TRUST CO OF VERMONT Q1 2019 Filing

Filed May 1, 2019

Portfolio Value

$1.2T

Holdings

994

Report Date

Q1 2019

Filing Type

13F-HR

All Holdings (994 positions)

StockValue
WCCWesco International
$212K
GSGoldman Sachs Group
$208K
OXYOccidental Petroleum Corp
$207K
DSIIshares Kld 400 Social Indexfund
$205K
MASMasco Corp
$201K
MTDMettler Toledo Intl Inc
$200K
WESWestern Midstream Partners LP
$200K
PGRProgressive Corp Ohio
$198K
LLoews Corp
$196K
CNRCanadian Natl Ry Co
$195K
BSXBoston Scientific Corp
$193K
METMetlife Inc
$190K
SPHSuburban Propane LP
$190K
FISVFiserv Inc
$188K
DLTRDollar Tree Inc
$187K
XELXcel Energy Inc
$187K
HPEHewlett Packard Enterprise Co
$187K
John Hancock Global Leaders Growth Fd A #26
$184K
VTIAXVang Intl Stock Index Adm #569
$183K
APHAmphenol Corp New Cl A
$180K
VLOValero Energy Corp New
$179K
FRTEURFederal Realty Inv Trust
$179K
TREXTrex Company Inc
$178K
DISCKUSDDiscovery Communications Inc New Ser C
$174K
TELTE Connectivity Ltd
$171K
LDOSLeidos Holdings Inc
$169K
BHPBHP Group Limited
$168K
Franklin Intl Small Cap Growth Fd #681
$167K
TTENTotal S A ADR
$167K
BBTBerkshire Hills Bancorp Inc
$166K
OMCOmnicom Group Inc
$165K
AWRAmerican States Water Co
$164K
CRTOCriteo SA ADR
$162K
Invesco Intl Growth Fd Inst
$161K
DNOWNow Inc
$160K
Buffalo Intl Fd
$160K
BHBBar Harbor Bankshares
$160K
UNFUnifirst Corp Mass
$160K
SCCOSouthern Copper Corp Del
$159K
IWOIshares Russell 2000 Growth Index Fund
$157K
RPMRPM International Inc
$157K
SUSuncor Energy Inc New
$157K
ROPRoper Technologies Inc
$156K
PNWPinnacle West Capital Corporation
$156K
NVDANvidia Corporation
$155K
MCHPMicrochip Technology Inc
$152K
WELLWelltower Inc
$152K
Vang Global Wellington Fd Adm
$151K
XLBSelect Sector SPDR Tr Materials
$150K
NDSNNordson Corp
$149K
ROKRockwell Automation Inc
$149K
DPZDominos Pizza Inc
$148K
MSMMsc Industrial Direct Co Cl A
$148K
CITCintas Corporation
$147K
Orkla ASA ADR
$146K
VMNVXVang Global Min Volatility Fd Adm
$145K
PKWInvesco Buyback Achievers ETF
$144K
TRPTranscanada Corporation
$142K
Suntrust Banks Inc
$141K
AZNAstrazeneca Plc Adr
$141K
ROICUSDRetail Opportunity
$139K
WPCW P Carey Inc
$137K
TFXTeleflex Inc
$136K
APCAnadarko Pete Corp
$132K
PKGPackaging Corp Amer
$131K
OAKIXOakmark Intl Fund
$130K
BRBroadridge Financial Solutions Inc
$130K
Harding Loevener Int'l Fund
$129K
VGTVanguard Information Technology ETF
$128K
MRO*Marathon Oil Corp
$128K
HRSEURHarris Corp
$128K
Templeton Foreign Fund A
$127K
CBTCabot Corp
$125K
ORLYO Reilly Automotive Inc New
$125K
IWFIshares Russell 1000 Growth ETF
$123K
DGXQuest Diagnostics Inc
$123K
HAINHain Celestial Group Inc
$123K
FANFirst Tr Global Wind Energy ETF
$122K
XLESelect Sector SPDR Energy ETF
$120K
VBVanguard Small-Cap ETF
$120K
CBS Corp B New
$117K
CINFCincinnati Financial Corp
$117K
EVRGEvergy Inc NPV
$116K
BMOBk Montreal Que
$112K
PRUPrudential Financial Inc
$109K
CAGConagra Brands Inc
$109K
CHKPCheck Point Software Technologies
$109K
AVGOBroadcom Inc
$108K
USMVIshs Edge Min Vol USA ETF
$108K
VOVanguard Mid Cap ETF
$106K
XLKMFC Select Sector SPDR Tr Technology
$105K
8CWCrown Castle Intl Corp New
$104K
SAPSAP SE Spons ADR
$103K
PFPTProofpoint Inc
$103K
MSIMotorola Solutions Inc
$101K
RSGRepublic Svcs Inc
$101K
MDISXMutual Global Discovery Fd Cl Z
$100K
BMTABrit Amer Tobacco ADR
$97K
EXPDExpeditors Intl Of Wash Inc
$96K
DALDelta Air Lines Inc Del New
$96K
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