TRUST CO OF TOLEDO NA /OH/ Q2 2023 Filing

Filed July 10, 2023

Portfolio Value

$486.0B

Holdings

207

Report Date

Q2 2023

Filing Type

13F-HR

All Holdings (207 positions)

StockValue
MSFTMicrosoft Corp
$44.0B
VSGDXVanguard Short-Term Federal-Adm
$42.0B
AAPLApple Inc
$36.0B
NUSFXNorthern Ultra-Short Fixed Income Fund
$31.0B
LLYLilly Eli & Co
$12.0B
ORCLOracle Corporation
$12.0B
JPMJP Morgan Chase & Co
$11.0B
PGProcter & Gamble Co
$10.0B
CVXChevron Corp
$9.0B
FULIXFederated Ultra Short Term Bond-I
$9.0B
PEPPepsiCo Inc
$8.0B
DEDeere & Co
$8.0B
ABTAbbott Laboratories
$8.0B
DHRDanaher Corp
$8.0B
MCDMcDonalds Corp
$8.0B
NEZYXLoomis Sayles Strategic Income Y
$7.0B
AMZNAmazon.com Inc
$7.0B
LOWLowe's Companies Inc
$7.0B
GOOGLAlphabet Inc-A
$7.0B
WELLWelltower Inc
$7.0B
PANWPalo Alto Networks Inc
$7.0B
NSCNorfolk Southern Corp
$7.0B
MCHPMicrochip Technology Inc
$6.0B
MRKMerck & Co Inc
$6.0B
JNJJohnson & Johnson
$5.0B
ABBVAbbVie Inc
$5.0B
XOMExxon Mobil Corp
$5.0B
NEENextEra Energy Inc
$5.0B
NVDANvidia Corp
$5.0B
NKENike Inc-B
$5.0B
KOCoca-Cola Co/The
$5.0B
QCOMQualcomm Inc
$5.0B
PFEPfizer Inc
$4.0B
MCKMcKesson Corp
$4.0B
GOOGAlphabet Inc-C
$4.0B
HDHome Depot Inc
$4.0B
DISDisney Walt Co
$4.0B
CSCOCisco Systems Inc
$4.0B
AMGNAmgen Inc
$4.0B
INTCIntel Corp
$3.0B
LMTLockheed Martin Corp
$3.0B
AJGArthur J Gallagher & Co
$3.0B
IJRiShares Core S&P Small-Cap ETF
$3.0B
AMDAdvanced Micro Devices Inc
$3.0B
ADIAnalog Devices Inc
$3.0B
ETNEaton Corp PLC
$2.0B
BMYBristol Myers Squibb
$2.0B
CRMSalesforce Inc
$2.0B
CATCaterpillar Inc
$2.0B
UNPUnion Pacific Corp
$2.0B
COSTCostco Wholesale Corp
$2.0B
SBUXStarbucks Corp
$2.0B
NDQInvesco QQQ Trust Ser 1 ETF
$2.0B
SLBSchlumberger Ltd
$2.0B
APDAir Products & Chemicals Inc
$2.0B
AXPAmerican Express Co
$2.0B
MAMasterCard Inc-A
$2.0B
CVSCVS Health Corp
$2.0B
BACVerizon Communications Inc
$2.0B
UPSUnited Parcel Service-B
$2.0B
ICEIntercontinentalExchange Group Inc
$2.0B
DUKDuke Energy Corp
$2.0B
WMWaste Management Inc
$2.0B
MCOMoody's Corp
$2.0B
HONHoneywell International Inc
$2.0B
VVisa Inc-A
$2.0B
WYWeyerhaeuser Co
$1.0B
EPAMEPAM Systems Inc
$1.0B
UNHUnitedHealth Group Inc
$1.0B
CTSHCognizant Tech Solutions Corp-A
$1.0B
LRCXEURLam Research Corp
$1.0B
IBMIntl Business Machines Corp
$1.0B
AOSSmith (AO) Corp
$1.0B
GISGeneral Mills Inc
$1.0B
EOGEOG Resources Inc
$1.0B
ETREntergy Corp
$1.0B
METAMeta Platforms Inc
$1.0B
REEverest Re Group Ltd
$1.0B
DDominion Resources Inc/VA
$1.0B
CMCSAComcast Corp-A
$1.0B
NFLXNetflix Inc
$1.0B
Parnassus Fixed-Income Fund
$1.0B
ADPAutomatic Data Processing Inc
$1.0B
CMECME Group Inc
$1.0B
KMBKimberly-Clark Corp
$1.0B
NVSNADR Novartis AG- II Sp
$1.0B
BABoeing Co/The
$1.0B
CLColgate-Palmolive Company
$1.0B
AWCAmerican Water Works Co Inc
$1.0B
TAT&T Inc
$1.0B
GDGeneral Dynamics Corp
$1.0B
BRK/BBerkshire Hathaway Inc-B
$1.0B
BAXBaxter International Inc
$1.0B
OTISOtis Worldwide Corp
$1.0B
FQIDigital Realty Trust Inc
$1.0B
TFCTruist Financial Corp
$1.0B
WFCWells Fargo & Co
$1.0B
IVViShares S&P 500 Index ETF
$1.0B
METMetlife Inc
$1.0B
PEOExelon Corp
$1.0B
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