| 101 | Amphenol Corp | 15,102 | 1.9M $ | |
| 102 | Realty Income Corp | 29,303 | 1.8M $ | |
| 103 | Alibaba Group Holding Ltd | 13,000 | 1.6M $ | |
| 104 | Corning Inc | 11,529 | 1.6M $ | |
| 105 | Devon Energy Corp | 28,651 | 1.4M $ | |
| 106 | Delta Air Lines Inc | 20,942 | 1.4M $ | |
| 107 | Palo Alto Networks Inc | 8,663 | 1.4M $ | |
| 108 | MercadoLibre Inc | 800 | 1.4M $ | |
| 109 | Vanguard FTSE Developed Markets ETF | 20,351 | 1.3M $ | |
| 110 | WeRide Inc | 154,281 | 1.2M $ | |
| 111 | NextEra Energy Inc | 13,291 | 1.2M $ | |
| 112 | Netflix Inc | 11,950 | 1.1M $ | |
| 113 | iShares Russell 1000 Growth ETF | 2,692 | 1.1M $ | |
| 114 | Marriott International Inc/MD | 3,390 | 1.1M $ | |
| 115 | Sea Ltd | 12,000 | 993.7K $ | |
| 116 | iShares Core S&P Mid-Cap ETF | 14,435 | 974.8K $ | |
| 117 | Bank of New York Mellon Corp/The | 7,361 | 873.2K $ | |
| 118 | Berkshire Hathaway Inc | 1 | 718.1K $ | |
| 119 | Merck & Co Inc | 5,916 | 711.6K $ | |
| 120 | State Street SPDR S&P 500 ETF Trust | 1,086 | 706.4K $ | |
| 121 | MasTec Inc | 2,136 | 687.2K $ | |
| 122 | Home Depot Inc/The | 2,083 | 685.1K $ | |
| 123 | Keysight Technologies Inc | 2,422 | 683.9K $ | |
| 124 | Zoetis Inc | 5,387 | 636.8K $ | |
| 125 | Quanta Services Inc | 1,103 | 605.6K $ | |
| 126 | AMETEK Inc | 2,693 | 577.3K $ | |
| 127 | MSCI Inc | 1,058 | 570.3K $ | |
| 128 | American Express Co | 1,857 | 561.7K $ | |
| 129 | American Electric Power Co Inc | 4,227 | 554.1K $ | |
| 130 | Southern Copper Corp | 3,167 | 544.9K $ | |
| 131 | Vanguard Small-Cap ETF | 2,036 | 533.3K $ | |
| 132 | State Street SPDR NYSE Technology ETF | 3,906 | 519.1K $ | |
| 133 | ABB Ltd | 6,117 | 492.3K $ | |
| 134 | iShares Trust | 2,216 | 473.5K $ | |
| 135 | EMCOR Group Inc | 634 | 468.1K $ | |
| 136 | ServiceNow Inc | 4,225 | 441.7K $ | |
| 137 | Vanguard Large-Cap ETF | 1,469 | 439.1K $ | |
| 138 | SPX Technologies Inc | 2,176 | 435.1K $ | |
| 139 | iShares 0-1 Year Treasury Bond ETF | 3,934 | 434.3K $ | |
| 140 | Rockwell Automation Inc | 1,195 | 428.9K $ | |
| 141 | Vanguard Bond Index Funds | 5,179 | 428.5K $ | |
| 142 | iShares Trust | 3,535 | 419.3K $ | |
| 143 | Deere & Co | 733 | 412.9K $ | |
| 144 | Emerson Electric Co. | 3,036 | 397.8K $ | |
| 145 | Starbucks Corp | 4,425 | 396.4K $ | |
| 146 | iShares Trust | 4,777 | 394.4K $ | |
| 147 | iShares Trust | 4,121 | 393.3K $ | |
| 148 | Hershey Co/The | 1,818 | 377.9K $ | |
| 149 | Blackrock Inc | 385 | 370.3K $ | |
| 150 | Constellation Energy Corp. | 1,308 | 365.3K $ | |
| 151 | Solstice Advanced Materials Inc | 4,782 | 364.2K $ | |
| 152 | International Business Machines Corp. | 1,500 | 363.6K $ | |
| 153 | International Paper Co | 10,093 | 360.3K $ | |
| 154 | S&P Global Inc | 841 | 357.7K $ | |
| 155 | Walmart Inc | 2,860 | 355.4K $ | |
| 156 | Vanguard International Equity Index Funds | 6,390 | 345.4K $ | |
| 157 | Univest Financial Corp | 9,884 | 338.6K $ | |
| 158 | Visa Inc | 1,090 | 329.4K $ | |
| 159 | Berkshire Hathaway Inc | 681 | 326.3K $ | |
| 160 | Vistra Corp | 2,150 | 323.2K $ | |
| 161 | Novartis AG | 2,000 | 305.5K $ | |
| 162 | Vanguard Mid-Cap ETF | 1,046 | 300.4K $ | |
| 163 | CME Group Inc | 987 | 291.5K $ | |
| 164 | iShares Core S&P Small-Cap ETF | 2,264 | 281.4K $ | |
| 165 | Vanguard Total Stock Market ETF | 867 | 278.2K $ | |
| 166 | Alphabet Inc | 924 | 265.1K $ | |
| 167 | McDonald's Corp. | 826 | 256.7K $ | |
| 168 | TALEN ENERGY CORP | 802 | 256K $ | |
| 169 | Vertex Pharmaceuticals Inc | 553 | 246.9K $ | |
| 170 | ProShares Trust | 2,210 | 234.3K $ | |
| 171 | Synopsys Inc | 588 | 233.1K $ | |
| 172 | Sensient Technologies Corp | 2,667 | 230.5K $ | |
| 173 | Vanguard Total International S | 2,986 | 230.2K $ | |
| 174 | Vanguard Financials ETF | 1,834 | 221.6K $ | |
| 175 | Stryker Corp | 665 | 218.5K $ | |
| 176 | INVESCO EXCHANGE-TRADED FUND TRUST II | 891 | 211.7K $ | |
| 177 | Johnson & Johnson | 825 | 201.7K $ | |
| 178 | Roche Holding AG | 4,000 | 198.8K $ | |
| 179 | Elevance Health Inc | 666 | 195K $ | |
| 180 | Boston Scientific Corp | 2,763 | 173.4K $ | |
| 181 | Enterprise Products Partners LP | 4,102 | 155.2K $ | |
| 182 | Bridger Aerospace Group Holdings Inc | 28,575 | 56.6K $ | |
| 183 | Eagle Pharmaceuticals Inc/DE | 12,000 | 4.1K $ | |