TRUST CO OF VERMONT Q1 2019 Filing

Filed May 1, 2019

Portfolio Value

$1.2B

Holdings

994

Report Date

Q1 2019

Filing Type

13F-HR

All Holdings (994 positions)

StockValue
MLMMartin Marietta Materials Inc
$5K
SCHHSchwab Strategic Tr US REIT ETF
$5K
XLRESelect Sector SPDR TD ETF
$5K
MUABlackrock Muniassets Fd Inc
$5K
ULTAUlta Beauty Inc
$5K
ALBAlbemarle Corp
$5K
FASTFastenal Co
$5K
FEFirstEnergy Corp
$5K
BMIBP Prudhoe Bay Royalty Trust
$5K
HDVIshares Core High Dividend ETF
$5K
DJCODaily Journal Corp
$4K
TMUST Mobile US Inc
$4K
EGPEastgroup Ppty Inc
$4K
ACHOwens & Minor Inc New
$4K
Capstone Turbine Corp
$4K
LNTAlliant Energy Corp
$4K
TSSTotal Sys Svcs Inc
$4K
NWENorthwestern Corp New
$4K
SMOGVaneck Vectors Glbl Alt Energy ETF
$4K
VIABViacom Inc B New
$4K
SLVI Shares Silver Trust
$4K
PBYIPuma Biotechnology Inc
$4K
UAAUnder Armor Inc Class A
$4K
IPACIshs Core MSCI Pacific ETF
$4K
6PMParamount Group Inc
$4K
NTRSNorthern Trust Corp
$4K
PDMPiedmont Office Realty Tr Inc Cl A
$4K
MFCManulife Finl Corp
$4K
CNCCentene Corp
$4K
HBC2HSBC Holdings PLC Spons ADR New
$4K
VXUSVanguard Star Fd ETF
$4K
CBRECBRE Group Inc Cl A
$4K
VICIVici Pptys Inc
$4K
APTVAptiv PLC
$3K
RNSTRenasant Corp
$3K
URIUnited Rentals Inc
$3K
CGCCanopy Growth Corp
$3K
DHID R Horton Inc
$3K
NDAQNasdaq Stock Mkt Inc
$3K
SSFSensient Technologies Corp
$3K
GAPGap Inc
$3K
ALXNAlexion Pharmaceuticals Inc
$3K
Rite Aid Corp
$3K
PKNPerkinElmer Inc
$3K
DONSPDR Dow Jones Industrial Avg
$3K
COLMColumbia Sportswear Co
$3K
NeoPhotonics Corp
$3K
IFFIntl Flavors & Fragrances Inc
$3K
LKFNLakeland Finl Corp
$3K
UDRUDR Inc
$3K
UHSUniversal Health Svcs Inc Cl B
$3K
EXRExtra Space Storage Inc
$3K
CNPCenterpoint Energy Inc
$3K
SCHMSchwab Mid Cap ETF
$3K
LENLennar Corp
$3K
AKAMAkamai Technologies Inc
$3K
DISHDish Network Corp Cl A
$3K
AESAES Corporation
$3K
Accell Group NV
$3K
PG4Principal Financial Group Inc
$3K
KSSKohls Corp
$3K
IStar Inc
$3K
HP5AEquity Comwlth
$3K
QuickLogic Corp
$3K
CPFCentral Pac Finl Corp
$3K
CDNSCadence Design Sys Inc
$3K
HRLHormel Foods Corp
$3K
CHRWC H Robinson Worldwide Inc New
$3K
STESteris PLC Ord
$3K
PSECProspect Capital Corp
$3K
GCP Applied Technologies Inc
$3K
NRANRG Energy Inc New
$3K
STAGStag Indl Inc
$3K
FRFirst Industrial Realty Tr
$3K
DNKNDunkin Brands Group Inc
$3K
FDO.FMacy's Inc
$3K
EXPEExpedia Inc Del New
$3K
AATAmerican Assets Tr Inc
$3K
FMCFMC Corp New
$3K
VAREURVarian Med Sys Inc
$3K
FIBKFirst Interstate Bancsys/MT
$3K
HLTHilton Worldwide Hldgs Inc
$3K
TRMKTrustmark Corp
$3K
VBRVang Small Cap Value ETF
$3K
CMAComerica Inc
$3K
HRUSDHealthcare Rlty Tr
$3K
BHFBrighthouse Finl Inc
$3K
HALOHalozyme Therapeutics Inc
$3K
TMKTorchmark Corp
$3K
WAFDWashington Fed Inc
$3K
JBHTJB Hunt Transportation Svcs Inc
$2K
BLDPBallard Pwr Sys Inc New
$2K
ASMLASML Hldg NV NY
$2K
VEEVVeeva Sys Inc Cl A
$2K
VTVanguard Intl Equity Total World Idx Fd ETF
$2K
IACIEURIAC Interactive Corp
$2K
AEGAegon NV NYADR
$2K
VISNCommscope Hldg Co Inc
$2K
4DHDana Inc
$2K
Columbia Ppty Tr Inc
$2K
PreviousPage 9 of 10Next