PRIVATE TRUST CO NA Q4 2019 Filing

Filed January 2, 2020

Portfolio Value

$539.0B

Holdings

377

Report Date

Q4 2019

Filing Type

13F-HR

All Holdings (377 positions)

StockValue
AAPLApple Inc.
$20.1M
MSFTMicrosoft Corp.
$19.3M
SPYSPDR S&P 500 ETF
$13.7M
KELKellogg Co.
$12.5M
JPMJ P Morgan Chase & Co.
$12.0M
IVVIShares S&P 500 Index Fd
$12.0M
AMZNAmazon.Com
$7.9M
JNJJohnson & Johnson
$7.2M
PGProcter & Gamble Co.
$6.9M
NOCNorthrop Grumman Corp.
$6.5M
HDHome Depot Inc.
$6.4M
VVisa Inc Class A
$6.2M
PEPPepsico Inc.
$5.8M
VTIVanguard Total Stock Market ETF
$5.4M
MRKMerck & Co Inc New
$5.2M
PFEPfizer, Inc.
$5.1M
DISWalt Disney Company
$5.0M
ABBVAbbVie, Inc.
$5.0M
XOMExxon Mobil Corp
$4.9M
TAT&T Inc.
$4.9M
IJHIShares Tr S&P Midcap 400 Index
$4.8M
CVXChevron Corporation
$4.7M
SYKStryker Corp.
$4.5M
MAMastercard Inc Cl A
$4.5M
METAFacebook Inc.
$4.3M
BACVerizon Communications
$4.1M
SHWSherwin-Williams Co.
$4.1M
BRK/BBerkshire Hathaway Inc DE Cl B
$4.0M
MCDMcDonald's Corp.
$3.9M
BACBank Of America Corporation
$3.8M
USMVIShares Tr MSCI USA Min Volatil
$3.8M
INTCIntel Corp.
$3.7M
HONHoneywell International Inc.
$3.7M
COSTCostco Wholesale Corp New
$3.5M
BXThe Blackstone Group LP
$3.5M
CSCOCisco Systems Inc.
$3.4M
ABTAbbott Laboratories
$3.4M
LOWLowe's Cos.
$3.4M
DBLFXDOUBLELINE CORE FIXED INCOME
$3.4M
MOAltria Group Inc. Com.
$3.3M
AQLTIShares Core MSCI EAFE
$3.2M
NEOGNeogen Corp.
$3.2M
KOCoca-Cola Co.
$3.1M
AGGIShares Core Total Bond Mkt
$3.1M
USBU. S. Bancorp New
$3.0M
4I1Phillip Morris International
$3.0M
WFCWells Fargo & Co.
$2.9M
DYHTarget Corp.
$2.9M
AMTAmerican Tower REIT Com
$2.8M
VGKVanguard MSCI European ETF
$2.8M
DHRDanaher Corp.
$2.8M
MAMTXBLACKROCK STRAT MUN OPPTYS
$2.7M
BMYBristol-Myers Squibb Co.
$2.7M
AMGNAmgen Inc.
$2.7M
LECOLincoln Electric Holdings Inc.
$2.7M
LMTLockheed Martin Corp.
$2.6M
APDAir Products and Chemicals, Inc
$2.5M
HIIHuntington Ingalls Inds Inc
$2.5M
ICAFXINVESTMENT COMPANY OF AMERICA C
$2.5M
Constellation Brands, Inc.
$2.4M
UNPUnion Pacific Corp.
$2.4M
EEMIShares Tr Emerging Markets Ind
$2.4M
BABoeing Co.
$2.3M
SWKStanley Black & Decker Inc.
$2.3M
DUKDuke Energy Corp New
$2.3M
RTN1USDRaytheon Co. New
$2.2M
CMCSAComcast Corp New CL A
$2.2M
CWBSPDR Barclays Capital Conv Secs
$2.2M
EFAIShares Tr Europe and Far East
$2.2M
NEENextera Energy Inc.
$2.2M
BSXBoston Scientific Corp
$2.1M
MMM3M Company
$2.1M
EWCIShares MSCI Canada Index
$2.1M
VWOVanguard FTSE Emerging Markets
$2.1M
IJKIShares Tr S&P MidCap 400 Growt
$2.0M
NKENike Inc Cl B
$2.0M
ADPAutomatic Data Processing Inc.
$2.0M
WMTWal-Mart Stores Inc.
$2.0M
UTXZUnited Technologies Corp.
$1.9M
QAIIQ hedge MultilQ Hedge Multi- S
$1.9M
LHXL3Harris Technologies Inc
$1.9M
UNHUnitedHealth Group Inc
$1.8M
ZTSZoetis Inc Com Cl A
$1.8M
TJXTJX Companies Inc.
$1.8M
CLColgate-Palmolive Co.
$1.7M
BDXBecton, Dickinson & Co.
$1.7M
SPGIS&P Global Inc
$1.6M
IEMGIShares Core MSCI Emerging Mkts
$1.6M
ASMLASML Holding NV ADR
$1.6M
MDLZMondelez International Inc.
$1.6M
Alger Cap Appreciation Inst.
$1.6M
CSXCSX Corp.
$1.6M
ALXNAlexion Pharmaceuticals Incorpo
$1.6M
PNCPNC Financial Services Group
$1.6M
TMOThermo Fisher Scientific, Inc.
$1.5M
VOOVanguard Index Funds S&P 500 ET
$1.4M
IUSViShares Russell 3000 Value Inde
$1.4M
ADBEAdobe Systems Inc.
$1.4M
BF/ABrown Forman Corp Cl A
$1.4M
IWDIShares Tr Russell 1000 Value I
$1.3M
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