3.8k |
136.99 |
At&t
(T)
|
0.2 |
$523k |
|
18k |
28.71 |
Raytheon Technologies Corp
(RTX)
|
0.2 |
$522k |
|
7.3k |
71.47 |
Mastercard Incorporated Cl A Cl A
(MA)
|
0.2 |
$498k |
|
1.4k |
356.48 |
Union Pacific Corporation
(UNP)
|
0.2 |
$482k |
|
2.3k |
207.85 |
Goldman Sachs
(GS)
|
0.2 |
$481k |
|
1.8k |
263.42 |
Invesco Variable Rate Investment Grade Etf Var Rate Invt
(VRIG)
|
0.2 |
$469k |
|
19k |
24.99 |
Cisco Systems
(CSCO)
|
0.2 |
$466k |
|
10k |
44.72 |
Consolidated Edison
(ED)
|
0.2 |
$455k |
|
6.3k |
72.16 |
Clorox Company
(CLX)
|
0.2 |
$445k |
|
2.2k |
201.81 |
Vanguard Intermediate-term Corporate Bond Etf Int-term Corp
(VCIT)
|
0.2 |
$442k |
|
4.6k |
96.97 |
Medtronic SHS
(MDT)
|
0.2 |
$429k |
|
3.7k |
116.96 |
Seagate Technology SHS
|
0.2 |
$423k |
|
6.8k |
62.11 |
Public Service Enterprise
(PEG)
|
0.2 |
$419k |
|
7.2k |
58.19 |
Norfolk Southern
(NSC)
|
0.2 |
$416k |
|
1.8k |
237.17 |
Royal Dutch Shell Plc Spon Adr B Spon Adr B
|
0.2 |
$412k |
|
12k |
33.53 |
Ishares Dj Us Pharma Index F U.s. Pharma Etf
(IHE)
|
0.2 |
$393k |
|
2.2k |
179.12 |
Vertex Pharmaceuticals Incorporated
(VRTX)
|
0.2 |
$387k |
|
1.6k |
236.26 |
Qualcomm
(QCOM)
|
0.2 |
$386k |
|
2.5k |
152.21 |
Medical Properties Trust
(MPW)
|
0.2 |
$374k |
|
17k |
21.76 |
Proshares S&p 500 Dividend Aristocrats Etf S&p 500 Dv Arist
(NOBL)
|
0.1 |
$360k |
|
4.5k |
79.82 |
Vanguard Consumer Staples Index Fund Consum Stp Etf
(VDC)
|
0.1 |
$342k |
|
2.0k |
173.60 |
Duke Energy Corp Com New
(DUK)
|
0.1 |
$341k |
|
3.7k |
91.45 |
Foot Locker
(FL)
|
0.1 |
$333k |
|
8.2k |
40.42 |
American Tower Reit
(AMT)
|
0.1 |
$324k |
|
1.4k |
223.91 |
Spdr Gold Etf Gold Shs
(GLD)
|
0.1 |
$310k |
|
1.7k |
178.16 |
Financial Select Sector Spdr Sbi Int-finl
(XLF)
|
0.1 |
$300k |
|
10k |
29.47 |
Vanguard Consumer Discretionary Index Fund Consum Dis Etf
(VCR)
|
0.1 |
$294k |
|
1.1k |
274.77 |
Vanguard Mega Cap Value Etf Mega Cap Val Etf
(MGV)
|
0.1 |
$294k |
|
3.4k |
86.60 |
Spdr Portfolio Intermediate Term Corporate Bond Etf Portfolio Intrmd
(SPIB)
|
0.1 |
$289k |
|
7.8k |
37.11 |
Vanguard Mid Cap Mid Cap Etf
(VO)
|
0.1 |
$287k |
|
1.4k |
206.18 |
Gilead Sciences
(GILD)
|
0.1 |
$284k |
|
4.9k |
58.16 |
Ishares 1-3 Yr Credit Bond Etf Ishs 1-5yr Invs
(IGSB)
|
0.1 |
$269k |
|
4.9k |
55.10 |
FedEx Corporation
(FDX)
|
0.1 |
$263k |
|
1.0k |
259.62 |
Citrix Systems
|
0.1 |
$261k |
|
2.0k |
130.04 |
Health Care Select Sector Spdr Sbi Healthcare
(XLV)
|
0.1 |
$261k |
|
2.3k |
113.28 |
Consumer Staples Select Sector Spdr Sbi Cons Stpls
(XLP)
|
0.1 |
$255k |
|
3.8k |
67.19 |
Te Connectivity Reg Shs
(TEL)
|
0.1 |
$253k |
|
2.1k |
120.65 |
MetLife
(MET)
|
0.1 |
$244k |
|
5.2k |
46.76 |
Ishares Tr S&p 1500 Index Core S&p Ttl Stk
(ITOT)
|
0.1 |
$240k |
|
2.8k |
85.96 |
Toronto Dominion Bank Com New
(TD)
|
0.1 |
$240k |
|
4.3k |
56.32 |
Viatris
(VTRS)
|
0.1 |
$240k |
|
13k |
18.72 |
Ishares S&p U.s. Preferred Stock Etf Pfd And Incm Sec
(PFF)
|
0.1 |
$231k |
|
6.0k |
38.46 |
Liberty Media Corp Del Com C Siriusxm Com C Siriusxm
|
0.1 |
$230k |
|
5.3k |
43.38 |
Eli Lilly & Co.
(LLY)
|
0.1 |
$223k |
|
1.3k |
168.56 |
Spdr Ssga Us Large Cap Low Volatility Index Etf Ssga Us Lrg Etf
(LGLV)
|
0.1 |
$222k |
|
1.9k |
119.42 |
Liberty Broadband Corp Com Ser C Com Ser C
(LBRDK)
|
0.1 |
$221k |
|
1.4k |
157.97 |
Facebook Inc Cl A Cl A
(META)
|
0.1 |
$218k |
|
801.00 |
272.16 |
Vanguard Short-term Bond Index Fund Short Trm Bond
(BSV)
|
0.1 |
$216k |
|
2.6k |
82.85 |
Jpmorgan Ultra-short Income Etf Ultra Shrt Inc
(JPST)
|
0.1 |
$214k |
|
4.2k |
50.71 |
Amgen
(AMGN)
|
0.1 |
$214k |
|
933.00 |
229.37 |
Ishares Msci Usa Min Vol Factor Etf Msci Usa Min Vol
(USMV)
|
0.1 |
$207k |
|
3.1k |
67.80 |
Morgan Stanley Com New
(MS)
|
0.1 |
$200k |
|
2.9k |
68.28 |