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Institutional Investment Manager
PARK NATIONAL CORP /OH/
PARK NATIONAL CORP /OH/ (CIK: 0000805676) incorporated in Ohio, registered under National Commercial Banks, located at 50 North Third St, Newark, OH. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q3)
Portfolio Summary: 314 holdings with a total value of $1,393,235,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 PARK NATL CORP COM 1,991,202 179,646,000 12.89%
2 JPMORGAN CHASE & CO 738,225 45,009,000 3.23%
3 EXXON MOBIL CORP 498,618 37,072,000 2.66%
4 PROCTER AND GAMBLE CO 507,597 36,517,000 2.62%
5 JOHNSON & JOHNSON 383,178 35,769,000 2.57%
6 MICROSOFT CORP 728,870 32,260,000 2.32%
7 AUTOMATIC DATA PROCESSING IN 360,475 28,968,000 2.08%
8 Chubb Corporation 234,605 28,774,000 2.07%
9 INTERNATIONAL BUSINESS MACHS 191,755 27,798,000 2.00%
10 COCA COLA CO 689,364 27,658,000 1.99%
11 PEPSICO INC 286,898 27,054,000 1.94%
12 3M CO 183,936 26,077,000 1.87%
13 GENERAL ELECTRIC CO 983,302 24,798,000 1.78%
14 APPLE INC 212,056 23,390,000 1.68%
15 US BANCORP DEL 567,188 23,260,000 1.67%
16 ABBOTT LABS 565,592 22,748,000 1.63%
17 INTEL CORP 751,434 22,648,000 1.63%
18 NOVARTIS A G 245,477 22,565,000 1.62%
19 CHEVRON CORP NEW 285,253 22,501,000 1.62%
20 CISCO SYS INC 854,948 22,442,000 1.61%
21 BANK NEW YORK MELLON CORP 566,762 22,189,000 1.59%
22 HOME DEPOT INC 175,874 20,312,000 1.46%
23 GENUINE PARTS CO 240,090 19,901,000 1.43%
24 MERCK & CO INC 395,609 19,539,000 1.40%
25 AMERICAN EXPRESS CO 248,025 18,386,000 1.32%
26 JOHNSON CTLS INTL PLC 443,639 18,349,000 1.32%
27 EMERSON ELEC CO 380,861 16,822,000 1.21%
28 FORD MTR CO DEL 1,153,080 15,647,000 1.12%
29 MEDTRONIC PLC 226,066 15,132,000 1.09%
30 CONOCOPHILLIPS 311,045 14,918,000 1.07%
31 NIKE INC 119,213 14,659,000 1.05%
32 PFIZER INC 446,773 14,034,000 1.01%
33 MCDONALDS CORP 134,158 13,219,000 0.95%
34 AT&T INC 375,639 12,238,000 0.88%
35 VANGUARD INDEX FDS 158,461 11,970,000 0.86%
36 AIR PRODS & CHEMS INC 91,209 11,636,000 0.84%
37 WALGREENS BOOTS ALLIANCE INC 135,118 11,228,000 0.81%
38 VERIZON COMMUNICATIONS INC 246,545 10,727,000 0.77%
39 CORNING INC 588,033 10,067,000 0.72%
40 ABBVIE INC 184,631 10,046,000 0.72%
41 UNITED PARCEL SERVICE INC 100,874 9,956,000 0.71%
42 GENERAL MLS INC 170,668 9,579,000 0.69%
43 BERKSHIRE HATHAWAY INC DEL 48 9,372,000 0.67%
44 DUKE ENERGY CORP NEW 120,635 8,678,000 0.62%
45 SCHLUMBERGER LTD 122,007 8,415,000 0.60%
46 DU PONT E I DE NEMOURS & CO 172,868 8,333,000 0.60%
47 ACCENTURE PLC IRELAND 84,117 8,265,000 0.59%
48 WELLS FARGO & CO NEW 159,607 8,196,000 0.59%
49 DISNEY WALT CO 77,264 7,896,000 0.57%
50 TEXAS INSTRS INC 155,212 7,686,000 0.55%
Page 1 of 7

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001144204-15-057686, filed 2015.10.01).

From 2023-01-03 onward, the SEC requires values to be reported in nearest dollars. Earlier filings reported values in thousands; therefore, positions shown as $0 in older filings may represent actual values between $0–$999.