Park National Top Holdings and 13F Report (2026) 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. Park National Corporation operates as the bank holding company for Park National Bank that provides commercial banking and trust services in small and medium population areas. The company offers deposits for demand, savings, and time accounts; trust and wealth management services; cash management services; safe deposit operations; electronic funds transfers; Internet and mobile banking solutions with bill pay service; credit cards; and various additional banking-related services. For more information on Park National stock, visit the Park National stock profile here.Investment ActivityPark National has $3.57 billion in total holdings as of June 30, 2026.Park National owns shares of 363 different stocks, but just 63 companies or ETFs make up 80% of its holdings.Approximately 4.22% of the portfolio was purchased this quarter.About 3.56% of the portfolio was sold this quarter.This quarter, Park National has purchased 381 new stocks and bought additional shares in 93 stocks.Park National sold shares of 196 stocks and completely divested from 36 stocks this quarter.Largest Holdings Park National $206,398,431WisdomTree Dynamic International Equity Fund $173,718,707First Trust SMID Cap Rising Dividend Achievers ETF $152,307,002Apple $132,321,895NVIDIA $124,428,537 Largest New Holdings this Quarter 958102105 - Western Digital $418,362 Holding482480100 - KLA $306,839 Holding921910725 - Vanguard ESG International Stock ETF $238,457 Holding25402D102 - DigitalOcean Holdings Inc $237,429 Holding131193104 - Callaway Golf Co. $215,183 Holding Largest Purchases this Quarter Vanguard Information Technology ETF 370,836 shares (about $44.32M)Vanguard Growth ETF 75,572 shares (about $6.51M)Accenture 52,072 shares (about $6.48M)Vanguard S&P 500 ETF 8,996 shares (about $6.18M)First Trust TCW Opportunistic Fixed Income ETF 140,906 shares (about $6.14M) Largest Sales this Quarter Monolithic Power Systems 6,451 shares (about $8.92M)Palo Alto Networks 24,805 shares (about $8.46M)GE Vernova Inc 5,226 shares (about $6.14M)Cisco Systems 50,559 shares (about $5.94M)Park National 28,042 shares (about $5.13M) 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$206,398,431$5,131,405 â–¼-2.4%1,127,9225.8%FinanceDDWMWisdomTree Dynamic International Equity Fund$173,718,707$3,822,964 â–²2.3%3,761,7754.9%FinanceSDVYFirst Trust SMID Cap Rising Dividend Achievers ETF$152,307,002$2,523,554 â–²1.7%3,530,5384.3%ETFAAPLApple$132,321,895$2,554,757 â–¼-1.9%457,2923.7%Computer and TechnologyNVDANVIDIA$124,428,537$3,849,931 â–¼-3.0%621,8633.5%Computer and TechnologyGOOGLAlphabet$112,926,694$1,961,245 â–¼-1.7%315,9943.2%Computer and TechnologyJPMJPMorgan Chase & Co.$97,978,316$1,429,777 â–¼-1.4%299,3262.7%FinanceMSFTMicrosoft$96,035,053$2,204,547 â–²2.3%257,4532.7%Computer and TechnologyCSCOCisco Systems$85,734,024$5,938,658 â–¼-6.5%729,9002.4%Computer and TechnologyADIAnalog Devices$65,486,544$3,766,758 â–¼-5.4%164,8831.8%Computer and TechnologyPANWPalo Alto Networks$63,633,268$8,458,996 â–¼-11.7%186,5971.8%Computer and TechnologyArista Networks Inc$53,551,929$1,561,197 â–¼-2.8%315,2341.5%ComGE Vernova Inc$53,210,559$6,139,815 â–¼-10.3%45,2911.5%ComMETAMeta Platforms$52,367,341$3,852,901 â–²7.9%92,9671.5%Computer and TechnologyVGTVanguard Information Technology ETF$51,323,035$44,322,277 â–²633.1%429,4101.4%ETFCDNSCadence Design Systems$48,749,168$1,769,633 â–¼-3.5%129,8871.4%Computer and TechnologyAMZNAmazon.com$47,079,991$396,836 â–²0.9%197,5331.3%Retail/WholesaleCGDVCapital Group Dividend Value ETF$45,675,146$386,157 â–¼-0.8%926,8531.3%ETFPGProcter & Gamble$42,480,846$189,752 â–²0.4%289,6951.2%Consumer StaplesDHID.R. Horton$41,842,875$559,167 â–²1.4%256,8941.2%ConstructionCATCaterpillar$40,984,782$3,417,262 â–¼-7.7%38,4871.1%IndustrialsNFLXNetflix$39,969,484$5,863,865 â–²17.2%559,7971.1%Consumer DiscretionaryTJXTJX Companies$39,350,296$334,360 â–²0.9%259,7381.1%Retail/WholesaleWMWaste Management$39,184,958$121,470 â–²0.3%175,8121.1%Business ServicesMCDMcDonald's$37,768,208$2,160,856 â–²6.1%139,7221.1%Retail/WholesaleKOCocaCola$37,295,266$605,299 â–¼-1.6%458,9061.0%Consumer StaplesCOSTCostco Wholesale$34,379,429$123,482 â–²0.4%36,7511.0%Retail/WholesaleFPEFirst Trust Preferred Securities and Income ETF$34,035,778$667,371 â–²2.0%1,903,5671.0%ETFVVisa$33,033,340$130,374 â–¼-0.4%96,2820.9%Business ServicesRDVYFirst Trust Rising Dividend Achievers ETF$32,722,382$2,073,515 â–²6.8%403,6810.9%ManufacturingJNJJohnson & Johnson$32,357,775$328,891 â–²1.0%127,4080.9%MedicalMPWRMonolithic Power Systems$29,946,055$8,917,601 â–¼-22.9%21,6630.8%Computer and TechnologyCRMSalesforce$29,562,814$5,147,373 â–²21.1%188,7070.8%Computer and TechnologyPWRQuanta Services$29,368,973$2,555,420 â–¼-8.0%40,7880.8%ConstructionTDIVFirst Trust NASDAQ Technology Dividend Index Fund$29,018,113$895,375 â–¼-3.0%252,5950.8%ManufacturingFIXDFirst Trust TCW Opportunistic Fixed Income ETF$27,508,403$6,144,911 â–²28.8%630,7820.8%ManufacturingACNAccenture$27,382,750$6,479,834 â–²31.0%220,0480.8%Computer and TechnologyFTCSFirst Trust Capital Strength ETF$26,943,206$3,312,464 â–¼-10.9%286,8740.8%ETFAVGOBroadcom$26,379,395$2,557,743 â–²10.7%69,8330.7%Computer and TechnologyBlackrock Inc$26,220,756$60,578 â–¼-0.2%27,2690.7%ComABBVAbbVie$25,990,106$559,395 â–¼-2.1%103,2830.7%MedicalFVDFirst Trust Value Line Dividend Index Fund$24,434,246$620,703 â–²2.6%507,1450.7%ETFXOMExxonMobil$23,891,790$820,319 â–¼-3.3%174,7500.7%EnergySTLGiShares Factors US Growth Style ETF$23,804,497$1,627,636 â–¼-6.4%288,3650.7%ManufacturingBRK.BBerkshire Hathaway$23,037,424$61,548 â–²0.3%46,0390.6%FinanceNKENIKE$22,913,111$3,090,724 â–²15.6%558,1780.6%Consumer DiscretionarySCHWCharles Schwab$22,608,433$680,491 â–²3.1%245,0250.6%FinanceCVXChevron$22,181,147$244,993 â–¼-1.1%133,8150.6%EnergyTTWOTake-Two Interactive Software$21,707,014$1,015,669 â–¼-4.5%86,8350.6%Consumer DiscretionaryICEIntercontinental Exchange$21,286,926$822,128 â–²4.0%172,9100.6%FinanceRDVIFT Vest Rising Dividend Achievers Target Income ETF$20,910,103$902,462 â–²4.5%711,2280.6%ETFFTSMFirst Trust Enhanced Short Maturity ETF$19,546,284$716,103 â–¼-3.5%327,2440.5%ManufacturingCOFCapital One Financial$18,886,947$662,045 â–²3.6%94,1430.5%FinanceFGDFirst Trust Dow Jones Global Select Dividend Index Fund$18,673,011$1,199,561 â–²6.9%583,7140.5%ETFVTIVanguard Total Stock Market ETF$18,534,174$97,690 â–¼-0.5%50,0870.5%ETFWECWEC Energy Group$18,373,619$567,852 â–²3.2%157,3490.5%UtilitiesPNCThe PNC Financial Services Group$17,631,061$3,355,237 â–²23.5%71,6070.5%FinanceLLYEli Lilly and Company$17,480,479$4,740,144 â–²37.2%14,5740.5%MedicalHOODRobinhood Markets$17,370,077$528,776 â–²3.1%173,2160.5%FinanceMRKMerck & Co., Inc.$16,524,187$52,685 â–¼-0.3%128,5930.5%MedicalIVViShares Core S&P 500 ETF$16,480,072$32,202 â–¼-0.2%22,0060.5%ETFDHRDanaher$16,082,005$411,436 â–²2.6%84,4290.5%MedicalSYKStryker$15,035,161$122,473 â–²0.8%47,7550.4%MedicalVEAVanguard FTSE Developed Markets ETF$15,002,958$260,989 â–¼-1.7%210,5680.4%ETFFirst Trust Alternative Opport$14,804,535$1,698,217 â–²13.0%532,3460.4%ComVOOVanguard S&P 500 ETF$14,391,337$6,178,509 â–²75.2%20,9540.4%ETFVOXVanguard Communication Services ETF$14,386,178$193,148 â–¼-1.3%78,2070.4%ETFCVSCVS Health$14,340,011$1,983,754 â–¼-12.2%138,6180.4%MedicalBRK.ABerkshire Hathaway$14,228,1500.0%190.4%FinanceFTGSFirst Trust Growth Strength ETF$13,925,038$332,761 â–²2.4%376,3300.4%ETFABTAbbott Laboratories$13,627,514$1,542,580 â–¼-10.2%150,1820.4%MedicalAZNCFAstraZeneca$13,618,485$286,515 â–¼-2.1%71,8200.4%MedicalDEDeere & Company$13,601,304$2,288,028 â–¼-14.4%21,4420.4%IndustrialsCAHCardinal Health$13,467,966$205,964 â–¼-1.5%56,6930.4%MedicalCOPConocoPhillips$12,817,405$118,826 â–¼-0.9%123,2920.4%EnergySPGIS&P Global$11,628,484$3,030,419 â–¼-20.7%28,5530.3%FinanceHDHome Depot$11,257,171$148,831 â–¼-1.3%31,9190.3%Retail/WholesaleSLBSLB$11,012,297$343,886 â–¼-3.0%236,8750.3%EnergyMCKMcKesson$10,946,355$232,724 â–²2.2%14,4870.3%MedicalVYMVanguard High Dividend Yield ETF$10,137,869$2,471,730 â–¼-19.6%64,1520.3%Financial ServicesHYLSFirst Trust Exchange-Traded Fund IV First Trust Tactical High Yield ETF$9,840,796$2,067,784 â–¼-17.4%242,0860.3%ManufacturingCORCencora$9,726,550$459,275 â–²5.0%34,3720.3%MedicalEMLPFirst Trust North American Energy Infrastructure Fund$9,482,479$258,173 â–²2.8%217,9880.3%ETFNEENextEra Energy$9,193,905$654,676 â–¼-6.6%104,7500.3%UtilitiesMDTMedtronic$9,143,943$119,457 â–²1.3%116,8860.3%MedicalBDXBecton, Dickinson and Company$8,988,064$619,240 â–²7.4%59,3940.3%MedicalFPEIFirst Trust Institutional Preferred Securities and Income ETF$8,755,037$6,134,780 â–²234.1%453,8640.2%ETFHALHalliburton$8,515,114$130,673 â–¼-1.5%250,8140.2%EnergyLinde PLC$8,465,950$210,689 â–¼-2.4%16,3140.2%ComVUGVanguard Growth ETF$8,215,797$6,509,721 â–²381.6%95,3780.2%ETFVIGVanguard Dividend Appreciation ETF$7,957,695$1,787,175 â–¼-18.3%33,6310.2%ETFEMREmerson Electric$7,622,879$131,125 â–¼-1.7%53,2510.2%IndustrialsBNDCFlexShares Core Select Bond Fund$6,985,797$469,202 â–²7.2%316,1910.2%ETFORealty Income$6,859,935$149,447 â–²2.2%110,7160.2%FinanceINTCIntel$6,851,364$145,774 â–¼-2.1%49,0680.2%Computer and TechnologyAMTAmerican Tower$6,829,673$166,350 â–²2.5%41,7540.2%FinanceVAWVanguard Materials ETF$6,589,819$91,516 â–²1.4%28,8030.2%ETFADPAutomatic Data Processing$5,961,997$62,930 â–²1.1%26,6220.2%Computer and TechnologyVCRVanguard Consumer Discretionary ETF$5,951,530$79,322 â–²1.4%15,0060.2%ETFPFEPfizer$5,829,268$4,480,124 â–²332.1%242,0810.2%MedicalShowing largest 100 holdings. 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