WASHINGTON TRUST BANK Q1 2019 Filing
Filed April 9, 2019
Portfolio Value
$627.4M
Holdings
601
Report Date
Q1 2019
Filing Type
13F-HR
All Holdings (601 positions)
| Stock | Value |
|---|---|
PCARPACCAR INC | $122.8M |
MSFTMICROSOFT CORP | $20.5M |
IVVISHARES | $18.1M |
AAPLApple Inc | $15.4M |
CSCOCISCO SYSTEMS | $12.6M |
COSTCostco Wholesale Corp | $11.3M |
JPMJPMorgan Chase & Co | $11.0M |
USBUS BANCORP | $10.9M |
SBUXStarbucks Corp | $10.0M |
PGProcter & Gamble Co/The | $9.9M |
METAFacebook Inc | $9.5M |
UNHUTD HEALTH GROUP | $9.3M |
TMOThermo Fisher Scientific Inc | $9.2M |
BABOEING CO | $9.1M |
ELVAnthem Inc | $9.0M |
AMTAmerican Tower Corp | $8.9M |
ABBVAbbVie Inc | $8.9M |
BRK-BBerkshire Hathaway Inc | $8.7M |
HDHOME DEPOT INC | $8.3M |
QCOMQUALCOMM INC | $8.2M |
DISWALT DISNEY CO. | $8.2M |
AMATAPPLIED MATERIALS | $8.1M |
MDTMedtronic PLC | $7.8M |
DXCDXC Technology Co | $7.6M |
MOAltria Group Inc | $7.2M |
GOOGLALPHABET INC | $7.2M |
RSGRepublic Services Inc | $7.0M |
IWRISHARES/USA | $6.7M |
PNCPNC Financial Services Group I | $6.7M |
PRUPrudential Financial Inc | $6.6M |
DEDeere & Co | $6.5M |
IVZINVESCO | $6.2M |
GSGOLDMAN SACHS GRP | $6.2M |
STZConstellation Brands Inc | $6.2M |
RTN1USDRaytheon Co | $6.1M |
BKNGBooking Holdings Inc | $6.0M |
FDXFEDEX CORP | $5.7M |
NEENEXTERA ENERGY | $5.4M |
LINLinde PLC | $4.7M |
NRANRG Energy Inc | $4.7M |
KMIKinder Morgan Inc/DE | $4.2M |
PLDPrologis Inc | $4.0M |
MDUMDU Resources Group Inc | $4.0M |
FQIDigital Realty Trust Inc | $3.9M |
PXDEURPioneer Natural Resources Co | $3.5M |
JNJJOHNSON & JOHNSON | $3.4M |
VLOValero Energy Corp | $3.4M |
VTIVanguard ETF/USA | $3.1M |
AMZNAmazon.com Inc | $3.0M |
EMNEastman Chemical Co | $3.0M |
HALHALLIBURTON | $2.9M |
XOMExxon Mobil Corp | $2.7M |
PCHPotlatchDeltic Corp | $2.6M |
CVXChevron Corp | $2.5M |
MAMASTERCARD INC | $2.4M |
NKENIKE INC | $2.3M |
BACBK OF AMERICA CORP | $2.3M |
FFIVF5 Networks Inc | $2.2M |
BRK/BBerkshire Hathaway Inc | $2.2M |
ETRAE TRADE Financial Corp | $2.1M |
ROKROCKWELL AUTOMATION | $2.1M |
MMM3M Co | $2.0M |
INTCIntel Corp | $2.0M |
GBCIGlacier Bancorp Inc | $2.0M |
VXUSVanguard ETF/USA | $1.9M |
PFEPfizer Inc | $1.9M |
WFCWells Fargo & Co | $1.9M |
ORCLORACLE CORP | $1.8M |
TAT&T INC | $1.7M |
MRKMERCK & CO INC | $1.7M |
GOOGAlphabet Inc | $1.7M |
IWOBlackRock Fund Advisors | $1.6M |
MCDMCDONALD'S CORP | $1.6M |
EFABlackRock Fund Advisors | $1.5M |
IWBBlackRock Fund Advisors | $1.4M |
WCNWaste Connections Inc | $1.3M |
LLYEli Lilly & Co | $1.3M |
CLCOLGATE-PALMOLIVE | $1.3M |
ABTAbbott Laboratories | $1.3M |
BACVERIZON COMMUN | $1.3M |
4I1Philip Morris International In | $1.2M |
PEPPEPSICO INC | $1.2M |
IBMINTL BUSINESS MCHN | $1.1M |
VBVanguard ETF/USA | $1.1M |
IWNISHARES | $1.1M |
GLWCorning Inc | $1.0M |
AMGNAmgen Inc | $1.0M |
ADPAutomatic Data Processing Inc | $1.0M |
AAXJISHARES TRUST | $977K |
TRVCCitigroup Inc | $964K |
VVISA INC | $941K |
JWNUSDNordstrom Inc | $902K |
VXFVanguard Group Inc/The | $895K |
VEAVanguard Group Inc/The | $871K |
VUGVanguard ETF/USA | $870K |
HONHoneywell International Inc | $863K |
VTIPVanguard ETF/USA | $822K |
DDOMINION RES(VIR) | $803K |
CATCaterpillar Inc | $785K |
IFFIFF | $746K |
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