TRUST CO OF VERMONT Q3 2024 Filing

Filed October 16, 2024

Portfolio Value

$2.0T

Holdings

1,064

Report Date

Q3 2024

Filing Type

13F-HR

All Holdings (1,064 positions)

#StockSharesValue% PortfolioType
701
NXTNextracker Inc
400$15.0M0.00%
702
BUGGlobal X Cybersecurity ETF
479$14.8M0.00%
703
NTRANatera Inc
116$14.7M0.00%
704
CCChemours Co
716$14.5M0.00%
705
RUNSunrun Inc
797$14.4M0.00%
706
MLB1Mercado Libre Inc
7$14.4M0.00%
707
LYBLyondellBasell Ind NV A
149$14.3M0.00%
708
T7DTransdigm Group Inc
10$14.3M0.00%
709
AQLTIShares Russell Top 200 ETF
100$14.0M0.00%
710
MRO*Marathon Oil Corp
527$14.0M0.00%
711
LWLamb Weston Hldgs Inc
216$14.0M0.00%
712
ALEXAlexander & Baldwin Inc New
728$14.0M0.00%
713
AMRCAmeresco Inc
365$13.8M0.00%
714
BNSBank Of Nova Scotia Halifax
250$13.6M0.00%
715
PG4Principal Financial Group Inc
157$13.5M0.00%
716
TMToyota Motor Corp ADR
75$13.4M0.00%
717
WSCWillscot Holdings Corporation
355$13.3M0.00%
718
WABWABTEC Corp
73$13.3M0.00%
719
ACMAecom
127$13.1M0.00%
720
BIRKBirkenstock Holding PLC
265$13.1M0.00%
721
SEDGSolaredge Technologies Inc
566$13.0M0.00%
722
DTEDTE Energy Co
100$12.8M0.00%
723
IFFIntl Flavors & Fragrances Inc
122$12.8M0.00%
724
FWONALiberty Media Corp Del Liberty Live Ser C
247$12.7M0.00%
725
EQNREquinor ASA ADR
500$12.7M0.00%
726
AMEAmetek Inc New
73$12.5M0.00%
727
CRCrane Company
78$12.3M0.00%
728
UALUnited Continental Hldgs Inc
212$12.1M0.00%
729
OVERBeyond Inc
1,200$12.1M0.00%
730
IDV*IShares Dow Jones International Select Divd
400$12.1M0.00%
731
CTSHCognizant Technology Sol Corp Cl A
155$12.0M0.00%
732
DLTRDollar Tree Inc
169$11.9M0.00%
733
Goldman Sachs Fin Sq Govt Fd A
11,731$11.7M0.00%
734
SLVMSylvamo Corp
136$11.7M0.00%
735
XEVVXEaton Vance Ltd Duration Income Fd
1,100$11.6M0.00%
736
PPAInvesco Aerospace Defense ETF
100$11.5M0.00%
737
ERCAllspring Multi Sector Income
1,200$11.5M0.00%
738
FUODolby Laboratories Inc Cl A
150$11.5M0.00%
739
HALOHalozyme Therapeutics Inc
200$11.4M0.00%
740
HBANHuntington Bancshares Inc
769$11.3M0.00%
741
MLMMartin Marietta Materials Inc
21$11.3M0.00%
742
FIWFirst Tr Water ETF
100$10.9M0.00%
743
RCLRoyal Caribbean Cruises
61$10.8M0.00%
744
DVNDevon Energy Corp New
276$10.8M0.00%
745
DBEMXTrackers MSCI Emerg Mkts Hedge Eqty ETF
404$10.6M0.00%
746
DGXQuest Diagnostics Inc
68$10.6M0.00%
747
CMSCMS Energy Corp
149$10.5M0.00%
748
ENVXEnovix Corporation
1,115$10.4M0.00%
749
OKTAOkta Inc
137$10.2M0.00%
750
HCAHCA Healthcare Inc
25$10.2M0.00%
751
IBDSIshares Tr IBonds 27 ETF
412$10.0M0.00%
752
HLHecla Mining Co
1,500$10.0M0.00%
753
NEOGNeogen Corp
595$10.0M0.00%
754
BRWSaba Capital Income & Oprnt Fd
1,300$9.9M0.00%
755
SUISun Communities Inc REIT
73$9.9M0.00%
756
T77Lendingtree Inc New
168$9.7M0.00%
757
NJRNJ Resouces Corp
201$9.5M0.00%
758
CFGCitizens Finl Group Inc
231$9.5M0.00%
759
VDCVanguard Consumer Staples ETF
43$9.4M0.00%
760
DC4Dexcom Inc
140$9.4M0.00%
761
CNCCentene Corp
124$9.3M0.00%
762
MGYMagnolia Oil & Gas Corp Cl A
382$9.3M0.00%
763
UTLUnitil Corp
150$9.1M0.00%
764
SCIService Corp Intl
115$9.1M0.00%
765
EXPDExpeditors Intl Of Wash Inc
69$9.1M0.00%
766
FT2First Horizon Corporation
579$9.0M0.00%
767
ILFIShares S&P Latin America 40 Index Fund
347$9.0M0.00%
768
JSCPJ P Morgan Exchange Traded Fd
189$9.0M0.00%
769
XEADXAllspring Income Opportunit
1,200$8.6M0.00%
770
BTZBlackrock Pfd & Equity Adv Tr
750$8.5M0.00%
771
PLTRPalantir Technologies Inc A
227$8.4M0.00%
772
CFCF Industries Holdings, Inc.
98$8.4M0.00%
773
EGPEastgroup Ppty Inc
44$8.2M0.00%
774
MNSTMonster Beverage Corp New
152$7.9M0.00%
775
HAILSPDR S&P Kensho Smart Mobility ETF
275$7.9M0.00%
776
HOGHarley Davidson Inc
200$7.7M0.00%
777
TTDThe Trade Desk Inc Cl A
70$7.7M0.00%
778
CDRECadre Hldgs Inc
200$7.6M0.00%
779
SAPSAP SE Spons ADR
33$7.6M0.00%
780
UEOWestlake Chemical Corp
50$7.5M0.00%
781
AMXAmerica Movil Sab De Cv Spns ADR Cl B
459$7.5M0.00%
782
VICIVici Pptys Inc
225$7.5M0.00%
783
ROKURoku Inc
100$7.5M0.00%
784
AUPHAurinia Pharmaceuticals Inc
1,000$7.3M0.00%
785
WBAWalgreens Boots Alliance Inc
800$7.2M0.00%
786
KRGKite Rlty Group Tr New
266$7.1M0.00%
787
TWOTwo Hbrs Invt Corp
506$7.0M0.00%
788
HBNCHorizon Bancorp Inc
450$7.0M0.00%
789
IM8NInsmed Inc
95$6.9M0.00%
790
ARRArmour Residential Reit Inc
338$6.9M0.00%
791
FCNFTI Consulting Inc
30$6.8M0.00%
792
OMCOmnicom Group Inc
66$6.8M0.00%
793
HWCHancock Whitney Corp
133$6.8M0.00%
794
NTAPNetapp Inc
55$6.8M0.00%
795
EVLNMorgan Stanley Etf Trust
135$6.8M0.00%
796
BCEBCE Inc New
194$6.8M0.00%
797
BKRBaker Hughes Co Cl A
182$6.6M0.00%
798
BOXBox Inc Cl A
200$6.5M0.00%
799
PIOInvesco Global Water ETF
150$6.5M0.00%
800
SYU1Synovus Finl Corp New
145$6.4M0.00%
PreviousPage 8 of 11Next