TRUST CO OF VERMONT Q2 2020 Filing

Filed July 17, 2020

Portfolio Value

$1.0B

Holdings

781

Report Date

Q2 2020

Filing Type

13F-HR

All Holdings (781 positions)

StockValue
AAPLApple Inc
$49.1M
AMZNAmazon Com Inc
$36.3M
MSFTMicrosoft Corp
$35.4M
GOOGAlphabet Inc Cap Stk Cl C
$22.7M
JNJJohnson & Johnson
$20.0M
BRK/BBerkshire Hathaway Inc Del Cl B New
$19.1M
MAMastercard Inc
$16.7M
MMM3M
$16.3M
ABBVAbbvie Inc
$16.0M
ACNAccenture PLC Ireland
$14.8M
BLKCHFBlackrock Inc
$14.6M
BDXBecton Dickinson & Company
$14.4M
ABTAbbott Laboratories
$14.3M
DISDisney Walt Company
$14.3M
PEPPepsico Inc
$13.4M
PGProcter & Gamble Co
$13.0M
TMOThermo Fisher Scientific Inc
$12.5M
COSTCostco Wholesale Corporation
$12.5M
JPMJP Morgan Chase & Co
$12.2M
AMTAmerican Tower REIT
$11.8M
HDHome Depot
$11.8M
LOWLowes Companies Inc
$11.8M
UNPUnion Pacific Corp
$11.7M
HONHoneywell Intl Inc
$11.6M
NEENextera Energy Inc
$11.4M
ECLEcolab Inc
$10.9M
ENBEnbridge Inc
$10.6M
APDAir Products & Chemical Inc
$10.5M
TAT&T Inc
$10.5M
NKENike Inc Cl B
$9.9M
INTCIntel Corp
$9.7M
BACVerizon Communications Inc
$9.5M
PYPLPaypal Hldgs Inc
$9.0M
ITWIllinois Tool Wks Inc
$8.8M
IJRI Shares Core S&P Small-Cap ETF
$8.7M
IJHI Shares Core S&P Mid-Cap ETF
$8.6M
MCXMcCormick & Co Inc
$8.4M
METAFacebook Inc Cl A
$8.3M
PFEPfizer Inc
$7.9M
SBUXStarbucks Corp
$7.8M
ADPAutomatic Data Processing
$7.7M
NVSNNovartis AG ADR
$7.6M
CVSCVS Health Corp
$7.5M
BNDVanguard Bond Index Fd ETF
$7.4M
CHDChurch & Dwight Co Inc
$7.3M
AMGNAmgen Inc
$7.3M
NSCNorfolk Southern Corp
$6.8M
VVisa Inc
$6.8M
MCDMcDonalds Corp
$6.8M
DEODiageo PLC Spons ADR New
$6.5M
VWOVanguard Emerging Markets ETF
$6.3M
CMECME Group Inc
$6.3M
BKNGBooking Holdings Inc
$6.2M
CVXChevron Corporation
$6.1M
ORealty Income Corporation
$6.0M
GOOGLAlphabet Inc Cap Stk Cl A
$5.9M
VTIPVanguard Short Term Inflation Prot Secs ETF
$5.9M
VEAVanguard FTSE Dev Mkts ETF
$5.6M
ADIAnalog Devices Inc
$5.6M
AMATApplied Materials Inc
$5.5M
CMCSAComcast Corp Cl A
$5.5M
DDominion Energy Inc
$5.3M
CSCOCisco Sys Inc
$5.2M
CRMSalesforce Com Inc
$5.1M
CLXClorox Company
$5.0M
BMYBristol Myers Squibb Co
$4.9M
MRKMerck & Co Inc New
$4.8M
MDLZMondelez Intl Inc
$4.7M
SYKStryker Corp
$4.5M
ETNEaton Corp PLC
$4.5M
IBMIntl Business Machines
$4.4M
XOMExxon Mobil Corp
$4.4M
VEUVang FTSE All-World ex-US ETF
$4.3M
LM03Liberty Media Corp Ser A SiriusSM Group
$4.3M
0VVBViacomCBS Inc NPV
$4.2M
SPYSpdr S&P 500 Etf Trust
$4.2M
LMTLockheed Martin Corp
$4.0M
ATVIEURActivision Blizzard Inc
$3.9M
DHRDanaher Corp
$3.9M
USBUS Bancorp Del
$3.8M
MXIMMaxim Integrated Prods Inc
$3.8M
CBChubb Ltd
$3.7M
INTUIntuit
$3.7M
EMREmerson Electric Co
$3.6M
PAYXPaychex Inc
$3.5M
COFCapital One Financial Corp
$3.5M
UNHUnitedHealth Group Inc
$3.5M
ADBEAdobe Inc
$3.5M
TJXTJX Cos Inc
$3.1M
VIGVanguard Dividend Appreciation ETF
$3.1M
CLColgate-Palmolive Co
$2.9M
CCKCrown Holdings Inc
$2.8M
ICEIntercontinental Exchange Inc
$2.7M
PANWPalo Alto Networks Inc
$2.6M
TFCTruist Finl Corp
$2.5M
KOCoca Cola Co
$2.4M
MSMMSC Industrial Direct Co Cl A
$2.4M
PAGPenske Automotive Group Inc
$2.4M
TDToronto Dominion Bank New
$2.3M
ORCLOracle Corporation
$2.3M
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