Who owns PRKWhat PRK owns
What Park National Corporation owns
The company's own 13F portfolio · as of 2026-03-31 · long US-listed stakes only — private holdings, bonds and cash are not disclosable on a 13F
$3.28B
disclosed stock portfolio
381
positions
5.8%
in PRK
Positions, as of 2026-03-31
ordered by filed value · % of book = share of the disclosed stock portfolio · PUT/CALL tags = options positions (share-equivalents), not shares held
| # | Issuer | Shares | Value | % of book |
|---|---|---|---|---|
| 1 | PRKPark National Corporation | 1.2M | $188.9M | 5.8% |
| 2 | DDWMWisdomTree Dynamic Currency He | 3.7M | $162.3M | 4.9% |
| 3 | SDVYFirst Trust SMID Cap Rising Di | 3.5M | $136.9M | 4.2% |
| 4 | AAPLApple Inc | 466,121 | $118.3M | 3.6% |
| 5 | NVDANVIDIA Corporation | 641,104 | $111.8M | 3.4% |
| 6 | MSFTMicrosoft Corporation | 251,543 | $93.1M | 2.8% |
| 7 | GOOGLAlphabet Inc Class A | 321,482 | $92.4M | 2.8% |
| 8 | JPMJPMorgan Chase & Co | 303,694 | $89.3M | 2.7% |
| 9 | CSCOCisco Systems Inc | 780,459 | $60.6M | 1.8% |
| 10 | ADIAnalog Devices Inc | 174,367 | $55.5M | 1.7% |
| 11 | METAMeta Platforms Inc Class A | 86,127 | $49.3M | 1.5% |
| 12 | NFLXNetflix Inc | 477,670 | $45.9M | 1.4% |
| 13 | GEVGE Vernova Inc | 50,517 | $44.1M | 1.3% |
| 14 | PGProcter & Gamble Company | 288,401 | $41.7M | 1.3% |
| 15 | TJXTJX Companies Inc | 257,531 | $41.1M | 1.3% |
| 16 | MCDMcDonald's Corporation | 131,728 | $40.9M | 1.2% |
| 17 | VGTVanguard Information Technolog | 58,574 | $40.9M | 1.2% |
| 18 | AMZNAmazon.com Inc | 195,868 | $40.8M | 1.2% |
| 19 | WMWaste Management Inc | 175,267 | $40.3M | 1.2% |
| 20 | ANETArista Networks Inc | 324,424 | $39.8M | 1.2% |
| 21 | CGDVCapital Group Dividend Value E | 934,689 | $39.8M | 1.2% |
| 22 | CDNSCadence Design Systems Inc | 134,602 | $37.4M | 1.1% |
| 23 | COSTCostco Wholesale Corporation | 36,619 | $36.5M | 1.1% |
| 24 | KOCoca-Cola Company | 466,354 | $35.5M | 1.1% |
| 25 | DHIDR Horton Inc | 253,461 | $34.8M | 1.1% |
| 26 | PANWPalo Alto Networks Inc | 211,402 | $33.9M | 1% |
| 27 | Accenture PLC Class A | 167,976 | $33.3M | 1% |
| 28 | FPEFirst Trust Preferred Securiti | 1.9M | $33.1M | 1% |
| 29 | JNJJohnson & Johnson | 126,113 | $30.8M | 0.9% |
| 30 | MPWRMonolithic Power Systems Inc | 28,114 | $30.7M | 0.9% |
| 31 | EXMOCExxon Mobil Corporation | 180,750 | $30.7M | 0.9% |
| 32 | FTCSFirst Trust Capital Strength E | 322,143 | $29.9M | 0.9% |
| 33 | CATCaterpillar Inc | 41,696 | $29.5M | 0.9% |
| 34 | VVisa Inc Class A | 96,662 | $29.2M | 0.9% |
| 35 | CRMSalesforce Inc | 155,850 | $29.1M | 0.9% |
| 36 | CVXChevron Corp | 135,293 | $28.0M | 0.9% |
| 37 | BLKBlackrock Inc | 27,332 | $26.3M | 0.8% |
| 38 | ICEIntercontinental Exchange Inc | 166,232 | $26.1M | 0.8% |
| 39 | RDVYFirst Trust Rising Dividend Ac | 378,101 | $25.8M | 0.8% |
| 40 | NKENike Inc Class B | 482,886 | $25.5M | 0.8% |
| 41 | TDIVFirst Trust NASDAQ Tech Divide | 260,389 | $24.4M | 0.7% |
| 42 | PWRQuanta Services Inc | 44,337 | $24.3M | 0.7% |
| 43 | FVDFirst Trust Value Line Dividen | 494,262 | $23.2M | 0.7% |
| 44 | ABBVAbbVie Inc | 105,506 | $22.9M | 0.7% |
| 45 | SCHWSchwab (Charles) Corporation | 237,650 | $22.3M | 0.7% |
| 46 | BRK/BBerkshire Hathaway Inc Class B | 45,916 | $22.0M | 0.7% |
| 47 | FIXDFirst Tr Smith Opportunistic F | 489,876 | $21.4M | 0.7% |
| 48 | FTSMFirst Trust Enhanced Short Mat | 339,233 | $20.3M | 0.6% |
| 49 | GARPiShares MSCI USA Quality GARP | 308,082 | $19.7M | 0.6% |
| 50 | AVGOBroadcom Inc | 63,062 | $19.5M | 0.6% |
| 51 | TTWOTake-Two Interactive Software | 90,898 | $18.0M | 0.5% |
| 52 | WECWEC Energy Group Inc | 152,486 | $17.7M | 0.5% |
| 53 | FGDFirst Trust Dow Jones Global S | 546,216 | $17.4M | 0.5% |
| 54 | RDVIFT Vest Rising Dividend Achiev | 680,532 | $17.4M | 0.5% |
| 55 | ABTAbbott Laboratories | 167,182 | $17.2M | 0.5% |
| 56 | COFCapital One Financial Corporat | 90,843 | $16.6M | 0.5% |
| 57 | COPConocoPhillips | 124,435 | $16.4M | 0.5% |
| 58 | VTIVanguard Total Stock Market ET | 50,351 | $16.2M | 0.5% |
| 59 | DHRDanaher Corporation | 82,269 | $15.6M | 0.5% |
| 60 | SYKStryker Corporation | 47,366 | $15.6M | 0.5% |
| 61 | MRKMerck & Company Inc (New) | 129,003 | $15.5M | 0.5% |
| 62 | SPGIS&P Global Inc | 35,994 | $15.3M | 0.5% |
| 63 | AstraZeneca PLC | 73,331 | $14.5M | 0.4% |
| 64 | IVViShares Core S&P 500 ETF | 22,049 | $14.4M | 0.4% |
| 65 | VOXVanguard Communication Service | 79,257 | $14.3M | 0.4% |
| 66 | DEDeere & Company | 25,049 | $14.1M | 0.4% |
| 67 | VEAVanguard FTSE Developed Market | 214,231 | $13.7M | 0.4% |
| 68 | BRK/ABerkshire Hathaway Inc Class A | 19 | $13.6M | 0.4% |
| 69 | First Trust Alternative Opport | 471,281 | $12.9M | 0.4% |
| 70 | SLBSLB Limited | 244,272 | $12.6M | 0.4% |
| 71 | FTGSFirst Trust Growth Strength ET | 367,337 | $12.5M | 0.4% |
| 72 | MCKMcKesson Corporation | 14,179 | $12.3M | 0.4% |
| 73 | CAHCardinal Health Inc | 57,560 | $12.2M | 0.4% |
| 74 | PNCPNC Financial Services Group | 57,980 | $12.1M | 0.4% |
| 75 | HYLSFirst Trust Tactical High Yiel | 292,954 | $11.9M | 0.4% |
| 76 | ZTSZoetis Inc | 100,435 | $11.9M | 0.4% |
| 77 | VYMVanguard High Dividend Yield E | 79,793 | $11.8M | 0.4% |
| 78 | HOODRobinhood Markets Inc Class A | 167,943 | $11.6M | 0.4% |
| 79 | CVSCVS Health Corporation | 157,794 | $11.3M | 0.3% |
| 80 | HDHome Depot Inc | 32,341 | $10.6M | 0.3% |
| 81 | NEENextEra Energy Inc | 112,209 | $10.4M | 0.3% |
| 82 | CORCencora Inc | 32,749 | $10.3M | 0.3% |
| 83 | Medtronic PLC | 115,359 | $10.0M | 0.3% |
| 84 | HALHalliburton Company | 254,663 | $9.9M | 0.3% |
| 85 | LLYLilly (Eli) & Company | 10,622 | $9.8M | 0.3% |
| 86 | EMLPFirst Trust North Amer Energy | 212,053 | $9.3M | 0.3% |
| 87 | VIGVanguard Dividend Appreciation | 41,184 | $8.9M | 0.3% |
| 88 | BDXBecton Dickinson & Co | 55,302 | $8.7M | 0.3% |
| 89 | VUGVanguard Growth ETF | 19,806 | $8.7M | 0.3% |
| 90 | Linde PLC | 16,720 | $8.3M | 0.3% |
| 91 | VOOVanguard S&P 500 ETF | 11,958 | $7.1M | 0.2% |
| 92 | EMREmerson Electric Company | 54,167 | $7.1M | 0.2% |
| 93 | AMTAmerican Tower Corporation | 40,737 | $7.0M | 0.2% |
| 94 | HCAHCA Healthcare Inc | 14,827 | $7.0M | 0.2% |
| 95 | PEPPepsiCo Inc | 43,621 | $6.8M | 0.2% |
| 96 | ORealty Income Corp | 108,304 | $6.6M | 0.2% |
| 97 | FlexShares Core Select Bond ET | 294,954 | $6.6M | 0.2% |
| 98 | VAWVanguard Materials ETF | 28,403 | $6.4M | 0.2% |
| 99 | ADPAutomatic Data Processing Inc | 26,341 | $5.4M | 0.2% |
| 100 | VCRVanguard Consumer Discretionar | 14,806 | $5.3M | 0.2% |
Source: SEC Form 13F-HR filed by PARK NATIONAL CORP /OH/ (CIK 805676), reporting period 2026-03-31. Values are quarter-end filed marks. Research, not investment advice.