Park National Top Holdings and 13F Report (2025) About Park NationalPark National NYSE: PRK has filed 13-F forms with the SEC as an investor. Park National is itself a publicly traded company. For more information on Park National stock, visit the Park National stock profile here.Investment ActivityPark National has $2.73 billion in total holdings as of December 31, 2024.Park National owns shares of 287 different stocks, but just 54 companies or ETFs make up 80% of its holdings.Approximately 2.95% of the portfolio was purchased this quarter.About 7.27% of the portfolio was sold this quarter.This quarter, Park National has purchased 295 new stocks and bought additional shares in 75 stocks.Park National sold shares of 170 stocks and completely divested from 20 stocks this quarter.Largest Holdings Park National $189,998,955Apple $125,759,171Microsoft $111,007,927NVIDIA $110,814,899First Trust SMID Cap Rising Dividend Archievers ETF $101,369,209 Largest New Holdings this Quarter Linde PLC $13,696,789 HoldingRealty Income $5,335,712 HoldingSix Flags Entertainment Corp. $2,936,940 HoldingCanadian Pacific Kansas City $492,044 HoldingSAP $415,602 Holding Largest Purchases this Quarter Palo Alto Networks 78,994 shares (about $14.37M)Linde PLC 32,715 shares (about $13.70M)First Trust SMID Cap Rising Dividend Archievers ETF 296,558 shares (about $10.63M)Realty Income 99,901 shares (about $5.34M)Coca-Cola 67,604 shares (about $4.21M) Largest Sales this Quarter Monster Beverage 249,186 shares (about $13.10M)Park National 51,780 shares (about $8.88M)Take-Two Interactive Software 43,369 shares (about $7.98M)Salesforce 19,817 shares (about $6.63M)NVIDIA 47,901 shares (about $6.43M) Sector Allocation Over TimeMap of 500 Largest Holdings ofPark National Selling Neutral Buying Latest 13F Holdings and Changes Since Previous Quarterly FilingIssuer NameHoldings ValueApproximate Purchase/SaleChange in SharesShares Held% of PortfolioSectorPRKPark National$189,998,955$8,876,645 ▼-4.5%1,108,3187.0%FinanceAAPLApple$125,759,171$5,604,900 ▼-4.3%502,1934.6%Computer and TechnologyMSFTMicrosoft$111,007,927$2,687,484 ▼-2.4%263,3644.1%Computer and TechnologyNVDANVIDIA$110,814,899$6,432,625 ▼-5.5%825,1914.1%Computer and TechnologySDVYFirst Trust SMID Cap Rising Dividend Archievers ETF$101,369,209$10,631,604 ▲11.7%2,827,5933.7%ETFJPMJPMorgan Chase & Co.$90,891,320$2,509,045 ▼-2.7%379,1723.3%FinanceGOOGLAlphabet$74,841,269$4,819,578 ▼-6.1%395,3582.7%Computer and TechnologyTTWOTake-Two Interactive Software$63,509,256$7,983,365 ▼-11.2%345,0092.3%Consumer DiscretionaryCSCOCisco Systems$55,329,504$5,381,931 ▼-8.9%934,6202.0%Computer and TechnologyFPEFirst Trust Preferred Securities and Income ETF$48,030,259$4,173,589 ▼-8.0%2,713,5741.8%ETFACNAccenture$45,857,585$3,047,909 ▼-6.2%130,3551.7%Computer and TechnologyPGProcter & Gamble$43,655,893$2,970,758 ▲7.3%260,3991.6%Consumer StaplesADIAnalog Devices$43,483,126$182,291 ▼-0.4%204,6651.6%Computer and TechnologyFTCSFirst Trust Capital Strength ETF$42,277,427$229,649 ▲0.5%481,4101.5%ETFWMWaste Management$42,076,242$334,971 ▲0.8%208,5151.5%Business ServicesDEDeere & Company$39,681,624$1,796,064 ▼-4.3%93,6551.5%Industrial ProductsCDNSCadence Design Systems$37,881,696$2,454,157 ▼-6.1%126,0791.4%Computer and TechnologyAMZNAmazon.com$37,714,458$2,083,986 ▼-5.2%171,9061.4%Retail/WholesaleVVisa$36,881,868$1,446,515 ▼-3.8%116,7001.4%Business ServicesVGTVanguard Information Technology ETF$36,193,734$858,084 ▼-2.3%58,2081.3%ETFLMTLockheed Martin$35,398,785$234,223 ▲0.7%72,8461.3%AerospaceMCDMcDonald's$35,043,063$270,177 ▼-0.8%120,8841.3%Retail/WholesaleCRMSalesforce$33,778,363$6,625,418 ▼-16.4%101,0331.2%Computer and TechnologyDSTLDistillate U.S. Fundamental Stability & Value ETF$32,753,589$1,191,023 ▲3.8%596,3461.2%ETFPANWPalo Alto Networks$32,426,364$14,373,748 ▲79.6%178,2061.2%Computer and TechnologyTJXTJX Companies$31,601,239$270,614 ▼-0.8%261,5781.2%Retail/WholesaleCOSTCostco Wholesale$30,231,412$1,407,391 ▲4.9%32,9941.1%Retail/WholesaleDHID.R. Horton$29,755,794$2,438,601 ▲8.9%212,8151.1%ConstructionABTAbbott Laboratories$29,404,641$1,328,590 ▼-4.3%259,9651.1%MedicalKOCoca-Cola$28,990,622$4,209,025 ▲17.0%465,6381.1%Consumer StaplesCMGChipotle Mexican Grill$28,810,375$1,076,476 ▼-3.6%477,7841.1%Retail/WholesaleSPGIS&P Global$28,545,087$195,726 ▲0.7%57,3161.0%Business ServicesICEIntercontinental Exchange$28,246,932$724,487 ▲2.6%189,5641.0%FinanceCVXChevron$25,245,033$1,154,375 ▼-4.4%174,2960.9%Oils/EnergyTDIVFirst Trust NASDAQ Technology Dividend Index Fund$24,490,191$214,431 ▼-0.9%312,1360.9%ManufacturingABBVAbbVie$24,291,057$344,205 ▼-1.4%136,6970.9%MedicalXOMExxon Mobil$24,087,827$325,614 ▼-1.3%223,9270.9%Oils/EnergyNEENextEra Energy$24,030,058$1,764,649 ▲7.9%335,1940.9%UtilitiesSCHWCharles Schwab$23,987,381$1,527,714 ▼-6.0%324,1100.9%FinanceVOXVanguard Communication Services ETF$22,716,051$4,314,706 ▼-16.0%146,5930.8%ETFFVDFirst Trust Value Line Dividend Index Fund$21,437,059$106,307 ▼-0.5%491,2250.8%ETFBRK.BBerkshire Hathaway$20,899,381$1,179,888 ▲6.0%46,1070.8%FinanceUCONFirst Trust TCW Unconstrained Plus Bond ETF$20,780,000$3,200,458 ▲18.2%843,0020.8%ETFDHRDanaher$19,126,795$343,636 ▼-1.8%83,3230.7%Multi-Sector ConglomeratesJNJJohnson & Johnson$18,723,662$1,548,302 ▼-7.6%129,4680.7%MedicalSYKStryker$17,542,716$965,654 ▼-5.2%48,7230.6%MedicalRDVYFirst Trust NASDAQ Rising Dividend Achievers$16,863,003$50,506 ▲0.3%285,1370.6%ManufacturingRDVIFT Vest Rising Dividend Achievers Target Income ETF$16,738,763$724,340 ▲4.5%690,5430.6%ETFECLEcolab$15,414,741$387,331 ▼-2.5%65,7850.6%Basic MaterialsCOPConocoPhillips$14,883,136$343,822 ▼-2.3%150,0770.5%Oils/EnergyZTSZoetis$14,034,139$697,503 ▼-4.7%86,1360.5%MedicalLinde PLC$13,696,789$13,696,789 ▲New Holding32,7150.5%ComFTSMFirst Trust Enhanced Short Maturity ETF$13,674,479$1,110,646 ▼-7.5%228,7850.5%ManufacturingVTIVanguard Total Stock Market ETF$13,669,758$6,376 ▲0.0%47,1680.5%ETFHYLSFirst Trust Exchange-Traded Fund IV First Trust Tactical High Yield ETF$13,623,029$310,967 ▼-2.2%329,6160.5%ManufacturingIVViShares Core S&P 500 ETF$13,471,353$187,200 ▲1.4%22,8840.5%ETFBRK.ABerkshire Hathaway$12,937,480$680,920 ▼-5.0%190.5%FinanceHDHome Depot$12,825,778$193,328 ▼-1.5%32,9720.5%Retail/WholesaleSLBSchlumberger$11,710,493$400,231 ▼-3.3%305,4380.4%Oils/EnergyCAHCardinal Health$10,597,820$1,454,721 ▼-12.1%89,6070.4%MedicalMDTMedtronic$10,589,931$320 ▼0.0%132,5730.4%MedicalCVSCVS Health$10,452,726$438,710 ▼-4.0%232,8520.4%Retail/WholesaleFTGSFirst Trust Growth Strength ETF$10,238,629$57,117 ▼-0.6%326,0710.4%ETFAZNAstraZeneca$10,098,729$59,689 ▲0.6%154,1320.4%MedicalPEPPepsiCo$9,664,173$736,122 ▼-7.1%63,5550.4%Consumer StaplesMCKMcKesson$9,604,123$800,154 ▼-7.7%16,8520.4%MedicalADPAutomatic Data Processing$9,446,690$169,491 ▼-1.8%32,2710.3%Business ServicesFGDFirst Trust DJ Global Select Dividend Index Fund$9,351,386$1,573,013 ▲20.2%420,4760.3%ETFAMTAmerican Tower$8,917,761$470,263 ▲5.6%48,6220.3%FinanceLLYEli Lilly and Company$8,829,364$28,564 ▲0.3%11,4370.3%MedicalHCAHCA Healthcare$8,786,291$533,066 ▲6.5%29,2730.3%MedicalCORCencora$8,772,855$406,895 ▼-4.4%39,0460.3%MedicalBDXBecton, Dickinson and Company$8,432,077$474,612 ▼-5.3%37,1670.3%MedicalHALHalliburton$8,217,199$105,198 ▲1.3%302,2140.3%Oils/EnergyEMREmerson Electric$7,751,325$125,045 ▼-1.6%62,5460.3%Industrial ProductsFANGDiamondback Energy$7,418,386$750,341 ▲11.3%45,2810.3%Oils/EnergyVNQVanguard Real Estate ETF$7,343,221$4,811,478 ▼-39.6%82,4340.3%ETFFIXDFirst Trust TCW Opportunistic Fixed Income ETF$6,958,906$1,111,892 ▲19.0%161,9480.3%ManufacturingVCRVanguard Consumer Discretionary ETF$6,319,147$229,733 ▼-3.5%16,8340.2%ETFEMLPFirst Trust North American Energy Infrastructure Fund$6,250,194$1,141 ▼0.0%175,3210.2%ETFAPDAir Products and Chemicals$6,146,238$437,380 ▼-6.6%21,1910.2%Basic MaterialsDISWalt Disney$5,956,446$347,189 ▼-5.5%53,4930.2%Consumer DiscretionaryPNCThe PNC Financial Services Group$5,943,251$330,352 ▼-5.3%30,8180.2%FinanceCSXCSX$5,739,284$200,009 ▼-3.4%177,8520.2%TransportationRPMRPM International$5,671,589$89,095 ▼-1.5%46,0880.2%ConstructionVOOVanguard S&P 500 ETF$5,569,140$412,190 ▼-6.9%10,3360.2%ETFTGTTarget$5,520,886$163,027 ▼-2.9%40,8410.2%Retail/WholesaleMRKMerck & Co., Inc.$5,338,594$101,967 ▼-1.9%53,6650.2%MedicalORealty Income$5,335,712$5,335,712 ▲New Holding99,9010.2%FinanceBROBrown & Brown$5,284,636$20,404 ▼-0.4%51,8000.2%FinanceAXPAmerican Express$5,124,673$52,235 ▼-1.0%17,2670.2%FinanceTTTrane Technologies$5,037,565$80,149 ▼-1.6%13,6390.2%ConstructionMPCMarathon Petroleum$4,618,845$636,539 ▼-12.1%33,1100.2%Oils/EnergyBIVVanguard Intermediate-Term Bond ETF$4,450,396$481,485 ▲12.1%59,5530.2%ETFMNSTMonster Beverage$4,411,519$13,097,218 ▼-74.8%83,9330.2%Consumer StaplesCTASCintas$4,247,958$17,357 ▼-0.4%23,2510.2%Business ServicesMETAMeta Platforms$4,131,944$334,912 ▲8.8%7,0570.2%Computer and TechnologyVEAVanguard FTSE Developed Markets ETF$4,102,287$449,795 ▲12.3%85,7860.2%ETFNKENIKE$4,071,122$264,315 ▼-6.1%53,8010.1%Consumer DiscretionaryHBANHuntington Bancshares$3,977,462$5,581 ▲0.1%244,4660.1%FinanceShowing largest 100 holdings. 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