- New Purchases: RIO, CI, VBTX, GLD, WAB, CMPGY, LVMUY, MTD, LGNC, DSDVY, SHOP, PDRDY, XYL, CHYHY, WFCPR.PFD, ADDYY, SITE, ALLYPA.PFD, WPC, BMI, CRS, CELG, DEO, FDX, GRMN, LSTR, LECO, RTN, ROK, ASML, ECA,
- Added Positions: GOOGL, T, CSX, AVGO, CVS, TJX, AZN, DIS, ZTS, PNC, FVD, BLK, GE, MMM, SCHW, ABBV, ICE, FPE, HYLS, SPGI, NUE, KHC, NEE, KMB, ADBE, COST, HP, NOV, AMT, DG, FB, FTSM, FNX, FYX, EMLP, EL, FGD, AEP, PPG, APA, OXY, BRK.B, NBL, CHDN, DHI, HAL, FEX, DHR, QQQ, CSLLY, AAGIY, CAIXY, TCEHY, EXPGY, ESLOY, GRC, GNW, FAST, CLX, CTAS, CP, ABC, AMZN, GGG, HDB, CNK, ANTM, WSO, WMMVY, TSM, SBUX, AJG, SJM, MO,
- Reduced Positions: ADP, GM, VZ, MRK, EFA, NVS, PG, CB, IBM, MSFT, PRK, AXP, GLW, BRK.A, BAC, KO, HD, MCD, USB, GD, IVV, JCI, BK, NKE, DVY, DWDP, GPC, UPS, VFC, APD, CSCO, COP, EMR, SYY, LLY, GIS, INTC, TGT, TXN, XOM, HBAN, JEC, WBA, WFC, VNQ, ACN, CVX, KR, MDT, PFE, SO, UNH, WMT, AGN, FTV, A, APH, BP, BLL, BA, BMY, CME, CINF, CL, D, DUK, ETN, F, HOG, HPQ, IBKC, LANC, LOW, MCK, MCO, NI, SIVB, SPG, SNA, UNP, UTX, WM, PFOH, MA, HBI, MSCI, PM, MPC, PSX, GOOG, BSV, IYR, IYW, AFL, ADI, AMAT, WTR, BCS, BAX, BDX, CAH, CAT, FIS, C, CMCSA, ED, CCI, ENB, EXPD, CIVB, FISV, FCX, GILD, HON, IFF, KEY, MDLZ, LEG, LYG, MET, MS, NSRGY, NSC, NOC, ORCL, PKI, QCOM, RPM, WRK, SHW, TRV, WY, WEC, YUM, DFS, ALLE, HPE, EEM, GUNR, IYC, MDY, PFF, SDY, TDTT,
- Sold Out: CGN, CDK, GNBC, STI, VVC, SCHG, NRZ, FOXA, STFC, VTR, MFC, HCSG, GSK, BND, EWJ, ARE, RHE,
For the details of PARK NATIONAL CORP 's stock buys and sells, go to https://www.gurufocus.com/guru/park+national+corp+/current-portfolio/portfolio
These are the top 5 holdings of PARK NATIONAL CORP- Park National Corp (PRK) - 1,671,998 shares, 9.06% of the total portfolio. Shares reduced by 1.74%
- Microsoft Corp (MSFT) - 588,831 shares, 3.97% of the total portfolio. Shares reduced by 4.02%
- JPMorgan Chase & Co (JPM) - 579,501 shares, 3.35% of the total portfolio. Shares added by 0.15%
- Cisco Systems Inc (CSCO) - 929,653 shares, 2.87% of the total portfolio. Shares reduced by 2.07%
- Apple Inc (AAPL) - 258,599 shares, 2.81% of the total portfolio. Shares reduced by 0.09%
Park National Corp initiated holding in Rio Tinto PLC. The purchase prices were between $46.65 and $59.19, with an estimated average price of $54.86. The stock is now traded at around $59.85. The impact to a portfolio due to this purchase was 0.12%. The holding were 35,201 shares as of .
New Purchase: Cigna Corp (CI)Park National Corp initiated holding in Cigna Corp. The purchase prices were between $159.69 and $199.81, with an estimated average price of $183.17. The stock is now traded at around $161.87. The impact to a portfolio due to this purchase was 0.09%. The holding were 9,265 shares as of .
New Purchase: Veritex Holdings Inc (VBTX)Park National Corp initiated holding in Veritex Holdings Inc. The purchase prices were between $21.38 and $28.33, with an estimated average price of $25.25. The stock is now traded at around $24.76. The impact to a portfolio due to this purchase was 0.03%. The holding were 18,804 shares as of .
New Purchase: Shopify Inc (SHOP)Park National Corp initiated holding in Shopify Inc. The purchase prices were between $129.79 and $208.23, with an estimated average price of $175.7. The stock is now traded at around $206.04. The impact to a portfolio due to this purchase was 0.02%. The holding were 1,669 shares as of .
New Purchase: Westinghouse Air Brake Technologies Corp (WAB)Park National Corp initiated holding in Westinghouse Air Brake Technologies Corp. The purchase prices were between $67.3 and $78.06, with an estimated average price of $72.15. The stock is now traded at around $74.67. The impact to a portfolio due to this purchase was 0.02%. The holding were 5,503 shares as of .
New Purchase: LVMH Moet Hennessy Louis Vuitton SE (LVMUY)Park National Corp initiated holding in LVMH Moet Hennessy Louis Vuitton SE. The purchase prices were between $55.57 and $73.71, with an estimated average price of $65.27. The stock is now traded at around $74.87. The impact to a portfolio due to this purchase was 0.02%. The holding were 3,959 shares as of .
Added: Alphabet Inc (GOOGL)Park National Corp added to a holding in Alphabet Inc by 854.10%. The purchase prices were between $1025.47 and $1236.13, with an estimated average price of $1127.35. The stock is now traded at around $1198.98. The impact to a portfolio due to this purchase was 0.5%. The holding were 8,253 shares as of .
Added: AT&T Inc (T)Park National Corp added to a holding in AT&T Inc by 78.54%. The purchase prices were between $28.54 and $31.4, with an estimated average price of $30.44. The stock is now traded at around $31.95. The impact to a portfolio due to this purchase was 0.38%. The holding were 479,126 shares as of .
Added: CSX Corp (CSX)Park National Corp added to a holding in CSX Corp by 47.97%. The purchase prices were between $60.98 and $74.82, with an estimated average price of $69.36. The stock is now traded at around $76.70. The impact to a portfolio due to this purchase was 0.28%. The holding were 199,382 shares as of .
Added: Broadcom Inc (AVGO)Park National Corp added to a holding in Broadcom Inc by 993.88%. The purchase prices were between $230.96 and $300.71, with an estimated average price of $270.85. The stock is now traded at around $305.79. The impact to a portfolio due to this purchase was 0.23%. The holding were 14,472 shares as of .
Added: CVS Health Corp (CVS)Park National Corp added to a holding in CVS Health Corp by 788.13%. The purchase prices were between $52.36 and $69.88, with an estimated average price of $61.96. The stock is now traded at around $54.19. The impact to a portfolio due to this purchase was 0.22%. The holding were 81,637 shares as of .
Added: TJX Companies Inc (TJX)Park National Corp added to a holding in TJX Companies Inc by 181.79%. The purchase prices were between $44.19 and $53.21, with an estimated average price of $49.78. The stock is now traded at around $53.21. The impact to a portfolio due to this purchase was 0.21%. The holding were 104,697 shares as of .
Sold Out: Cigna Corp (CGN)Park National Corp sold out a holding in Cigna Corp. The sale prices were between $141.45 and $175.43, with an estimated average price of $160.88.
Sold Out: SunTrust Banks Inc (STI)Park National Corp sold out a holding in SunTrust Banks Inc. The sale prices were between $50.44 and $66.66, with an estimated average price of $61.07.
Sold Out: Green Bancorp Inc (GNBC)Park National Corp sold out a holding in Green Bancorp Inc. The sale prices were between $17.14 and $17.14, with an estimated average price of $17.14.
Sold Out: Vectren Corp (VVC)Park National Corp sold out a holding in Vectren Corp. The sale prices were between $71.78 and $72.38, with an estimated average price of $72.05.
Sold Out: CDK Global Inc (CDK)Park National Corp sold out a holding in CDK Global Inc. The sale prices were between $47.57 and $58.82, with an estimated average price of $54.41.
Sold Out: Schwab U.S. Large-Cap Growth (SCHG)Park National Corp sold out a holding in Schwab U.S. Large-Cap Growth. The sale prices were between $66.84 and $80.15, with an estimated average price of $75.54.
Reduced: Automatic Data Processing Inc (ADP)Park National Corp reduced to a holding in Automatic Data Processing Inc by 33.47%. The sale prices were between $126.21 and $159.74, with an estimated average price of $144.95. The stock is now traded at around $162.07. The impact to a portfolio due to this sale was -0.7%. Park National Corp still held 167,190 shares as of .
Reduced: General Motors Co (GM)Park National Corp reduced to a holding in General Motors Co by 45.12%. The sale prices were between $32.25 and $40.14, with an estimated average price of $37.94. The stock is now traded at around $37.76. The impact to a portfolio due to this sale was -0.28%. Park National Corp still held 163,759 shares as of .
Reduced: iShares MSCI EAFE (EFA)Park National Corp reduced to a holding in iShares MSCI EAFE by 67.54%. The sale prices were between $58.13 and $65.61, with an estimated average price of $62.93. The stock is now traded at around $65.69. The impact to a portfolio due to this sale was -0.2%. Park National Corp still held 25,033 shares as of .
Reduced: International Business Machines Corp (IBM)Park National Corp reduced to a holding in International Business Machines Corp by 33.06%. The sale prices were between $112.91 and $141.44, with an estimated average price of $132.95. The stock is now traded at around $143.30. The impact to a portfolio due to this sale was -0.16%. Park National Corp still held 46,111 shares as of .
Reduced: Corning Inc (GLW)Park National Corp reduced to a holding in Corning Inc by 34.09%. The sale prices were between $28.03 and $35.08, with an estimated average price of $32.76. The stock is now traded at around $33.92. The impact to a portfolio due to this sale was -0.13%. Park National Corp still held 136,655 shares as of .
Reduced: Johnson Controls International PLC (JCI)Park National Corp reduced to a holding in Johnson Controls International PLC by 38.81%. The sale prices were between $29.65 and $36.96, with an estimated average price of $34.22. The stock is now traded at around $36.92. The impact to a portfolio due to this sale was -0.08%. Park National Corp still held 67,554 shares as of .
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