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
Estimated average burden
hours per response:23.8

COLUMN 1COLUMN 2COLUMN 3COLUMN 4COLUMN 5COLUMN 6COLUMN 7COLUMN 8
VALUESHRS ORSH/PUT/INVESTMENTOTHERVOTING AUTHORITY
NAME OF ISSUERTITLE OF CLASSCUSIP(x$1000)PRN AMTPRNCALLDISCRETIONMANAGERSOLESHAREDNONE
Aflac IncCom0010551022908,052SH SOLE 8,05200
Aflac IncCom001055102461,286SH DFND 1,28600
AIA Group Ltd Sponsored ADRCom0013172053599,634SH SOLE 4,75804,876
AT&T IncCom00206R10228,452941,193SH SOLE 931,23209,961
AT&T IncCom00206R10290830,030SH DFND 29,7100320
Abbott LaboratoriesCom00282410046,471508,266SH SOLE 504,93503,331
Abbott LaboratoriesCom0028241007968,702SH DFND 8,652050
AbbVie IncCom00287Y10918,520188,634SH SOLE 186,17702,457
AbbVie IncCom00287Y1095655,757SH DFND 5,689068
Adobe IncCom00724F10110,11223,230SH SOLE 23,23000
Adobe IncCom00724F10150115SH DFND 11500
Agilent Technologies IncCom00846U1012442,756SH SOLE 2,2970459
Air Products & Chemicals IncCom00915810615,86465,700SH SOLE 65,5000200
Air Products & Chemicals IncCom0091581067473,092SH DFND 2,9170175
Allstate CorpCom0200021011,03910,708SH SOLE 10,70800
Allstate CorpCom02000210144450SH DFND 45000
Alphabet Inc Class CCom02079K1071,185838SH SOLE 798040
Alphabet Inc Class CCom02079K1071410SH DFND 1000
Alphabet Inc Class ACom02079K30527,06319,085SH SOLE 18,9090176
Alphabet Inc Class ACom02079K305227160SH DFND 16000
Altria Group IncCom02209S10351813,193SH SOLE 13,0110182
Altria Group IncCom02209S1031754,465SH DFND 4,46500
Amazon.com IncCom0231351068,2712,998SH SOLE 2,969029
Amazon.com IncCom023135106397144SH DFND 134010
America Movil S.A. de C.V. SerCom02364W10519015,000SH SOLE 15,00000
American Electric Power CoCom0255371011,37917,314SH SOLE 17,2140100
American Electric Power CoCom02553710110121SH DFND 12100
American Express CoCom0258161094,85050,948SH SOLE 50,7060242
American Express CoCom0258161092542,663SH DFND 2,66300
American Tower Corporation REICom03027X10011,16943,199SH SOLE 42,04101,158
American Tower Corporation REICom03027X100115446SH DFND 44600
AmerisourceBergen CorpCom03073E10583828SH SOLE 82800
AmerisourceBergen CorpCom03073E1054034,000SH DFND 4,00000
Amgen IncCom0311621001,4306,062SH SOLE 5,6920370
Amgen IncCom031162100185785SH DFND 78500
Amphenol Corp Class ACom0320951013073,200SH SOLE 1,70001,500
Analog Devices IncCom0326541053252,650SH SOLE 2,5360114
Anthem IncCom0367521035111,943SH SOLE 1,94300
Apple IncCom03783310080,925221,833SH SOLE 220,05101,782
Apple IncCom0378331002,3396,413SH DFND 4,95801,455
Applied Materials IncCom038222105721,185SH SOLE 1,18500
Applied Materials IncCom0382221054357,204SH DFND 7,20400
AstraZeneca PLC Sponsored ADRCom04635310816,091304,232SH SOLE 302,36001,872
AstraZeneca PLC Sponsored ADRCom04635310847883SH DFND 88300
Atlas Copco AB Sponsored ADR CCom0492557062525,956SH SOLE 2,57303,383
Automatic Data Processing IncCom05301510314,68898,649SH SOLE 97,9890660
Automatic Data Processing IncCom0530151033662,459SH DFND 2,45900
BP PLC Sponsored ADRCom05562210435115,039SH SOLE 14,8890150
BP PLC Sponsored ADRCom055622104461,968SH DFND 1,943025
Ball CorpCom0584981063755,400SH SOLE 5,40000
Banco Bilbao Vizcaya ArgentariCom05946K1013911,566SH SOLE 11,56600
Bank of America CorpCom0605051049,802412,697SH SOLE 410,27202,425
Bank of America CorpCom0605051041536,457SH DFND 6,45700
Bank of New York Mellon CorpCom0640581003,81598,716SH SOLE 98,71600
Bank of New York Mellon CorpCom0640581001574,060SH DFND 3,2700790
Barclays PLC Sponsored ADRCom06738E2046812,030SH SOLE 12,03000
Baxter International IncCom0718131096767,857SH SOLE 7,85700
Becton Dickinson & CoCom0758871091,4626,110SH SOLE 5,9440166
Benguet Corp Class B (WorthlesCom081851206015,000SH SOLE 15,00000
Berkshire Hathaway Inc Class ACom0846701088,28631SH SOLE 3100
Berkshire Hathaway Inc Class BCom0846707021,6109,018SH SOLE 8,959059
Berkshire Hathaway Inc Class BCom0846707022861,601SH DFND 1,5010100
BlackRock IncCom09247X10117,33131,854SH SOLE 31,6560198
BlackRock IncCom09247X101224411SH DFND 41100
H&R Block IncCom09367110514610,213SH SOLE 10,21300
Boeing Company (The)Com0970231051,0995,998SH SOLE 5,1930805
Boeing Company (The)Com09702310595518SH DFND 51800
Nichols Trucking CompanyCom10283000V83916,240SH SOLE 16,24000
Bristol-Myers Squibb CompanyCom1101221081,89832,285SH SOLE 32,0310254
Bristol-Myers Squibb CompanyCom1101221082494,232SH DFND 4,23200
Broadcom IncCom11135F1012,1536,823SH SOLE 6,82300
Broadcom IncCom11135F101126399SH DFND 39900
Brooks Automation IncCom1143401022435,485SH SOLE 1,35504,130
Brown & Brown IncCom1152361013,42083,908SH SOLE 81,85002,058
Cigna Corporation (New)Com1255231001,4097,508SH SOLE 7,50800
Cigna Corporation (New)Com125523100135718SH DFND 71800
CME Group IncCom12572Q1054,67228,743SH SOLE 27,53301,210
CME Group IncCom12572Q105426SH DFND 2600
CSL Limited Sponsored ADRCom12637N2044344,388SH SOLE 1,82102,567
CSX CorporationCom12640810319,442278,773SH SOLE 277,05801,715
CSX CorporationCom1264081032343,350SH DFND 3,35000
CVS Health CorporationCom12665010013,286204,501SH SOLE 202,97201,529
CVS Health CorporationCom1266501006209,539SH DFND 9,3490190
CaixaBank Unsponsored ADRCom12803K1093346,172SH SOLE 46,17200
Canadian Pacific Railway LtdCom13645T1003981,558SH SOLE 7640794
Cardinal Health IncCom14149Y10843817SH SOLE 81700
Cardinal Health IncCom14149Y1081673,193SH DFND 3,19300
Carrefour SA Sponsored ADRCom1444302043210,213SH SOLE 10,21300
Caterpillar IncCom1491231011,0908,620SH SOLE 8,4900130
Caterpillar IncCom14912310131249SH DFND 24900
North Valley Bancshares IncCom1560049962233,650SH SOLE 3,65000
Chevron CorpCom16676410018,087202,706SH SOLE 200,87501,831
Chevron CorpCom1667641007218,083SH DFND 8,08300
Chipotle Mexican Grill IncCom1696561055,3655,098SH SOLE 5,039059
Chipotle Mexican Grill IncCom16965610599SH DFND 900
Cincinnati Financial CorporatiCom1720621013,94661,633SH SOLE 61,3330300
Cincinnati Financial CorporatiCom172062101671,043SH DFND 1,04300
Cisco Systems IncCom17275R10235,806767,702SH SOLE 762,75204,950
Cisco Systems IncCom17275R10276516,408SH DFND 16,40800
Cintas CorporationCom1729081052,1918,226SH SOLE 8,0640162
Citigroup Inc (New)Com1729674241673,266SH SOLE 3,26600
Citigroup Inc (New)Com172967424611,200SH DFND 1,20000
Civista Bancshares IncCom17886710781152,675SH SOLE 1,275051,400
Clorox CompanyCom1890541095032,292SH SOLE 2,240052
Clorox CompanyCom1890541094672,130SH DFND 2,13000
Coca-Cola CompanyCom19121610016,028358,723SH SOLE 357,19601,527
Coca-Cola CompanyCom19121610046310,353SH DFND 10,35300
Colgate-Palmolive CompanyCom1941621031,51020,618SH SOLE 20,3930225
Colgate-Palmolive CompanyCom19416210324330SH DFND 33000
Comcast Corporation Class A (NCom20030N10116,488422,992SH SOLE 419,31503,677
Comcast Corporation Class A (NCom20030N1013649,337SH DFND 9,33700
Compagnie Financiere RichemontCom2043191077611,867SH SOLE 11,86700
ConocoPhillipsCom20825C1047,154170,249SH SOLE 169,02701,222
ConocoPhillipsCom20825C10413313SH DFND 31300
Consolidated Edison IncCom2091151042273,159SH SOLE 3,15900
Consolidated Edison IncCom20911510412165SH DFND 16500
CoreLogic IncCom21871D1032053,047SH SOLE 003,047
Corning IncCom2193501052,21685,549SH SOLE 85,54900
Corning IncCom219350105883,397SH DFND 2,5320865
Corteva IncCom22052L10447317,674SH SOLE 17,3190355
Corteva IncCom22052L10410373SH DFND 37300
Costco Wholesale CorporationCom22160K1057,49624,723SH SOLE 24,4770246
Costco Wholesale CorporationCom22160K105235775SH DFND 77500
Crown Castle International CorCom22822V1013061,827SH SOLE 8940933
D R Horton IncCom23331A10911,256202,986SH SOLE 201,70201,284
D R Horton IncCom23331A109711,277SH DFND 1,0370240
Danaher CorporationCom23585110224,884140,721SH SOLE 139,8870834
Danaher CorporationCom2358511021981,118SH DFND 1,11800
Pataskala Banking CoCom2389915662333,240SH SOLE 3,24000
Deere & CompanyCom2441991055273,354SH SOLE 3,35400
Deere & CompanyCom244199105110700SH DFND 70000
OSB Bancorp IncCom253OSB2534483,197SH SOLE 3,19700
Disney (Walt) CompanyCom25468710637,190333,512SH SOLE 331,42802,084
Disney (Walt) CompanyCom2546871067516,737SH DFND 6,73700
Discover Financial ServicesCom2547091083086,157SH SOLE 5,8770280
Dollar General Corporation (NeCom25667710513,68771,846SH SOLE 71,2350611
Dollar General Corporation (NeCom25667710590474SH DFND 47400
Dominion Energy IncCom25746U1091,19714,739SH SOLE 13,27201,467
Dominion Energy IncCom25746U1091181,455SH DFND 1,45500
Dow IncCom26055710396423,648SH SOLE 23,3630285
Dow IncCom26055710334826SH DFND 82600
DSV A/S Unsponsored ADRCom26251A1083746,134SH SOLE 2,55003,584
Duke Energy Corporation (New)Com26441C2042,50931,411SH SOLE 31,1840227
Duke Energy Corporation (New)Com26441C2041702,131SH DFND 2,13100
DuPont de Nemours IncCom26614N1021,19222,432SH SOLE 22,2470185
DuPont de Nemours IncCom26614N10220384SH DFND 38400
Ecolab IncCom27886510011,12155,899SH SOLE 55,2900609
Ecolab IncCom27886510028140SH DFND 14000
Emerson Electric CompanyCom29101110414,541234,425SH SOLE 233,5950830
Emerson Electric CompanyCom29101110471111,455SH DFND 11,45500
Equifax IncCom2944291052241,306SH SOLE 1,1880118
Expeditors International of WaCom3021301092743,600SH SOLE 2,8000800
Experian PLC Sponsored ADRCom30215C10139111,234SH SOLE 4,60706,627
Exxon Mobil CorporationCom30231G10214,396321,917SH SOLE 319,30102,616
Exxon Mobil CorporationCom30231G1021,20326,910SH DFND 26,91000
Facebook Inc Class ACom30303M10227,753122,221SH SOLE 121,9170304
Facebook Inc Class ACom30303M1023291,447SH DFND 1,44700
Fastenal CompanyCom31190010448911,418SH SOLE 10,7620656
Fidelity National InformationCom31620M1062181,624SH SOLE 1,62400
Fifth Third BancorpCom3167731001,32568,713SH SOLE 68,71300
Fifth Third BancorpCom316773100593,050SH DFND 3,05000
First Merchants CorporationCom3208171091,90369,033SH SOLE 69,03300
First Trust Capital Strength ECom33733E1049,232158,027SH SOLE 152,29705,730
First Trust Capital Strength ECom33733E1041,01217,329SH DFND 17,32900
First Tr NASDAQ Clean Edge GreCom33733E5002588,684SH SOLE 8,68400
First Trust Value Line DividenCom33734H10610,674352,060SH SOLE 340,234011,826
First Trust Value Line DividenCom33734H10675024,749SH DFND 24,74900
First Trust Large Cap Core AlpCom33734K1091,82630,665SH SOLE 30,0650600
First Trust Large Cap Core AlpCom33734K1091151,935SH DFND 1,93500
First Trust Dow Jones Global SCom33734X2004,861270,340SH SOLE 259,670010,670
First Trust Dow Jones Global SCom33734X20041623,164SH DFND 23,16400
First Trust Small Cap Core AlpCom33734Y1092,07338,186SH SOLE 36,09102,095
First Trust Small Cap Core AlpCom33734Y109681,246SH DFND 1,24600
First Trust Mid Cap Core AlphaCom33735B1082,27636,421SH SOLE 34,22102,200
First Trust Mid Cap Core AlphaCom33735B108771,225SH DFND 1,22500
First Trust North Amer EnergyCom33738D1012,056103,127SH SOLE 101,54201,585
First Trust North Amer EnergyCom33738D1011879,375SH DFND 9,37500
First Trust Tactical High YielCom33738D40810,967239,297SH SOLE 234,89704,400
First Trust Tactical High YielCom33738D40862813,708SH DFND 13,70800
First Trust NASDAQ Tech DivideCom33738R1186,139147,145SH SOLE 143,48503,660
First Trust NASDAQ Tech DivideCom33738R11851412,310SH DFND 12,31000
First Trust NASDAQ Rising DivCom33738R50645114,617SH SOLE 14,61700
First Trust NASDAQ Rising DivCom33738R5061143,685SH DFND 3,68500
First Trust Preferred SecuritiCom33739E10821,0431,142,398SH SOLE 1,108,614033,784
First Trust Preferred SecuritiCom33739E1081,22266,320SH DFND 66,32000
First Trust Enhanced Short MatCom33739Q40814,980249,705SH SOLE 246,83002,875
First Trust Enhanced Short MatCom33739Q40884914,159SH DFND 14,15900
Fiserv IncCom33773810823234SH SOLE 23400
Fiserv IncCom3377381086837,000SH DFND 7,00000
FlexShares MS US Market FactorCom33939L1007506,608SH SOLE 6,1570451
FlexShares MS Emerging Mkts FaCom33939L3083517,854SH SOLE 7,5400314
FlexShares Morningstar Glbl UpCom33939L4071,75163,345SH SOLE 62,6690676
FlexShares Morningstar Glbl UpCom33939L407275SH DFND 7500
FlexShares iBoxx 3-Year TargetCom33939L50694137,231SH SOLE 36,6400591
FlexShares Core Select Bond ETCom33939L6706,878255,084SH SOLE 249,00106,083
FlexShares US Quality Large CaCom33939L7461,37239,800SH SOLE 36,04403,756
FlexShares Global Quality RealCom33939L78776914,982SH SOLE 14,8050177
FlexShares STOXX Global BroadCom33939L7951,67435,029SH SOLE 34,6070422
FlexShares Morn Dev Mkts ex-USCom33939L8031,10920,753SH SOLE 19,08701,666
Perry-Sycamore LP- Spcl LP IntCom34038789538753SH SOLE 5300
Ford Motor CompanyCom34537086013922,897SH SOLE 22,89700
Ford Motor CompanyCom3453708606110,000SH DFND 10,00000
Fortive CorporationCom34959J10892013,595SH SOLE 13,59500
Fortive CorporationCom34959J108344SH DFND 4400
GMAC Capital Trust I 8.125 percent VaPfd Stk3618602082169,534SH SOLE 009,534
Gallagher (Arthur J) & CoCom3635761093313,397SH SOLE 3,39700
General Dynamics CorporationCom3695501088,28855,452SH SOLE 55,2010251
General Dynamics CorporationCom3695501082111,413SH DFND 1,41300
General Electric CompanyCom3696041035,633824,729SH SOLE 823,47901,250
General Electric CompanyCom36960410315122,134SH DFND 20,68401,450
General Mills IncCom3703341042674,326SH SOLE 4,1260200
General Motors CompanyCom37045V1001,35353,466SH SOLE 53,46600
General Motors CompanyCom37045V100652,557SH DFND 2,55700
General Mtrs Corp Conv EscrowCom370ESCBW4025,000SH SOLE 25,00000
Genuine Parts CompanyCom37246010511,525132,532SH SOLE 132,53200
Genuine Parts CompanyCom3724601052833,255SH DFND 3,25500
Genworth Financial Inc Class ACom37247D1062812,000SH SOLE 12,00000
Gilead Sciences IncCom3755581033063,981SH SOLE 3,6860295
Gilead Sciences IncCom3755581031231,600SH DFND 1,60000
Gorman-Rupp CompanyCom38308210499131,894SH SOLE 31,89400
Gorman-Rupp CompanyCom3830821041,29541,654SH DFND 41,65400
Graco IncCom3841091042755,735SH SOLE 2,62703,108
Byrne Warehousing IncCom3949395001,03477SH DFND 7700
Halliburton CompanyCom40621610122016,983SH SOLE 16,98300
Halliburton CompanyCom406216101175SH DFND 7500
Luikart Heating & Cooling IncCom410741070745150SH SOLE 15000
Harley-Davidson IncCom4128221082108,821SH SOLE 6,12102,700
Harley-Davidson IncCom4128221085215SH DFND 21500
Home Depot IncCom43707610217,66970,531SH SOLE 70,1360395
Home Depot IncCom4370761021,7246,880SH DFND 6,88000
Home Loan Financial Corp NewCom43718320556819,114SH SOLE 19,11400
Honeywell International IncCom43851610613,60794,110SH SOLE 93,3640746
Honeywell International IncCom4385161062902,003SH DFND 2,00300
Huntington Bancshares IncCom4461501041,381152,878SH SOLE 152,87800
Huntington Bancshares IncCom44615010427330,195SH DFND 30,19500
Illinois Tool Works IncCom4523081092,43113,903SH SOLE 13,6980205
Illinois Tool Works IncCom4523081095162,950SH DFND 2,95000
Infosys Ltd Sponsored ADRCom45678810834836,000SH DFND 36,00000
ING Groep N V Sponsored ADRCom4568371037911,378SH SOLE 11,37800
Intel CorporationCom45814010049,022819,351SH SOLE 814,99204,359
Intel CorporationCom4581401001,52525,497SH DFND 24,7770720
Intercontinental Exchange IncCom45866F10414,464157,903SH SOLE 157,0910812
Intercontinental Exchange IncCom45866F1042873,128SH DFND 3,12800
International Business MachineCom4592001012,82923,427SH SOLE 23,381046
International Business MachineCom4592001013212,662SH DFND 2,66200
International Flavors & FragraCom45950610129237SH SOLE 23700
International Flavors & FragraCom4595061012201,793SH DFND 1,79300
Invesco QQQ Trust Series 1Com46090E1037613,074SH SOLE 3,07400
Invesco QQQ Trust Series 1Com46090E103173700SH DFND 70000
Intuitive Surgical IncCom46120E6028291,455SH SOLE 1,45500
iShares Select Dividend ETFCom4642871682,63332,623SH SOLE 32,62300
iShares Select Dividend ETFCom46428716823280SH DFND 28000
iShares Core S&P 500 ETFCom4642872007,29023,540SH SOLE 23,54000
iShares MSCI EAFE ETFCom4642874654437,279SH SOLE 7,27900
iShares MSCI EAFE ETFCom4642874652303,785SH DFND 3,78500
iShares U.S. Consumer ServicesCom464287580143655SH SOLE 5550100
iShares U.S. Consumer ServicesCom464287580126575SH DFND 57500
iShares U.S. Technology ETFCom4642877212,2118,194SH SOLE 7,4540740
iShares U.S. Technology ETFCom464287721243900SH DFND 90000
iShares U.S. Industrials ETFCom464287754124825SH SOLE 775050
iShares U.S. Industrials ETFCom464287754121800SH DFND 80000
iShares U.S. Healthcare ETFCom4642877624912,275SH SOLE 2,195080
iShares U.S. Healthcare ETFCom4642877622481,150SH DFND 1,15000
JPMorgan Chase & CompanyCom46625H10049,892530,423SH SOLE 526,09904,324
JPMorgan Chase & CompanyCom46625H1001,86319,809SH DFND 19,7090100
Jacobs Engineering Group IncCom4698141075236,170SH SOLE 5,7140456
JELD-WEN Holding IncCom47580P1032101SH SOLE 00101
JELD-WEN Holding IncCom47580P10317410,780SH DFND 10,78000
Johnson & JohnsonCom47816010444,863319,017SH SOLE 316,35502,662
Johnson & JohnsonCom4781601041,83213,026SH DFND 13,02600
KeyCorpCom49326710824119,812SH SOLE 16,37403,438
Kimberly-Clark CorporationCom4943681031,46510,364SH SOLE 10,0350329
Kimberly-Clark CorporationCom4943681031641,157SH DFND 1,15700
Koninklijke Philips NV SponsorCom5004723032154,600SH SOLE 4,60000
Kroger CoCom50104410150915,048SH SOLE 14,4000648
LVMH-Moet Hennessy Louis VuittCom5024413063113,544SH SOLE 1,50602,038
Lancaster Colony CorporationCom5138471031,75811,345SH SOLE 11,34500
Estee Lauder Companies Inc ClaCom5184391046,13132,492SH SOLE 32,2310261
Estee Lauder Companies Inc ClaCom51843910457303SH DFND 30300
Leggett & Platt IncCom5246601073008,529SH SOLE 8,52900
Lilly (Eli) & CompanyCom5324571085,41833,000SH SOLE 32,3570643
Lilly (Eli) & CompanyCom5324571082761,680SH DFND 1,3050375
Lincoln Electric Holdings IncCom5339001062262,686SH SOLE 1,9280758
Lockheed Martin CorporationCom5398301095621,540SH SOLE 1,480060
Lockheed Martin CorporationCom539830109150411SH DFND 41100
Lowe's Companies IncCom5486611071,60311,861SH SOLE 11,86100
Lululemon Athletica IncCom5500211094421,417SH SOLE 6710746
MSA Safety IncCom5534981062552,232SH SOLE 2,23200
MSCI Inc Class ACom55354G1007352,203SH SOLE 1,17301,030
Magna International Inc ClassCom5592224013387,600SH DFND 7,60000
Mechanics Financial CorpCom5630009912,3152,056SH SOLE 2,05600
Marathon Petroleum CorporationCom56585A1021744,648SH SOLE 3,7950853
Marathon Petroleum CorporationCom56585A10246212,370SH DFND 12,37000
Mastercard Inc Class ACom57636Q1044131,398SH SOLE 1,2900108
McDonald's CorporationCom5801351018,78847,641SH SOLE 47,4160225
McDonald's CorporationCom5801351015122,774SH DFND 2,77400
McKesson CorporationCom58155Q1033802,474SH SOLE 2,47400
McKesson CorporationCom58155Q103215SH DFND 1500
MercadoLibre IncCom58733R102364369SH SOLE 1730196
Merck & Company Inc (New)Com58933Y10519,012245,853SH SOLE 244,38201,471
Merck & Company Inc (New)Com58933Y1057199,300SH DFND 9,30000
MetLife IncCom59156R108842,304SH SOLE 2,30400
MetLife IncCom59156R1081534,200SH DFND 4,20000
Mettler-Toledo International ICom592688105248308SH SOLE 1830125
Microsoft CorporationCom59491810498,958486,256SH SOLE 483,45802,798
Microsoft CorporationCom5949181041,7208,454SH DFND 8,1930261
Microchip Technology IncCom5950171042212,100SH SOLE 2,10000
Micron Technology IncCom5951121031212,355SH SOLE 2,35500
Micron Technology IncCom5951121031262,450SH DFND 2,45000
Mondelez International Inc ClaCom6092071052895,658SH SOLE 5,65800
Mondelez International Inc ClaCom609207105511,000SH DFND 1,00000
Moody's CorporationCom6153691055772,102SH SOLE 96001,142
Morgan StanleyCom6174464482344,844SH SOLE 4,84400
Ruch CorpCom6248RUCHC2,46476SH DFND 7600
National Fuel Gas Company (NJ)Com6361801015120SH SOLE 12000
National Fuel Gas Company (NJ)Com63618010142810,200SH DFND 10,20000
Nestle S A Sponsored ADRCom6410694061,24511,267SH SOLE 9,64501,622
NextEra Energy IncCom65339F10114,55860,615SH SOLE 60,3100305
NextEra Energy IncCom65339F101173721SH DFND 72100
Nike Inc Class BCom65410610328,639292,087SH SOLE 290,18201,905
Nike Inc Class BCom6541061034214,297SH DFND 4,1960101
NiSource IncCom65473P10531914,021SH SOLE 14,02100
NiSource IncCom65473P105150SH DFND 5000
Noble Energy IncCom6550441053,636405,748SH SOLE 403,04902,699
Noble Energy IncCom6550441054428SH DFND 42800
Perry-Sycamore, LPCom65543898029074SH SOLE 7400
Norfolk Southern CorporationCom6558441087674,369SH SOLE 4,36900
Norfolk Southern CorporationCom6558441088374,767SH DFND 4,76700
Northrop Grumman CorporationCom666807102222723SH SOLE 72300
Northrop Grumman CorporationCom6668071022890SH DFND 9000
Novartis AG Sponsored ADRCom66987V1098,66099,156SH SOLE 99,0490107
Novartis AG Sponsored ADRCom66987V1091842,110SH DFND 2,11000
Nucor CorporationCom6703461051,37833,267SH SOLE 33,26700
Nucor CorporationCom6703461055125SH DFND 12500
Oracle CorporationCom68389X10594017,016SH SOLE 15,36601,650
Oracle CorporationCom68389X10576313,800SH DFND 13,80000
PNC Financial Services GroupCom69347510515,409146,456SH SOLE 145,6110845
PNC Financial Services GroupCom6934751052892,750SH DFND 2,75000
PPG Industries IncCom6935061072041,923SH SOLE 1,92300
PPG Industries IncCom6935061072332,198SH DFND 2,19800
Park National CorporationCom70065810795,6081,358,452SH SOLE 1,349,92308,529
Park National CorporationCom70065810712,115172,144SH DFND 142,881029,263
Paychex IncCom7043261074616,090SH SOLE 6,09000
Paychex IncCom70432610769910SH DFND 91000
Peoples-Sidney Financial CorpoCom71230820459768,271SH SOLE 68,27100
PepsiCo IncCom71344810823,564178,162SH SOLE 176,60901,553
PepsiCo IncCom7134481085053,821SH DFND 3,82100
PerkinElmer IncCom7140461096186,300SH SOLE 6,30000
Pernod-Ricard SA Unsponsored ACom7142642072267,176SH SOLE 3,73203,444
Pfizer IncCom71708110314,625447,249SH SOLE 443,83203,417
Pfizer IncCom71708110375723,144SH DFND 23,14400
Philip Morris International InCom7181721095527,872SH SOLE 7,7230149
Philip Morris International InCom7181721091191,700SH DFND 1,70000
Phillips 66Com7185461043324,622SH SOLE 4,5220100
Produced Water Absorbents IncCom722PROWTR8406,250SH SOLE 406,25000
Procter & Gamble CompanyCom74271810934,980292,547SH SOLE 290,68001,867
Procter & Gamble CompanyCom7427181091,79114,979SH DFND 14,97900
Quaker Chemical CorporationCom7473161072221,196SH SOLE 1,19600
QUALCOMM IncCom7475251032833,104SH SOLE 3,10400
QUALCOMM IncCom7475251033103,400SH DFND 3,40000
RPM International IncCom7496851035016,672SH SOLE 6,67200
RPM International IncCom7496851038100SH DFND 10000
Raytheon Technologies CorpCom75513E10164910,540SH SOLE 9,9400600
Raytheon Technologies CorpCom75513E10139630SH DFND 63000
ResMed IncCom7611521072851,482SH SOLE 8270655
Community Bancshares IncCom7629912713364,000SH SOLE 4,00000
Rio Tinto PLC Sponsored ADRCom7672041002,70648,160SH SOLE 48,079081
Rio Tinto PLC Sponsored ADRCom76720410034600SH DFND 60000
Roche Holdings Ltd Sponsored ACom7711951045,826134,504SH SOLE 132,81801,686
Roche Holdings Ltd Sponsored ACom7711951045125SH DFND 12500
Rolls Royce Group PLC SponsoreCom7757812065816,523SH SOLE 16,52300
Royal Dutch Shell PLC SponsoreCom7802592063,950120,817SH SOLE 120,7030114
Royal Dutch Shell PLC SponsoreCom78025920617525SH DFND 52500
S&P Global IncCom78409V10413,18340,012SH SOLE 39,6730339
S&P Global IncCom78409V104147447SH DFND 44700
SPDR Gold Trust ETFCom78463V1074432,649SH SOLE 2,64900
SPDR Gold Trust ETFCom78463V10792550SH DFND 55000
SPDR S&P MidCap 400 ETFCom78467Y1073901,202SH SOLE 1,20200
SPDR S&P MidCap 400 ETFCom78467Y10789275SH DFND 27500
SVB Financial GroupCom78486Q1013151,460SH SOLE 7300730
Salesforce.com IncCom79466L3022281,218SH SOLE 1,21800
Salesforce.com IncCom79466L30264340SH DFND 34000
Muskingum Valley BancsharesCom80399127285810,493SH SOLE 10,49300
Schlumberger LimitedCom8068571085,873319,358SH SOLE 317,95201,406
Schlumberger LimitedCom806857108351,891SH DFND 1,89100
Communitybanc, Inc CrooksvilleCom80899127741512,510SH SOLE 12,51000
Scotts Miracle-Gro Company ClaCom8101861062712,019SH SOLE 2401,995
Sherwin-Williams CompanyCom8243481066971,207SH SOLE 1,20700
Shopify IncCom82509L107601633SH SOLE 2500383
SiteOne Landscape Supply IncCom82982L1033212,817SH SOLE 91801,899
Smith & Nephew PLC Sponsored ACom83175M2052546,671SH SOLE 3,75902,912
Smucker (J M) Co (New)Com8326964054504,256SH SOLE 4,0560200
Smucker (J M) Co (New)Com83269640533313SH DFND 31300
Southern CompanyCom8425871071,30025,078SH SOLE 24,9780100
Southern CompanyCom842587107681,310SH DFND 1,31000
Starbucks CorporationCom8552441092583,503SH SOLE 3,50300
Stryker CorporationCom8636671016,77037,573SH SOLE 37,1720401
Stryker CorporationCom8636671011,0045,573SH DFND 5,57300
Sysco CorporationCom8718291072,82551,680SH SOLE 51,68000
Sysco CorporationCom87182910750915SH DFND 91500
TJX Companies IncCom8725401098,555169,212SH SOLE 166,52002,692
TJX Companies IncCom8725401092074,085SH DFND 4,08500
T-Mobile US IncCom87259010453512SH SOLE 51200
T-Mobile US IncCom8725901042532,432SH DFND 2,43200
Taiwan Semiconductor ManufactuCom8740391003966,983SH SOLE 3,33503,648
Taiwan Semiconductor ManufactuCom87403910032555SH DFND 55500
Target CorporationCom87612E10635,461295,684SH SOLE 293,71701,967
Target CorporationCom87612E1065714,761SH DFND 4,76100
Tencent Holdings Ltd UnsponsorCom88032Q1093886,031SH SOLE 2,57603,455
Texas Instruments IncCom8825081045,66144,586SH SOLE 44,58600
Texas Instruments IncCom88250810440318SH DFND 31800
Thor Industries IncCom8851601012782,608SH SOLE 002,608
3M CompanyCom88579Y10129,346188,127SH SOLE 187,05701,070
3M CompanyCom88579Y1015783,704SH DFND 3,70400
Travelers Companies IncCom89417E1093603,153SH SOLE 3,15300
Trimble IncCom896239100862,000SH SOLE 002,000
Trimble IncCom8962391003468,000SH DFND 8,00000
Trinity Bank NA (TX)Com89641T10460810,000SH SOLE 10,00000
Tyson Foods Inc Class ACom9024941035,09485,307SH SOLE 84,26301,044
Tyson Foods Inc Class ACom90249410312199SH DFND 19900
US Bancorp (DE)Com9029733048,786238,613SH SOLE 238,61300
US Bancorp (DE)Com9029733041233,331SH DFND 3,33100
UniCredit S.p.A. Unsponsored ACom90467840610823,455SH SOLE 23,45500
Union Pacific CorporationCom9078181083,16718,730SH SOLE 18,655075
Union Pacific CorporationCom9078181089465,596SH DFND 5,59600
United Parcel Service Inc ClasCom9113121063,62832,636SH SOLE 32,4750161
United Parcel Service Inc ClasCom9113121061951,755SH DFND 1,5750180
UnitedHealth Group IncCom91324P1028282,807SH SOLE 2,80700
Vanguard Short-Term Bond ETFCom9219378277509,021SH SOLE 8,8090212
Vanguard S&P 500 ETF (New)Com9229083635752,030SH SOLE 2,03000
Vanguard S&P 500 ETF (New)Com9229083634611,625SH DFND 1,62500
Vanguard Real Estate ETFCom92290855324,983318,130SH SOLE 316,91501,215
Vanguard Real Estate ETFCom9229085533774,799SH DFND 4,79900
Vanguard Extended Market ETFCom92290865266560SH SOLE 56000
Vanguard Extended Market ETFCom9229086524543,840SH DFND 3,84000
Verizon Communications IncCom92343V10420,773376,801SH SOLE 374,77802,023
Verizon Communications IncCom92343V10480114,532SH DFND 14,3120220
Veritex Holdings IncCom92345110833318,804SH SOLE 18,80400
Vernay Laboratories IncCom9243151042132,953SH SOLE 2,95300
Visa Inc Class ACom92826C83924,156125,051SH SOLE 124,3990652
Visa Inc Class ACom92826C8393831,984SH DFND 1,909075
WEC Energy Group IncCom92939U1062502,850SH SOLE 2,85000
Walmart IncCom9311421031,42011,852SH SOLE 10,9010951
Walmart IncCom9311421034313,600SH DFND 3,60000
Walmart de Mexico SAB de CV SeCom93114W10741517,460SH SOLE 13,98203,478
K-L Investment CorporationCom936784790990379SH SOLE 37900
Waste Management IncCom94106L10912,840121,238SH SOLE 120,22401,014
Waste Management IncCom94106L1092172,047SH DFND 2,04700
Watsco IncCom9426222003181,789SH SOLE 9650824
Wells Fargo & Co (New)Com94974610132512,691SH SOLE 12,69100
Wells Fargo & Co (New)Com94974610118692SH DFND 2920400
Barclay Square Apartments, LDCom9610324752202SH SOLE 200
Weyerhaeuser CompanyCom9621661041918,486SH SOLE 5,78702,699
Weyerhaeuser CompanyCom962166104311,395SH DFND 1,39500
Worthington Industries IncCom9818111023569,543SH SOLE 9,2430300
Yum Brands IncCom9884981012152,477SH SOLE 2,2820195
Zoetis IncCom98978V10318,427134,465SH SOLE 132,60801,857
Zoetis IncCom98978V10326193SH DFND 19300
Freight Service Inc Delaware AComFS183A9054513,850SH SOLE 3,85000
Freight Service Inc Delaware BComFS184B9051,17110,000SH SOLE 10,00000
Allegion PLCComG0176J1092322,266SH SOLE 2,26600
Allegion PLCComG0176J1091151,127SH DFND 1,12700
Accenture PLC Ireland Shares CComG1151C10114,96969,715SH SOLE 68,03201,683
Accenture PLC Ireland Shares CComG1151C1015582,598SH DFND 2,59800
Eaton Corporation PLCComG291831033784,320SH SOLE 4,32000
Eaton Corporation PLCComG291831033373,850SH DFND 3,85000
Johnson Controls InternationalComG515021052,00458,706SH SOLE 58,70501
Johnson Controls InternationalComG515021054105SH DFND 10500
Medtronic PLCComG5960L1032,22724,284SH SOLE 24,28400
Medtronic PLCComG5960L1031161,267SH DFND 1,26700
Steris PLC (New)ComG8473T1002061,342SH SOLE 6250717
Trane Technologies PLCComG8994E1034114,620SH SOLE 4,62000
Trane Technologies PLCComG8994E1033814,284SH DFND 4,28400
Alcon IncComH013011284307,504SH SOLE 5,95601,548
Alcon IncComH01301128346SH DFND 4600
Chubb Ltd (New)ComH1467J1047,91262,485SH SOLE 62,3700115
Chubb Ltd (New)ComH1467J1042201,739SH DFND 1,73900
Garmin Ltd (Switzerland)ComH2906T1091341,375SH SOLE 1,37500
Garmin Ltd (Switzerland)ComH2906T10968700SH DFND 70000
ABS Materials Inc Series A PreComK7220ABSA121100,000SH SOLE 100,00000
ABS Materials Inc Common StockComK722ABS002520,781SH SOLE 20,78100
Elbit Systems LtdComM3760D1014113,000SH DFND 3,00000
ASML Holding NV-NY Reg ShsComN070592104021,092SH SOLE 5640528
Pentaflex, Inc Non-Voting CommComPENT00077483252SH SOLE 25200