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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 Q2 2024 · Filed July 9, 2024 · Accession 0001134008-24-000004

Total Value
$1.84B
Positions
1,184
Other Managers
0
Confidential Omitted
No
View on SEC.gov

Holdings (500)

#IssuerTicker / CUSIPSharesValue% of Filing
1Apple IncAAPL538,695$113.5M6.23%
2Microsoft CorpMSFT184,059$82.3M4.52%
3Alphabet Inc Cap Stk Cl CGOOG354,688$65.1M3.58%
4Amazon Com IncAMZN294,598$56.9M3.13%
5Berkshire Hathaway Inc Del Cl B NewBRK-A115,905$47.2M2.59%
6Costco Wholesale Corporation22160K10547,693$40.5M2.23%
7Nvidia CorporationNVDA291,944$36.1M1.98%
8JP Morgan Chase & CoVYLD170,905$34.6M1.90%
9Applied Materials Inc038222105128,629$30.4M1.67%
10Meta Platforms IncMETA53,381$26.9M1.48%
11Mastercard IncMA59,494$26.2M1.44%
12Palo Alto Networks IncPANW75,854$25.7M1.41%
13Abbvie IncABBV145,464$24.9M1.37%
14Nextera Energy IncNEE-PW339,491$24.0M1.32%
15Procter & Gamble Co742718109144,258$23.8M1.31%
16Thermo Fisher Scientific IncTMO40,318$22.3M1.23%
17Blackrock IncBLK27,917$22.0M1.21%
18Accenture PLC IrelandACN72,239$21.9M1.20%
19Johnson & JohnsonJNJ140,929$20.6M1.13%
20Honeywell Intl Inc43851610690,833$19.4M1.07%
21Union Pacific CorpUNP85,650$19.4M1.06%
22Abbott LaboratoriesABLZF181,664$18.9M1.04%
23Lowes Companies Inc54866110783,808$18.5M1.02%
24Home DepotHD53,151$18.3M1.01%
25Pepsico IncPEP107,916$17.8M0.98%
26UnitedHealth Group IncUNH33,355$17.0M0.93%
27Ecolab IncECL67,105$16.0M0.88%
28IntuitINTU23,793$15.6M0.86%
29Becton Dickinson & CompanyBDX66,888$15.6M0.86%
30Alphabet Inc Cap Stk Cl AGOOG85,601$15.6M0.86%
31Visa IncV58,304$15.3M0.84%
32Emerson Electric CoEMR136,389$15.0M0.83%
33Merck & Co Inc NewMRK115,398$14.3M0.79%
34Chevron CorporationCVX89,892$14.1M0.77%
35IShares Core S&P Small-Cap ETF464287804131,579$14.0M0.77%
36RTX CorporationRTX139,126$14.0M0.77%
37Adobe IncADBE23,978$13.3M0.73%
38Eaton Corp PLCETN42,463$13.3M0.73%
39IShares Core S&P Mid-Cap ETF464287507226,438$13.3M0.73%
40Analog Devices IncADI54,664$12.5M0.69%
41Automatic Data ProcessingADP49,380$11.8M0.65%
42Vanguard Short Term Inflation Prot Secs ETF922020805237,008$11.5M0.63%
43Air Products & Chemical IncAIIR44,527$11.5M0.63%
44Microsoft CorpMSFT24,617$11.0M0.60%
45Starbucks CorpSBUX141,223$11.0M0.60%
46American Tower REIT03027X10056,427$11.0M0.60%
47Booking Holdings IncBKNG2,732$10.8M0.59%
48Wal Mart Stores IncWMT157,595$10.7M0.59%
49McDonalds CorpMCD41,861$10.7M0.59%
50Realty Income CorporationO199,404$10.5M0.58%
51Pfizer IncPFE352,945$9.9M0.54%
52CME Group IncCME49,355$9.7M0.53%
53Comcast Corp Cl ACCZ244,909$9.6M0.53%
54Exxon Mobil CorpXOM82,623$9.5M0.52%
55Salesforce IncCRM36,636$9.4M0.52%
56Apple IncAAPL44,353$9.3M0.51%
57Illinois Tool Wks Inc45230810938,771$9.2M0.50%
58Intercontinental Exchange Inc45866F10465,832$9.0M0.50%
59Church & Dwight Co IncCHD84,528$8.8M0.48%
60Stryker CorpSYK25,245$8.6M0.47%
61Cisco Sys IncCSCO178,774$8.5M0.47%
62TJX Cos Inc87254010976,689$8.4M0.46%
63Vanguard FTSE Dev Mkts ETF921943858156,181$7.7M0.42%
64JP Morgan Chase & CoVYLD36,887$7.5M0.41%
65Deere & CoDE19,388$7.2M0.40%
66CVS Health CorpCVS122,624$7.2M0.40%
67Enbridge IncENNPF189,017$6.7M0.37%
68Eli Lilly & CompanyLLY7,245$6.6M0.36%
69Disney Walt Company25468710664,860$6.4M0.35%
70Vanguard Idx Fds S&P 500 ETF92290836312,842$6.4M0.35%
71Waste Management Inc New94106L10929,780$6.4M0.35%
72IShares S&P 500 Index Fund46428720011,569$6.3M0.35%
73Lockheed Martin CorpLMT13,293$6.2M0.34%
74Nike Inc Cl BNKE82,084$6.2M0.34%
75Cigna Group12552310018,338$6.1M0.33%
76SPDR S&P 500 ETFSPY11,124$6.1M0.33%
77Intl Business MachinesINTR34,782$6.0M0.33%
78Invesco QQQ Trust ETFIVZ11,507$5.5M0.30%
79Vanguard FTSE All-World ex-US ETF92204277592,959$5.5M0.30%
80Amgen IncAMGN17,383$5.4M0.30%
81Constellation Brands IncSTZ20,964$5.4M0.30%
82Oracle CorporationORCL-PD36,997$5.2M0.29%
83Medtronic Hldg LtdMDT65,129$5.1M0.28%
84Chubb LtdCB19,912$5.1M0.28%
85Vanguard Dividend Appreciation ETF92190884427,779$5.1M0.28%
863MMMM49,586$5.1M0.28%
87Taiwan Semiconductor Manufacturing Co87403910028,966$5.0M0.28%
88Danaher Corp23585110219,876$5.0M0.27%
89Autodesk IncADSK19,387$4.8M0.26%
90Novartis AG ADRNVSEF44,898$4.8M0.26%
91Verizon Communications IncVZ114,155$4.7M0.26%
92Paychex IncPAYX38,660$4.6M0.25%
93Norfolk Southern Corp65584410821,109$4.5M0.25%
94McCormick & Co IncMKC-V63,841$4.5M0.25%
95Abbvie IncABBV25,804$4.4M0.24%
96Vanguard Emerging Markets ETF92204285898,716$4.3M0.24%
97Bank Of America Corp060505104101,234$4.0M0.22%
98T Mobile US IncTMUSZ22,614$4.0M0.22%
99Allstate CorpALL-PJ24,808$4.0M0.22%
100Linde PLCLIN8,941$3.9M0.22%
101Penske Automotive Group Inc70959W10325,330$3.8M0.21%
102Caterpillar IncCAT11,048$3.7M0.20%
103Vanguard Total Stock Mkt ETF92290876913,533$3.6M0.20%
104LAM Research CorpLRCX3,361$3.6M0.20%
105Analog Devices IncADI14,969$3.4M0.19%
106Broadcom IncAVGO2,113$3.4M0.19%
107Coca Cola CoKO52,750$3.4M0.18%
108American Express CoAXP13,629$3.2M0.17%
109Diageo PLC Spons ADR NewDGEAF24,897$3.1M0.17%
110Costco Wholesale Corporation22160K1053,666$3.1M0.17%
111Vanguard Bond Index Fd ETF92193783540,971$3.0M0.16%
112Mondelez Intl Inc60920710544,767$2.9M0.16%
113Tesla Motors IncTSLA14,736$2.9M0.16%
114Chevron CorporationCVX18,035$2.8M0.16%
115Alphabet Inc Cap Stk Cl CGOOG15,327$2.8M0.15%
116Johnson & JohnsonJNJ18,965$2.8M0.15%
117S&P Global IncSPGI6,022$2.7M0.15%
118Exxon Mobil CorpXOM23,329$2.7M0.15%
119Vanguard High Dividend Yld ETF92194640622,499$2.7M0.15%
120Amazon Com IncAMZN13,485$2.6M0.14%
121MSC Industrial Direct Co Cl A55353010632,611$2.6M0.14%
122Automatic Data ProcessingADP10,828$2.6M0.14%
123Novo Nordisk A/S ADRNONOF17,907$2.6M0.14%
124Abbott LaboratoriesABLZF24,259$2.5M0.14%
125Mondelez Intl Inc60920710537,786$2.5M0.14%
126Capital One Financial Corp14040H10517,804$2.5M0.14%
127Clorox CompanyCLX17,990$2.5M0.13%
128Texas Instruments Inc88250810412,013$2.3M0.13%
129US Bancorp DelUSB-PS58,263$2.3M0.13%
130Kimberly-Clark CorpKMB16,384$2.3M0.12%
131Pepsico IncPEP13,334$2.2M0.12%
132Lowes Companies Inc5486611079,892$2.2M0.12%
133Norfolk Southern Corp6558441089,993$2.1M0.12%
134American Express CoAXP9,265$2.1M0.12%
135Colgate-Palmolive CoCL21,615$2.1M0.12%
136Intel CorpINTC67,213$2.1M0.11%
137Applied Materials Inc0382221058,766$2.1M0.11%
138Toronto Dominion Bank NewTORO37,501$2.1M0.11%
139Corteva IncCTVA37,910$2.0M0.11%
140Flexshs Quality Divd Index ETFFLEX30,128$2.0M0.11%
141Unilever PLC ADRUNLYF35,655$2.0M0.11%
142Amgen IncAMGN6,226$1.9M0.11%
143Intl Business MachinesINTR11,116$1.9M0.11%
144Crown Holdings IncCCK25,729$1.9M0.11%
145Carrier Global CorporationCARR30,165$1.9M0.10%
146Target CorpTGT12,609$1.9M0.10%
147M & T Bank Corporation55261F10412,018$1.8M0.10%
148Cheniere Energy Inc NewLNG10,168$1.8M0.10%
149Merck & Co Inc NewMRK14,051$1.7M0.10%
150SPDR Gold SharesGLD8,060$1.7M0.10%
151CSX CorpCSX51,750$1.7M0.10%
152ConocophillipsCOP14,921$1.7M0.09%
153Vanguard Small-Cap ETF9229087517,736$1.7M0.09%
154Qualcomm IncQCOM8,430$1.7M0.09%
155First Solar IncFSLR7,146$1.6M0.09%
156Brookfield Corp11271J10738,538$1.6M0.09%
157AT&T IncT-PC83,673$1.6M0.09%
158Cummins IncCMI5,764$1.6M0.09%
159General Dynamics CorpGD5,486$1.6M0.09%
160Procter & Gamble Co7427181099,640$1.6M0.09%
161Intuitive Surgical IncISRG3,557$1.6M0.09%
162Match Group Inc NewMTCH52,052$1.6M0.09%
163Southern CoSOMN20,281$1.6M0.09%
164Stryker CorpSYK4,547$1.5M0.09%
165Dupont De Nemours IncDD19,091$1.5M0.08%
166Novo Nordisk A/S ADRNONOF10,700$1.5M0.08%
167Vanguard Mid Cap ETF9229086296,183$1.5M0.08%
168Berkshire Hathaway Inc Del Cl B NewBRK-A3,651$1.5M0.08%
169General Mills Inc37033410422,663$1.4M0.08%
170Autozone IncAZO480$1.4M0.08%
171Price T Rowe Group IncTROW12,288$1.4M0.08%
172IShares S&P Midcap 400 Growth Index Fund46428760616,064$1.4M0.08%
173Altria Group IncMO30,982$1.4M0.08%
174Vanguard Small Cap Value ETF9229086117,720$1.4M0.08%
175IShares MSCI EAFE Index Fd46428746517,903$1.4M0.08%
176Philip Morris Intl Inc71817210913,780$1.4M0.08%
177Pfizer IncPFE48,935$1.4M0.08%
178Paypal Hldgs IncPYPL23,311$1.4M0.07%
179Duke Energy Corp NewDUKB12,726$1.3M0.07%
180RTX CorporationRTX12,672$1.3M0.07%
181Ebay IncEBAY23,071$1.2M0.07%
182SPDR S&P Dividend ETF78464A7639,686$1.2M0.07%
183Church & Dwight Co IncCHD11,859$1.2M0.07%
184Mastercard IncMA2,714$1.2M0.07%
185Vanguard Large Cap ETF9229086374,752$1.2M0.07%
186Truist Finl Corp89832Q10930,076$1.2M0.06%
187McDonalds CorpMCD4,509$1.1M0.06%
188Accenture PLC IrelandACN3,782$1.1M0.06%
189Morgan StanleyMS-PQ11,647$1.1M0.06%
190Travelers Cos IncTRV5,533$1.1M0.06%
191Markel Group IncMKL701$1.1M0.06%
192Otis Worldwide CorpOTIS11,444$1.1M0.06%
193Texas Pacific Land CorporationTPL1,500$1.1M0.06%
194Nextera Energy IncNEE-PW15,510$1.1M0.06%
195Bristol Myers Squibb CoCELG-RI25,759$1.1M0.06%
196Ameriprise Financial Inc03076C1062,500$1.1M0.06%
197Vanguard Mid-Cap Value ETF9229085127,096$1.1M0.06%
198Atmos Energy CorpATO9,078$1.1M0.06%
199IShares Core S&P Small-Cap ETF4642878049,908$1.1M0.06%
200United Parcel Svc Inc Cl BUPS7,704$1.1M0.06%
201Meta Platforms IncMETA2,087$1.1M0.06%
202Genuine Parts CoGPC7,607$1.1M0.06%
203Aflac IncorporatedAFL11,583$1.0M0.06%
204Invesco Solar ETFIVZ25,722$1.0M0.06%
205Coca Cola CoKO16,066$1.0M0.06%
206IShares Core S&P Mid-Cap ETF46428750717,310$1.0M0.06%
207Enbridge IncENNPF28,442$1.0M0.06%
208Arrow Financial Corp04274410238,541$1.0M0.06%
209Illinois Tool Wks Inc4523081094,225$1.0M0.06%
210Honeywell Intl Inc4385161064,655$994,0290.05%
211Verisign IncVRSN5,525$982,3450.05%
212KLA CorporationKLAC1,179$972,0970.05%
213Berkley W R CorpWRB-PH12,180$957,1040.05%
214Union Pacific CorpUNP4,176$944,8620.05%
215Sysco CorpSYY13,228$944,3470.05%
216Eli Lilly & CompanyLLY1,043$944,3110.05%
217Labcorp Holdings IncLH4,638$943,8790.05%
218Vanguard Intermediate-Term Bond ETF92193781912,539$939,0460.05%
219Coterra Energy IncCTRA34,574$922,0890.05%
220Vanguard Short-Term Bond ETF92193782711,952$916,7180.05%
221Vanguard Growth ETF9229087362,448$915,5760.05%
222Nike Inc Cl BNKE12,100$911,9770.05%
223Oracle CorporationORCL-PD6,382$901,1380.05%
224Ecolab IncECL3,711$883,2180.05%
225Xylem IncXYL6,453$875,2200.05%
226Realty Income CorporationO16,555$874,4350.05%
227Digital Realty Trust Inc2538681035,725$870,4860.05%
228Dover CorpDOV4,802$866,5210.05%
229Fidelity Natl Information Svcs Inc31620M10611,393$858,5760.05%
230Thermo Fisher Scientific IncTMO1,548$856,0440.05%
231Fedex CorpFDX2,806$841,3510.05%
232Solventum CorpSOLV15,699$830,1630.05%
233GE Aerospace3696043015,208$827,9160.05%
234Home DepotHD2,396$824,7990.05%
235Air Products & Chemical IncAIIR3,192$823,6960.05%
236Vanguard Value ETF9229087445,079$814,7220.04%
237W W Grainger Inc384802104882$795,7760.04%
238Colgate-Palmolive CoCL7,833$760,1140.04%
239Prestige Brand Holdings74112D10111,022$758,8650.04%
240Dominion Energy IncD15,361$752,6890.04%
241Nvidia CorporationNVDA6,040$746,1820.04%
242Marathon Petroleum CorpMARA4,272$741,1070.04%
243Advanced Micro Devices IncAMD4,546$737,4070.04%
244Cisco Sys IncCSCO15,515$737,1180.04%
245Wells Fargo & Company New94974610112,232$726,4580.04%
246Stonex Group IncSNEX9,640$725,9880.04%
247Dow IncDOW13,294$705,2470.04%
248Waters Corp9418481032,429$704,7010.04%
249Toronto Dominion Bank NewTORO12,764$701,5090.04%
250Consolidated Edison IncED7,734$691,5740.04%
251Eaton Corp PLCETN2,196$688,5560.04%
252Airbnb Inc Cl AABNB4,505$683,0930.04%
253Bristol Myers Squibb CoCELG-RI16,351$679,0570.04%
254IShares Barclays TIPs Bond ETF4642871766,339$676,8780.04%
255Shell PLCRYDAF9,360$675,6050.04%
256Gilead Sciences IncGILD9,713$666,4090.04%
257Intuitive Surgical IncISRG1,492$663,7160.04%
258Alphabet Inc Cap Stk Cl AGOOG3,633$661,7510.04%
259NXP Semiconductors NVNXPI2,449$659,0010.04%
260M & T Bank Corporation55261F1044,272$646,6100.04%
261US Bancorp DelUSB-PS16,232$644,4100.04%
262SPDR S&P MidCap 400MDY1,200$642,0960.04%
263Caterpillar IncCAT1,901$633,2230.03%
264TJX Cos Inc8725401095,737$631,6440.03%
265IShares MSCI USA ESG Select Index4642888025,537$622,1930.03%
266CVS Health CorpCVS10,447$617,0000.03%
267Union Bankshares IncUNB28,608$614,5000.03%
268SPDR Dow Jones Industrial Avg78467X1091,566$612,5100.03%
269Berkshire Hathaway Inc Cl ABRK-A1$612,2410.03%
270Comcast Corp Cl ACCZ15,554$609,0950.03%
271Visa IncV2,314$607,3560.03%
272Simon Ppty Group Inc New8288061093,966$602,0390.03%
273IShares Global Clean Energy ETF46428822445,134$601,1850.03%
274Blackrock IncBLK756$595,2140.03%
275Atmos Energy CorpATO5,100$594,9150.03%
276Becton Dickinson & CompanyBDX2,536$592,6890.03%
277Marriott International Inc Cl A5719032022,446$591,3690.03%
278CSX CorpCSX17,216$575,8750.03%
279Parker Hannifin CorpPH1,137$575,1060.03%
280Cardinal Health IncCAH5,836$573,7960.03%
281Palo Alto Networks IncPANW1,666$564,7910.03%
282Occidental Petroleum Corp6745991058,894$560,5890.03%
283IShares Core MSCI EAFE ETF46432F8427,533$547,1970.03%
284Carrier Global CorporationCARR8,666$546,6510.03%
285Golub Capital BDC Inc38173M10234,355$539,7170.03%
286Goldman Sachs GroupGSCE1,159$524,2390.03%
287SPDR S&P 500 Fossil Fuel Reserves Free ETF78468R79611,550$515,1300.03%
288Bank New York Mellon Corp0640581008,492$508,5860.03%
289Altria Group IncMO11,109$506,0150.03%
290Public Service Enterprise Gp7445731066,809$501,8230.03%
291ConocophillipsCOP4,320$494,1220.03%
292Disney Walt Company2546871064,914$487,9110.03%
293IShares Russell Mid Cap Growth4642874814,389$484,3260.03%
294Nucor CorpNUE3,059$483,5670.03%
295Boston Beer Inc Cl ASAM1,580$481,9790.03%
296Rockwell Automation IncROK1,727$475,4090.03%
297AT&T IncT-PC24,749$472,9530.03%
298Emerson Electric CoEMR4,288$472,3660.03%
299Sealed Air Corp NewSE13,341$464,1330.03%
300Bank Of America Corp06050510411,381$452,6220.02%
301General Dynamics CorpGD1,542$447,3960.02%
302Target CorpTGT3,000$444,1200.02%
303Warner Bros Discovery IncWBD59,081$439,5630.02%
304IShares Silver TrustSLV16,480$437,8740.02%
305Progressive Corp Ohio7433151032,100$436,1910.02%
306IShares Edge MSCI USA Quality Factor ETF46432F3392,530$432,0230.02%
307Invesco S&P 500 Low Volatility ETFIVZ6,630$430,6190.02%
308IShares MSCI Emerging Markets Index46428723410,046$427,8590.02%
309IShares Russell 1000 Growth ETF4642876141,161$423,1960.02%
310Boeing CompanyBA-PA2,319$422,0810.02%
311Moodys CorpMCO971$408,7230.02%
312Vanguard Information Technology ETF92204A702700$403,6130.02%
313Novartis AG ADRNVSEF3,780$402,4190.02%
314Royal Bank Of Canada7800871023,766$400,6270.02%
315SS&C Technologies Hldgs IncSSNC6,321$396,1370.02%
316Gallagher Arthur J & Co3635761091,509$391,2990.02%
317IShares Kld 400 Social Index Fund4642885703,715$385,8030.02%
318LAM Research CorpLRCX361$384,4110.02%
319Digital Realty Trust Inc2538681032,526$384,0780.02%
320IShares S&P Midcap 400 Value Index Fd4642877053,376$383,0410.02%
321IShares Russell 1000 Value Index Fund4642875982,172$378,9490.02%
322TE Connectivity LtdTEL2,462$370,3590.02%
323Agilent Technologies IncA2,821$365,6860.02%
324Service NowNOW462$363,4420.02%
325Deere & CoDE967$361,3000.02%
326PNC Financial Services Group Inc6934751052,291$356,2050.02%
327IShares Select Dividend ETF4642871682,940$355,6810.02%
328Boston Scientific CorpBSX4,595$353,8610.02%
329IShares MSCI USA Min Vol Factor ETF46429B6974,201$352,7160.02%
330Dorchester Minerals LPDMLP11,416$352,1840.02%
331Netflix IncNFLX519$350,2630.02%
332Trex Company IncTREX4,710$349,1050.02%
333Vanguard REIT ETF9229085534,163$348,6930.02%
334PPG Industries Inc6935061072,763$347,8340.02%
335Verizon Communications IncVZ8,372$345,2610.02%
336Fiserv IncFISV2,312$344,5800.02%
337Phillips 66PSX2,427$342,6200.02%
338Enphase Energy IncENPH3,350$334,0290.02%
339IShares Russell 20004642876551,646$333,9570.02%
340Lockheed Martin CorpLMT712$332,5750.02%
341Danaher Corp2358511021,326$331,3010.02%
342Fortune Brands Innovations IncFBIN5,075$329,5710.02%
343CME Group IncCME1,647$323,8000.02%
344Northrop Grumman CorpNOC742$323,4750.02%
345Kraft Heinz CoKHC10,030$323,1670.02%
346IShares Russell Mid Cap4642874993,976$322,3740.02%
347McCormick & Co IncMKC-V4,398$311,9940.02%
348Liberty Global Ltd CLBTYK17,080$304,8780.02%
349HP IncHPQ8,687$304,2190.02%
350Canadian Natl Ry Co1363751022,568$303,3580.02%
351Bk Montreal Que0636711013,598$301,6920.02%
352UnitedHealth Group IncUNH591$300,9730.02%
353Ares Capital CorpARCC14,382$299,7210.02%
354Portland General Electric7365088476,869$297,0160.02%
355Provident Financial Services Inc74386T10520,643$296,2270.02%
356Phillips 66PSX2,094$295,6100.02%
357Chipotle Mexican Grill IncCMG4,650$291,3230.02%
358MFC Select Sector SPDR Tr Technology81369Y8031,275$288,4430.02%
359Mettler Toledo Intl IncMTD205$286,5060.02%
360PNC Financial Services Group Inc6934751051,839$285,9280.02%
361Amphenol Corp New Cl A0320951014,244$285,9180.02%
362Stanley Black & Decker IncSWK3,569$285,1270.02%
363Invesco Global Clean Energy ETFIVZ21,086$285,0830.02%
364Vanguard Emerging Markets ETF9220428586,488$283,9150.02%
365Essex Ppty Tr REIT2971781051,022$278,1880.02%
366Crowdstrike Hldgs Inc ACRWD723$277,0460.02%
367IntuitINTU421$276,6850.02%
368Vanguard Short Term Inflation Prot Secs ETF9220208055,681$275,7560.02%
369Texas Instruments Inc8825081041,410$274,2870.02%
370Roper Technologies IncROP482$271,6840.01%
371Wisdomtree Dividend Ex-FinancialsWT2,720$271,4550.01%
372SPDR S&P Biotech ETF78464A8702,920$270,7130.01%
373IShares Core MSCI Emer Mkts ETF46434G1035,050$270,3270.01%
374Blackstone Group Inc Cl ABX2,173$269,0170.01%
375The J M Smucker Company8326964052,423$264,2040.01%
376Invesco S&P 500 Eql Wgt ETFIVZ1,600$262,8480.01%
377The Hershey CompanyHSY1,429$262,6930.01%
378Liberty Broadband Corp Ser CLBRDP4,750$260,3950.01%
379Southern CoSOMN3,320$257,5320.01%
380MFC Select Sector SPDR Tr Technology81369Y8031,130$255,6400.01%
381IShares Russell 2000 Growth Index Fund464287648970$254,6540.01%
382Wal Mart Stores IncWMT3,711$251,2720.01%
383Biogen IncBIIB1,069$247,8160.01%
384Republic Svcs Inc7607591001,258$244,4800.01%
385Weyerhaeuser CompanyWY8,593$243,9550.01%
386W W Grainger Inc384802104270$243,6050.01%
387IShares Russell 2000 Value Index Fund4642876301,581$240,7860.01%
388Boeing CompanyBA-PA1,320$240,2530.01%
389Otis Worldwide CorpOTIS2,474$238,1470.01%
390Cigna Group125523100711$235,0350.01%
391Ameriprise Financial Inc03076C106540$230,6830.01%
392Cabot CorpCBT2,472$227,1520.01%
393Sanofi Spons ADRSNYNF4,667$226,4430.01%
394IShares S&P 500 Growth Index Fund4642873092,445$226,2600.01%
395Corning IncGLW5,810$225,7190.01%
396Adobe IncADBE404$224,4380.01%
397Intel CorpINTC7,225$223,7580.01%
398Advanced Drain Sys Inc Del00790R1041,392$223,2630.01%
399Federal Realty Invt Tr LP3137451012,200$222,1340.01%
400American Water Works Company0304201031,716$221,6390.01%
401Eversource EnergyES3,898$221,0560.01%
402The Hershey CompanyHSY1,200$220,5960.01%
403Dominion Energy IncD4,490$220,0100.01%
404Starbucks CorpSBUX2,819$219,4590.01%
405Yum Brands IncYUM1,652$218,8240.01%
406GE Healthcare Technologies IncGEHC2,805$218,5660.01%
407Southern Copper Corp DelSCCO2,020$217,6350.01%
408Schwab US Dividend Equity ETF8085247972,787$216,7170.01%
409Edwards Lifesciences CorpEW2,218$204,8770.01%
410Booking Holdings IncBKNG51$202,0370.01%
411Vanguard FTSE All World ex US Sm Cap Idx ETF9220427181,716$201,6130.01%
412Diageo PLC Spons ADR NewDGEAF1,582$199,4590.01%
413KellanovaBEKE3,450$198,9960.01%
414Community Financial System IncCBU4,204$198,4710.01%
415Vanguard Extended Mkts Index Fd ETF9229086521,175$198,3280.01%
416IShares S&P 500 Value Index Fund4642874081,079$196,3890.01%
417GE Vernova IncGEV1,135$194,6640.01%
418Freeport McMoran Copper & Gold Inc Cl BFCX4,004$194,5940.01%
419Schwab Intl Equity ETF8085248055,047$193,9060.01%
420Vanguard Dividend Appreciation ETF9219088441,050$191,6780.01%
421Synchrony FinancialSYF-PB3,974$187,5330.01%
4223MMMM1,830$187,0080.01%
423McKesson CorpMCK319$186,3090.01%
424Public Storage IncPSA-PS642$184,6710.01%
425Invesco Buyback Achievers ETFIVZ1,751$181,9290.01%
426Sherwin Williams CoSHW606$180,8490.01%
427Alliant Energy CorpLNT3,538$180,0840.01%
428Parker Hannifin CorpPH356$180,0680.01%
429Vanguard Idx Fds S&P 500 ETF922908363360$180,0470.01%
430Metlife IncMET-PF2,546$178,7040.01%
431GE Aerospace3696043011,117$177,5690.01%
432Nasdaq Stock Mkt IncNDAQ2,931$176,6220.01%
433Avista CorporationAVA5,094$176,3030.01%
434IShares S&P Smallcap 600 Growth ETF4642878871,372$176,2060.01%
435Canadian Pacific Kansas City LtdCP2,225$175,1740.01%
436Veralto CorpVLTO1,834$175,0920.01%
437Truist Finl Corp89832Q1094,498$174,7470.01%
438American Electric Power Company Inc0255371011,980$173,7250.01%
439IShares Core Divd Growth ETF46434V6213,001$172,8880.01%
440Fortinet IncFTNT2,857$172,1910.01%
441Hewlett Packard Enterprise CoHPE-PC8,074$170,9270.01%
442Consumer Discr Select Sector SPDR ETF81369Y407905$165,0720.01%
443O Reilly Automotive Inc New67103H107156$164,7450.01%
444Cincinnati Financial Corp1720621011,389$164,0410.01%
445Elevance Health IncELV299$162,0160.01%
446IShares S&P 500 Index Fund464287200294$160,8860.01%
447Bar Harbor Bankshares0668491005,966$160,3660.01%
448Schwab Strategic Tr US Broad Mkt ETF8085241022,545$160,0040.01%
449Univest Financial CorporationUVSP7,004$159,9010.01%
450AutoNation IncAN1,000$159,3800.01%
451Matson IncMATX1,200$157,1640.01%
452Discover Financial Services2547091081,200$156,9720.01%
453Vanguard Russell 1000 Growth ETF92206C6801,671$156,7570.01%
454IShares Russell 1000 Index Fd464287622526$156,5060.01%
455Broadridge Financial Solutions Inc11133T103789$155,4330.01%
456W P Carey Inc92936U1092,791$153,6450.01%
457SPDR S&P Dividend ETF78464A7631,205$153,2520.01%
458First Tr Global Wind Energy ETF33736G1069,427$152,8120.01%
459Vertex Pharmaceuticals IncVRTX326$152,8030.01%
460Constellation Energy CorpCEG741$148,4000.01%
461EOG Resources IncEOG1,177$148,1490.01%
462Schlumberger LtdSLB3,125$147,4380.01%
463Masco CorpMAS2,200$146,6740.01%
464Old Republic Intl Corp6802231044,738$146,4040.01%
465ASML Hldg NV NYASMLF143$146,2500.01%
466Zimmer Biomet Hldgs IncZBH1,339$145,3220.01%
467Worthington Enterprises IncWOR3,000$141,9900.01%
468Constellation Brands IncSTZ548$140,9890.01%
469Taiwan Semiconductor Manufacturing Co874039100805$139,9170.01%
470Clorox CompanyCLX1,013$138,2440.01%
471IShares Russell Midcap Value Index Fund4642874731,114$134,5040.01%
472Duke Energy Corp NewDUKB1,327$133,0050.01%
473Regeneron Pharmaceuticals IncREGN125$131,3790.01%
474Federal Realty Invt Tr LP3137451011,300$131,2610.01%
475Northrop Grumman CorpNOC300$130,7850.01%
476American States Water Co0298991011,800$130,6260.01%
477First Tr Value Line Dividend Index Fund33734H1063,200$130,4000.01%
478Franco Nev CorpFNV1,100$130,3720.01%
479Scotts Miracle Gro CompanySMG2,000$130,1200.01%
480Invesco Water Res ETFIVZ2,000$129,8200.01%
481IShares Semiconductor ETF464287523525$129,4810.01%
482Dow IncDOW2,409$127,7970.01%
483SPDR S&P 500 ETFSPY234$127,3470.01%
484American Tower REIT03027X100653$126,9300.01%
485KKR & Co Inc Cl AKKRT1,200$126,2880.01%
486Dupont De Nemours IncDD1,566$126,0470.01%
487Brown & Brown IncBRO1,401$125,2630.01%
488Salesforce IncCRM487$125,2080.01%
489JP Morgan Equity Prem Inc ETF46641Q3322,200$124,6960.01%
490Zoetis Inc Cl AZTS715$123,9520.01%
491Paychex IncPAYX1,036$122,8280.01%
492Cbiz IncCBZ1,650$122,2650.01%
493Marriott International Inc Cl A571903202503$121,6100.01%
494Healthpeak Properties IncDOC6,177$121,0690.01%
495Paycom Software IncPAYC845$120,8690.01%
496IShares Gold Tr NewIAU2,742$120,4560.01%
497Arch Capital Group LtdG0450A1051,190$120,0590.01%
498IShares National Muni Bond ETF4642884141,112$118,4840.01%
499Aon PLCAON403$118,3130.01%
500Eastman Chemical CoEMN1,205$118,0540.01%