ELI LILLY & CO LLY
30.51% 27.26% $61.56B 51.3M $47.21B 51.3M -6,188 -0.01% Reduce I ISHARES TR IVV
5.72% 5.91% $11.54B 15.4M $10.24B 15.7M -264,762 -1.69% Reduce APPLE INC AAPL
2.7% 2.78% $5.44B 18.8M $4.81B 19.0M -167,321 -0.88% Reduce MICROSOFT CORP MSFT
1.71% 1.95% $3.44B 9.2M $3.38B 9.1M +108,329 +1.19% Add ALPHABET INC GOOGL
1.52% 1.46% $3.07B 8.6M $2.53B 8.8M -193,845 -2.20% Reduce S STATE STR SPDR S&P 500 ETF T SPY
1.42% 1.47% $2.86B 3.8M $2.54B 3.9M -73,551 -1.88% Reduce NVIDIA CORPORATION NVDA
1.13% 1.11% $2.27B 11.3M $1.93B 11.1M +289,994 +2.62% Add JPMORGAN CHASE & CO JPM
1.06% 1.13% $2.13B 6.5M $1.96B 6.7M -153,136 -2.30% Reduce I INVESCO QQQ TR QQQ
1.05% 0.99% $2.13B 2.9M $1.72B 3.0M -87,954 -2.96% Reduce BROADCOM INC AVGO
0.86% 0.84% $1.73B 4.6M $1.45B 4.7M -97,591 -2.09% Reduce A AMERICAN CENTY ETF TR AVLV
0.85% 0.62% $1.71B 18.7M $1.07B 13.2M +5.5M +41.45% Add I ISHARES TR IDEV
0.82% 0.8% $1.66B 18.7M $1.38B 16.6M +2.1M +12.80% Add I ISHARES TR IEFA
0.81% 0.88% $1.64B 17.0M $1.52B 16.8M +168,292 +1.00% Add AMAZON COM INC AMZN
0.8% 0.82% $1.60B 6.7M $1.42B 6.8M -97,956 -1.43% Reduce I ISHARES RUSSELL IWF
0.75% 0.75% $1.51B 12.2M $1.30B 3.1M +9.1M +298.34% Add JOHNSON & JOHNSON JNJ
0.71% 0.81% $1.44B 5.7M $1.41B 5.8M -88,710 -1.54% Reduce I ISHARES RUSSELL MIDCAP ETF IWR
0.68% 0.69% $1.38B 12.5M $1.20B 12.3M +139,136 +1.13% Add I ISHARES TR GOVT
0.67% 0.72% $1.35B 59.4M $1.25B 54.7M +4.7M +8.66% Add EXXON MOBIL CORP XOM
0.66% 1.01% $1.34B 9.8M $1.75B 10.3M -513,109 -4.99% Reduce I ISHARES INC IEMG
0.65% 0.61% $1.31B 15.8M $1.05B 15.0M +785,283 +5.23% Add I ISHARES CORE IJH
0.62% 0.62% $1.26B 16.3M $1.07B 15.9M +409,287 +2.58% Add I ISHARES MSCI QUAL
0.62% 0.68% $1.25B 5.7M $1.18B 6.1M -425,693 -6.94% Reduce V V F CORP VFC
0.6% 0.73% $1.21B 72.6M $1.26B 74.1M -1.6M -2.13% Reduce V VANGUARD INDEX FDS VUG
0.58% 0.58% $1.17B 13.6M $998.5M 2.3M +11.3M +496.06% Add G GLOBAL X FDS AIQ
0.58% 0.73% $1.17B 17.8M $1.27B 27.2M -9.4M -34.50% Reduce ERIE INDTY CO ERIE
0.57% 0.71% $1.16B 4.8M $1.23B 4.9M -82,256 -1.68% Reduce LAM RESEARCH CORP LRCX
0.57% 0.33% $1.15B 2.6M $564.0M 2.6M +6,890 +0.26% Add HOME DEPOT INC HD
0.55% 0.61% $1.12B 3.2M $1.05B 3.2M -26,901 -0.84% Reduce I ISHARES CORE IJR
0.55% 0.54% $1.11B 7.5M $941.0M 7.6M -77,857 -1.03% Reduce I ISHARES TR AGG
0.54% 0.59% $1.09B 11.0M $1.03B 10.3M +636,150 +6.15% Add W WISDOMTREE TR DGRW
0.53% 0.59% $1.06B 11.1M $1.03B 11.7M -600,603 -5.14% Reduce PROCTER & GAMBLE CO PG
0.52% 0.64% $1.05B 7.1M $1.11B 7.7M -564,326 -7.34% Reduce A Alphabet Inc Class C GOOG
0.5% 0.47% $1.01B 2.9M $815.1M 2.8M +28,752 +1.01% Add ABBVIE INC ABBV
0.5% 0.52% $1.01B 4.0M $895.0M 4.1M -107,520 -2.61% Reduce I ISHARES RUSSELL IWM
0.5% 0.46% $1.00B 3.3M $790.5M 3.2M +143,509 +4.50% Add I ISHARES RUSSELL IWB
0.47% 0.48% $947.3M 2.3M $830.6M 2.3M -16,165 -0.69% Reduce MERCK & CO INC MRK
0.46% 0.52% $936.4M 7.3M $905.8M 7.5M -243,638 -3.24% Reduce D DIMENSIONAL ETF TRUST DFIV
0.46% 0.5% $929.2M 17.2M $868.5M 16.5M +746,058 +4.53% Add VISA INC V
0.46% 0.48% $918.3M 2.7M $834.3M 2.8M -83,932 -3.04% Reduce V VANGUARD INDEX FDS VTV
0.45% 0.48% $911.1M 4.2M $833.4M 4.2M -67,223 -1.58% Reduce I ISHARES MSCI EAFE ETF EFA
0.43% 0.47% $871.9M 8.4M $815.8M 8.4M -5,880 -0.07% Reduce G GENERAL DYNAMICS CORP GD
0.42% 0.43% $857.0M 2.3M $749.8M 2.3M -20,978 -0.90% Reduce I ISHARES TR IQLT
0.42% 0.46% $849.9M 17.2M $800.2M 17.3M -156,869 -0.91% Reduce I ISHARES TR IWD
0.41% 0.42% $826.9M 3.4M $723.5M 3.4M +25,063 +0.74% Add I ISHARES 7-10YR IEF
0.41% 0.46% $826.0M 8.7M $804.4M 8.4M +305,576 +3.63% Add CISCO SYS INC CSCO
0.39% 0.3% $789.8M 6.7M $512.7M 6.6M +116,256 +1.76% Add I ISHARES TR MUB
0.39% 0.44% $781.0M 7.3M $762.7M 7.2M +71,681 +1.00% Add META PLATFORMS INC META
0.39% 0.45% $778.4M 1.4M $788.0M 1.4M +4,469 +0.32% Add V VANGUARD INDEX FDS VV
0.39% 0.36% $776.9M 2.3M $628.4M 2.1M +156,339 +7.43% Add V VANGUARD MID VO
0.38% 0.39% $774.8M 9.6M $677.4M 2.4M +7.3M +307.66% Add