WASHINGTON TRUST BANK Q1 2016 Filing
Filed April 25, 2016
Portfolio Value
$387.0B
Holdings
777
Report Date
Q1 2016
Filing Type
13F-HR
All Holdings (777 positions)
| Stock | Value |
|---|---|
BAC 7.25 PERP LBANK OF AMERICA CORP | $8.0M |
AVYAvery Dennison Corp | $8.0M |
IEFBlackRock Fund Advisors | $8.0M |
RWMProShares ETFs/USA | $8.0M |
RWXSSgA Funds Management Inc | $8.0M |
DNOWNOW Inc | $8.0M |
—Alliance Funds/Closed-end/USA | $8.0M |
EHILegg Mason Partners Fund Advisor LLC | $8.0M |
—Babson Capital Management LLC/ | $7.0M |
—Immune Design Corp | $7.0M |
RYNRayonier Inc | $7.0M |
SGENEURSeattle Genetics Inc | $7.0M |
EWEdwards Lifesciences Corp | $7.0M |
ALXAlexander's Inc | $7.0M |
MACMacerich Co/The | $7.0M |
SJIEURSouth Jersey Industries Inc | $6.0M |
FSICUSDFS Investment Corp | $6.0M |
—Nielsen Holdings PLC | $6.0M |
STWDStarwood Property Trust Inc | $6.0M |
TWTRUSDTwitter Inc | $6.0M |
BSVVanguard Group Inc/The | $6.0M |
TKTeekay Corp | $6.0M |
SKMEURSK Telecom Co Ltd | $6.0M |
—SolarCity Corp | $6.0M |
MSIMotorola Solutions Inc | $6.0M |
ALNYAlnylam Pharmaceuticals Inc | $6.0M |
ETEnergy Transfer Equity LP | $6.0M |
STXSeagate Technology PLC | $6.0M |
—DCT Industrial Trust Inc | $6.0M |
AONAon PLC | $6.0M |
—L-3 Communications Holdings In | $6.0M |
VRTXVertex Pharmaceuticals Inc | $6.0M |
DGDollar General Corp | $5.0M |
XLNXEURXilinx Inc | $5.0M |
AWNAdvance Auto Parts Inc | $5.0M |
—Invesco PowerShares Capital Management LLC | $5.0M |
AREAlexandria Real Estate Equitie | $5.0M |
LULUlululemon athletica Inc | $5.0M |
AQLTBlackRock Fund Advisors | $5.0M |
GUNRNorthern Trust Investments Inc | $5.0M |
—GasLog Ltd | $5.0M |
FGENEURFibroGen Inc | $5.0M |
LPTUSDLiberty Property Trust | $5.0M |
FLRFluor Corp | $5.0M |
HALOHalozyme Therapeutics Inc | $5.0M |
XEMDXWestern Asset Trust Closed End | $5.0M |
KBESSgA Funds Management Inc | $5.0M |
MGNXMacroGenics Inc | $5.0M |
ADSKAutodesk Inc | $5.0M |
BCSBarclays PLC | $5.0M |
ATRCAtriCure Inc | $5.0M |
AKRAcadia Realty Trust | $4.0M |
CXWCorrections Corp of America | $4.0M |
TROWT Rowe Price Group Inc | $4.0M |
VREMack-Cali Realty Corp | $4.0M |
CHLUSDChina Mobile Hong Kong BVI Ltd | $4.0M |
TDTFFlexShares ETFs/USA | $4.0M |
WFRDWeatherford International PLC | $4.0M |
—Government Properties Income T | $4.0M |
SNDKSanDisk Corp | $4.0M |
—Care Capital Properties Inc | $4.0M |
—Invesco PowerShares Capital Management LLC | $4.0M |
PNRPentair PLC | $4.0M |
VEMYStone Harbor Funds/USA | $4.0M |
BDXBecton Dickinson and Co | $4.0M |
ALLEAllegion PLC | $4.0M |
AMLPUSDALPS Advisors Inc | $4.0M |
KPTIEURKaryopharm Therapeutics Inc | $4.0M |
—Sovran Self Storage Inc | $4.0M |
GNTXGentex Corp | $3.0M |
—Apollo Education Group Inc | $3.0M |
DDD3D Systems Corp | $3.0M |
—Morgan Stanley | $3.0M |
VRSKVerisk Analytics Inc | $3.0M |
—Liberty Interactive Corp QVC G | $3.0M |
QUREuniQure NV | $3.0M |
VCITVanguard ETF/USA | $3.0M |
—TECO Energy Inc | $3.0M |
FCXFreeport-McMoRan Inc | $3.0M |
PRFUSDInvesco PowerShares Capital Management LLC | $3.0M |
ALBAlbemarle Corp | $3.0M |
CTXSEURCitrix Systems Inc | $3.0M |
ICPTUSDIntercept Pharmaceuticals Inc | $3.0M |
DWDMorgan Stanley | $3.0M |
TLVGrupo Televisa SAB | $3.0M |
—Markit Ltd | $3.0M |
—PS Business Parks Inc | $3.0M |
CP.TOCanadian Pacific Railway Ltd | $3.0M |
KEYSKeysight Technologies Inc | $3.0M |
CASYCasey's General Stores Inc | $3.0M |
—Syngenta AG | $2.0M |
OIEUROwens-Illinois Inc | $2.0M |
INGMIngram Micro Inc | $2.0M |
PGRProgressive Corp/The | $2.0M |
RWTRedwood Trust Inc | $2.0M |
LFUSLittelfuse Inc | $2.0M |
AEGAegon NV | $2.0M |
NUANEURNuance Communications Inc | $2.0M |
AGOAssured Guaranty Ltd | $2.0M |
—ITC Holdings Corp | $2.0M |