The Securities and Exchange Commission has not necessarily reviewed the information in this filing and has not determined if it is accurate and complete.
The reader should not assume that the information is accurate and complete.

UNITED STATES SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 13F

FORM 13F INFORMATION TABLE

OMB APPROVAL
OMB Number:3235-0006
Expires:Oct 31, 2018
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COLUMN 1COLUMN 2COLUMN 3COLUMN 4COLUMN 5COLUMN 6COLUMN 7COLUMN 8
VALUESHRS ORSH/PUT/INVESTMENTOTHERVOTING AUTHORITY
NAME OF ISSUERTITLE OF CLASSCUSIP(x$1000)PRN AMTPRNCALLDISCRETIONMANAGERSOLESHAREDNONE
3M CompanyCOMMON STOCK88579Y1012,93416,728SH SOLE 0016,728
Abbott LaboratoriesCOMMON STOCK00282410020,057169,790SH SOLE 00169,790
Abbvie Inc ComCOMMON STOCK00287Y1091,43413,297SH SOLE 0013,297
Adobe Systems IncCOMMON STOCK00724F10118,27231,739SH SOLE 0031,739
Advanced Micro Devices IncCOMMON STOCK00790310765635SH SOLE 00635
Airbnb IncCOMMON STOCK0090661013,41720,372SH SOLE 0020,372
Alphabet Inc. Class A Common SCOMMON STOCK02079K305348130SH SOLE 00130
Alphabet Inc. Class C CapitalCOMMON STOCK02079K10730,49011,440SH SOLE 0011,440
Altria Group IncCOMMON STOCK02209S1032024,430SH SOLE 004,430
Amazon Com IncCOMMON STOCK02313510617,9645,469SH SOLE 005,469
American Financial Group Inc.COMMON STOCK02593210475600SH SOLE 00600
American Waterworks Co IncCOMMON STOCK03042010393550SH SOLE 00550
Anthem IncCOMMON STOCK0367521034571,225SH SOLE 001,225
AON PLCCOMMON STOCKG0403H1088723,053SH SOLE 003,053
Appian Corp Cl ACOMMON STOCK03782L10155595SH SOLE 00595
Apple Inc ComCOMMON STOCK03783310068,118481,402SH SOLE 00481,402
Arista Networks IncCOMMON STOCK04041310658170SH SOLE 00170
AT&T IncCOMMON STOCK00206R10244116,335SH SOLE 0016,335
Atlassian Corporation PLCCOMMON STOCKG0624210486220SH SOLE 00220
Autodesk IncCOMMON STOCK052769106209733SH SOLE 00733
Ballantyne Strong IncCOMMON STOCK0585161055718,450SH SOLE 0018,450
Bank of America CorpCOMMON STOCK06050510431,081732,191SH SOLE 00732,191
Becton DickinsonCOMMON STOCK0758871094,77919,441SH SOLE 0019,441
Berkeley Lights IncCOMMON STOCK08431010121310,877SH SOLE 0010,877
Berkshire Hathaway Inc ACOMMON STOCK0846701082,4686SH SOLE 006
Berkshire Hathaway Inc Del ClCOMMON STOCK0846707021,7566,432SH SOLE 006,432
Bio-Rad Laboratories IncCOMMON STOCK0905722075675SH SOLE 0075
Blackstone Group L P Com UnitCOMMON STOCK09260D10758500SH SOLE 00500
BNCCORP IncCOMMON STOCK055936108401,000SH SOLE 001,000
Boeing CompanyCOMMON STOCK0970231056763,072SH SOLE 003,072
BP Plc Spons ADRCOMMON STOCK055622104752,748SH SOLE 002,748
Bristol Myers Squibb CoCOMMON STOCK1101221083,95766,872SH SOLE 0066,872
Broadcom LtdCOMMON STOCK11135F1018,99118,541SH SOLE 0018,541
Business Development Corp Of ACOMMON STOCK12325J101496,575SH SOLE 006,575
Canadian National RailroadCOMMON STOCK1363751028,53473,793SH SOLE 0073,793
Canopy Growth CorpCOMMON STOCK138035100604,298SH SOLE 004,298
Carrier Global Corp-WiCOMMON STOCK14448C10441800SH SOLE 00800
Chevron CorpCOMMON STOCK16676410049482SH SOLE 00482
Ciena CorpCOMMON STOCK171779309721,400SH SOLE 001,400
Cisco Systems Inc.COMMON STOCK17275R1021633,001SH SOLE 003,001
Clearside Biomedical Inc ComCOMMON STOCK185063104549,000SH SOLE 009,000
Cloudflare IncCOMMON STOCK18915M10710,17590,327SH SOLE 0090,327
CME Group IncCOMMON STOCK12572q105175903SH SOLE 00903
Coca Cola CompanyCOMMON STOCK1912161002,63650,239SH SOLE 0050,239
Colgate PalmoliveCOMMON STOCK1941621031181,560SH SOLE 001,560
ConocoPhillipsCOMMON STOCK20825C1049,860145,493SH SOLE 00145,493
Constellation Brands Inc Cl ACOMMON STOCK21036P108101480SH SOLE 00480
Corteva Inc comCOMMON STOCK22052L1044,836114,921SH SOLE 00114,921
Costco Wholesale CorpCOMMON STOCK22160K1054711,047SH SOLE 001,047
Cree IncCOMMON STOCK2254471012082,579SH SOLE 002,579
CrowdStrike Holdings IncCOMMON STOCK22788C1059,46938,525SH SOLE 0038,525
Danaher Corp. DelCOMMON STOCK235851102196645SH SOLE 00645
DigitalBridge Group IncCOMMON STOCK25401T108457,410SH SOLE 007,410
Dominion Resources Inc VaCOMMON STOCK25746U10943584SH SOLE 00584
Duke Energy Corp New Com NewCOMMON STOCK26441C2041321,353SH SOLE 001,353
Ebay IncCOMMON STOCK27864210313,308191,011SH SOLE 00191,011
Electronic Arts IncCOMMON STOCK2855121094,39530,896SH SOLE 0030,896
Eli Lilly & Co.COMMON STOCK53245710812,61354,592SH SOLE 0054,592
Exact Sciences CorpCOMMON STOCK30063P10564675SH SOLE 00675
Exelon CorpCOMMON STOCK30161N101721,493SH SOLE 001,493
Exxon Mobil Corp ComCOMMON STOCK30231G10280713,715SH SOLE 0013,715
F N B Corp PACOMMON STOCK302520101595,078SH SOLE 005,078
Facebook Inc Cl ACOMMON STOCK30303M10227,76181,796SH SOLE 0081,796
FG New America Acquisition CorCOMMON STOCK68386H103779,765SH SOLE 009,765
Fidelity Blue Chip Growth ETFETF3160923523249,973SH SOLE 009,973
Fifth Third BancorpCOMMON STOCK3167731001483,494SH SOLE 003,494
First Busey CorpCOMMON STOCK319383204582,375SH SOLE 002,375
First Merchants CorpCOMMON STOCK320817109571,355SH SOLE 001,355
First Midwest Bancorp Del ComCOMMON STOCK3208671041809,454SH SOLE 009,454
Fiserv IncCOMMON STOCK33773810818,734172,664SH SOLE 00172,664
Focus Financial Partners IncCOMMON STOCK34417P10099519,000SH SOLE 0019,000
Ford Motor Co.COMMON STOCK345370860785,518SH SOLE 005,518
Gallagher Arthur J & CoCOMMON STOCK3635761093422,300SH SOLE 002,300
General Electric CoCOMMON STOCK3696043012041,978SH SOLE 001,978
Goldman Sachs Group Inc ComCOMMON STOCK38141G104132350SH SOLE 00350
Home DepotCOMMON STOCK43707610215,05245,853SH SOLE 0045,853
Honeywell International IncCOMMON STOCK4385161062,84213,389SH SOLE 0013,389
Hubbell IncCOMMON STOCK4435106073732,063SH SOLE 002,063
Huntington Bancshares IncCOMMON STOCK44615010424615,899SH SOLE 0015,899
Illinois Tool WorksCOMMON STOCK4523081093,10815,042SH SOLE 0015,042
Intel CorpCOMMON STOCK4581401001272,382SH SOLE 002,382
International Business MachineCOMMON STOCK4592001011391,000SH SOLE 001,000
International Paper CoCOMMON STOCK4601461031081,937SH SOLE 001,937
Intuitive Surgical IncCOMMON STOCK46120E602169170SH SOLE 00170
Invesco S&P 500 Quality ETFETF46137V2412424,988SH SOLE 004,988
Invesco Taxable Municipal BondETF46138G805431,318SH SOLE 001,318
Ishares 1-3 Year Treasury IndeETF46428745745526SH SOLE 00526
iShares Expanded Tech-SoftwareETF46428751513,14332,928SH SOLE 0032,928
iShares Exponential TechnologiETF46434V38152835SH SOLE 00835
Ishares Iboxx Investment GradeETF46428724244328SH SOLE 00328
iShares MSCI JapanETF46434G8226,12587,189SH SOLE 0087,189
iShares PHLX SemiconductorETF46428752325,49257,174SH SOLE 0057,174
iShares Tr Lehman US AggregateETF46428722665565SH SOLE 00565
Ishares Tr MSCI Emerging MktsETF464287234611,213SH SOLE 001,213
Ishares Tr MSCI IndexETF4642874659,432120,913SH SOLE 00120,913
iShares Tr Nasdaq BiotechnologETF46428755661380SH SOLE 00380
iShares Tr Russell 1000 GorwthETF464287614103375SH SOLE 00375
IShares TR S&P 500 Growth IndeETF4642873095,54675,034SH SOLE 0075,034
Ishares Tr S&P 500 Index FdETF46428720014,97734,764SH SOLE 0034,764
Ishares Tr S&P Midcap 400 IndeETF4642875073,92714,927SH SOLE 0014,927
iShares Tr S&P Smallcap 600ETF4642878045,62551,520SH SOLE 0051,520
iShares Trust Russell 2000 IndETF464287655137625SH SOLE 00625
Jd Com Inc Spon Adr Cl ACOMMON STOCK47215P10665900SH SOLE 00900
Jefferies Group Inc New ComCOMMON STOCK47233W1091734,646SH SOLE 004,646
Johnson & Johnson ComCOMMON STOCK47816010419,050117,958SH SOLE 00117,958
JP Morgan Chase & CoCOMMON STOCK46625H10042,229257,981SH SOLE 00257,981
Kansas City SouthernCOMMON STOCK4851703026,43923,791SH SOLE 0023,791
Kimberly-Clark CorpCOMMON STOCK4943681031891,428SH SOLE 001,428
Laboratory Corp America HoldinCOMMON STOCK50540R40966233SH SOLE 00233
Lam Research CorpCOMMON STOCK5128071085,6639,949SH SOLE 009,949
Li auto incCOMMON STOCK50202M102662,500SH SOLE 002,500
Liberty Broadband Corp Com SerCOMMON STOCK530307305150867SH SOLE 00867
Liberty Broadband Corp Com SerCOMMON STOCK53030710745267SH SOLE 00267
Liberty Global Plc Shs Cl CCOMMON STOCKG5480U120802,718SH SOLE 002,718
Liberty Interactive Corp Qvc GCOMMON STOCK74915M100414,008SH SOLE 004,008
Liberty Media Corp Delaware CoCOMMON STOCK5312296071022,146SH SOLE 002,146
Liberty Media Corp Delaware CoCOMMON STOCK531229409511,073SH SOLE 001,073
Linde plcCOMMON STOCKG5494J1034,67215,925SH SOLE 0015,925
LyondellBasell Industries NVCOMMON STOCKN537451006,35667,725SH SOLE 0067,725
Main Street Capital CorpCOMMON STOCK56035L1042,41258,690SH SOLE 0058,690
Marathon Pete Corp ComCOMMON STOCK56585a102871,415SH SOLE 001,415
Marsh & McLennanCOMMON STOCK571748102113749SH SOLE 00749
Mastercard Inc Cl ACOMMON STOCK57636Q1048,72925,108SH SOLE 0025,108
McDonald's CorporationCOMMON STOCK5801351015,18921,521SH SOLE 0021,521
McKesson CorpCOMMON STOCK58155Q1033,50217,567SH SOLE 0017,567
Medtronic IncCOMMON STOCKG5960L10316,467131,368SH SOLE 00131,368
MercadoLibre IncCOMMON STOCK58733R102202120SH SOLE 00120
Merck & Co Inc New ComCOMMON STOCK58933Y1055707,592SH SOLE 007,592
Micron Technology IncCOMMON STOCK5951121031,91626,993SH SOLE 0026,993
MicrosoftCOMMON STOCK59491810458,064205,960SH SOLE 00205,960
Middleby CorpCOMMON STOCK5962781012561,500SH SOLE 001,500
Mondelez Intl Incl Cl ACOMMON STOCK6092071051813,110SH SOLE 003,110
Motorola Solutions Inc ComCOMMON STOCK62007630799428SH SOLE 00428
MR COOPER GROUP INCCOMMON STOCK62482R107511,245SH SOLE 001,245
National Fuel Gas CoCOMMON STOCK63618010145850SH SOLE 00850
NeoPhotonics CorpCOMMON STOCK64051T100445,000SH SOLE 005,000
Netflix Inc.COMMON STOCK64110L1062,8174,615SH SOLE 004,615
NikeCOMMON STOCK65410610382564SH SOLE 00564
Norfolk Southern CorpCOMMON STOCK65584410817,15471,700SH SOLE 0071,700
Northern Trust CorporationCOMMON STOCK6658591048978,323SH SOLE 008,323
Nuveen Dividend Advantage MuniETF67066V1011469,319SH SOLE 009,319
Nvidia CorpCOMMON STOCK67066g10418,43788,999SH SOLE 0088,999
Occidental Petroleum CorpCOMMON STOCK674599105722,446SH SOLE 002,446
Okta IncCOMMON STOCK679295105121510SH SOLE 00510
OPKO Health IncCOMMON STOCK68375N1034412,110SH SOLE 0012,110
Oracle Corp ComCOMMON STOCK68389X10571810SH SOLE 00810
Palantir Technologies IncCOMMON STOCK69608A108773,200SH SOLE 003,200
Paypal Hldgs IncCOMMON STOCK70450Y10326,832103,119SH SOLE 00103,119
Pepsico IncCOMMON STOCK71344810815,712104,461SH SOLE 00104,461
PerkinElmer IncCOMMON STOCK7140461097,07740,839SH SOLE 0040,839
Pfizer Inc.COMMON STOCK71708110353212,363SH SOLE 0012,363
Philip Morris Int'l Inc ComCOMMON STOCK7181721092722,865SH SOLE 002,865
Phillips 66 ComCOMMON STOCK7185461041201,715SH SOLE 001,715
Pinterest IncCOMMON STOCK72352L106511,000SH SOLE 001,000
PNC FinancialCOMMON STOCK69347510559302SH SOLE 00302
Powershares QQQ Tr Unit Ser 1ETF46090E1034761,329SH SOLE 001,329
Procter & Gamble Co ComCOMMON STOCK7427181098,13658,195SH SOLE 0058,195
ProShares Pet Care ETFCOMMON STOCK74348A14560770SH SOLE 00770
Qualcomm CorpCOMMON STOCK74752510349382SH SOLE 00382
QuantumScape CorpCOMMON STOCK74767V109492,000SH SOLE 002,000
Quidel CorpCOMMON STOCK74838J10142300SH SOLE 00300
Raytheon Technologies OrdCOMMON STOCK75513E1011101,279SH SOLE 001,279
Republic Bancorp Inc. Cl. ACOMMON STOCK76028120468213,474SH SOLE 0013,474
S&P Spider Trust Unit Series 1ETF78462F1031,1392,655SH SOLE 002,655
Saia IncCOMMON STOCK78709Y10570295SH SOLE 00295
Salesforce.com IncCOMMON STOCK79466l302142525SH SOLE 00525
Schlumberger LimitedCOMMON STOCK8068571084,507152,054SH SOLE 00152,054
Schwab US Aggregate Bond ETFETF80852483941755SH SOLE 00755
Seagram LTDCOMMON STOCK92290862979333SH SOLE 00333
Sector Spdr Tr Shs Ben Int IndETF81369y70452530SH SOLE 00530
Sector Spdr Tr Shs Ben Int TecETF81369y8031841,229SH SOLE 001,229
Select Sector Spdr Fd HealthcaETF81369y20982644SH SOLE 00644
Select Sector Spdr Fd MaterialETF81369y10048610SH SOLE 00610
Select Sector Spdr Tr ConsumerETF81369y40780447SH SOLE 00447
Select Sector SPDR Tr ConsumerETF81369Y30860871SH SOLE 00871
Select Sector SPDR TR EnergyETF81369Y50611,330217,500SH SOLE 00217,500
Select Sector SPDR TR FinanciaETF81369Y60524,558654,344SH SOLE 00654,344
Shopify IncCOMMON STOCK82509L10711081SH SOLE 0081
Simon Property Group IncCOMMON STOCK8288061091301,000SH SOLE 001,000
Snowflake Cl A OrdCOMMON STOCK8334451092,3597,799SH SOLE 007,799
Sony Group CorpCOMMON STOCK83569930755500SH SOLE 00500
Spdr Gold Tr Gold Shs ETFETF78463v1074702,865SH SOLE 002,865
SPDR Portfolio Short Term CorpETF78464A474411,304SH SOLE 001,304
SPDR S&P Midcap 400 TRETF78467y10717,70136,810SH SOLE 0036,810
Splunk IncCOMMON STOCK8486371048,93761,756SH SOLE 0061,756
St Microelectronics NVCOMMON STOCK861012102831,900SH SOLE 001,900
Starbucks Corp ComCOMMON STOCK8552441092342,119SH SOLE 002,119
Stryker CorpCOMMON STOCK86366710192350SH SOLE 00350
Taiwan Semiconductor Mfg CoCOMMON STOCK87403910010,86097,271SH SOLE 0097,271
Take-Two Interactive SoftwareCOMMON STOCK87405410952340SH SOLE 00340
Target Corp ComCOMMON STOCK87612E1066,51728,486SH SOLE 0028,486
Tencent Holdings Ltd ADRCOMMON STOCK88032Q109631,050SH SOLE 001,050
Tesla Motors IncCOMMON STOCK88160R1011,9092,462SH SOLE 002,462
The Travelers Companies Inc CoCOMMON STOCK89417E10942275SH SOLE 00275
Thermo Electron CorpCOMMON STOCK88355610213,43523,515SH SOLE 0023,515
T-Mobile US IncCOMMON STOCK87259010454419SH SOLE 00419
Trane Technologies PLCCOMMON STOCKG8994E10386496SH SOLE 00496
Trex Co IncCOMMON STOCK89531P1051721,690SH SOLE 001,690
Twilio IncCOMMON STOCK90138F10249154SH SOLE 00154
Uber Technologies IncCOMMON STOCK90353T1005,183115,702SH SOLE 00115,702
Union Pacific CorpCOMMON STOCK90781810811,63159,337SH SOLE 0059,337
United Parcel Service Inc Cl BCOMMON STOCK9113121062411,325SH SOLE 001,325
Unitedhealth Group IncCOMMON STOCK91324P10212,11931,014SH SOLE 0031,014
Universal Display CorpCOMMON STOCK91347P1055783,382SH SOLE 003,382
US Bancorp NewCOMMON STOCK9029733041,47724,856SH SOLE 0024,856
Valero EnergyCOMMON STOCK91913Y10060850SH SOLE 00850
Vanguard 500 ETFETF922908363332843SH SOLE 00843
Vanguard Emerging Markets EtfETF9220428586,101121,993SH SOLE 00121,993
Vanguard Health Care ETFETF92204A50468275SH SOLE 00275
Vanguard Index Fds ReitETF9229085538,74385,905SH SOLE 0085,905
Vanguard Index Fds Total Stk METF9229087693891,751SH SOLE 001,751
Vanguard Information TechnologETF92204A702120300SH SOLE 00300
Vanguard Mega Cap ETF 529FETF10891380786524,047SH SOLE 0024,047
Vanguard S&P 500 Growth ETFETF921932505156585SH SOLE 00585
Vanguard Small-Cap ETF 529FETF1089138311103,672SH SOLE 003,672
Vanguard Spcld Port Div App InETF92190884477500SH SOLE 00500
Vanguard Total International SETF92190976852825SH SOLE 00825
Vanguard Utilities ETFETF92204A8765,96942,900SH SOLE 0042,900
Veeva Systems IncCOMMON STOCK92247510880278SH SOLE 00278
Verizon CommunicationsCOMMON STOCK92343V10414,104261,129SH SOLE 00261,129
Vertex Pharmaceuticals IncCOMMON STOCK92532f10043238SH SOLE 00238
Viad Corp Com NewCOMMON STOCK92552r4061,01022,233SH SOLE 0022,233
Visa Inc Com Cl ACOMMON STOCK92826C83924,839111,511SH SOLE 00111,511
Walgreen Boots Alliance Inc CoCOMMON STOCK9314271082264,800SH SOLE 004,800
Walt DisneyCOMMON STOCK2546871062881,703SH SOLE 001,703
WASTE CONNECTIONS INC COMCOMMON STOCK94106B10141327SH SOLE 00327
Waste Management Inc ComCOMMON STOCK94106L1095,82138,971SH SOLE 0038,971
Wintrust Financial CorpCOMMON STOCK97650W1081,51318,826SH SOLE 0018,826
WisdomTree LargeCap Dividend EETF97717W3079578,023SH SOLE 008,023
WisdomTree MidCap Dividend ETFETF97717W5052,71265,429SH SOLE 0065,429
Wisdomtree Tr Smallcap Div FdETF97717W6042,30674,798SH SOLE 0074,798
Workday IncCOMMON STOCK98138H10165260SH SOLE 00260
Xcel Energy IncCOMMON STOCK98389B1001572,508SH SOLE 002,508
Xilinx IncCOMMON STOCK98391910145300SH SOLE 00300
Yum Brands Inc CommonCOMMON STOCK98849810165532SH SOLE 00532
Zuora IncCOMMON STOCK98983V1065,503331,934SH SOLE 00331,934