| 101 | Constellation Brands Inc | 4 867 | 730,1 k $ | |
| 102 | Motorola Solutions Inc | 1 674 | 726,5 k $ | |
| 103 | TD SYNNEX Corp | 4 250 | 717 k $ | |
| 104 | CME Group Inc | 2 416 | 713,5 k $ | |
| 105 | iShares Core S&P 500 ETF | 1 085 | 708,5 k $ | |
| 106 | Ingersoll Rand Inc | 8 835 | 707,9 k $ | |
| 107 | Vale SA | 43 925 | 698,8 k $ | |
| 108 | Live Oak Bancshares Inc | 20 985 | 694 k $ | |
| 109 | Walt Disney Co/The | 7 157 | 689,8 k $ | |
| 110 | SS&C Technologies Holdings Inc | 9 960 | 673 k $ | |
| 111 | Raymond James Financial Inc | 4 637 | 671,4 k $ | |
| 112 | American Express Co | 2 175 | 657,9 k $ | |
| 113 | Hershey Co/The | 2 990 | 621,6 k $ | |
| 114 | Eaton Vance T/M Gl | 69 900 | 613,7 k $ | |
| 115 | Deere & Co | 1 088 | 612,9 k $ | |
| 116 | Aflac Inc | 5 564 | 610,4 k $ | |
| 117 | SPDR Gold Shares | 1 400 | 602,4 k $ | |
| 118 | PNC Financial Services Group Inc/The | 2 879 | 599,1 k $ | |
| 119 | Boeing Co/The | 2 969 | 590,9 k $ | |
| 120 | Tradeweb Markets Inc | 4 950 | 582,4 k $ | |
| 121 | Netflix Inc | 6 006 | 577,5 k $ | |
| 122 | Cardinal Health, Inc. | 2 650 | 560 k $ | |
| 123 | Automatic Data Processing Inc | 2 726 | 553,9 k $ | |
| 124 | Wells Fargo & Co | 6 905 | 549,7 k $ | |
| 125 | Blackrock Enhanced Global Dividend Trust | 50 000 | 548 k $ | |
| 126 | Hanmi Financial Corp | 20 125 | 530,5 k $ | |
| 127 | Intel Corp | 11 965 | 528 k $ | |
| 128 | Pfizer Inc | 18 362 | 515,6 k $ | |
| 129 | BLACKROCK INTERNATIONAL GROWTH AND INCOME TRUST | 94 500 | 511,2 k $ | |
| 130 | First Community Bankshares Inc | 12 281 | 509,9 k $ | |
| 131 | Vanguard S&P 500 ETF | 805 | 481 k $ | |
| 132 | Micron Technology Inc | 1 400 | 473 k $ | |
| 133 | Air Products and Chemicals Inc | 1 550 | 450,3 k $ | |
| 134 | Caterpillar Inc | 619 | 438,2 k $ | |
| 135 | Novartis AG | 2 852 | 435,6 k $ | |
| 136 | Applied Materials Inc | 1 185 | 405 k $ | |
| 137 | American Electric Power Co Inc | 3 040 | 398,5 k $ | |
| 138 | Honeywell International Inc | 1 750 | 395,6 k $ | |
| 139 | NextEra Energy Inc | 4 250 | 394,7 k $ | |
| 140 | Globus Medical Inc | 4 544 | 391,5 k $ | |
| 141 | L3Harris Technologies Inc | 1 130 | 390 k $ | |
| 142 | AT&T Inc | 13 237 | 383,8 k $ | |
| 143 | Old Dominion Freight Line Inc | 1 955 | 382 k $ | |
| 144 | Encompass Health Corp | 3 939 | 381 k $ | |
| 145 | KKR & Co Inc | 3 950 | 365,4 k $ | |
| 146 | Invesco S&P 500 Equal Weight ETF | 1 825 | 350,3 k $ | |
| 147 | SoFi Technologies Inc | 21 350 | 339 k $ | |
| 148 | iShares Core S&P Small-Cap ETF | 2 702 | 335,9 k $ | |
| 149 | Palo Alto Networks Inc | 2 065 | 331,1 k $ | |
| 150 | Allstate Corp/The | 1 550 | 321,4 k $ | |
| 151 | USA Rare Earth Inc | 20 950 | 317,1 k $ | |
| 152 | Martin Marietta Materials Inc | 536 | 315,5 k $ | |
| 153 | Vitesse Energy Inc | 17 350 | 315,1 k $ | |
| 154 | Microchip Technology Inc | 4 800 | 310,1 k $ | |
| 155 | First Horizon Corp | 13 000 | 295,9 k $ | |
| 156 | Freeport-McMoRan Inc | 5 000 | 293,9 k $ | |
| 157 | DigitalBridge Group Inc | 18 300 | 282,2 k $ | |
| 158 | Dominion Energy Inc | 4 559 | 281,8 k $ | |
| 159 | Intercontinental Exchange Inc | 1 790 | 281,5 k $ | |
| 160 | Texas Instruments Inc | 1 400 | 271,8 k $ | |
| 161 | Rio Tinto PLC | 2 900 | 270,5 k $ | |
| 162 | Cummins Inc | 500 | 269 k $ | |
| 163 | Ubiquiti Inc | 325 | 256,8 k $ | |
| 164 | Digital Realty Trust Inc | 1 425 | 256,8 k $ | |
| 165 | MACOM TECHNOLOGY SOLUTIONS HOLDINGS INC | 1 150 | 255,4 k $ | |
| 166 | AutoZone Inc | 75 | 253,3 k $ | |
| 167 | Lloyds Banking Group PLC | 50 000 | 251,5 k $ | |
| 168 | Shell PLC | 2 700 | 251,1 k $ | |
| 169 | Public Service Enterprise Group Inc | 3 100 | 250,9 k $ | |
| 170 | Consolidated Edison Inc | 2 200 | 249 k $ | |
| 171 | Zimmer Biomet Holdings Inc | 2 700 | 244,1 k $ | |
| 172 | McDonald's Corp. | 762 | 236,8 k $ | |
| 173 | Zoetis Inc | 2 000 | 236,4 k $ | |
| 174 | Cincinnati Financial Corp | 1 500 | 236 k $ | |
| 175 | ResMed Inc | 1 050 | 235,7 k $ | |
| 176 | Olin Corp | 7 900 | 234,9 k $ | |
| 177 | KLA Corp | 150 | 220,9 k $ | |
| 178 | Waste Management Inc | 961 | 220,8 k $ | |
| 179 | General Electric Co | 777 | 220,5 k $ | |
| 180 | D-Wave Quantum Inc | 15 000 | 216,5 k $ | |
| 181 | Yum! Brands Inc | 1 392 | 216,4 k $ | |
| 182 | Blackstone Mortgage Trust Inc | 11 000 | 210,7 k $ | |
| 183 | Kyndryl Holdings Inc | 15 882 | 208,4 k $ | |
| 184 | State Street SPDR S&P 500 ETF Trust | 319 | 207,5 k $ | |
| 185 | Select Sector Spdr Trust | 3 384 | 207,3 k $ | |
| 186 | Morgan Stanley | 1 250 | 205,7 k $ | |
| 187 | Colgate-Palmolive Co | 2 400 | 204,6 k $ | |
| 188 | Graphic Packaging Holding Co | 20 500 | 203,8 k $ | |
| 189 | ING Groep NV | 7 760 | 202,1 k $ | |
| 190 | Anheuser-Busch InBev SA/NV | 2 900 | 201,2 k $ | |
| 191 | Phillips 66 | 1 100 | 200,4 k $ | |
| 192 | EATON VANCE MUN INCOME TR | 18 000 | 187,4 k $ | |
| 193 | OneSpan Inc | 17 600 | 185,3 k $ | |
| 194 | Extreme Networks Inc | 12 000 | 181 k $ | |
| 195 | AGNC Investment Corp | 17 300 | 173,5 k $ | |
| 196 | iShares Core S&P Mid-Cap ETF | 2 500 | 168,8 k $ | |
| 197 | Vanguard Small-Cap ETF | 640 | 167,6 k $ | |
| 198 | Aberdeen India Fund Inc | 14 515 | 164,3 k $ | |
| 199 | Vanguard Total Stock Market ETF | 470 | 150,8 k $ | |
| 200 | iShares Trust | 1 802 | 143,4 k $ | |