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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 Q4 2023 · Filed November 27, 2023 · Accession 0001134008-23-000004

Total Value
$1.48B
Positions
1,099
Other Managers
0
Confidential Omitted
No
View on SEC.gov

Holdings (500)

#IssuerTicker / CUSIPSharesValue% of Filing
1Apple IncAAPL519,354$88.9M6.07%
2Microsoft CorpMSFT174,886$55.2M3.77%
3Alphabet Inc Cap Stk Cl CGOOG347,175$45.8M3.13%
4Berkshire Hathaway Inc Del Cl B NewBRK-A115,072$40.3M2.75%
5Amazon Com IncAMZN283,911$36.1M2.46%
6Costco Wholesale Corporation22160K10546,435$26.2M1.79%
7Mastercard IncMA59,008$23.4M1.59%
8JP Morgan Chase & CoVYLD159,180$23.1M1.58%
9Johnson & JohnsonJNJ138,477$21.6M1.47%
10Accenture PLC IrelandACN67,847$20.8M1.42%
11Abbvie IncABBV134,785$20.1M1.37%
12Thermo Fisher Scientific IncTMO36,199$18.3M1.25%
13Procter & Gamble Co742718109124,083$18.1M1.24%
14Blackrock IncBLK27,962$18.1M1.23%
15Pepsico IncPEP105,057$17.8M1.22%
16Becton Dickinson & CompanyBDX63,802$16.5M1.13%
17Applied Materials Inc038222105118,168$16.4M1.12%
18Honeywell Intl Inc43851610687,923$16.2M1.11%
19Abbott LaboratoriesABLZF163,231$15.8M1.08%
20Home DepotHD51,992$15.7M1.07%
21Lowes Companies Inc54866110775,331$15.7M1.07%
22Palo Alto Networks IncPANW65,696$15.4M1.05%
23Union Pacific CorpUNP75,464$15.4M1.05%
24Vanguard Short Term Inflation Prot Secs ETF922020805305,346$14.4M0.99%
25Comcast Corp Cl ACCZ320,977$14.2M0.97%
26Nextera Energy IncNEE-PW230,874$13.2M0.90%
27Starbucks CorpSBUX136,199$12.4M0.85%
28I Shares Core S&P Small-Cap ETF464287804130,647$12.3M0.84%
29Merck & Co Inc NewMRK118,206$12.2M0.83%
30Meta Platforms IncMETA40,320$12.1M0.83%
31UnitedHealth Group IncUNH23,778$12.0M0.82%
32Air Products & Chemical IncAIIR41,959$11.9M0.81%
33Visa IncV49,722$11.4M0.78%
34Automatic Data ProcessingADP47,448$11.4M0.78%
35IntuitINTU22,244$11.4M0.78%
36Chevron CorporationCVX66,199$11.2M0.76%
37I Shares Core S&P Mid-Cap ETF46428750744,598$11.1M0.76%
38Alphabet Inc Cap Stk Cl AGOOG84,437$11.0M0.75%
39CVS Health CorpCVS156,840$11.0M0.75%
40Emerson Electric CoEMR111,980$10.8M0.74%
41Pfizer IncPFE325,589$10.8M0.74%
42Ecolab IncECL61,198$10.4M0.71%
43McDonalds CorpMCD39,306$10.4M0.71%
44Eaton Corp PLCETN47,336$10.1M0.69%
45Analog Devices IncADI56,273$9.9M0.67%
46Cisco Sys IncCSCO173,109$9.3M0.64%
47CME Group IncCME46,033$9.2M0.63%
48American Tower REIT03027X10055,065$9.1M0.62%
49Enbridge IncENNPF267,737$8.9M0.61%
50Illinois Tool Wks Inc45230810938,070$8.8M0.60%
51Booking Holdings IncBKNG2,825$8.7M0.59%
52Exxon Mobil CorpXOM74,084$8.7M0.59%
53Adobe IncADBE16,497$8.4M0.57%
54Apple IncAAPL48,969$8.4M0.57%
55Nike Inc Cl BNKE83,823$8.0M0.55%
56Church & Dwight Co IncCHD83,816$7.7M0.52%
57Realty Income CorporationO152,049$7.6M0.52%
58Microsoft CorpMSFT23,569$7.4M0.51%
59Disney Walt Company25468710689,388$7.2M0.49%
60Salesforce IncCRM35,484$7.2M0.49%
61McCormick & Co IncMKC-V89,098$6.7M0.46%
62TJX Cos Inc87254010973,391$6.5M0.45%
63Stryker CorpSYK23,281$6.4M0.43%
64Vanguard FTSE Dev Mkts ETF921943858142,867$6.2M0.43%
65Wal Mart Stores IncWMT39,035$6.2M0.43%
663MMMM65,750$6.2M0.42%
67Nvidia CorporationNVDA14,012$6.1M0.42%
68Constellation Brands IncSTZ22,605$5.7M0.39%
69Deere & CoDE15,039$5.7M0.39%
70Medtronic Hldg LtdMDT71,980$5.6M0.39%
71Lockheed Martin CorpLMT13,761$5.6M0.38%
72JP Morgan Chase & CoVYLD38,583$5.6M0.38%
73Intercontinental Exchange Inc45866F10449,917$5.5M0.37%
74Spdr S&P 500 Etf TrustSPY12,562$5.4M0.37%
75Paychex IncPAYX46,144$5.3M0.36%
76Novartis AG ADRNVSEF48,929$5.0M0.34%
77Diageo PLC Spons ADR NewDGEAF32,768$4.9M0.33%
78Danaher Corp23585110219,660$4.9M0.33%
79Ishares S&P 500 Index Fund46428720011,283$4.8M0.33%
80Vanguard FTSE All-World ex-US ETF92204277592,435$4.8M0.33%
81Bristol Myers Squibb CoCELG-RI82,188$4.8M0.33%
82Chubb LtdCB22,833$4.8M0.32%
83Amgen IncAMGN17,465$4.7M0.32%
84Verizon Communications IncVZ143,966$4.7M0.32%
85Autodesk IncADSK22,548$4.7M0.32%
86Penske Automotive Group Inc70959W10327,232$4.5M0.31%
87Cigna Group12552310015,777$4.5M0.31%
88Vanguard Emerging Markets ETF922042858113,687$4.5M0.30%
89Vanguard Dividend Appreciation ETF92190884428,637$4.4M0.30%
90Tesla Motors IncTSLA17,658$4.4M0.30%
91Intl Business MachinesINTR31,235$4.4M0.30%
92Activision Blizzard Inc00507V10946,343$4.3M0.30%
93Waste Management Inc New94106L10926,638$4.1M0.28%
94Invesco QQQ Trust ETFIVZ11,109$4.0M0.27%
95MSC Industrial Direct Co Cl A55353010639,605$3.9M0.27%
96Abbvie IncABBV24,381$3.6M0.25%
97Kimberly-Clark CorpKMB30,046$3.6M0.25%
98Vanguard Idx Fds S&P 500 ETF9229083639,170$3.6M0.25%
99Oracle CorporationORCL-PD33,841$3.6M0.24%
100Linde PLCLIN9,525$3.5M0.24%
101Bank Of America Corp060505104128,633$3.5M0.24%
102Norfolk Southern Corp65584410817,833$3.5M0.24%
103Eli Lilly & CompanyLLY6,361$3.4M0.23%
104Caterpillar IncCAT12,161$3.3M0.23%
105Mondelez Intl Inc60920710546,246$3.2M0.22%
106Intel CorpINTC88,197$3.1M0.21%
107Chevron CorporationCVX18,465$3.1M0.21%
108Johnson & JohnsonJNJ19,952$3.1M0.21%
109Crown Holdings IncCCK34,246$3.0M0.21%
110Coca Cola CoKO53,655$3.0M0.21%
111Clorox CompanyCLX22,742$3.0M0.20%
112Vanguard Bond Index Fd ETF92193783540,292$2.8M0.19%
113Exxon Mobil CorpXOM23,329$2.7M0.19%
114US Bancorp DelUSB-PS82,568$2.7M0.19%
115Capital One Financial Corp14040H10528,053$2.7M0.19%
116Automatic Data ProcessingADP11,169$2.7M0.18%
117LAM Research CorpLRCX4,265$2.7M0.18%
118Analog Devices IncADI15,114$2.6M0.18%
119American Express CoAXP17,337$2.6M0.18%
120Allstate CorpALL-PJ23,022$2.6M0.18%
121Brookfield Corp11271J10780,767$2.5M0.17%
122Mondelez Intl Inc60920710536,041$2.5M0.17%
123Abbott LaboratoriesABLZF24,598$2.4M0.16%
124Pepsico IncPEP14,040$2.4M0.16%
125Unilever PLC ADRUNLYF47,620$2.4M0.16%
126Vanguard High Dividend Yld ETF92194640622,564$2.3M0.16%
127Vanguard Total Stock Mkt ETF92290876910,615$2.3M0.15%
128Toronto Dominion Bank NewTORO37,013$2.2M0.15%
129Dow IncDOW43,082$2.2M0.15%
130S&P Global IncSPGI5,871$2.1M0.15%
131Costco Wholesale Corporation22160K1053,749$2.1M0.14%
132Alphabet Inc Cap Stk Cl CGOOG15,961$2.1M0.14%
133Lowes Companies Inc54866110710,042$2.1M0.14%
134Norfolk Southern Corp65584410810,003$2.0M0.13%
135Texas Instruments Inc88250810412,324$2.0M0.13%
136ConocophillipsCOP16,152$1.9M0.13%
137Amazon Com IncAMZN14,199$1.8M0.12%
138AT&T IncT-PC119,711$1.8M0.12%
139Consolidated Edison IncED20,767$1.8M0.12%
140Carrier Global CorporationCARR31,768$1.8M0.12%
141Paypal Hldgs IncPYPL29,838$1.7M0.12%
142Vanguard Short-Term Bond ETF92193782723,166$1.7M0.12%
143Invesco Solar ETFIVZ33,357$1.7M0.12%
144Amgen IncAMGN6,376$1.7M0.12%
145General Mills Inc37033410426,723$1.7M0.12%
146Sysco CorpSYY25,712$1.7M0.12%
147Flexshares Quality Divd Index ETFFLEX30,278$1.7M0.12%
148Cheniere Energy Inc NewLNG10,105$1.7M0.11%
149Genuine Parts CoGPC11,603$1.7M0.11%
150Colgate-Palmolive CoCL23,446$1.7M0.11%
151Broadcom IncAVGO1,990$1.7M0.11%
152Novo Nordisk A/S ADRNONOF17,540$1.6M0.11%
153CSX CorpCSX51,750$1.6M0.11%
154Spdr Gold SharesGLD9,152$1.6M0.11%
155Taiwan Semiconductor Manufacturing Co87403910017,436$1.5M0.10%
156Procter & Gamble Co74271810910,328$1.5M0.10%
157M & T Bank Corporation55261F10411,741$1.5M0.10%
158Dupont De Nemours IncDD19,705$1.5M0.10%
159Pfizer IncPFE43,991$1.5M0.10%
160Price T Rowe Group IncTROW13,472$1.4M0.10%
161American Express CoAXP9,265$1.4M0.09%
162Duke Energy Corp NewDUKB15,607$1.4M0.09%
163Vanguard Small-Cap ETF9229087517,247$1.4M0.09%
164Applied Materials Inc0382221059,729$1.3M0.09%
165Altria Group IncMO31,982$1.3M0.09%
166Cummins IncCMI5,871$1.3M0.09%
167Berkshire Hathaway Inc Del Cl B NewBRK-A3,812$1.3M0.09%
168Philip Morris Intl Inc71817210914,318$1.3M0.09%
169Ebay IncEBAY29,638$1.3M0.09%
170Vanguard Large Cap ETF9229086376,500$1.3M0.09%
171United Parcel Svc Inc Cl BUPS8,136$1.3M0.09%
172Accenture PLC IrelandACN4,096$1.3M0.09%
173Dominion Energy IncD28,119$1.3M0.09%
174Southern CoSOMN19,375$1.3M0.09%
175Nike Inc Cl BNKE13,050$1.2M0.09%
176Autozone IncAZO487$1.2M0.08%
177I Shares MSCI EAFE Index Fd46428746517,925$1.2M0.08%
178Stryker CorpSYK4,507$1.2M0.08%
179Truist Finl Corp89832Q10942,958$1.2M0.08%
180Vanguard Small Cap Value ETF9229086117,670$1.2M0.08%
181Target CorpTGT11,057$1.2M0.08%
182McDonalds CorpMCD4,609$1.2M0.08%
183General Dynamics CorpGD5,434$1.2M0.08%
184Ishares S&P Midcap 400 Growth Index Fund46428760616,178$1.2M0.08%
185Mastercard IncMA2,914$1.2M0.08%
186Church & Dwight Co IncCHD12,504$1.1M0.08%
187Merck & Co Inc NewMRK11,051$1.1M0.08%
188Enbridge IncENNPF34,064$1.1M0.08%
189Verisign IncVRSN5,525$1.1M0.08%
190SPDR S&P Dividend ETF78464A7639,703$1.1M0.08%
191Bristol Myers Squibb CoCELG-RI18,888$1.1M0.07%
192Atmos Energy CorpATO10,348$1.1M0.07%
193ABB Ltd ADRABLZF29,547$1.1M0.07%
194Otis Worldwide CorpOTIS13,123$1.1M0.07%
195Vanguard Mid Cap ETF9229086295,041$1.0M0.07%
196KellanovaBEKE17,365$1.0M0.07%
197First Solar IncFSLR6,366$1.0M0.07%
198Illinois Tool Wks Inc4523081094,285$986,8780.07%
199Novo Nordisk A/S ADRNONOF10,772$983,4840.07%
200I Shares Core S&P Small-Cap ETF46428780410,262$968,0140.07%
201I Shares Core S&P Mid-Cap ETF4642875073,831$955,2600.07%
202Qualcomm IncQCOM8,570$951,7840.06%
203Vanguard Intermediate-Term Bond ETF92193781913,020$941,4760.06%
204Cardinal Health IncCAH10,762$934,3570.06%
205Vanguard Mid-Cap Value ETF9229085127,123$932,8280.06%
206Ishares Barclays TIPs Bond ETF4642871768,841$916,9890.06%
207Honeywell Intl Inc4385161064,941$912,8000.06%
208Texas Pacific Land CorporationTPL500$911,7800.06%
209Prestige Brand Holdings74112D10115,744$900,3990.06%
210Coca Cola CoKO16,066$899,3750.06%
211Berkley W R CorpWRB-PH14,042$891,5270.06%
212Air Products & Chemical IncAIIR3,129$886,7590.06%
213Markel Group IncMKL601$884,9660.06%
214Aflac IncorporatedAFL11,423$876,7150.06%
215Fidelity Natl Information Svcs Inc31620M10615,854$876,2510.06%
216Occidental Petroleum Corp67459910513,348$866,0180.06%
217Union Pacific CorpUNP4,190$853,2100.06%
218Cisco Sys IncCSCO15,376$826,6140.06%
219Ameriprise Financial Inc03076C1062,500$824,2000.06%
220Morgan StanleyMS-PQ10,051$820,8650.06%
221Home DepotHD2,715$820,3640.06%
222Intuitive Surgical IncISRG2,792$816,0740.06%
223Toronto Dominion Bank NewTORO13,164$793,2630.05%
224Comcast Corp Cl ACCZ17,771$787,9660.05%
225Digital Realty Trust Inc2538681036,480$784,2100.05%
226Warner Bros Discovery IncWBD71,494$776,4250.05%
227Nextera Energy IncNEE-PW13,432$769,5190.05%
228Oracle CorporationORCL-PD7,256$768,5560.05%
229CVS Health CorpCVS10,987$767,1120.05%
230Intl Business MachinesINTR5,178$726,4730.05%
231Thermo Fisher Scientific IncTMO1,435$726,3540.05%
232Realty Income CorporationO14,300$714,1420.05%
233Vanguard Growth ETF9229087362,586$704,1940.05%
234Vanguard Value ETF9229087445,044$695,7190.05%
235Becton Dickinson & CompanyBDX2,684$693,8950.05%
236Dover CorpDOV4,922$686,6680.05%
237Waters Corp9418481032,484$681,1380.05%
238Coterra Energy IncCTRA24,849$672,1650.05%
239Fedex CorpFDX2,519$667,3330.05%
240Arrow Financial Corp04274410239,105$665,5680.05%
241Stonex Group IncSNEX6,827$661,6730.05%
242Marathon Petroleum CorpMARA4,272$646,5240.04%
243Ecolab IncECL3,723$630,6760.04%
244Portland General Electric73650884715,545$629,2620.04%
245SS&C Technologies Hldgs IncSSNC11,745$617,0820.04%
246Boston Beer Inc Cl ASAM1,580$615,4570.04%
247W W Grainger Inc384802104882$610,2030.04%
248Xylem IncXYL6,642$604,6210.04%
249Laboratory Corp Amer Hldgs New50540R4093,004$603,9540.04%
250Travelers Cos IncTRV3,687$602,1240.04%
251Gilead Sciences IncGILD8,006$599,9700.04%
252Shell PLCRYDAF9,224$593,8410.04%
253Boeing CompanyBA-PA3,069$588,2660.04%
254Colgate-Palmolive CoCL8,238$585,8040.04%
255TJX Cos Inc8725401096,577$584,5640.04%
256SPDR Dow Jones Industrial Avg78467X1091,745$584,4880.04%
257Biogen IncBIIB2,268$582,8990.04%
258Blackrock IncBLK881$569,5580.04%
259Meta Platforms IncMETA1,873$562,2930.04%
260Sealed Air Corp NewSE17,076$561,1170.04%
261Eli Lilly & CompanyLLY1,043$560,2270.04%
262Atmos Energy CorpATO5,240$555,0730.04%
263M & T Bank Corporation55261F1044,372$552,8390.04%
264Union Bankshares IncUNB25,715$552,1010.04%
265Caterpillar IncCAT1,984$541,6320.04%
266US Bancorp DelUSB-PS16,272$537,9520.04%
267Berkshire Hathaway Inc Cl ABRK-A1$531,4770.04%
268Intuitive Surgical IncISRG1,792$523,7840.04%
269Visa IncV2,242$515,6820.04%
270IShares Global Clean Energy ETF46428822435,028$512,1090.03%
271CSX CorpCSX16,620$511,0650.03%
272Stanley Black & Decker IncSWK6,060$506,4950.03%
273Golub Capital BDC Inc38173M10234,355$503,9880.03%
274iShares MSCI USA ESG Select Index4642888025,537$498,1640.03%
275Alphabet Inc Cap Stk Cl AGOOG3,798$497,0060.03%
276SPDR S&P MidCap 400MDY1,087$496,3680.03%
277Carrier Global CorporationCARR8,841$488,0230.03%
278Altria Group IncMO11,602$487,8640.03%
279Nucor CorpNUE3,114$486,8740.03%
280Rockwell Automation IncROK1,697$485,1210.03%
281T Mobile US IncTMUSZ3,448$482,8920.03%
282Disney Walt Company2546871065,934$480,9510.03%
283Kraft Heinz CoKHC14,251$479,4040.03%
284General Electric Co3696043014,329$478,5710.03%
285Invesco Global Clean Energy ETFIVZ30,592$470,5660.03%
286Liberty Broadband Corp Ser CLBRDP5,042$460,4350.03%
287Wells Fargo & Company New94974610111,212$458,1220.03%
288McCormick & Co IncMKC-V5,777$436,9720.03%
289Parker Hannifin CorpPH1,115$434,3150.03%
290Enphase Energy IncENPH3,557$427,3740.03%
291UnitedHealth Group IncUNH833$419,9900.03%
292I Shares Select Dividend ETF4642871683,875$417,1050.03%
293Novartis AG ADRNVSEF4,005$407,9490.03%
294The J M Smucker Company8326964053,293$404,7430.03%
295AT&T IncT-PC26,887$403,8430.03%
296Deere & CoDE1,065$401,9100.03%
297SPDR S&P 500 Fossil Fuel Reserves Free ETF78468R79611,550$401,1320.03%
298I Shares MSCI Emerging Markets Index46428723410,523$399,3480.03%
299Danaher Corp2358511021,603$397,7040.03%
300Telus CorpTU24,305$397,1440.03%
301Liberty Media Corp Del Liberty SiriusXm Ser AFWONB15,530$395,2390.03%
302Public Service Enterprise Gp7445731066,871$391,0290.03%
303NXP Semiconductors NVNXPI1,950$389,8440.03%
304Invesco S&P 500 Low Volatility ETFIVZ6,630$389,7780.03%
305Northrop Grumman CorpNOC881$387,8070.03%
306Bank New York Mellon Corp0640581008,898$379,5000.03%
307Vanguard REIT ETF9229085534,837$365,9670.02%
308CME Group IncCME1,798$359,9960.02%
309Invesco S&P 500 Eql Wgt ETFIVZ2,525$357,7670.02%
310Diageo PLC Spons ADR NewDGEAF2,358$351,7660.02%
311Verizon Communications IncVZ10,728$347,6940.02%
312Ishares Russell Mid Cap Growth4642874813,794$346,5820.02%
313Bk Montreal Que0636711014,098$345,7480.02%
314Palo Alto Networks IncPANW1,458$341,8140.02%
315Ishares S&P Midcap 400 Value Index Fd4642877053,376$340,7400.02%
316General Dynamics CorpGD1,542$340,7360.02%
317Provident Financial Services Inc74386T10522,201$339,4530.02%
318Royal Bank Of Canada7800871023,864$337,8680.02%
319Simon Ppty Group Inc New8288061093,103$335,2170.02%
320Target CorpTGT3,000$331,7100.02%
321Dorchester Minerals LPDMLP11,416$331,6350.02%
322Liberty Global PLC ser CLBTYK17,615$326,9340.02%
323Emerson Electric CoEMR3,360$324,4750.02%
324Vanguard Short Term Inflation Prot Secs ETF9220208056,821$322,4970.02%
325Ishares Core MSCI EAFE ETF46432F8424,986$320,8490.02%
326Agilent Technologies IncA2,856$319,3580.02%
327Advanced Micro Devices IncAMD3,101$318,8450.02%
328ABM Inds Inc0009571007,914$316,6390.02%
329KLA CorporationKLAC690$316,4750.02%
330Fortune Brands Innovations IncFBIN5,075$314,1430.02%
331The Hershey CompanyHSY1,562$312,5250.02%
332Starbucks CorpSBUX3,393$309,6790.02%
333Moodys CorpMCO971$307,0010.02%
334Digital Realty Trust Inc2538681032,526$305,6970.02%
335Ishares Kld 400 Social Indexfund4642885703,742$304,6360.02%
336Weyerhaeuser CompanyWY9,763$299,3340.02%
337I Shares Russell Mid Cap4642874994,262$295,1440.02%
338Eversource EnergyES5,068$294,7040.02%
339Gallagher Arthur J & Co3635761091,288$293,5740.02%
340Trex Company IncTREX4,753$292,9270.02%
341Goldman Sachs GroupGSCE897$290,2420.02%
342Bank Of America Corp06050510410,565$289,2700.02%
343TE Connectivity LtdTEL2,291$283,0070.02%
344Intel CorpINTC7,950$282,6230.02%
345Yum Brands IncYUM2,257$281,9900.02%
346Eaton Corp PLCETN1,305$278,3300.02%
347Ares Capital CorpARCC14,201$276,4930.02%
348PNC Financial Services Group Inc6934751052,249$276,1100.02%
349Progressive Corp Ohio7433151031,968$274,1420.02%
350Vanguard Emerging Markets ETF9220428586,909$270,9020.02%
351Ishs Edge MSCI USA Quality Factor ETF46432F3392,027$267,1380.02%
352Phillips 66PSX2,196$263,8490.02%
353American Water Works Company0304201032,126$263,2630.02%
354Lockheed Martin CorpLMT640$261,7340.02%
355Sanofi Spons ADRSNYNF4,836$259,4030.02%
356Boeing CompanyBA-PA1,320$253,0180.02%
357Cabot CorpCBT3,552$246,0470.02%
358Wal Mart Stores IncWMT1,531$244,8530.02%
359IntuitINTU479$244,7400.02%
360I Shares Russell 20004642876551,372$242,4870.02%
361WisdomTree Dividend Ex-FinancialsWT2,720$241,9780.02%
362Kennedy-Wilson Holdings IncKW16,308$240,3800.02%
363The Hershey CompanyHSY1,200$240,0960.02%
364Corning IncGLW7,860$239,4940.02%
365Texas Instruments Inc8825081041,470$233,7450.02%
366Boston Scientific CorpBSX4,402$232,4260.02%
367Mettler Toledo Intl IncMTD205$227,1540.02%
368Spdr Ser Trust SP Biotech ETF78464A8703,110$227,0920.02%
369Sherwin Williams CoSHW880$224,4440.02%
370Dominion Energy IncD5,022$224,3330.02%
371Southern CoSOMN3,403$220,2420.02%
372Public Storage IncPSA-PS832$219,2490.01%
373Ishares Russell 2000 Growth Index Fund464287648970$217,4260.01%
374Essex Ppty Tr REIT2971781051,022$216,7560.01%
375HP IncHPQ8,421$216,4200.01%
376Ishares Russell 2000 Value Index Fund4642876301,581$214,3050.01%
377LAM Research CorpLRCX340$213,1020.01%
378Otis Worldwide CorpOTIS2,631$211,2960.01%
379MFC Select Sector SPDR Tr Technology81369Y8031,275$209,0110.01%
380Adobe IncADBE406$207,0190.01%
381American Tower REIT03027X1001,243$204,4110.01%
382Roper Technologies IncROP418$202,4290.01%
383Blackstone Group Inc Cl ABX1,875$200,8880.01%
384Healthpeak Properties IncDOC10,925$200,5830.01%
385Avista CorporationAVA6,089$197,1010.01%
386Ameriprise Financial Inc03076C106597$196,8190.01%
387Republic Svcs Inc7607591001,379$196,5210.01%
388First Tr Global Wind Energy ETF33736G10613,391$194,0360.01%
389Corteva IncCTVA3,762$192,4640.01%
390Ishares Core Total US Bond Fund4642872262,027$190,6190.01%
391MFC Select Sector SPDR Tr Technology81369Y8031,145$187,7000.01%
392Duke Energy Corp NewDUKB2,112$186,4050.01%
393Worthington Inds IncWOR3,000$185,4600.01%
394Schlumberger LtdSLB3,150$183,6450.01%
395Ishs MSCI USA Min Vol Factor ETF46429B6972,504$181,2400.01%
396Schwab US Dividend Equity ETF8085247972,558$181,0040.01%
397Community Bk Sys IncCBU4,204$177,4510.01%
398Astrazeneca Plc AdrAZN2,599$176,0040.01%
399Harding Loevner Intl Equity Port4122951077,222$173,5550.01%
400I Shares Silver TrustSLV8,525$173,3990.01%
401Canadian Natl Ry Co1363751021,600$173,3280.01%
402Cigna Group125523100600$171,6420.01%
403Amphenol Corp New Cl A0320951012,042$171,5080.01%
404Schwab Intl Equity ETF8085248055,047$171,3960.01%
4053MMMM1,830$171,3250.01%
406Synchrony FinancialSYF-PB5,600$171,1920.01%
407Vanguard Information Technology ETF92204A702410$170,1090.01%
408Ishares S&P 500 Growth Index Fund4642873092,445$167,2870.01%
409Astrazeneca Plc AdrAZN2,455$166,2530.01%
410Fiserv IncFISV1,470$166,0510.01%
411Ishares S&P 500 Value Index Fund4642874081,079$165,9930.01%
412Canadian Pacific Kansas City LtdCP2,225$165,5620.01%
413Metlife IncMET-PF2,625$165,1390.01%
414Booking Holdings IncBKNG53$163,4490.01%
415Southern Copper Corp DelSCCO2,151$161,9490.01%
416Centerpoint Energy IncCNP6,000$161,1000.01%
417Vanguard Dividend Appreciation ETF9219088441,035$160,8180.01%
418Freeport McMoran Copper & Gold Inc Cl BFCX4,300$160,3470.01%
419First Solar IncFSLR990$159,9740.01%
420W W Grainger Inc384802104230$159,1230.01%
421Invesco Buyback Achievers ETFIVZ1,751$157,5370.01%
422Marriott International Inc Cl A571903202799$157,0510.01%
423ABB Ltd ADRABLZF4,304$154,3190.01%
424Zimmer Biomet Hldgs IncZBH1,370$153,7410.01%
425Ishares Core MSCI Emer Mkts ETF46434G1033,182$151,4310.01%
426AutoNation IncAN1,000$151,4000.01%
427Whirlpool CorpWHR-PA1,128$150,8140.01%
428Oneok Inc NewOKE2,372$150,4560.01%
429PPG Industries Inc6935061071,151$149,4000.01%
430Franco Nev CorpFNV1,100$146,8390.01%
431O Reilly Automotive Inc New67103H107161$146,3260.01%
432Consumer Discr Select Sector SPDR ETF81369Y407905$145,6870.01%
433Nasdaq Stock Mkt IncNDAQ2,931$142,4170.01%
434SPDR S&P Dividend ETF78464A7631,230$141,4620.01%
435Broadridge Financial Solutions Inc11133T103789$141,2700.01%
436Bar Harbor Bankshares0668491005,966$140,9770.01%
437Netflix IncNFLX373$140,8450.01%
438Citigroup Inc NewC-PR3,421$140,7060.01%
439American Electric Power Company Inc0255371011,850$139,1570.01%
440Ishs S&P Small Cap 600 Value ETF4642878791,546$137,9340.01%
441American States Water Co0298991011,750$137,6900.01%
442Zoetis Inc Cl AZTS789$137,2700.01%
443McKesson CorpMCK310$134,8040.01%
444Paypal Hldgs IncPYPL2,300$134,4580.01%
445Hewlett Packard Enterprise CoHPE-PC7,726$134,2010.01%
446Clorox CompanyCLX1,022$133,9430.01%
447Aon PLCAON409$132,6060.01%
448Northrop Grumman CorpNOC300$132,0570.01%
449Chipotle Mexican Grill IncCMG72$131,8920.01%
450Parker Hannifin CorpPH336$130,8790.01%
451Cincinnati Financial Corp1720621011,270$129,9080.01%
452BYD Co Ltd ADRBYDDF2,100$129,7780.01%
453National Grid PLC ADR New 2017NMPWP2,116$128,2930.01%
454Discover Financial Services2547091081,471$127,4330.01%
455Vertex Pharmaceuticals IncVRTX359$124,8390.01%
456Tesla Motors IncTSLA495$123,8590.01%
457General Electric Co3696043011,117$123,4840.01%
458Vanguard Russell 1000 Growth ETF92206C6801,801$123,2600.01%
459Paychex IncPAYX1,057$121,9040.01%
460Univest Financial CorporationUVSP7,004$121,7300.01%
461Philip Morris Intl Inc7181721091,305$120,8170.01%
462EOG Resources IncEOG942$119,4080.01%
463Federal Realty Invt Tr LP3137451011,300$117,8190.01%
464Masco CorpMAS2,200$117,5900.01%
465Dupont De Nemours IncDD1,563$116,5840.01%
466I Shares Russell Midcap Value Index Fund4642874731,114$116,2350.01%
467Vanguard Bond Index Fd ETF9219378351,654$115,4160.01%
468Marathon Petroleum CorpMARA750$113,5050.01%
469Humana IncHUM232$112,8730.01%
470Constellation Brands IncSTZ443$111,3390.01%
471Arch Capital Group LtdG0450A1051,383$110,2390.01%
472Spdr S&P 500 Etf TrustSPY257$109,8620.01%
473Invesco Solar ETFIVZ2,101$108,8110.01%
474Intercontinental Exchange Inc45866F104988$108,7000.01%
475Estee Lauder Cos Inc Cl A518439104749$108,2680.01%
476Global X Uranium ETF37954Y8714,000$108,1600.01%
477Ishares US Pharmaceuticals ETF464288836603$106,7190.01%
478Dow IncDOW2,066$106,5230.01%
479Matson IncMATX1,200$106,4640.01%
480Invesco Water Res ETFIVZ2,000$106,3600.01%
481Service NowNOW190$106,2020.01%
482Discover Financial Services2547091081,215$105,2550.01%
483KellanovaBEKE1,751$104,2020.01%
484Scotts Miracle Gro CompanySMG2,000$103,3600.01%
485ONE Gas IncOGS1,500$102,4200.01%
486Motorola Solutions IncMSI375$102,0900.01%
487Amex Industrial Select Sector SPDR ETF81369Y7041,000$101,3800.01%
488BCE Inc NewBCPPF2,654$101,3030.01%
489ConocophillipsCOP845$101,2310.01%
490Cbiz IncCBZ1,950$101,2050.01%
491Cognizant Technology Sol Corp Cl ACTSH1,480$100,2550.01%
492Brookfield Asset Mgmt Ltd1130041052,996$99,8870.01%
493Nvidia CorporationNVDA229$99,6130.01%
494Marriott International Inc Cl A571903202503$98,8700.01%
495Brown & Brown IncBRO1,401$97,8460.01%
496Range Res CorpRRC3,000$97,2300.01%
497Chubb LtdCB466$97,0120.01%
498Fortinet IncFTNT1,650$96,8220.01%
499Ishares S&P Smallcap 600 Growth ETF464287887878$96,2990.01%
500Choice Hotels Intl Inc169905106780$95,5580.01%