F FMPW INST MONEY
7.03% 6.89% $179.8M 179.8M $181.1M 181.1M -1.3M -0.72% Reduce V VANGUARD 500 INDEX ADMIR VFIAX
4.93% 4.87% $126.2M 209,529 $128.0M 212,425 -2,896 -1.36% Reduce F FED SH INTRM TTL BD SRBRX
3.75% 3.72% $95.9M 9.5M $97.9M 9.7M -196,125 -2.03% Reduce F FEDERATED TOTAL RETURN SER IN FH TOTAL RETURN R6 FTRLX
3.68% 3.63% $94.0M 10.0M $95.5M 10.1M -158,298 -1.57% Reduce V VANGUARD BD INDEX FDS BSV
2.64% 2.63% $67.5M 860,737 $69.3M 883,399 -22,662 -2.57% Reduce V VANGUARD MID CAP INDEX A VIMAX
2.42% 2.39% $61.9M 173,956 $62.9M 176,938 -2,982 -1.69% Reduce ALPHABET INC GOOGL
2.03% 1.99% $51.9M 180,558 $52.4M 182,160 -1,602 -0.88% Reduce S SCHWAB FDMTL INTL LG CO IDX SFNNX
2% 1.96% $51.2M 3.4M $51.6M 3.5M -27,790 -0.80% Reduce APPLE INC AAPL
1.96% 1.94% $50.1M 197,373 $51.0M 201,048 -3,675 -1.83% Reduce LAM RESEARCH CORP LRCX
1.74% 0.84% $44.4M 102,501 $22.2M 103,767 -1,266 -1.22% Reduce BROADCOM INC AVGO
1.65% 1.62% $42.3M 136,547 $42.7M 137,951 -1,404 -1.02% Reduce MICROSOFT CORP MSFT
1.43% 1.42% $36.7M 99,060 $37.2M 100,593 -1,533 -1.52% Reduce V VANGUARD EQUITYINCOME ADM VEIRX
1.43% 1.44% $36.6M 390,620 $37.8M 403,280 -12,660 -3.14% Reduce V VANGUARD INDEX FDS VOO
1.4% 1.39% $35.8M 59,928 $36.5M 61,028 -1,100 -1.80% Reduce F FIDELITY CONTRAFUND FCNTX
1.34% 1.32% $34.2M 1.5M $34.8M 1.5M -23,154 -1.53% Reduce N Northern Ultra-Short Fixed Income Fund NUSFX
1.3% 1.29% $33.3M 3.2M $33.9M 3.3M -56,899 -1.73% Reduce V VANGUARD SHORT-TERM BOND BSV
1.21% 1.17% $30.9M 3.0M $30.9M 3.0M 0 0.00% Unchanged I ISHARES TR AGG
1.21% 1.2% $30.8M 310,636 $31.5M 317,722 -7,086 -2.23% Reduce NVIDIA CORPORATION NVDA
1.15% 1.13% $29.5M 169,062 $29.6M 169,607 -545 -0.32% Reduce I ISHARES U.S. TECHNOLOGY ETF IYW
1.13% 1.14% $28.9M 159,353 $30.1M 165,820 -6,467 -3.90% Reduce AMAZON COM INC AMZN
1.1% 1.08% $28.2M 135,629 $28.3M 136,028 -399 -0.29% Reduce I ISHARES TR IVW
1.07% 1.1% $27.4M 242,661 $28.9M 255,627 -12,966 -5.07% Reduce I ISHARES CORE IJR
1% 1% $25.6M 205,902 $26.4M 212,491 -6,589 -3.10% Reduce J JANUS HENDERSON ENTERPRISE I JMGRX
1% 0.98% $25.5M 189,870 $25.9M 192,510 -2,640 -1.37% Reduce P PZENA EMERGING MARKETS VALUE INSTL PZIEX
0.98% 0.96% $25.0M 1.6M $25.2M 1.6M -13,125 -0.83% Reduce AMPHENOL CORP APH
0.93% 0.91% $23.9M 188,984 $24.0M 190,281 -1,297 -0.68% Reduce V VANGUARD INTERNATIONAL GROWTH ADM VWILX
0.92% 0.91% $23.4M 216,770 $23.8M 220,321 -3,551 -1.61% Reduce V VANGUARD SMALL CAP INDEX ADM VSMAX
0.91% 0.91% $23.3M 185,791 $23.9M 190,251 -4,460 -2.34% Reduce JPMORGAN CHASE & CO JPM
0.9% 0.88% $23.1M 78,587 $23.3M 79,087 -500 -0.63% Reduce M MFS MID CAP VALUE R6 MVCKX
0.9% 0.89% $23.1M 730,967 $23.4M 740,400 -9,433 -1.27% Reduce ELI LILLY & CO LLY
0.88% 1.76% $22.6M 24,586 $46.2M 50,192 -25,606 -51.02% Reduce V VANGUARD BD INDEX FDS BIV
0.88% 0.88% $22.5M 291,520 $23.2M 300,213 -8,693 -2.90% Reduce WALMART INC WMT
0.84% 0.82% $21.5M 172,846 $21.6M 173,983 -1,137 -0.65% Reduce A AVANTIS U S AVUV
0.81% 0.79% $20.7M 187,716 $20.8M 188,387 -671 -0.36% Reduce FIRST MERCHANTS CORP FRME
0.79% 0.77% $20.2M 520,558 $20.3M 525,158 -4,600 -0.88% Reduce VISA INC V
0.72% 0.71% $18.4M 61,013 $18.6M 61,476 -463 -0.75% Reduce V VANGUARD MUN BOND FUND INC VWIUX
0.7% 0.7% $18.0M 1.3M $18.5M 1.4M -36,532 -2.70% Reduce STRYKER CORPORATION SYK
0.7% 0.68% $17.9M 54,405 $18.0M 54,786 -381 -0.70% Reduce I ISHARES S&P IVE
0.69% 0.7% $17.6M 83,239 $18.3M 86,659 -3,420 -3.95% Reduce M MORGAN STANLEY INSTL FD INC MFAIX
0.68% 0.67% $17.4M 681,811 $17.7M 694,142 -12,331 -1.78% Reduce V VANGUARD TOTAL BOND MARKET INDEX ADM VBTLX
0.64% 0.63% $16.5M 1.7M $16.5M 1.7M 0 0.00% Unchanged COSTCO WHOLESALE CORPORATION COST
0.64% 0.63% $16.5M 16,543 $16.7M 16,723 -180 -1.08% Reduce I ISHARES TR IEFA
0.64% 0.65% $16.4M 181,178 $17.0M 187,554 -6,376 -3.40% Reduce TJX COS INC NEW TJX
0.63% 0.62% $16.2M 101,235 $16.4M 102,452 -1,217 -1.19% Reduce JOHNSON & JOHNSON JNJ
0.61% 0.61% $15.6M 63,782 $15.9M 65,109 -1,327 -2.04% Reduce V VANGUARD GROWTH INDEX AD VIGAX
0.6% 0.6% $15.3M 68,196 $15.7M 69,962 -1,766 -2.52% Reduce W WCM FOCUSED INTERNATIONAL WCMIX
0.59% 0.59% $15.2M 619,003 $15.4M 626,038 -7,035 -1.12% Reduce LOWES COS INC COM LOW
0.58% 0.56% $14.7M 62,270 $14.8M 62,768 -498 -0.79% Reduce D DODGE & COX INCOME I DODIX
0.57% 0.56% $14.6M 1.1M $14.6M 1.1M 0 0.00% Unchanged W WCM FOCUSED EMERGING MARKETS FD INSTL WCMEX
0.54% 0.53% $13.8M 699,032 $14.0M 706,374 -7,342 -1.04% Reduce