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FRA, PAZ: PARK NATIONAL DL 625

05 Sep 2025
LAST:

146.0

CHANGE:
 1.00
OPEN:
146.0
HIGH:
146.0
ASK:
0.0
VOLUME:
0
CHG(%):
0.69
PREV:
145.0
LOW:
146.0
BID:
0.0
 

CHART

RECENT END OF DAY PRICES

DateOpenHighLowCloseVolume
05 Sep 25146.0146.0146.0146.00
04 Sep 25145.0145.0145.0145.00
03 Sep 25145.0145.0145.0145.00
02 Sep 25144.0144.0144.0144.00
01 Sep 25143.0143.0143.0143.00
29 Aug 25146.0146.0146.0146.00
28 Aug 25147.0147.0147.0147.00
27 Aug 25148.0148.0148.0148.00
26 Aug 25145.0145.0145.0145.00
25 Aug 25146.0146.0146.0146.00

COMPANY PROFILE

Name:PARK NATIONAL DL 625
About:Park National Corporation operates as the bank holding company for Park National Bank that provides commercial banking and trust services in small and medium population areas in the United States. The company offers deposits for demand, savings, and time accounts; trust and wealth management services; cash management services; safe deposit operations; electronic funds transfers; Internet and mobile banking solutions with bill pay service; credit cards; and various additional banking-related services. It also provides commercial loans, including financing for industrial and commercial properties, financing for equipment, inventory and accounts receivable, acquisition financing, and commercial leasing, as well as for consumer finance companies; commercial real estate loans comprising mortgage loans to developers and owners of commercial real estate; originates financing leases primarily for the purchase of commercial vehicles, operating/manufacturing equipment, and municipal vehicles/equipment; consumer loans, such as automobile loans; consumer finance services; home equity lines of credit; and residential real estate and construction loans, as well as installment loans and commercial loans. In addition, the company offers aircraft financing services; and ParkDirect, a personal banking application. Park National Corporation was founded in 1908 and is headquartered in Newark, Ohio.
Address:51 North Third Street, Newark, OH, United States, 43058-3500
Website:https://investor.parknationalcorp.com/overview/def
ISIN:US7006581075
LEI:5493001T01TDELV5OO63

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SYMBOL HISTORY

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TECHNICAL INDICATORS

MA5:144.60
MA10:145.50
MA20:142.75
MA50:142.77
MA100:140.29
MA200:148.57
STO9:60.00
STO14:75.00
RSI14:68.42
WPR14:-25.00
MTM14:6.00
ROC14:0.04
ATR:1.36
Week High:146.00
Week Low:143.00
Month High:148.00
Month Low:135.00
Year High:191.25
Year Low:120.39
Volatility:3.76

RECENT DIVIDENDS

Date Amount
15 Aug 2025$0.92
16 May 2025$0.96
14 Feb 2025$1.02
15 Nov 2024$1.47
16 Aug 2024$0.97
16 May 2024$0.98
15 Feb 2024$0.99
16 Nov 2023$0.97
17 Aug 2023$0.96
18 May 2023$0.97