TRUST CO OF VERMONT Q1 2018 Filing

Filed May 18, 2018

Portfolio Value

$1.1T

Holdings

982

Report Date

Q1 2018

Filing Type

13F-HR

All Holdings (982 positions)

StockValue
IWPIshares Russell Mid Cap Growth
$27.0M
CLBCore Laboratories NV
$27.0M
MFS Intl Diversification Fd A
$27.0M
RSGRepublic Svcs Inc
$26.0M
TWTRUSDTwitter Inc
$26.0M
URTHIshs MSCI World Index Fd ETF
$26.0M
VWDRYVestas Wind Systems Adr
$26.0M
TPRTapestry Inc
$26.0M
WPWorldpay Inc Cl A
$26.0M
USOUnited States Oil ETF
$26.0M
LYBLyondellBasell Ind NV A
$26.0M
DNKNDunkin Brands Group Inc
$26.0M
LZEMXLazard Emerging Markets
$25.0M
HPTUSDHospitality Properties Trust
$25.0M
CRCCanadian Natural Resources
$25.0M
Duke Energy Corp Jr Sub Deb
$25.0M
SONYSony Corp ADR
$25.0M
Nextera Energy Cap Hldgs Ser J Jr Sub Deb Pfd
$25.0M
ISCVIshares Morningstar Sm Cap Value ETF
$24.0M
CBRLCracker Barrel Old Country Store
$24.0M
Lazard Emerging Mkts Equity Open Class
$24.0M
HSBC Hldgs PLC Pfd
$24.0M
EFXEquifax Inc
$24.0M
TSSTotal Sys Svcs Inc
$24.0M
UTLUnitil Corp
$24.0M
JECUSDJacobs Engr Group Inc
$24.0M
Claymore Exch - Guggen Bullet High Yield Bd
$24.0M
NYTNew York Times Co Cl A
$24.0M
WHRWhirlpool Corp
$23.0M
IEFIshares 7 - 10 Yr Treas Bond ETF
$23.0M
Bunge Limited
$22.0M
SEESealed Air Corp New
$22.0M
SPHSuburban Propane LP
$22.0M
ADMArcher Daniels Midland Co
$22.0M
FVDFirst Tr Value Line Dividend Index Fund
$22.0M
UEOWestlake Chemical Corp
$22.0M
ESPREsperion Therapeutics Inc New
$22.0M
HIIHuntington Ingalls Industries Inc
$22.0M
Bidvest Group Ltd
$22.0M
Hoegh LNG Partners LP
$22.0M
ESNTEssent Group Ltd
$22.0M
IPGPIPG Photonics
$21.0M
VENVentas Inc REIT
$21.0M
Preci-Manufacturing Inc Class A
$21.0M
Micro Focus Intl PLC
$21.0M
PETSPetmed Express Inc
$21.0M
OGEOge Energy Co
$21.0M
KMTKennametal Inc
$21.0M
MG1Mge Energy Inc
$21.0M
MKTXMarketAxess Hldgs Inc
$21.0M
Scana Corp New
$21.0M
HEFAIshares Currency Hedged MSCI EAFE ETF
$20.0M
WMBWilliams Corp Inc
$20.0M
OLEDUniversal Display Corp
$20.0M
OGSONE Gas Inc
$20.0M
HASHasbro, Inc.
$20.0M
WPMWheaton Precious Metals Corp
$20.0M
BABAAlibaba Group Hldg Ltd ADR
$19.0M
Buckeye Partners LP
$19.0M
TYLTyler Technologies Inc
$19.0M
Mobileye NV
$19.0M
FCXFreeport McMoran Copper & Gold Inc Cl B
$19.0M
BLDTopbuild Corp
$19.0M
SRCLStericycle Inc
$19.0M
RHT1EURRed Hat Inc
$19.0M
COOCooper Co Inc New
$19.0M
Mylan NV
$19.0M
BHFBrighthouse Finl Inc
$18.0M
ARNCCHFArconic Inc
$18.0M
ACMAecom Technology Corp Delaware
$18.0M
DHRB & G Foods Inc
$17.0M
BPFHBoston Private Finl Holdings Inc
$17.0M
TMToyota Motor Corp ADR
$17.0M
PFOAXPimco Foreign Bond USD Hedged A
$17.0M
IRIngersoll Rand Public Ltd Company
$17.0M
MHKMohawk Inds Inc
$17.0M
FXIIshs Tr China Large Cap ETF
$17.0M
DISCKUSDDiscovery Communications Inc New Ser C
$17.0M
NJRNJ Resouces Corp
$17.0M
BNY Mellon International Fd #0907
$17.0M
EIXEdison Intl
$17.0M
ISHGIshares S&P Citigroup 1 - 3 Yr Intl Treas Bd
$17.0M
L3 Technologies Inc
$16.0M
MOSMosaic Co New
$16.0M
GRA1EURW R Grace & Co Del New
$16.0M
EOIEaton Vance Enhanced Equity Income Fd
$16.0M
MFMMFS Municipal Income Trust
$16.0M
SNAPSnap Inc
$16.0M
Barclays Bk PLC Ipath Notes Lkd
$15.0M
FISFidelity Natl Information Svcs Inc
$15.0M
FRCBFirst Rep Bk San Francisco New
$15.0M
THOThor Industries Inc
$15.0M
Shire PLC ADR
$15.0M
ALRMAlarm.com Holdings Inc
$15.0M
Community Bancorp Inc
$15.0M
CFRUYCompagnie Financiere Richemont AG ADR
$14.0M
PBYIPuma Biotechnology Inc
$14.0M
GDLMFC GDL Fd
$14.0M
Templtn Emer Mkts Adv
$14.0M
Mimecast Ltd
$14.0M
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