Riverview Trust Co Q2 2025 Filing

Filed July 21, 2025

Portfolio Value

$80.3B

Holdings

224

Report Date

Q2 2025

Filing Type

13F-HR

All Holdings (224 positions)

#StockSharesValue% PortfolioType
101
LHXL3 Harris Technologies Inc Com
340$85.3M0.11%
102
STTState Street Corp
793$84.3M0.10%
103
DRIDarden Restaurants Inc.
380$82.8M0.10%
104
NFLXNetflix Inc
60$80.3M0.10%
105
BWXTBWX Technologies Inc
550$79.2M0.10%
106
LRCXLam Research Corp
800$77.9M0.10%
107
WMTWal-Mart Inc
786$76.9M0.10%
108
ABEVAmbev Sa Sponsored ADR
31,548$76.0M0.09%
109
FDXFedEx Corp
329$74.8M0.09%
110
AFLAflac Inc
696$73.4M0.09%
111
IWSiShares Russell Mid-Cap Value ETF
520$68.7M0.09%
112
SBUXStarbucks Corp
716$65.6M0.08%
113
CMICummins Inc
200$65.5M0.08%
114
GDGeneral Dynamics Corp
217$63.3M0.08%
115
WELLWelltower Inc REIT
400$61.5M0.08%
116
CSXCSX Corp
1,875$61.2M0.08%
117
GQ9SPDR Gold Trust Gold Shs ETF
200$61.0M0.08%
118
VVisa Inc Class A
167$59.3M0.07%
119
DISWalt Disney Co
469$58.2M0.07%
120
IWMiShares Russell 2000 ETF
269$58.0M0.07%
121
TELTE Connectivity PLC
335$56.5M0.07%
122
ROPRoper Technologies Inc Com
99$56.1M0.07%
123
GLWCorning Inc
1,061$55.8M0.07%
124
KMBKimberly-Clark Corp
431$55.6M0.07%
125
VLOValero Energy Corp
409$55.0M0.07%
126
AXPAmerican Express Co
169$53.9M0.07%
127
GPNGlobal Payments Inc
650$52.0M0.06%
128
SPYSPDR S&P 500 ETF
80$49.4M0.06%
129
LUVSouthwest Airlines Co
1,390$45.1M0.06%
130
JCIJohnson Controls International PLC
413$43.6M0.05%
131
CA8ACaci Intl Inc
90$42.9M0.05%
132
DOXAmdocs Ltd
460$42.0M0.05%
133
IDAIdaho Power Company
361$41.7M0.05%
134
EBAEbay Inc
559$41.6M0.05%
135
KMIKinder Morgan Inc P
1,380$40.6M0.05%
136
EWEdwards Lifesciences Corp Com
516$40.4M0.05%
137
CTSHCognizant Technology Solutions Corp A
500$39.0M0.05%
138
UNHUnitedHealth Group, Inc.
125$39.0M0.05%
139
TRVCCitigroup Inc
435$37.0M0.05%
140
MASMasco Corp
544$35.0M0.04%
141
ANETArista Networks Inc Com
332$34.0M0.04%
142
MTCHMatch Group Inc New
1,089$33.6M0.04%
143
TMUST-Mobile US Inc
140$33.4M0.04%
144
ETNEaton Corp PLC Shs
92$32.8M0.04%
145
IJRiShares Core S&P Small-Cap Index ETF
297$32.5M0.04%
146
CTVACorteva Inc Com
409$30.5M0.04%
147
GILGildan Activewear Inc Com
610$30.0M0.04%
148
VXFVanguard Extended Mkt ETF
152$29.3M0.04%
149
WYWeyerhaeuser Co
1,135$29.2M0.04%
150
PGRProgressive Corp Ohio
109$29.1M0.04%
151
FTNTFortinet Inc.
275$29.1M0.04%
152
CLXClorox Co
241$28.9M0.04%
153
CVSCVS Health Corp
418$28.8M0.04%
154
MAMastercard Incorporated Cl A
50$28.1M0.03%
155
VUGVanguard Growth Index Fund ETF
64$28.1M0.03%
156
CBOECBOE Global Mkts Inc
120$28.0M0.03%
157
EFGiShares MSCI EAFE Growth ETF
248$27.8M0.03%
158
HDThe Home Depot Inc
75$27.5M0.03%
159
LHLabcorp Holdings Inc.
104$27.3M0.03%
160
EOGEOG Res Inc Com
228$27.3M0.03%
161
FASTFastenal Co
584$24.5M0.03%
162
VRTXVertex Parmaceuticals Inc
55$24.5M0.03%
163
EUSAIShares Inc MSCI Equal Weighted ETF
238$23.6M0.03%
164
KOCoca-Cola Co
330$23.3M0.03%
165
CRMSalesforce Inc.
85$23.2M0.03%
166
DONSPDR Dow Jones Indl Average ETF
52$22.9M0.03%
167
OTISOtis Worldwide Corp
230$22.8M0.03%
168
AGNCAgnc Invt Corp REIT
2,425$22.3M0.03%
169
MUMicron Technology Inc Com
170$21.0M0.03%
170
IWPIshares Tr Russell Mid-Cap Growth ETF
150$20.8M0.03%
171
UNPUnion Pacific Corp
90$20.7M0.03%
172
CPTCamden Property Trust
175$19.7M0.02%
173
MDTMedtronic PLC
220$19.2M0.02%
174
BMTABRITISH AMERN TOB PLC SPONSORED ADR
400$18.9M0.02%
175
0J7QIAC Interactive Corp New
505$18.9M0.02%
176
BAXBaxter Intl Inc Com
620$18.8M0.02%
177
VTVVanguard Value Index Fund ETF
105$18.6M0.02%
178
CICIGNA GROUP
55$18.2M0.02%
179
AZNASTRAZENECA PLC SPONSORED ADR
260$18.2M0.02%
180
SOSouthern Co
194$17.8M0.02%
181
PYPLPaypal Hldgs Inc Com
230$17.1M0.02%
182
SOLVSolventum Corp
223$16.9M0.02%
183
DYHTarget Corp
165$16.3M0.02%
184
PRUPrudential Financial Inc
150$16.1M0.02%
185
SRESempra Energy Com
210$15.9M0.02%
186
TSLATesla Inc
50$15.9M0.02%
187
BGBunge Global Sa Com Shs
195$15.7M0.02%
188
BCEBCE Inc Com New
648$14.4M0.02%
189
DTDynatrace Inc
245$13.5M0.02%
190
SLBSchlumberger Ltd
400$13.5M0.02%
191
AMDAdvanced Micro Devices Inc
95$13.5M0.02%
192
APDAir Prods Chems Inc
40$11.3M0.01%
193
DNPDNP Select Income Fd Inc Com
1,000$9.8M0.01%
194
EMREmerson Electric Co
73$9.7M0.01%
195
PEOExelon Corp
223$9.7M0.01%
196
WBDWarner Bros Discovery Inc Com Ser A
815$9.3M0.01%
197
WBAWalgreens Boots Alliance Inc
800$9.2M0.01%
198
COLBColumbia Bkg Sys Inc
384$9.0M0.01%
199
WAFDWashington Federal Inc
305$8.9M0.01%
200
CARRCarrier Global Corporation
120$8.8M0.01%
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