SEC Filing Summary: Form 13F-HR
Business Context and Reporting Period
Reporting Manager: PARK NATIONAL CORP (Ohio)
Filing Type: Form 13F Holdings Report
Reporting Period: Quarter ended June 30, 2026
Filing Date: July 15, 2026
Signatory: J. Bradley Zellar, Chief Wealth Investment Officer
This filing discloses the equity holdings of an institutional investment manager. It does not represent the operating results of Park National Corp itself, but rather the portfolio managed by its investment arm.
Key Financial Metrics
The filing provides aggregate portfolio data rather than operational financial metrics (revenue, profit, cash flow, debt, or liquidity) for the reporting manager's underlying business.
| Metric | Value |
|---|---|
| Total Number of Holdings | 575 |
| Total Portfolio Value | $3,571,038,826 |
| Number of Other Included Managers | 0 |
Note: Revenue, profit, margins, and debt figures are not applicable to this specific filing type.
Material Changes
The filing text does not provide comparative data against the prior period (March 31, 2026) to determine material changes in holdings or portfolio value. The report is a snapshot of holdings as of the period end.
Guidance, Outlook, and Risks
Management Commentary: None provided in the cover page text.
Guidance/Outlook: Not applicable for a 13F filing.
Risks/Contingencies: The filing includes a standard disclaimer that the SEC has not reviewed the information for accuracy or completeness. No specific risk factors or unusual items are detailed in the provided text.
Investor Verification Checklist
- Verify the total portfolio value of $3.57 billion against the sum of individual holdings in the full schedule (not provided in this text).
- Confirm the 575 holdings count aligns with the manager's stated investment strategy.
- Review the full Schedule 13F (not included here) to identify specific sector concentrations or top 10 holdings.
- Note that this filing reflects investment assets managed, not the operating financial health of Park National Corp.