Live Markets
Wednesday, July 29, 2026·George Town, KY·29°·Partly Cloudy
Markets Open · NYSE·Newsletter·Masthead·
VOL. XII · NO. 117Established MMXIV · George Town, Grand CaymanAtlantic Edition · $4.50

The Cayman Journal

Finance · Business · Technology · Caribbean & Global Affairs
13F HOLDINGS REPORT

Washington Trust Bank

Quarter ended Q4 2024 · Filed February 11, 2025 · Accession 0000861787-25-000018

Total Value
$1.04B
Positions
348
Other Managers
0
Confidential Omitted
Yes
View on SEC.gov

Holdings (348)

#IssuerTicker / CUSIPSharesValue% of Filing
1PACCAR INCPCAR761,266$79.2M7.61%
2MICROSOFT CORPMSFT98,295$41.4M3.98%
3ISHARES46428720059,370$34.9M3.36%
4Apple IncAAPL131,933$33.0M3.17%
5Procter & Gamble Co/The742718109178,166$29.9M2.87%
6Broadcom IncAVGO120,246$27.9M2.68%
7NVIDIA CorpNVDA206,077$27.7M2.66%
8ServiceNow IncNOW23,280$24.7M2.37%
9Palo Alto Networks IncPANW130,902$23.8M2.29%
10Amazon.com IncAMZN107,665$23.6M2.27%
11JPMorgan Chase & CoVYLD80,836$19.4M1.86%
12BlackRock Fund Advisors464288281213,777$19.0M1.83%
13GOLDMAN SACHS GRPGSCE29,917$17.1M1.65%
14ADVANCED MICRO DEVAMD137,144$16.6M1.59%
15TJX Cos Inc/The872540109136,952$16.5M1.59%
16Adobe IncADBE36,584$16.3M1.56%
17Home Depot Inc/TheHD41,075$16.0M1.53%
18MASTERCARD INCMA30,226$15.9M1.53%
19PNC Financial Services Group I69347510580,835$15.6M1.50%
20ALPHABET INCGOOG79,218$15.0M1.44%
21STARBUCKS CORPSBUX156,578$14.3M1.37%
22Costco Wholesale Corp22160K10515,561$14.3M1.37%
23Meta Platforms IncMETA22,345$13.1M1.26%
24MARSH & MCLENNAN57174810261,129$13.0M1.25%
25Cencora IncCOR56,810$12.8M1.23%
26UnitedHealth Group IncUNH24,799$12.5M1.20%
27Republic Services Inc76075910061,996$12.5M1.20%
28DEERE & CODE28,661$12.1M1.17%
29Walt Disney Co/The254687106108,560$12.1M1.16%
30Procter & Gamble Co/The74271810971,565$12.0M1.15%
31Vertex Pharmaceuticals IncVRTX29,245$11.8M1.13%
32Merck & Co IncMRK112,228$11.2M1.07%
33Apple IncAAPL44,310$11.1M1.07%
34BlackRock Fund Advisors464287499123,566$10.9M1.05%
35Elevance Health IncELV28,672$10.6M1.02%
36L3Harris Technologies IncLHX48,790$10.3M0.99%
37PARKER-HANNIFINPH15,298$9.7M0.93%
38Comcast CorpCCZ257,894$9.7M0.93%
39Constellation Brands IncSTZ42,580$9.4M0.90%
40Barnes Group Inc067806109176,449$8.3M0.80%
41Costco Wholesale Corp22160K1058,122$7.4M0.71%
42US BancorpUSB-PS151,050$7.2M0.69%
43NiSource IncNI193,890$7.1M0.68%
44Exxon Mobil CorpXOM66,067$7.1M0.68%
45Digital Realty Trust Inc25386810336,643$6.5M0.62%
46DUKE ENERGY CORPDUKB59,378$6.4M0.61%
47Linde PLCLIN14,334$6.0M0.58%
48MICROSOFT CORPMSFT13,982$5.9M0.57%
49VANGUARD ETF/USA92290876920,325$5.9M0.57%
50MARTIN MARIETTA M.57328410611,369$5.9M0.56%
51Valero Energy CorpVLO47,606$5.8M0.56%
52CONOCOPHILLIPSCOP57,382$5.7M0.55%
53BERKSHIRE HATHAWAYBRK-A8$5.4M0.52%
54BlackRock Fund Advisors46428827385,016$5.2M0.50%
55Prologis IncPLDGP45,542$4.8M0.46%
56Vanguard ETF/USA92193783562,415$4.5M0.43%
57BARCLAYS CAPITAL INCVXZ139,503$4.5M0.43%
58MASTERCARD INCMA8,090$4.3M0.41%
59Berkshire Hathaway IncBRK-A9,245$4.2M0.40%
60JPMorgan Chase & CoVYLD17,378$4.2M0.40%
61BlackRock Fund Advisors46428837275,190$3.9M0.38%
62VANGUARD ETF/USA92190976862,930$3.7M0.36%
63Amazon.com IncAMZN16,366$3.6M0.34%
64F5 IncFFIV13,000$3.3M0.31%
65UnitedHealth Group IncUNH6,093$3.1M0.30%
66Eli Lilly & CoLLY3,852$3.0M0.29%
67Eli Lilly & CoLLY3,760$2.9M0.28%
68ISHARES TRUST46428759814,892$2.8M0.26%
69ORACLE CORPORCL-PD16,209$2.7M0.26%
70Waste Connections IncWCN15,188$2.6M0.25%
71ISHARES TR46428723460,478$2.5M0.24%
72Vanguard ETF/USA92290875110,430$2.5M0.24%
73Glacier Bancorp IncGBCI49,804$2.5M0.24%
74Vanguard ETF/USA92290875110,254$2.5M0.24%
75ISHARES4642872004,185$2.5M0.24%
76Columbia Sportswear CoCOLM28,839$2.4M0.23%
77Merck & Co IncMRK24,318$2.4M0.23%
78KNIFE RIV HOL CO.KNF22,771$2.3M0.22%
79BK OF AMERICA CORP06050510452,541$2.3M0.22%
80BlackRock Fund Advisors46428858824,860$2.3M0.22%
81BlackRock Fund Advisors46428750735,210$2.2M0.21%
82ISHARES46428773923,260$2.2M0.21%
83WISDOMTREE ASSET MANAGEMENT INCWT61,823$2.2M0.21%
84BlackRock Fund Advisors4642876487,499$2.2M0.21%
85ISHARES46428763012,786$2.1M0.20%
86Vanguard ETF/USA92193783529,075$2.1M0.20%
87BlackRock Fund Advisors46428749921,873$1.9M0.19%
88PHILIP MORRIS INTL71817210915,922$1.9M0.18%
89Johnson & JohnsonJNJ12,792$1.8M0.18%
90Old National Bancorp/IN68003310783,281$1.8M0.17%
91CORNING INCGLW38,000$1.8M0.17%
92Abbott LaboratoriesABLZF15,478$1.8M0.17%
93ALTRIA GROUP INCMO33,438$1.7M0.17%
94Vanguard ETF/USA92194385834,894$1.7M0.16%
95MDU RES GROUP INC55269010991,088$1.6M0.16%
96ANALOG DEVICES INCADI7,179$1.5M0.15%
97Walt Disney Co/The25468710613,663$1.5M0.15%
98Vanguard ETF/USA92194385831,253$1.5M0.14%
99BlackRock Fund Advisors46428747311,203$1.4M0.14%
100AbbVie IncABBV8,015$1.4M0.14%
101BlackRock Fund Advisors46428746517,820$1.3M0.13%
102Chevron CorpCVX9,188$1.3M0.13%
103STARBUCKS CORPSBUX13,448$1.2M0.12%
104BlackRock Fund Advisors46428888512,430$1.2M0.12%
105AUTOMATIC DATA PROCESSINGADP4,100$1.2M0.12%
106Home Depot Inc/TheHD3,047$1.2M0.11%
107ISHARES46428730911,628$1.2M0.11%
108BOEING COBA-PA6,291$1.1M0.11%
109Alphabet IncGOOG5,781$1.1M0.11%
110AbbVie IncABBV6,087$1.1M0.10%
111Exxon Mobil CorpXOM9,793$1.1M0.10%
112Vanguard Group Inc/The9229086525,526$1.0M0.10%
113VANGUARD ETF/USA92204285823,409$1.0M0.10%
114PEPSICO INCPEP6,558$997,2090.10%
115VANGUARD ETF/USA92202080520,253$980,6500.09%
1165TH THIRD BANCORPFITBM22,188$938,1090.09%
117Johnson & JohnsonJNJ6,371$921,3740.09%
118ISHARES4642876554,095$904,8310.09%
119Vanguard Group Inc/The9229085383,474$881,5280.08%
120NVIDIA CorpNVDA6,292$844,9530.08%
121WELLS FARGO & CO94974610111,959$840,0000.08%
122ALPHABET INCGOOG4,413$835,3810.08%
123US BancorpUSB-PS17,386$831,5720.08%
124Citigroup IncC-PR11,457$806,4580.08%
125S&P Global IncSPGI1,506$750,0330.07%
126Vanguard ETF/USA9229085538,288$738,2950.07%
127MCKESSON CORPMCK1,292$736,3240.07%
128ROPER INDUSTRIES INCROP1,398$726,7500.07%
129SSgA Funds Management Inc78468R6227,497$715,7390.07%
130Amgen IncAMGN2,737$713,3720.07%
131AUTOMATIC DATA PROCESSINGADP2,399$702,2590.07%
132BlackRock Fund Advisors46432F85914,699$702,1710.07%
133BlackRock Fund Advisors4642874815,516$699,1530.07%
134Invesco Capital Management LLCIVZ14,144$683,2970.07%
135Walmart IncWMT7,284$658,1090.06%
136CISCO SYSTEMSCSCO10,805$639,6560.06%
137Abbott LaboratoriesABLZF5,652$639,2980.06%
138Palo Alto Networks IncPANW3,512$639,0440.06%
139Broadcom IncAVGO2,750$637,5600.06%
140ISHARES4642877213,993$636,9630.06%
141MCDONALD'S CORPMCD2,151$623,5530.06%
142PEPSICO INCPEP4,044$614,9310.06%
143STATE STREET ETF/USA78464A28423,863$610,4160.06%
144BlackRock Fund Advisors4642882816,789$604,4930.06%
145BlackRock Fund Advisors4642876066,636$603,4110.06%
146VISA INCV1,872$591,6270.06%
147Caterpillar IncCAT1,608$583,3180.06%
148Union Pacific CorpUNP2,542$579,6780.06%
149Accenture PLCACN1,619$569,5480.05%
150Republic Services Inc7607591002,825$568,3340.05%
151KIMBERLY-CLARK CPKMB4,194$549,5820.05%
152Pfizer IncPFE20,602$546,5710.05%
153MCDONALD'S CORPMCD1,870$542,0940.05%
154VISA INCV1,710$540,4280.05%
155Vanguard ETF/USA9229086292,017$532,7500.05%
156Alphabet IncGOOG2,758$525,2340.05%
157Intuit IncINTU835$524,7980.05%
158Trane Technologies PLCTT1,387$512,2880.05%
159BlackRock Fund Advisors4642882738,207$498,5750.05%
160ANALOG DEVICES INCADI2,342$497,5810.05%
1613M CoMMM3,831$494,5440.05%
162STRYKER CORPSYK1,369$492,9080.05%
163CONOCOPHILLIPSCOP4,892$485,1400.05%
164Brown & Brown IncBRO4,750$484,5950.05%
165Paychex IncPAYX3,437$481,9360.05%
166Chevron CorpCVX3,249$470,5850.05%
167TJX Cos Inc/The8725401093,876$468,2600.04%
168Lockheed Martin CorpLMT959$466,0160.04%
169TE Connectivity PLCTEL3,249$464,5100.04%
170Mondelez International Inc6092071057,689$459,2640.04%
171ServiceNow IncNOW432$457,9720.04%
172Fastenal CoFAST6,324$454,7590.04%
173ILLINOIS TOOL WKS4523081091,776$450,3230.04%
174WELLS FARGO & CO9497461016,400$449,5360.04%
175Essex Property Trust Inc2971781051,573$448,9970.04%
176SSgA Funds Management IncSPY754$441,9040.04%
1773M CoMMM3,396$438,3900.04%
178ADVANCED MICRO DEVAMD3,621$437,3810.04%
179Union Pacific CorpUNP1,918$437,3810.04%
180GOLDMAN SACHS GRPGSCE759$434,6190.04%
181SIMON PROP GROUP8288061092,509$432,0750.04%
182Medtronic PLCMDT5,239$418,4910.04%
183ISHARES4642874082,170$414,2100.04%
184BlackRock Fund Advisors4642877053,264$407,8690.04%
185AMER EXPRESS COAXP1,361$403,9310.04%
186TRACTOR SUPPLY COTSCO7,460$395,8280.04%
187Piper Sandler CosPIPR1,309$392,6350.04%
188JP Morgan ETFs/USA46641Q6477,720$387,1580.04%
189ISHARES4642888777,331$384,6580.04%
190Dimensional ETF Trust25434V4016,013$383,3290.04%
191ISHARES/USA464287614954$383,1070.04%
192MARSH & MCLENNAN5717481021,803$382,9750.04%
193SSgA Funds Management Inc81369Y7042,900$382,1040.04%
194Honeywell International Inc4385161061,665$376,1070.04%
195iShares ETFs/USA46434G86311,208$374,2350.04%
196Sysco CorpSYY4,769$364,6380.04%
197KKR & Co IncKKRT2,441$361,0480.03%
198Cincinnati Financial Corp1720621012,501$359,3940.03%
199Macerich Co/TheMAC17,998$358,5200.03%
200Vanguard ETF/USA9229085533,892$346,6990.03%
201Adobe IncADBE772$343,2930.03%
202INTL BUSINESS MCHNINTR1,544$339,4180.03%
203MCCORMICK & CO INCMKC-V4,445$338,8870.03%
204WaFd IncWAFDP10,460$337,2300.03%
205AMER EXPRESS COAXP1,121$332,7020.03%
206BlackRock Fund Advisors4642878042,872$330,9120.03%
207Berkshire Hathaway IncBRK-A728$329,9880.03%
208LENNAR CORPLEN-B2,416$329,4700.03%
209MOTOROLA INCMSI712$329,1080.03%
210Exelixis IncEXEL9,878$328,9370.03%
211Walmart IncWMT3,639$328,7840.03%
212EOG Resources IncEOG2,665$326,6760.03%
213BECTON DICKINSONBDX1,439$326,4660.03%
214Lockheed Martin CorpLMT671$326,0660.03%
215Linde PLCLIN752$314,8400.03%
216VANGUARD ETF/USA92204A8011,670$313,6930.03%
217ISHARES TR4642872347,473$312,5210.03%
218Kenvue IncKVUE14,613$311,9880.03%
219Pool CorpPOOL914$311,6190.03%
220DR HORTON INC23331A1092,217$309,9810.03%
221Gilead Sciences IncGILD3,348$309,2550.03%
222SSgA Funds Management IncSPY525$307,6920.03%
223ISHARES TRUST4642885133,879$305,0830.03%
224Elevance Health IncELV800$295,1200.03%
225VANGUARD GROUP INC/THE92203J4076,000$294,3000.03%
226Occidental Petroleum Corp6745991055,801$286,6270.03%
227Steel Dynamics IncSTLD2,480$282,8940.03%
228DEERE & CODE666$282,1840.03%
229Genuine Parts CoGPC2,389$278,9400.03%
230SELECT SECTOR SPDR81369Y8863,676$278,2360.03%
231Jack Henry & Associates Inc4262811011,569$275,0460.03%
232PULTE HOMES INC7458671012,500$272,2500.03%
233Caterpillar IncCAT741$268,8050.03%
234APA CorpAPA11,449$264,3570.03%
235NVR IncNVR32$261,7250.03%
236VANGUARD ETF/USA9220426766,200$245,2720.02%
237BlackRock Fund Advisors464287622752$242,2640.02%
238Tesla IncTSLA596$240,6890.02%
239PNC Financial Services Group I6934751051,248$240,6770.02%
240RTX CorpRTX2,067$239,1930.02%
241QUALCOMM IncQCOM1,556$239,0330.02%
242Nasdaq IncNDAQ3,083$238,3470.02%
243First Interstate BancSystem In32055Y2017,330$238,0050.02%
244Cencora IncCOR1,056$237,2620.02%
245BlackRock Fund Advisors4642876972,466$237,2540.02%
246Vanguard ETF/USA922908736576$236,4130.02%
247Canadian Pacific Kansas City LCP3,247$234,9850.02%
248PROGRESSIVE CP(OH)743315103979$234,5780.02%
249Meta Platforms IncMETA396$231,8620.02%
250STERIS PLCSTE1,127$231,6660.02%
251CISCO SYSTEMSCSCO3,895$230,5840.02%
252Vertex Pharmaceuticals IncVRTX566$227,9280.02%
253Ovintiv IncOVV5,553$224,8970.02%
254IDACORP IncIDA2,046$223,5870.02%
255Invesco Capital Management LLCIVZ433$221,3630.02%
256Comcast CorpCCZ5,886$220,9020.02%
257BlackRock Fund Advisors4642874652,891$218,5890.02%
258Casey's General Stores Inc147528103543$215,1530.02%
259YUM BRANDS INCYUM1,600$214,6560.02%
260ORACLE CORPORCL-PD1,281$213,4660.02%
261EBAY INCEBAY3,408$211,1260.02%
262Accenture PLCACN600$211,0740.02%
263Arthur J Gallagher & Co363576109736$208,9140.02%
264EQUINIX INCEQIX217$204,6070.02%
265Invesco Capital Management LLCIVZ399$203,9810.02%
266BlackRock Fund Advisors46434G1033,892$203,2400.02%
267VANGUARD GROUP9219378272,609$201,5970.02%
268STATE STREET ETF/USAMDY346$197,0750.02%
269SSgA Funds Management Inc78468R6222,048$195,5230.02%
270Cenovus Energy IncCVE12,802$193,9500.02%
271BROADRIDGE FIN SOL11133T103852$192,6290.02%
272ISHARES464287655871$192,4560.02%
273Constellation Brands IncSTZ867$191,6070.02%
274Coca-Cola Co/TheKO3,047$189,7060.02%
275S&P Global IncSPGI375$186,7610.02%
276NEXTERA ENERGYNEE-PW2,603$186,6090.02%
277Target CorpTGT1,368$184,9260.02%
278VANGUARD ETF/USA9220208053,816$184,7710.02%
279TEXAS INSTRUMENTS882508104974$182,6350.02%
280VANGUARD922908363338$182,1180.02%
281L3Harris Technologies IncLHX859$180,6310.02%
282NiSource IncNI4,866$178,8740.02%
283Valero Energy CorpVLO1,427$174,9360.02%
284Prologis IncPLDGP1,654$174,8280.02%
285BROADRIDGE FIN SOL11133T103746$168,6630.02%
286MDU RES GROUP INC5526901099,253$166,7390.02%
287BOEING COBA-PA922$163,1940.02%
288Target CorpTGT1,183$159,9180.02%
289AT&T INCT-PC6,921$157,5910.02%
290ROPER INDUSTRIES INCROP291$151,2760.01%
291PARKER-HANNIFINPH237$150,7390.01%
292NIKE INCNKE1,857$140,5190.01%
293Digital Realty Trust Inc253868103786$139,3810.01%
294NEXTERA ENERGYNEE-PW1,915$137,2860.01%
295RTX CorpRTX1,150$133,0780.01%
296NIKE INCNKE1,748$132,2710.01%
297Pfizer IncPFE4,951$131,3500.01%
298MARTIN MARIETTA M.573284106236$121,8940.01%
299VANGUARD ETF/USA922908769419$121,4300.01%
300PHILIP MORRIS INTL7181721091,006$121,0720.01%
301BlackRock Fund Advisors4642878041,040$119,8290.01%
302Tesla IncTSLA295$119,1330.01%
303BlackRock Fund Advisors4642883722,193$114,6280.01%
304ALTRIA GROUP INCMO2,128$111,2730.01%
305STATE STREET ETF/USAMDY180$102,5240.01%
306BK OF AMERICA CORP0605051042,316$101,7880.01%
307DUKE ENERGY CORPDUKB914$98,4740.01%
308TEXAS INSTRUMENTS882508104518$97,1300.01%
309Honeywell International Inc438516106424$95,7770.01%
310PACCAR INCPCAR914$95,0740.01%
311AT&T INCT-PC4,074$92,7650.01%
312Coca-Cola Co/TheKO1,325$82,4950.01%
313VANGUARD ETF/USA9220428581,866$82,1790.01%
314Trane Technologies PLCTT200$73,8700.01%
315Paychex IncPAYX502$70,3900.01%
316BARCLAYS CAPITAL INCVXZ2,086$66,9400.01%
317Amgen IncAMGN255$66,4630.01%
318Rithm Property Trust Inc38983D30020,996$62,3580.01%
319INTL BUSINESS MCHNINTR266$58,4750.01%
320ISHARES464287739612$56,9530.01%
321Genuine Parts CoGPC443$51,7250.00%
322MOTOROLA INCMSI96$44,3740.00%
323BlackRock Fund Advisors464287507630$39,2550.00%
324VANGUARD92290836371$38,2560.00%
325SIMON PROP GROUP828806109200$34,4420.00%
326QUALCOMM IncQCOM221$33,9500.00%
327ISHARES TRUST464288513409$32,1680.00%
328KKR & Co IncKKRT204$30,1740.00%
329Mondelez International Inc609207105503$30,0440.00%
330EQUINIX INCEQIX31$29,2300.00%
331DR HORTON INC23331A109200$27,9640.00%
332YUM BRANDS INCYUM200$26,8320.00%
333VANGUARD GROUP921937827326$25,1900.00%
334BlackRock Fund Advisors464288885251$24,3040.00%
335PROGRESSIVE CP(OH)74331510387$20,8460.00%
336BlackRock Fund Advisors464287481154$19,5200.00%
337MCKESSON CORPMCK29$16,5270.00%
338BlackRock Fund Advisors464287473118$15,2620.00%
339BECTON DICKINSONBDX63$14,2930.00%
340ISHARES TRUST46428759874$13,7000.00%
341Kenvue IncKVUE597$12,7460.00%
342Medtronic PLCMDT112$8,9470.00%
343Piper Sandler CosPIPR24$7,1990.00%
344STRYKER CORPSYK15$5,4010.00%
345ISHARES46428763017$2,7910.00%
346Gilead Sciences IncGILD5$4620.00%
347Arthur J Gallagher & Co3635761091$2840.00%
348Occidental Petroleum Corp6745991052$990.00%