TRUST CO OF VERMONT Q3 2023 Filing
Filed November 27, 2023
Portfolio Value
$1.5B
Holdings
816
Report Date
Q3 2023
Filing Type
13F-HR
All Holdings (816 positions)
| Stock | Value |
|---|---|
AAPLApple Inc | $97.3M |
MSFTMicrosoft Corp | $62.7M |
GOOGAlphabet Inc Cap Stk Cl C | $47.9M |
BRK/BBerkshire Hathaway Inc Del Cl B New | $41.6M |
AMZNAmazon Com Inc | $37.9M |
JPMJP Morgan Chase & Co | $28.7M |
COSTCostco Wholesale Corporation | $28.4M |
JNJJohnson & Johnson | $24.7M |
MAMastercard Inc | $24.5M |
ABBVAbbvie Inc | $23.7M |
ACNAccenture PLC Ireland | $22.1M |
PEPPepsico Inc | $20.2M |
PGProcter & Gamble Co | $19.6M |
TMOThermo Fisher Scientific Inc | $19.0M |
BLKCHFBlackrock Inc | $18.6M |
ABTAbbott Laboratories | $18.2M |
LOWLowes Companies Inc | $17.7M |
AMATApplied Materials Inc | $17.7M |
BDXBecton Dickinson & Company | $17.2M |
HONHoneywell Intl Inc | $17.2M |
HDHome Depot | $16.5M |
UNPUnion Pacific Corp | $16.2M |
PANWPalo Alto Networks Inc | $15.7M |
CMCSAComcast Corp Cl A | $15.0M |
VTIPVanguard Short Term Inflation Prot Secs ETF | $14.8M |
CVXChevron Corporation | $14.3M |
ADPAutomatic Data Processing | $14.1M |
NEENextera Energy Inc | $14.0M |
MRKMerck & Co Inc New | $13.3M |
IJRI Shares Core S&P Small-Cap ETF | $13.3M |
APDAir Products & Chemical Inc | $12.8M |
SBUXStarbucks Corp | $12.7M |
METAMeta Platforms Inc | $12.7M |
ADIAnalog Devices Inc | $12.5M |
UNHUnitedHealth Group Inc | $12.4M |
PFEPfizer Inc | $12.3M |
IJHI Shares Core S&P Mid-Cap ETF | $12.1M |
VVisa Inc | $12.0M |
CVSCVS Health Corp | $11.7M |
INTUIntuit | $11.6M |
MCDMcDonalds Corp | $11.6M |
GOOGLAlphabet Inc Cap Stk Cl A | $11.5M |
XOMExxon Mobil Corp | $11.5M |
EMREmerson Electric Co | $11.1M |
ECLEcolab Inc | $11.0M |
ETNEaton Corp PLC | $10.4M |
CSCOCisco Sys Inc | $10.1M |
ENBEnbridge Inc | $10.0M |
ITWIllinois Tool Wks Inc | $9.8M |
CMECME Group Inc | $9.6M |
NKENike Inc Cl B | $9.3M |
AMTAmerican Tower REIT | $9.3M |
BKNGBooking Holdings Inc | $8.9M |
CHDChurch & Dwight Co Inc | $8.8M |
ADBEAdobe Inc | $8.6M |
ORealty Income Corporation | $8.3M |
DISDisney Walt Company | $7.7M |
SYKStryker Corp | $7.6M |
CRMSalesforce Inc | $7.3M |
MCXMcCormick & Co Inc | $7.2M |
TJXTJX Cos Inc | $7.1M |
WMTWal Mart Stores Inc | $6.5M |
AMGNAmgen Inc | $6.4M |
MMM3M | $6.3M |
VEAVanguard FTSE Dev Mkts ETF | $6.3M |
NVDANvidia Corporation | $6.2M |
DEDeere & Co | $6.1M |
LMTLockheed Martin Corp | $5.9M |
BMYBristol Myers Squibb Co | $5.9M |
STZConstellation Brands Inc | $5.8M |
MDTMedtronic Hldg Ltd | $5.7M |
MDLZMondelez Intl Inc | $5.7M |
ICEIntercontinental Exchange Inc | $5.6M |
NSCNorfolk Southern Corp | $5.5M |
SPYSpdr S&P 500 Etf Trust | $5.5M |
PAYXPaychex Inc | $5.4M |
NVSNNovartis AG ADR | $5.4M |
DHRDanaher Corp | $5.3M |
DEODiageo PLC Spons ADR New | $5.2M |
IBMIntl Business Machines | $5.1M |
BACVerizon Communications Inc | $5.0M |
CBChubb Ltd | $4.9M |
IVVIshares S&P 500 Index Fund | $4.8M |
VEUVanguard FTSE All-World ex-US ETF | $4.8M |
VWOVanguard Emerging Markets ETF | $4.7M |
CICigna Group | $4.7M |
ADSKAutodesk Inc | $4.7M |
VIGVanguard Dividend Appreciation ETF | $4.6M |
PAGPenske Automotive Group Inc | $4.6M |
TSLATesla Motors Inc | $4.5M |
ATVIEURActivision Blizzard Inc | $4.4M |
ORCLOracle Corporation | $4.4M |
WMWaste Management Inc New | $4.1M |
NDQInvesco QQQ Trust ETF | $4.0M |
LLYEli Lilly & Company | $4.0M |
AXPAmerican Express Co | $4.0M |
MSMMSC Industrial Direct Co Cl A | $3.9M |
KOCoca Cola Co | $3.9M |
CATCaterpillar Inc | $3.9M |
BACBank Of America Corp | $3.8M |
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