| 1 | iShares 5-10 Year Investment Grade Corporate Bond ETF | 131 045 | 7 M $ | |
| 2 | Alphabet Inc | 20 770 | 6 M $ | |
| 3 | Apple Inc | 22 601 | 5,7 M $ | |
| 4 | JPMorgan Chase & Co | 15 963 | 4,7 M $ | |
| 5 | Microsoft Corp | 12 485 | 4,6 M $ | |
| 6 | NVIDIA Corp | 25 919 | 4,5 M $ | |
| 7 | iShares Core MSCI EAFE ETF | 48 349 | 4,4 M $ | |
| 8 | iShares Core MSCI Emerging Markets ETF | 61 572 | 4,3 M $ | |
| 9 | Lam Research Corp | 18 904 | 4 M $ | |
| 10 | TJX Cos Inc/The | 24 295 | 3,9 M $ | |
| 11 | iShares Future AI & Tech ETF | 70 702 | 3,3 M $ | |
| 12 | Cummins Inc | 5 894 | 3,2 M $ | |
| 13 | Amazon.com Inc | 14 115 | 2,9 M $ | |
| 14 | iShares Core U.S. Aggregate Bond ETF | 28 676 | 2,8 M $ | |
| 15 | Broadcom Inc | 8 088 | 2,5 M $ | |
| 16 | iShares Core S&P Small-Cap ETF | 19 210 | 2,4 M $ | |
| 17 | iShares ESG Aware U.S. Aggregate Bond ETF | 44 651 | 2,1 M $ | |
| 18 | Berkshire Hathaway Inc | 4 162 | 2 M $ | |
| 19 | ROBO Global Robotics and Autom | 24 372 | 1,7 M $ | |
| 20 | Advanced Micro Devices Inc | 8 149 | 1,7 M $ | |
| 21 | GE Vernova Inc | 1 878 | 1,6 M $ | |
| 22 | iShares ESG Aware MSCI USA Small-Cap ETF | 34 530 | 1,6 M $ | |
| 23 | Intercontinental Exchange Inc | 10 261 | 1,6 M $ | |
| 24 | HCA Healthcare Inc | 3 279 | 1,6 M $ | |
| 25 | Allstate Corp/The | 7 151 | 1,5 M $ | |
| 26 | Home Depot Inc/The | 4 371 | 1,4 M $ | |
| 27 | Visa Inc | 4 642 | 1,4 M $ | |
| 28 | Johnson & Johnson | 5 597 | 1,4 M $ | |
| 29 | Meta Platforms Inc | 2 367 | 1,4 M $ | |
| 30 | Marathon Petroleum Corp | 5 063 | 1,2 M $ | |
| 31 | Costco Wholesale Corp | 1 190 | 1,2 M $ | |
| 32 | Chevron Corp | 5 595 | 1,2 M $ | |
| 33 | SPDR SERIES TRUST | 11 717 | 1,1 M $ | |
| 34 | CME Group Inc | 3 492 | 1 M $ | |
| 35 | Union Pacific Corp | 4 233 | 1 M $ | |
| 36 | Darden Restaurants Inc | 5 218 | 1 M $ | |
| 37 | IQVIA Holdings Inc | 5 880 | 1 M $ | |
| 38 | Motorola Solutions Inc | 2 300 | 998,1 k $ | |
| 39 | AbbVie Inc | 4 408 | 958,7 k $ | |
| 40 | Walmart Inc | 7 387 | 918,1 k $ | |
| 41 | Air Products and Chemicals Inc | 3 073 | 892,7 k $ | |
| 42 | Edwards Lifesciences Corp | 11 128 | 891,1 k $ | |
| 43 | Abbott Laboratories | 8 092 | 830,8 k $ | |
| 44 | iShares Trust | 35 006 | 802 k $ | |
| 45 | iShares Core S&P 500 ETF | 1 225 | 800,2 k $ | |
| 46 | Eli Lilly & Co | 794 | 730,3 k $ | |
| 47 | Constellation Brands Inc | 4 517 | 677,6 k $ | |
| 48 | S&P Global Inc | 1 582 | 672,9 k $ | |
| 49 | Analog Devices Inc | 2 030 | 645,8 k $ | |
| 50 | Chipotle Mexican Grill Inc | 18 815 | 602,3 k $ | |
| 51 | Diamondback Energy Inc | 3 008 | 595 k $ | |
| 52 | NextEra Energy Inc | 5 934 | 551,2 k $ | |
| 53 | Verizon Communications Inc | 10 562 | 530,2 k $ | |
| 54 | Realty Income Corp | 7 680 | 469,9 k $ | |
| 55 | Synopsys Inc | 1 181 | 468,2 k $ | |
| 56 | Zoetis Inc | 3 882 | 458,9 k $ | |
| 57 | iShares California Muni Bond ETF | 7 904 | 449,4 k $ | |
| 58 | iShares Trust | 4 398 | 427,6 k $ | |
| 59 | Comcast Corp | 14 637 | 420,2 k $ | |
| 60 | Dexcom Inc | 6 645 | 417,3 k $ | |
| 61 | Gilead Sciences Inc | 2 970 | 413,9 k $ | |
| 62 | iShares Trust | 8 059 | 400 k $ | |
| 63 | Cadence Design Systems Inc | 1 424 | 395,7 k $ | |
| 64 | Entergy Corp | 3 419 | 384,2 k $ | |
| 65 | Merck & Co Inc | 3 193 | 384,1 k $ | |
| 66 | Best Buy Co Inc | 5 830 | 374,3 k $ | |
| 67 | Vanguard Total Stock Market ETF | 1 040 | 333,6 k $ | |
| 68 | SPDR Gold MiniShares Trust | 3 573 | 331,2 k $ | |
| 69 | Sysco Corp | 4 435 | 316,3 k $ | |
| 70 | Bank of America Corp | 5 682 | 277 k $ | |
| 71 | Alphabet Inc | 833 | 239 k $ | |
| 72 | Teradyne Inc | 800 | 237,2 k $ | |
| 73 | Republic Services Inc | 998 | 218,6 k $ | |
| 74 | iShares Core MSCI Total International Stock ETF | 2 442 | 211,6 k $ | |
| 75 | Select Sector Spdr Trust | 1 304 | 210,9 k $ | |
| 76 | Fidelity National Information Services Inc | 4 491 | 210,7 k $ | |
| 77 | Colgate-Palmolive Co | 2 470 | 210,5 k $ | |
| 78 | SELECT SECTOR SPDR TRUST (THE) | 1 576 | 209,5 k $ | |
| 79 | State Street Health Care Select Sector SPDR ETF | 1 418 | 207,9 k $ | |
| 80 | Global X Funds | 6 147 | 204,2 k $ | |
| 81 | Monolithic Power Systems Inc | 183 | 200,1 k $ | |
| 82 | LEXICON PHARMACEUTICALS INC | 20 000 | 31,2 k $ | |