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VOL. XII · NO. 117Established MMXIV · George Town, Grand CaymanAtlantic Edition · $4.50

The Cayman Journal

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

TRUST CO OF VERMONT

Quarter ended Q1 2023 · Filed February 9, 2023 · Accession 0001134008-23-000001

Total Value
$1.36B
Positions
1,169
Other Managers
0
Confidential Omitted
No
View on SEC.gov

Holdings (500)

#IssuerTicker / CUSIPSharesValue% of Filing
1Apple IncAAPL507,748$66.0M4.90%
2Microsoft CorpMSFT159,362$38.2M2.84%
3Berkshire Hathaway Inc Del Cl B NewBRK-A110,276$34.1M2.53%
4Alphabet Inc Cap Stk Cl CGOOG325,944$28.9M2.15%
5Vanguard Short Term Inflation Prot Secs ETF922020805522,244$24.4M1.81%
6Johnson & JohnsonJNJ134,536$23.8M1.77%
7Abbvie IncABBV138,589$22.4M1.66%
8Amazon Com IncAMZN265,012$22.3M1.65%
9Mastercard IncMA61,744$21.5M1.59%
10Blackrock IncBLK27,797$19.7M1.46%
11JP Morgan Chase & CoVYLD145,430$19.5M1.45%
12Costco Wholesale Corporation22160K10542,443$19.4M1.44%
13Honeywell Intl Inc43851610686,194$18.5M1.37%
14Thermo Fisher Scientific IncTMO33,229$18.3M1.36%
15Accenture PLC IrelandACN65,493$17.5M1.30%
16Pepsico IncPEP94,829$17.1M1.27%
17Nextera Energy IncNEE-PW188,612$15.8M1.17%
18Becton Dickinson & CompanyBDX61,761$15.7M1.17%
19Procter & Gamble Co742718109103,442$15.7M1.16%
20Abbott LaboratoriesABLZF142,109$15.6M1.16%
21CVS Health CorpCVS161,638$15.1M1.12%
22Home DepotHD46,957$14.8M1.10%
23Lowes Companies Inc54866110773,631$14.7M1.09%
24Union Pacific CorpUNP66,429$13.8M1.02%
25Pfizer IncPFE252,848$13.0M0.96%
26Air Products & Chemical IncAIIR41,826$12.9M0.96%
27Enbridge IncENNPF327,695$12.8M0.95%
28Merck & Co Inc NewMRK111,632$12.4M0.92%
29Starbucks CorpSBUX120,212$11.9M0.89%
30I Shares Core S&P Small-Cap ETF464287804125,691$11.9M0.88%
31I Shares Core S&P Mid-Cap ETF46428750745,784$11.1M0.82%
32Automatic Data ProcessingADP44,652$10.7M0.79%
33Nike Inc Cl BNKE90,243$10.6M0.78%
34Applied Materials Inc038222105108,182$10.5M0.78%
35American Tower REIT03027X10046,901$9.9M0.74%
363MMMM76,660$9.2M0.68%
37Disney Walt Company254687106104,625$9.1M0.68%
38Analog Devices IncADI55,316$9.1M0.67%
39McDonalds CorpMCD34,312$9.0M0.67%
40Verizon Communications IncVZ228,496$9.0M0.67%
41Comcast Corp Cl ACCZ250,543$8.8M0.65%
42Illinois Tool Wks Inc45230810938,919$8.6M0.64%
43Chevron CorporationCVX47,390$8.5M0.63%
44Visa IncV40,895$8.5M0.63%
45Ecolab IncECL55,841$8.1M0.60%
46Emerson Electric CoEMR81,063$7.8M0.58%
47Palo Alto Networks IncPANW53,932$7.5M0.56%
48Exxon Mobil CorpXOM67,866$7.5M0.56%
49McCormick & Co IncMKC-V88,206$7.3M0.54%
50Eaton Corp PLCETN46,342$7.3M0.54%
51UnitedHealth Group IncUNH13,716$7.3M0.54%
52Alphabet Inc Cap Stk Cl AGOOG80,974$7.1M0.53%
53Realty Income CorporationO109,631$7.0M0.52%
54Diageo PLC Spons ADR NewDGEAF38,906$6.9M0.51%
55Spdr S&P 500 Etf TrustSPY17,938$6.9M0.51%
56CME Group IncCME39,795$6.7M0.50%
57Cisco Sys IncCSCO139,804$6.7M0.49%
58Church & Dwight Co IncCHD80,500$6.5M0.48%
59Vanguard Short-Term Bond ETF92193782785,103$6.4M0.48%
60Amgen IncAMGN24,118$6.3M0.47%
61Bristol Myers Squibb CoCELG-RI87,355$6.3M0.47%
62IntuitINTU16,091$6.3M0.47%
63Lockheed Martin CorpLMT12,642$6.2M0.46%
64TJX Cos Inc87254010976,300$6.1M0.45%
65Apple IncAAPL45,604$5.9M0.44%
66Booking Holdings IncBKNG2,907$5.9M0.44%
67Vanguard FTSE Dev Mkts ETF921943858138,638$5.8M0.43%
68Paychex IncPAYX48,426$5.6M0.42%
69Microsoft CorpMSFT23,229$5.6M0.41%
70Deere & CoDE12,550$5.4M0.40%
71Danaher Corp23585110220,005$5.3M0.39%
72Novartis AG ADRNVSEF58,388$5.3M0.39%
73Stryker CorpSYK21,587$5.3M0.39%
74JP Morgan Chase & CoVYLD38,963$5.2M0.39%
75Medtronic Hldg LtdMDT65,377$5.1M0.38%
76Bank Of America Corp060505104151,189$5.0M0.37%
77Meta Platforms IncMETA41,561$5.0M0.37%
78Chubb LtdCB22,648$5.0M0.37%
79Vanguard Emerging Markets ETF922042858126,580$4.9M0.37%
80Intel CorpINTC181,344$4.8M0.36%
81Norfolk Southern Corp65584410819,359$4.8M0.35%
82Vanguard FTSE All-World ex-US ETF92204277592,487$4.6M0.34%
83Vanguard Dividend Appreciation ETF92190884430,491$4.6M0.34%
84Dominion Energy IncD75,309$4.6M0.34%
85Intercontinental Exchange Inc45866F10444,802$4.6M0.34%
86US Bancorp DelUSB-PS104,118$4.5M0.34%
87Salesforce IncCRM34,086$4.5M0.34%
88Adobe IncADBE13,210$4.4M0.33%
89Capital One Financial Corp14040H10545,935$4.3M0.32%
90Constellation Brands IncSTZ18,392$4.3M0.32%
91Vanguard Bond Index Fd ETF92193783558,408$4.2M0.31%
92Activision Blizzard Inc00507V10953,584$4.1M0.30%
93Intl Business MachinesINTR29,025$4.1M0.30%
94Waste Management Inc New94106L10925,209$4.0M0.29%
95AT&T IncT-PC213,265$3.9M0.29%
96Wal Mart Stores IncWMT26,852$3.8M0.28%
97Abbvie IncABBV22,353$3.6M0.27%
98Penske Automotive Group Inc70959W10331,385$3.6M0.27%
99Ebay IncEBAY86,074$3.6M0.27%
100MSC Industrial Direct Co Cl A55353010643,200$3.5M0.26%
101Johnson & JohnsonJNJ19,600$3.5M0.26%
102Crown Holdings IncCCK41,888$3.4M0.26%
103Paypal Hldgs IncPYPL47,041$3.4M0.25%
104Allstate CorpALL-PJ24,546$3.3M0.25%
105Mondelez Intl Inc60920710548,555$3.2M0.24%
106Chevron CorporationCVX18,027$3.2M0.24%
107Brookfield Corp11271J107102,565$3.2M0.24%
108Ishares S&P 500 Index Fund4642872008,327$3.2M0.24%
109Clorox CompanyCLX22,563$3.2M0.24%
110Linde PLCLIN9,523$3.1M0.23%
111Cigna Corp New1255231009,276$3.1M0.23%
112Caterpillar IncCAT12,089$2.9M0.22%
113Coca Cola CoKO45,379$2.9M0.21%
114Liberty Media Corp Ser A SiriusSM GroupFWONB70,018$2.8M0.20%
115Invesco QQQ Trust ETFIVZ10,229$2.7M0.20%
116Vanguard Idx Fds S&P 500 ETF9229083637,726$2.7M0.20%
117Oracle CorporationORCL-PD32,998$2.7M0.20%
118Analog Devices IncADI16,291$2.7M0.20%
119Sysco CorpSYY33,777$2.6M0.19%
120Norfolk Southern Corp65584410810,403$2.6M0.19%
121Unilever PLC ADRUNLYF50,360$2.5M0.19%
122Automatic Data ProcessingADP10,572$2.5M0.19%
123Pepsico IncPEP13,944$2.5M0.19%
124American Express CoAXP17,015$2.5M0.19%
125Dow IncDOW49,761$2.5M0.19%
126Mondelez Intl Inc60920710537,580$2.5M0.19%
127Paramount Global92556H206148,321$2.5M0.19%
128Vanguard High Dividend Yld ETF92194640622,982$2.5M0.18%
129Kimberly-Clark CorpKMB17,867$2.4M0.18%
130Invesco Solar ETFIVZ32,780$2.4M0.18%
131Abbott LaboratoriesABLZF21,702$2.4M0.18%
132Toronto Dominion Bank NewTORO36,492$2.4M0.18%
133Exxon Mobil CorpXOM21,411$2.4M0.18%
134ConocophillipsCOP19,402$2.3M0.17%
135Eli Lilly & CompanyLLY6,212$2.3M0.17%
136Truist Finl Corp89832Q10952,245$2.2M0.17%
137General Mills Inc37033410426,668$2.2M0.17%
138United Parcel Svc Inc Cl BUPS12,786$2.2M0.17%
139Pfizer IncPFE41,091$2.1M0.16%
140Vanguard Total Stock Mkt ETF92290876910,555$2.0M0.15%
141Tesla Motors IncTSLA15,968$2.0M0.15%
142Lowes Companies Inc5486611079,507$1.9M0.14%
143Texas Instruments Inc88250810411,423$1.9M0.14%
144S&P Global IncSPGI5,569$1.9M0.14%
145Genuine Parts CoGPC10,580$1.8M0.14%
146Colgate-Palmolive CoCL22,997$1.8M0.13%
147M & T Bank Corporation55261F10412,331$1.8M0.13%
148Price T Rowe Group IncTROW16,101$1.8M0.13%
149Vanguard Small Cap Value ETF92290861111,016$1.7M0.13%
150Consolidated Edison IncED17,546$1.7M0.12%
151Target CorpTGT11,072$1.7M0.12%
152CSX CorpCSX51,750$1.6M0.12%
153Autodesk IncADSK8,561$1.6M0.12%
154Costco Wholesale Corporation22160K1053,499$1.6M0.12%
155Flexshares Quality Divd Index ETFFLEX30,278$1.6M0.12%
156Digital Realty Trust Inc25386810315,614$1.6M0.12%
157Amgen IncAMGN5,922$1.6M0.12%
158Fidelity Natl Information Svcs Inc31620M10622,648$1.5M0.11%
159Duke Energy Corp NewDUKB14,467$1.5M0.11%
160General Dynamics CorpGD5,955$1.5M0.11%
161Prestige Brand Holdings74112D10122,932$1.4M0.11%
162Nvidia CorporationNVDA9,814$1.4M0.11%
163Cummins IncCMI5,899$1.4M0.11%
164Bristol Myers Squibb CoCELG-RI19,861$1.4M0.11%
165Altria Group IncMO30,800$1.4M0.10%
166Philip Morris Intl Inc71817210913,774$1.4M0.10%
167SPDR S&P Dividend ETF78464A76311,111$1.4M0.10%
168Synchrony FinancialSYF-PB41,979$1.4M0.10%
169Dupont De Nemours IncDD20,075$1.4M0.10%
170Ishares Barclays TIPs Bond ETF46428717612,886$1.4M0.10%
171Nike Inc Cl BNKE11,696$1.4M0.10%
172Enbridge IncENNPF34,955$1.4M0.10%
173American Express CoAXP9,210$1.4M0.10%
174PNC Financial Services Group Inc6934751058,584$1.4M0.10%
175Carrier Global CorporationCARR32,362$1.3M0.10%
176Aflac IncorporatedAFL18,480$1.3M0.10%
177Southern CoSOMN18,614$1.3M0.10%
178ABB Ltd ADRABLZF43,243$1.3M0.10%
179Atmos Energy CorpATO11,608$1.3M0.10%
180Vanguard Small-Cap ETF9229087517,024$1.3M0.10%
181Arrow Financial Corp04274410237,968$1.3M0.10%
182Autozone IncAZO502$1.2M0.09%
183Alphabet Inc Cap Stk Cl CGOOG13,826$1.2M0.09%
184Procter & Gamble Co7427181098,045$1.2M0.09%
185Berkshire Hathaway Inc Del Cl B NewBRK-A3,874$1.2M0.09%
186LAM Research CorpLRCX2,801$1.2M0.09%
187Texas Pacific Land CorporationTPL500$1.2M0.09%
188Otis Worldwide CorpOTIS14,798$1.2M0.09%
189Berkley W R CorpWRB-PH15,891$1.2M0.09%
190McDonalds CorpMCD4,369$1.2M0.09%
191I Shares MSCI EAFE Index Fd46428746517,530$1.2M0.09%
192Verisign IncVRSN5,525$1.1M0.08%
193Vanguard Large Cap ETF9229086376,500$1.1M0.08%
194Invesco Global Clean Energy ETFIVZ60,811$1.1M0.08%
195CVS Health CorpCVS11,958$1.1M0.08%
196Cardinal Health IncCAH14,439$1.1M0.08%
197Ishares S&P Midcap 400 Growth Index Fund46428760616,192$1.1M0.08%
198Putnam Intl Capital Opportunities Fd74680249531,701$1.1M0.08%
199Cheniere Energy Inc NewLNG7,248$1.1M0.08%
200Stryker CorpSYK4,406$1.1M0.08%
201Illinois Tool Wks Inc4523081094,861$1.1M0.08%
202Merck & Co Inc NewMRK9,345$1.0M0.08%
203Sealed Air Corp NewSE20,488$1.0M0.08%
204Amazon Com IncAMZN12,160$1.0M0.08%
205Air Products & Chemical IncAIIR3,307$1.0M0.08%
206Vanguard Mid-Cap Value ETF9229085127,518$1.0M0.08%
207Mastercard IncMA2,855$992,7690.07%
208Laboratory Corp Amer Hldgs New50540R4094,141$975,1230.07%
209Church & Dwight Co IncCHD12,060$972,1570.07%
210Accenture PLC IrelandACN3,577$954,4870.07%
211Vanguard Mid Cap ETF9229086294,683$954,4420.07%
212Qualcomm IncQCOM8,640$949,8820.07%
213Coca Cola CoKO14,906$948,1710.07%
214I Shares Core S&P Small-Cap ETF4642878049,954$942,0470.07%
215Spdr Gold SharesGLD5,534$938,7880.07%
216Waters Corp9418481032,635$902,6980.07%
217Union Pacific CorpUNP4,343$899,3050.07%
218Applied Materials Inc0382221059,232$899,0120.07%
219Realty Income CorporationO13,973$886,3070.07%
220I Shares Core S&P Mid-Cap ETF4642875073,646$881,9310.07%
221Broadcom IncAVGO1,521$850,4370.06%
222Warner Bros Discovery IncWBD87,403$828,5800.06%
223Toronto Dominion Bank NewTORO12,710$823,1000.06%
224Northrop Grumman CorpNOC1,489$812,4130.06%
225Honeywell Intl Inc4385161063,774$808,7680.06%
226AT&T IncT-PC42,907$789,9180.06%
227Occidental Petroleum Corp67459910512,532$789,3910.06%
228Intuitive Surgical IncISRG2,967$787,2930.06%
229Travelers Cos IncTRV4,156$779,2080.06%
230Ameriprise Financial Inc03076C1062,500$778,4250.06%
231Cisco Sys IncCSCO16,312$777,1040.06%
232Xylem IncXYL6,973$771,0050.06%
233Kraft Heinz CoKHC18,900$769,4190.06%
234Markel Corp Holding CompanyMKL570$750,9690.06%
235Brookfield Asset Mgmt Ltd11300410525,978$744,7750.06%
236Stonex Group IncSNEX7,722$735,9070.05%
237SS&C Technologies Hldgs IncSSNC14,113$734,7230.05%
238Intl Business MachinesINTR5,196$732,0640.05%
239Novo Nordisk A/S ADRNONOF5,386$728,9410.05%
240Morgan StanleyMS-PQ8,453$718,6740.05%
241US Bancorp DelUSB-PS16,386$714,5930.05%
242The J M Smucker Company8326964054,468$707,9990.05%
243First Solar IncFSLR4,639$694,8760.05%
244Provident Financial Services Inc74386T10532,201$687,8130.05%
245Dover CorpDOV5,029$680,9770.05%
246CSX CorpCSX21,886$678,0280.05%
247Healthpeak Properties IncDOC26,843$672,9540.05%
248Altria Group IncMO14,616$668,0970.05%
249Kennedy-Wilson Holdings IncKW42,246$664,5300.05%
250Nextera Energy IncNEE-PW7,891$659,6880.05%
251Becton Dickinson & CompanyBDX2,570$653,5510.05%
252Colgate-Palmolive CoCL8,290$653,1690.05%
253Kellogg CompanyBEKE9,125$650,0650.05%
254Shell PLCRYDAF11,226$639,3210.05%
255Home DepotHD2,000$631,7200.05%
256Union Bankshares IncUNB25,715$617,4150.05%
257Biogen IncBIIB2,221$615,0390.05%
258Oracle CorporationORCL-PD7,361$601,6880.04%
259M & T Bank Corporation55261F1044,077$591,4100.04%
260Vanguard Int Term Treas Fd ETF92206C70610,017$585,7940.04%
261Blackrock IncBLK822$582,4940.04%
262Atmos Energy CorpATO5,085$569,8760.04%
263Telus CorpTU29,372$567,1730.04%
264Coterra Energy IncCTRA22,975$564,4960.04%
265Boeing CompanyBA-PA2,917$555,6590.04%
266Comcast Corp Cl ACCZ15,831$553,6100.04%
267TJX Cos Inc8725401096,788$540,3250.04%
268Disney Walt Company2546871066,197$538,3950.04%
269Advance Auto Parts IncAAP3,565$524,1620.04%
270Bank New York Mellon Corp06405810011,476$522,3880.04%
271Boston Beer Inc Cl ASAM1,580$520,6420.04%
272Simon Ppty Group Inc New8288061094,414$518,5570.04%
273Verizon Communications IncVZ12,900$508,2600.04%
274Portland General Electric73650884710,204$499,9960.04%
275W W Grainger Inc384802104898$499,5130.04%
276Marathon Petroleum CorpMARA4,272$497,2180.04%
277Fedex CorpFDX2,768$479,4180.04%
278Ecolab IncECL3,281$477,5820.04%
279SPDR Dow Jones Industrial Avg78467X1091,424$471,8140.04%
280Target CorpTGT3,162$471,2640.04%
281Intuitive Surgical IncISRG1,775$470,9960.03%
282Berkshire Hathaway Inc Cl ABRK-A1$468,7110.03%
283Eli Lilly & CompanyLLY1,270$464,6170.03%
284Wells Fargo & Company New94974610110,951$452,1670.03%
285Golub Capital BDC Inc38173M10234,355$452,1120.03%
286Vanguard Intermediate-Term Bond ETF9219378196,052$449,7850.03%
287Ishares S&P Midcap 400 Value Index Fd4642877054,428$446,3420.03%
288Vanguard Value ETF9229087443,174$445,5340.03%
289Agilent Technologies IncA2,956$442,3650.03%
290ABM Inds Inc0009571009,932$441,1790.03%
291UnitedHealth Group IncUNH830$440,0490.03%
292Thermo Fisher Scientific IncTMO797$438,9000.03%
293Nucor CorpNUE3,323$438,0050.03%
294Public Service Enterprise Gp7445731067,119$436,1810.03%
295Invesco S&P 500 Low Volatility ETFIVZ6,809$435,0950.03%
296Vanguard REIT ETF9229085535,256$433,5150.03%
297McCormick & Co IncMKC-V5,202$431,1940.03%
298SPDR S&P MidCap 400MDY962$425,9640.03%
299Danaher Corp2358511021,567$415,9130.03%
300Whirlpool CorpWHR-PA2,906$411,0830.03%
301I Shares MSCI Emerging Markets Index46428723410,688$405,0750.03%
302Diageo PLC Spons ADR NewDGEAF2,273$405,0260.03%
303Weyerhaeuser CompanyWY12,813$397,2030.03%
304Deere & CoDE921$394,8880.03%
305Dominion Energy IncD6,336$388,5240.03%
306Liberty Broadband Corp Ser CLBRDP5,072$386,8410.03%
307General Dynamics CorpGD1,542$382,5860.03%
308American Water Works Company0304201032,503$381,5070.03%
309Carrier Global CorporationCARR9,225$380,5310.03%
310I Shares Select Dividend ETF4642871683,140$378,6840.03%
311Gilead Sciences IncGILD4,401$377,8260.03%
312Liberty Global PLC ser CLBTYK18,804$365,3620.03%
313Novartis AG ADRNVSEF4,005$363,3340.03%
314SPDR S&P 500 Fossil Fuel Reserves Free ETF78468R7963,850$359,3980.03%
315Mettler Toledo Intl IncMTD244$352,6900.03%
316Emerson Electric CoEMR3,668$352,3480.03%
317The Hershey CompanyHSY1,497$346,6600.03%
318Dorchester Minerals LPDMLP11,416$341,6810.03%
319NXP Semiconductors NVNXPI2,150$339,7650.03%
320Ishares Russell Mid Cap Growth4642874813,946$329,8860.02%
321Vanguard Short Term Inflation Prot Secs ETF9220208056,995$326,7360.02%
322Spdr Ser Trust SP Biotech ETF78464A8703,933$326,4390.02%
323Digital Realty Trust Inc2538681033,156$316,4520.02%
324Corning IncGLW9,905$316,3660.02%
325Lockheed Martin CorpLMT648$315,2460.02%
326Fortune Brands Innovations IncFBIN5,075$314,1430.02%
327iShares MSCI USA ESG Select Index4642888023,729$306,9710.02%
328Intel CorpINTC11,478$303,3640.02%
329Starbucks CorpSBUX3,052$302,7580.02%
330Ameriprise Financial Inc03076C106971$302,3400.02%
331Vanguard Growth ETF9229087361,402$298,7800.02%
332Avista CorporationAVA6,728$298,3200.02%
333Moodys CorpMCO1,046$291,4370.02%
3343MMMM2,399$287,6880.02%
335I Shares Russell Mid Cap4642874994,236$285,7180.02%
336Yum Brands IncYUM2,175$278,5740.02%
337The Hershey CompanyHSY1,200$277,8840.02%
338General Electric Co3696043013,301$276,5910.02%
339Phillips 66PSX2,640$274,7710.02%
340Eversource EnergyES3,269$274,0730.02%
341TE Connectivity LtdTEL2,343$268,9760.02%
342CME Group IncCME1,592$267,7110.02%
343Duke Energy Corp NewDUKB2,582$265,9200.02%
344Ishares Core Total US Bond Fund4642872262,736$265,3650.02%
345Bank Of America Corp0605051048,000$264,9600.02%
346Progressive Corp Ohio7433151032,042$264,8680.02%
347Community Bk Sys IncCBU4,204$264,6420.02%
348Goldman Sachs GroupGSCE766$263,0290.02%
349Ares Capital CorpARCC14,201$262,2920.02%
350Sanofi Spons ADRSNYNF5,346$258,9070.02%
351Ishares Kld 400 Social Indexfund4642885703,589$257,6540.02%
352WisdomTree Dividend Ex-FinancialsWT2,720$249,7090.02%
353Citigroup Inc NewC-PR5,502$248,8550.02%
354HP IncHPQ9,261$248,8430.02%
355Essex Ppty Tr REIT2971781051,147$243,0720.02%
356First Tr Global Wind Energy ETF33736G10613,822$239,3970.02%
357Cabot CorpCBT3,570$238,6190.02%
358Cognizant Technology Sol Corp Cl ACTSH4,148$237,2240.02%
359Rockwell Automation IncROK913$235,1610.02%
360I Shares Russell 20004642876551,341$233,8170.02%
361Ishares Russell 2000 Value Index Fund4642876301,663$230,6080.02%
362Sherwin Williams CoSHW950$225,4640.02%
363Corteva IncCTVA3,828$225,0100.02%
364Novo Nordisk A/S ADRNONOF1,657$224,2580.02%
365Ishs Edge MSCI USA Quality Factor ETF46432F3391,967$224,1590.02%
366Leidos Holdings IncLDOS2,126$223,6340.02%
367Otis Worldwide CorpOTIS2,781$217,7800.02%
368KLA CorporationKLAC575$216,7920.02%
369Parker Hannifin CorpPH741$215,6310.02%
370Tyson Foods Inc Cl ATSN3,441$214,2020.02%
371L3Harris Technologies IncLHX1,003$208,8350.02%
372Eaton Corp PLCETN1,326$208,1160.02%
373Southern CoSOMN2,903$207,3030.02%
374SunPower CorporationSPWRW11,365$204,9110.02%
375Metlife IncMET-PF2,809$203,2870.02%
376Cigna Corp New125523100605$200,4610.01%
377Trex Company IncTREX4,710$199,3740.01%
378Ishs MSCI USA Min Vol Factor ETF46429B6972,749$198,2030.01%
379Amphenol Corp New Cl A0320951012,600$197,9640.01%
380Canadian Pacific Railway Ltd13645T1002,648$197,5140.01%
381Public Storage IncPSA-PS704$197,2540.01%
382Arrow Electronics Inc0427351001,876$196,1730.01%
383Wal Mart Stores IncWMT1,379$195,5280.01%
384Schwab US Dividend Equity ETF8085247972,558$193,2310.01%
385Bar Harbor Bankshares0668491005,966$191,1510.01%
386Keycorp New49326710810,950$190,7490.01%
387Canadian Natl Ry Co1363751021,600$190,2080.01%
388First Solar IncFSLR1,262$189,0350.01%
389Paypal Hldgs IncPYPL2,640$188,0210.01%
390Univest Financial CorporationUVSP7,004$183,0150.01%
391Astrazeneca Plc AdrAZN2,684$181,9750.01%
392HCA Healthcare IncHCA758$181,8900.01%
393Alphabet Inc Cap Stk Cl AGOOG2,060$181,7540.01%
394Roper Technologies IncROP420$181,4780.01%
395Southern Copper Corp DelSCCO3,000$181,1700.01%
396Oneok Inc NewOKE2,751$180,7410.01%
397Centerpoint Energy IncCNP6,000$179,9400.01%
398Invesco S&P 500 Eql Wgt ETFIVZ1,272$179,6700.01%
399Molina Healthcare IncMOH544$179,6400.01%
400PPG Industries Inc6935061071,426$179,3050.01%
401Gallagher Arthur J & Co363576109950$179,1130.01%
402Emcor Group IncEME1,203$178,1760.01%
403Astrazeneca Plc AdrAZN2,620$177,6360.01%
404Ishares Russell 2000 Growth Index Fund464287648824$176,7640.01%
405Visa IncV843$175,1420.01%
406Republic Svcs Inc7607591001,355$174,7810.01%
407Spdr S&P 500 Etf TrustSPY456$174,3880.01%
408Meta Platforms IncMETA1,444$173,7710.01%
409Keysight Technologies IncKEYS1,012$173,1230.01%
410Zimmer Biomet Hldgs IncZBH1,345$171,4880.01%
411Marriott International Inc Cl A5719032021,151$171,3720.01%
412Ishares Barclays TIPs Bond ETF4642871761,607$171,0490.01%
413Adobe IncADBE505$169,9480.01%
414American Tower REIT03027X100790$167,3690.01%
415American Electric Power Company Inc0255371011,760$167,1120.01%
416EOG Resources IncEOG1,264$163,7130.01%
417Northrop Grumman CorpNOC300$163,6830.01%
418Schwab Intl Equity ETF8085248055,047$162,5640.01%
419Zoetis Inc Cl AZTS1,109$162,5240.01%
420Humana IncHUM317$162,3640.01%
421American States Water Co0298991011,750$161,9630.01%
422Texas Instruments Inc882508104975$161,0900.01%
423Telephone & Data Sys IncTDS-PV15,150$158,9240.01%
424Fiserv IncFISV1,571$158,7810.01%
425Johnson Controls Intl PLCG515021052,480$158,7200.01%
426Vanguard Dividend Appreciation ETF9219088441,035$157,1650.01%
427Ishares S&P 500 Value Index Fund4642874081,079$156,5310.01%
428W W Grainger Inc384802104281$156,3060.01%
429SPDR S&P Dividend ETF78464A7631,234$154,3860.01%
430Palo Alto Networks IncPANW1,095$152,7960.01%
431Estee Lauder Cos Inc Cl A518439104615$152,5880.01%
432Zoom Video Communications Inc Cl AZM2,251$152,4830.01%
433Caterpillar IncCAT632$151,4020.01%
434Franco Nev CorpFNV1,100$150,1280.01%
435Invesco Buyback Achievers ETFIVZ1,751$149,8160.01%
436CBOE Global Markets Inc12503M1081,193$149,6860.01%
437Snap On IncSNA647$147,8330.01%
438Landstar Sys IncLSTR907$147,7500.01%
439McKesson CorpMCK390$146,2970.01%
440O Reilly Automotive Inc New67103H107173$146,0170.01%
441Community Bk Sys IncCBU2,311$145,4770.01%
442Discover Financial Services2547091081,476$144,3970.01%
443Chipotle Mexican Grill IncCMG104$144,2990.01%
444Solaredge Technologies IncSEDG506$143,3350.01%
445Ishares S&P 500 Growth Index Fund4642873092,445$143,0330.01%
446Ark Innovation ETF00214Q1044,574$142,8920.01%
447Royal Bank Of Canada7800871021,511$142,0640.01%
448ABB Ltd ADRABLZF4,654$141,7610.01%
449Ishs S&P Small Cap 600 Value ETF4642878791,546$141,1650.01%
450Invesco Solar ETFIVZ1,914$139,6070.01%
451Cincinnati Financial Corp1720621011,355$138,7380.01%
452Freeport McMoran Copper & Gold Inc Cl BFCX3,615$137,3700.01%
453iShares MSCI USA ESG Select Index4642888021,640$135,0050.01%
454Aon PLCAON449$134,7630.01%
455Vanguard Emerging Markets ETF9220428583,440$134,0910.01%
456Netflix IncNFLX454$133,8760.01%
457Putnam Intl Capital Opportunities Fd7468024953,877$133,7610.01%
458Solaredge Technologies IncSEDG470$133,1370.01%
459Crown Castle IncCCI980$132,9270.01%
460Federal Realty Invt Tr LP3137451011,300$131,3520.01%
461Vanguard Information Technology ETF92204A702407$130,0000.01%
462MKS Instruments IncMKSI1,525$129,2130.01%
463Hewlett Packard Enterprise CoHPE-PC7,926$126,4990.01%
464State Street CorpSTT-PG1,628$126,2840.01%
465Evergy Inc NPVEVRG2,000$125,8600.01%
466Boeing CompanyBA-PA655$124,7710.01%
467MFC Select Sector SPDR Tr Technology81369Y8031,000$124,4400.01%
468Paychex IncPAYX1,057$122,1470.01%
469IntuitINTU310$120,6580.01%
470Fox Corp Cl AFOX3,931$119,3840.01%
471Vertex Pharmaceuticals IncVRTX413$119,2660.01%
472Vanguard Bond Index Fd ETF9219378351,654$118,8230.01%
473Schlumberger LtdSLB2,200$117,6120.01%
474First American Finl Corp31847R1022,242$117,3460.01%
475RPM International Inc7496851031,200$116,9400.01%
476Jones Lang Lasalle IncJLL720$114,7460.01%
477I Shares Russell Midcap Value Index Fund4642874731,081$113,8730.01%
478ONE Gas IncOGS1,500$113,5800.01%
479Teleflex IncTFX450$112,3340.01%
480Vanguard FTSE Dev Mkts ETF9219438582,622$110,0450.01%
481Motorola Solutions IncMSI425$109,5270.01%
482Edwards Lifesciences CorpEW1,459$108,8560.01%
483Bk Montreal Que0636711011,200$108,7200.01%
484Gladstone CommercialGOODO5,870$108,5950.01%
485Charter Communications Inc16119P108320$108,5120.01%
486Arch Capital Group LtdG0450A1051,728$108,4840.01%
487Trane Technologies PLCTT642$107,9140.01%
488National Grid PLC ADR New 2017NMPWP1,787$107,7920.01%
489AutoNation IncAN1,000$107,3000.01%
490Broadridge Financial Solutions Inc11133T103789$105,8290.01%
491Lithia Motors Inc A536797103511$104,6220.01%
492BYD Co Ltd ADRBYDDF2,100$103,6420.01%
493BP PLC Sponsored ADRBPPFF2,961$103,4280.01%
494Invesco Water Res ETFIVZ2,000$103,0800.01%
495Booking Holdings IncBKNG51$102,7790.01%
496SempraSREA665$102,7690.01%
497Sysco CorpSYY1,344$102,7490.01%
498Masco CorpMAS2,200$102,6740.01%
499Valero Energy Corp NewVLO804$101,9950.01%
500Mohawk Inds Inc608190104992$101,4020.01%