TRUST CO OF VERMONT Q1 2021 Filing

Filed April 16, 2021

Portfolio Value

$1.3T

Holdings

769

Report Date

Q1 2021

Filing Type

13F-HR

All Holdings (769 positions)

StockValue
EFXEquifax Inc
$36.0M
SHAKShake Shack Inc
$34.0M
FXHFirst Tr Health Care Alphadex Fd ETF
$34.0M
NTRANatera Inc
$33.0M
COOCooper Co Inc New
$33.0M
WABWABTEC Corp
$33.0M
GMGen Mtrs Co
$32.0M
LHXL3Harris Technologies Inc
$32.0M
NTRSNorthern Trust Corp
$32.0M
MSGSMadison Square Garden Sports Corp
$31.0M
RHPRyman Hospitality Pptys Inc
$31.0M
ITA*IShs Tr Dow Jones US Aerospace & Defense Idx
$31.0M
HAINHain Celestial Group Inc
$31.0M
PNRPentair PLC
$31.0M
GHCGraham Hldgs Co
$31.0M
FTAIEURFortress Trans & Infrastructure Invs LLC
$30.0M
APTVAptiv PLC
$29.0M
WEPMagellan Midstream Partners LP
$29.0M
LUVSouthwest Airlines Co
$29.0M
ELMEWashington Real Estate Invt Tr Sbi
$28.0M
FFord Motor Company New
$28.0M
TTTrane Technologies PLC
$28.0M
VNTVontier Corporation
$27.0M
AMCXAMC Networks Inc Cl A
$27.0M
QTECFirst Tr Nasdaq 100 Tech Index ETF
$27.0M
WMBWilliams Cos Inc
$26.0M
FDNFirst Trust Dow Internet Index Fund
$26.0M
LENLennar Corp Cl B
$25.0M
STWDStarwood Property Trust Inc REIT
$25.0M
JHSJohn Hancock Income Secs Tr
$25.0M
UI2Kemper Corp Del
$25.0M
WPMWheaton Precious Metals Corp
$25.0M
ELVAnthem Inc
$24.0M
JPXAerovironment Inc
$23.0M
Sterling Bancorp Del
$23.0M
CCChemours Co
$23.0M
ASMLASML Hldg NV NY
$23.0M
DC4Dexcom Inc
$23.0M
IGOVIshares S&P Citigroup Intl Treas Bond Fund
$22.0M
VTVanguard Intl Equity Total World Idx Fd ETF
$22.0M
SFTBYSoftbank Group Corp ADR
$22.0M
DEMWisdom Tree Emerging Mkts High Divd Fd
$22.0M
XYZSquare Inc Cl A
$21.0M
GENNortonlife Lock Inc
$21.0M
ARNAEURArena Pharmaceuticals Inc New
$21.0M
TYLTyler Technologies Inc
$21.0M
WDAYWorkday Inc
$21.0M
MYEMyers Industries Inc
$20.0M
NXPINXP Semiconductors NV
$20.0M
CCMPCMC Materials Inc
$20.0M
EXASExact Sciences Corp
$20.0M
WTSWatts Water Technologies Inc
$20.0M
BNDXVanguard Total Intl Bond ETF
$20.0M
HANHawaiian Holdings
$20.0M
ADMArcher Daniels Midland Co
$20.0M
TSMTaiwan Semiconductor Manufacturing Co
$20.0M
TPRTapestry Inc
$20.0M
LKNCYLuckin Coffee Inc
$20.0M
ONCOncolytics Biotech Inc New
$19.0M
VRSKVerisk Analytics Inc
$19.0M
ALKSAlkermes PLC
$19.0M
MHNBlackrock Munihldgs NY Qlty Fd
$19.0M
TYTri-Continental Corp
$19.0M
ASAASA Gold & Precious Metals Ltd
$18.0M
IPGInterpublic Group Cos Inc
$18.0M
HIIHuntington Ingalls Industries Inc
$18.0M
PPLPPL Corp
$18.0M
CTXSEURCitrix Sys Inc
$18.0M
XENWXEaton Vance New York Mun Bd Fd
$18.0M
ITTITT Inc
$17.0M
IEMGIshares Core MSCI Emer Mkts ETF
$17.0M
VMCVulcan Materials Company
$17.0M
TDYTeledyne Technologies Inc
$17.0M
XLFFinancial Select Sector SPDR ETF
$17.0M
TLRYEURTilray Inc
$17.0M
BCEBCE Inc New
$17.0M
HAILSPDR S&P Kensho Smart Mobility ETF
$17.0M
FITBFifth Third Bancorp
$16.0M
AQLTIshares Core MSCI EAFE ETF
$16.0M
PGJGlobal Dragon China ETF
$16.0M
FRCBFirst Rep Bk San Francisco New
$16.0M
SGOLAberdeen Std Gold ETF
$16.0M
QUALIshs Edge MSCI USA Quality Factor ETF
$16.0M
ISHGIshares S&P Citigroup 1 - 3 Yr Intl Treas Bd
$16.0M
NVTA1EURInVitae Corp
$15.0M
VGREURVector Group Ltd
$15.0M
KPTIEURKaryopharm Therapeutics Inc
$15.0M
YUMCYum China Holdings Inc
$15.0M
WVVIWillamette Valley Vineyard Inc
$15.0M
GPNGlobal Payments Inc
$15.0M
KAMNUSDKaman Corporation
$15.0M
THOThor Industries Inc
$15.0M
R6C2Royal Dutch Shell PLC Spons ADR Rpstg B
$15.0M
LULULululemon Athletica Inc
$15.0M
HN9Hanesbrands Inc
$15.0M
EIXEdison Intl
$15.0M
TNLTravel Plus Leisure Co
$14.0M
XLNXEURXilinx Inc
$14.0M
AONAon PLC
$14.0M
PLOWDouglas Dynamics Inc
$14.0M
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