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Parr McKnight Wealth Management Group, LLC

All holdings · as of Dec 31, 2025

224 positions

CompanyClassValueShares% of portfolio
Zoetis Inc.$1.07M8,5090.1%
Comcast Corp.$1.06M35,6280.1%
Post Holdings, Inc.$1.06M10,7260.1%
3M CO$1.02M6,3860.1%
ISHARES TR$1.00M2,1230.1%
CORNING INC /NY$996.3K11,3780.1%
FIRSTSERVICE CORP NEW$959.0K6,1660.1%
Newmont Corp$954.8K9,5620.1%
NOVO-NORDISK A S$911.5K17,9150.1%
VANGUARD SCOTTSDALE FDS$897.5K9,0180.1%
TYLER TECHNOLOGIES, INC.$874.8K1,9270.1%
INVESCO QQQ TR$872.3K1,4200.1%
BROWN & BROWN, INC.$862.4K10,8210.1%
SPDR SERIES TRUST$859.5K29,8020.1%
Walt Disney Co$844.5K7,4220.1%
DEERE & CO$822.7K1,7670.1%
Keurig Dr Pepper Inc$784.9K28,0220.1%
MCCORMICK & CO INC$776.2K11,3960.1%
Mondelez International, Inc.$735.1K13,6550.1%
Tesla Inc$724.5K1,6110.1%
TARGET CORP$718.6K7,3510.1%
Salesforce Inc$705.5K2,6630.1%
WELLS FARGO & COMPANY/MN$691.4K7,4190.1%
HORMEL FOODS CORP /DE$676.2K28,5300.1%
Sony Group CorpSONYADR$665.7K26,0020.1%
ISHARES TR$615.1K6,1580.1%
Lamb Weston Holdings, Inc.$604.3K14,4260.1%
TRAVELERS COMPANIES, INC.$583.9K2,0130.1%
BITWISE BITCOIN ETF TR$570.7K11,9990.1%
PPG INDUSTRIES INC$540.6K5,2760.1%
US BANCORP \DE$539.8K10,1160.1%
HONEYWELL INTERNATIONAL INC$522.5K2,6780.1%
COCA COLA CO$519.2K7,4260.1%
CARLISLE COMPANIES INC$514.3K1,6080.1%
FedEx Corp$508.4K1,7600.1%
VANGUARD SCOTTSDALE FDS$499.2K8,5000.1%
EXXON MOBIL CORP$484.1K4,0230.1%
Domino's Pizza Inc.$453.9K1,0890.1%
RTX Corp$448.2K2,4440.1%
INTEL CORP$441.3K11,9590.1%
SHOPIFY INC$431.1K2,6780.1%
Alphabet Inc.$410.4K1,3080.1%
Marathon Petroleum Corp$386.4K2,3760.1%
CITIGROUP INC$384.4K3,2940.1%
SLB LIMITED/NV$379.8K9,8970.0%
VANGUARD WORLD FD$374.6K4970.0%
ISHARES TR$373.4K1,0000.0%
Watsco, Inc.$356.2K1,0570.0%
iShares MSCI UAE ETF$356.1K2,3950.0%
HOME DEPOT, INC.$349.6K1,0160.0%
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