I ISHARES TR IVV
5.4% 4.9% $905.0M 1.2M $754.8M 1.2M +52,939 +4.58% Add I ISHARES CORE IJH
3.98% 4.45% $666.1M 8.6M $685.2M 10.1M -1.5M -14.86% Reduce V VANGUARD FTSE VEA
3.84% 3.39% $643.4M 9.0M $521.4M 8.1M +893,797 +10.99% Add I ISHARES CORE IJR
3.61% 3.24% $605.3M 4.1M $498.7M 4.0M +69,700 +1.74% Add S SCHWAB STRATEGIC TR SCHC
3.13% 2.94% $523.9M 9.9M $452.4M 9.2M +684,966 +7.41% Add APPLE INC AAPL
2.82% 2.69% $473.2M 1.6M $414.5M 1.6M +1,923 +0.12% Add NVIDIA CORPORATION NVDA
2.78% 2.68% $465.6M 2.3M $412.3M 2.4M -37,403 -1.58% Reduce MICROSOFT CORP MSFT
2.56% 2.81% $429.6M 1.2M $433.0M 1.2M -18,222 -1.56% Reduce V VANGUARD FSTE VWO
2.19% 2.03% $367.5M 6.2M $312.0M 5.8M +384,367 +6.66% Add I ISHARES TR IVW
2.15% 1.98% $359.9M 2.6M $304.8M 2.7M -77,845 -2.89% Reduce JPMORGAN CHASE & CO JPM
2.05% 2.04% $344.0M 1.1M $313.5M 1.1M -14,750 -1.38% Reduce ELI LILLY & CO LLY
1.95% 1.76% $327.1M 272,730 $271.7M 295,365 -22,635 -7.66% Reduce ALPHABET INC GOOGL
1.81% 1.62% $303.6M 849,490 $248.8M 865,112 -15,622 -1.81% Reduce SNAP ON INC SNA
1.73% 1.7% $289.5M 719,413 $262.4M 722,531 -3,118 -0.43% Reduce V VANGUARD MID VO
1.57% 1.97% $263.6M 3.3M $303.2M 1.1M +2.2M +209.87% Add WALMART INC WMT
1.45% 1.74% $242.2M 2.1M $268.7M 2.2M -23,836 -1.10% Reduce EXXON MOBIL CORP XOM
1.41% 1.91% $235.7M 1.7M $294.9M 1.7M -14,229 -0.82% Reduce I ISHARES MSCI EAFE ETF EFA
1.35% 1.31% $226.3M 2.2M $201.7M 2.1M +101,571 +4.89% Add I ISHARES RUSSELL IWF
1.33% 1.23% $223.3M 1.8M $189.1M 443,490 +1.4M +305.53% Add V VANGUARD INDEX FDS VOO
1.33% 1.28% $222.7M 324,303 $196.4M 328,683 -4,380 -1.33% Reduce AMAZON COM INC AMZN
1.29% 1.24% $215.6M 904,432 $190.7M 915,570 -11,138 -1.22% Reduce JOHNSON & JOHNSON JNJ
1.26% 1.33% $210.3M 827,864 $204.7M 837,398 -9,534 -1.14% Reduce BROADCOM INC AVGO
1.11% 1.02% $185.4M 490,685 $157.1M 507,595 -16,910 -3.33% Reduce ABBVIE INC ABBV
1.02% 1.04% $170.7M 678,425 $160.7M 739,038 -60,613 -8.20% Reduce MERCK & CO INC MRK
1% 1.03% $167.6M 1.3M $158.5M 1.3M -12,980 -0.99% Reduce ROYAL BK CDA COM RY
0.98% 0.83% $164.0M 792,301 $128.2M 792,275 +26 +0.00% Add TJX COS INC NEW TJX
0.85% 0.99% $142.6M 941,167 $152.5M 955,066 -13,899 -1.46% Reduce N NEXTERA ENERGY INC NEE
0.78% 0.92% $131.4M 1.5M $141.4M 1.5M -25,271 -1.66% Reduce GLOBE LIFE INC GL
0.76% 0.67% $127.0M 710,501 $103.3M 741,910 -31,409 -4.23% Reduce CHEVRON CORPORATION CVX
0.76% 1.05% $126.9M 765,285 $161.1M 778,563 -13,278 -1.71% Reduce G GENERAL DYNAMICS CORP VTI
0.69% 0.67% $116.3M 314,243 $102.9M 320,890 -6,647 -2.07% Reduce GE VERNOVA INC GEV
0.68% 0.55% $113.8M 96,847 $84.7M 97,041 -194 -0.20% Reduce I ISHARES TR IEFA
0.63% 0.56% $105.5M 1.1M $86.2M 952,567 +139,662 +14.66% Add WASTE MGMT INC DEL WM
0.61% 0.7% $101.8M 456,524 $107.9M 469,501 -12,977 -2.76% Reduce TEXAS INSTRS INC TXN
0.6% 0.42% $100.9M 338,365 $64.5M 332,250 +6,115 +1.84% Add STRYKER CORPORATION SYK
0.58% 0.69% $96.4M 306,159 $105.8M 322,114 -15,955 -4.95% Reduce ADVANCED MICRO DEVICES INC AMD
0.56% 0.09% $94.3M 162,320 $14.4M 70,800 +91,520 +129.27% Add I ISHARES TR EEM
0.56% 0.53% $94.1M 1.4M $81.1M 1.4M -51,353 -3.60% Reduce A Alphabet Inc Class C GOOG
0.56% 0.48% $93.5M 264,555 $74.5M 259,556 +4,999 +1.93% Add I ISHARES INC IEMG
0.55% 0.47% $91.8M 1.1M $71.7M 1.0M +79,467 +7.73% Add QUANTA SVCS INC PWR
0.53% 0.43% $88.5M 122,922 $66.9M 121,815 +1,107 +0.91% Add COCA COLA CO KO
0.52% 0.54% $87.7M 1.1M $82.8M 1.1M -10,291 -0.95% Reduce GOLDMAN SACHS GROUP INC GS
0.5% 0.45% $84.3M 83,319 $69.5M 82,191 +1,128 +1.37% Add I ISHARES RUSSELL IWM
0.5% 0.46% $83.8M 279,006 $70.3M 283,456 -4,450 -1.57% Reduce XCEL ENERGY INC COM XEL
0.5% 0.53% $83.1M 1.0M $82.1M 1.0M +1,497 +0.14% Add COSTCO WHOLESALE CORPORATION COST
0.5% 0.58% $83.1M 88,795 $88.9M 89,193 -398 -0.45% Reduce PACKAGING CORP AMER PKG
0.47% 0.47% $79.2M 332,537 $72.1M 339,890 -7,353 -2.16% Reduce MCDONALDS CORP MCD
0.47% 0.77% $78.4M 290,102 $118.8M 382,303 -92,201 -24.12% Reduce RTX CORPORATION RTX
0.46% 0.5% $77.7M 409,643 $77.1M 399,761 +9,882 +2.47% Add GALLAGHER ARTHUR J & CO COM AJG
0.46% 0.48% $76.3M 332,381 $73.8M 340,672 -8,291 -2.43% Reduce