CATERPILLAR INC CAT
10.57% 8.13% $15.45B 14.5M $10.32B 14.6M -55,422 -0.38% Reduce ELI LILLY & CO LLY
8.83% 7.8% $12.90B 10.8M $9.90B 10.8M 0 0.00% Unchanged JOHNSON & JOHNSON JNJ
5.49% 6.09% $8.02B 31.6M $7.72B 31.6M 0 0.00% Unchanged APPLE INC AAPL
4.63% 4.7% $6.76B 23.4M $5.96B 23.5M -135,655 -0.58% Reduce ILLINOIS TOOL ITW
3.89% 4.31% $5.69B 21.0M $5.47B 21.0M 0 0.00% Unchanged ASML HLDG NV ASML
3.75% 2.87% $5.49B 2.8M $3.64B 2.8M 0 0.00% Unchanged NUCOR CORP NUE
3.69% 3.23% $5.39B 24.2M $4.09B 24.2M 0 0.00% Unchanged WALMART INC WMT
3.02% 3.82% $4.42B 39.0M $4.85B 39.0M 0 0.00% Unchanged KLA CORP KLAC
2.88% 1.63% $4.21B 14.0M $2.07B 1.4M +12.6M +895.22% Add EXXON MOBIL CORP XOM
2.86% 4.08% $4.17B 30.5M $5.18B 30.5M 0 0.00% Unchanged MICROSOFT CORP MSFT
2.64% 3.02% $3.86B 10.4M $3.84B 10.4M 0 0.00% Unchanged ALPHABET INC GOOGL
2.64% 2.44% $3.85B 10.8M $3.10B 10.8M 0 0.00% Unchanged ARCHER DANIELS MIDLAND CO COM ADM
2.45% 2.68% $3.58B 46.8M $3.40B 46.8M 0 0.00% Unchanged AIR PRODUCTS AND CHEMICALS I APD
2.38% 2.71% $3.47B 11.8M $3.44B 11.8M 0 0.00% Unchanged CORNING INC GLW
2.31% 1.44% $3.38B 13.2M $1.83B 13.4M -191,588 -1.43% Reduce INTEL CORP INTC
2.3% 0.93% $3.36B 24.1M $1.17B 26.6M -2.5M -9.54% Reduce WELLS FARGO CO NEW WFC
2.25% 2.5% $3.29B 39.8M $3.17B 39.8M 0 0.00% Unchanged VULCAN MATLS CO VMC
1.92% 2.04% $2.81B 9.5M $2.59B 9.5M 0 0.00% Unchanged PROCTER & GAMBLE CO PG
1.59% 1.8% $2.32B 15.8M $2.28B 15.8M 0 0.00% Unchanged CHEVRON CORPORATION CVX
1.51% 2.17% $2.21B 13.3M $2.76B 13.3M 0 0.00% Unchanged DEERE & CO DE
1.22% 1.24% $1.78B 2.8M $1.58B 2.8M 0 0.00% Unchanged MERCK & CO INC MRK
1.21% 1.31% $1.77B 13.8M $1.66B 13.8M 0 0.00% Unchanged ABBVIE INC ABBV
1.01% 1.01% $1.48B 5.9M $1.28B 5.9M 0 0.00% Unchanged COCA COLA CO KO
1.01% 1.09% $1.48B 18.2M $1.39B 18.2M 0 0.00% Unchanged GE AEROSPACE GE
0.99% 0.87% $1.45B 3.9M $1.10B 3.9M 0 0.00% Unchanged DISNEY WALT CO DIS
0.95% 1.15% $1.39B 14.5M $1.46B 15.1M -668,420 -4.42% Reduce PFIZER INC PFE
0.9% 1.21% $1.31B 54.5M $1.53B 54.5M 0 0.00% Unchanged TEXAS INSTRS INC TXN
0.9% 0.67% $1.31B 4.4M $854.8M 4.4M 0 0.00% Unchanged 3M CO COM MMM
0.88% 0.91% $1.28B 7.9M $1.15B 7.9M 0 0.00% Unchanged ABBOTT LABORATORIES ABT
0.84% 1.1% $1.23B 13.6M $1.39B 13.6M 0 0.00% Unchanged ZOETIS INC CL A ZTS
0.78% 1.48% $1.14B 15.9M $1.88B 15.9M 0 0.00% Unchanged META PLATFORMS INC META
0.74% 0.86% $1.08B 1.9M $1.09B 1.9M 0 0.00% Unchanged R RIO TINTO PLC BBP
0.71% 0.8% $1.04B 10.9M $1.02B 10.9M 0 0.00% Unchanged AMGEN INC COM AMGN
0.67% 0.75% $983.4M 2.7M $955.5M 2.7M 0 0.00% Unchanged M & T BK CORP MTB
0.67% 0.67% $981.2M 4.1M $852.2M 4.1M 0 0.00% Unchanged GATX CORP GATX
0.66% 0.73% $961.7M 5.4M $926.7M 5.4M 0 0.00% Unchanged ARISTA NETWORKS INC ANET
0.65% 0.54% $954.6M 5.6M $689.9M 5.6M 0 0.00% Unchanged ADT INC DEL ADT
0.59% 0.69% $866.7M 133.3M $876.0M 133.3M 0 0.00% Unchanged EMERSON ELEC CO EMR
0.57% 0.6% $835.8M 5.8M $765.0M 5.8M 0 0.00% Unchanged MCCORMICK & CO INC COM NON VTG MKC
0.57% 0.66% $833.1M 16.5M $833.4M 16.5M 0 0.00% Unchanged UNION PAC CORP UNP
0.56% 0.58% $820.9M 3.0M $732.2M 3.0M 0 0.00% Unchanged DONALDSON INC DCI
0.56% 0.61% $820.7M 9.1M $775.9M 9.1M 0 0.00% Unchanged AUTOMATIC DATA PROCESSING IN ADP
0.56% 0.59% $819.0M 3.7M $743.1M 3.7M 0 0.00% Unchanged INTUIT INTU
0.55% 1.04% $798.3M 3.1M $1.32B 3.1M 0 0.00% Unchanged RENAISSANCERE HLDGS LTD COM RNR
0.52% 0.56% $760.3M 2.4M $713.1M 2.4M 0 0.00% Unchanged NORTHERN TR CORP NTRS
0.49% 0.46% $720.6M 4.1M $578.5M 4.1M 0 0.00% Unchanged CORTEVA INC COM CTVA
0.44% 0.5% $646.6M 7.6M $639.1M 7.6M 0 0.00% Unchanged HAGERTY INC HGTY
0.42% 0.43% $617.5M 51.8M $545.5M 51.8M 0 0.00% Unchanged COLGATE PALMOLIVE CO CL
0.42% 0.45% $617.1M 6.7M $573.6M 6.7M 0 0.00% Unchanged A Alphabet Inc Class C GOOG
0.41% 0.38% $594.6M 1.7M $482.7M 1.7M 0 0.00% Unchanged