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

HALL LAURIE J TRUSTEE

Quarter ended Q1 2025 · Filed May 15, 2025 · Accession 0001388382-25-000002

Total Value
$280.3M
Positions
282
Other Managers
14
Confidential Omitted
No
View on SEC.gov

Holdings (282)

#IssuerTicker / CUSIPSharesValue% of Filing
1MICROSOFT CORP COMMSFT36,931$13.9M4.95%
2APPLE COMPUTER INC COMAAPL39,929$8.9M3.16%
3STRYKER CORP COMSYK21,690$8.1M2.88%
4ABBOTT LABS COMABLZF57,767$7.7M2.73%
5MICROSOFT CORP COMMSFT19,815$7.4M2.65%
6VANGUARD TOTAL STOCK MARKET ETF92290876926,661$7.3M2.61%
7MASTERCARD INCORPORATEDMA12,913$7.1M2.53%
8NVIDIA CORPORATIONNVDA65,087$7.1M2.52%
9PROCTER & GAMBLE CO COM74271810938,683$6.6M2.35%
10INTERNATIONAL BUSINESS MACHINESINTR24,260$6.0M2.15%
11WASTE MGMT INC94106L10924,998$5.8M2.06%
12CARRIER GLOBAL CORPCARR90,555$5.7M2.05%
13TJX COS INC NEW COM87254010946,162$5.6M2.01%
14AMPHENOL CORP CL A03209510184,471$5.5M1.98%
15ALPHABET INC CLASS CGOOG35,120$5.5M1.96%
16ANALOG DEVICES INC COMADI21,685$4.4M1.56%
17APPLIED MATERIALS INC COM03822210529,168$4.2M1.51%
18DANAHER CORP23585110220,359$4.2M1.49%
19ROCKWELL AUTOMATION INCROK15,947$4.1M1.47%
20MCCORMICK & CO COM NON VOTINGMKC-V49,900$4.1M1.47%
21APPLE COMPUTER INC COMAAPL18,114$4.0M1.44%
22RELX PLC SPON ADRRLXXF78,760$4.0M1.42%
23CIGNA GROUP12552310011,923$3.9M1.40%
24MEDTRONIC PLCMDT43,330$3.9M1.39%
25JOHNSON & JOHNSON COMJNJ22,257$3.7M1.32%
26XYLEM INCXYL30,836$3.7M1.31%
27APTAR GROUP INCATR23,585$3.5M1.25%
28FISERV INC COMFISV15,400$3.4M1.21%
29NEW YORK TIMES CO CL ANYT66,955$3.3M1.18%
30UNILEVER PLC SPONSORED ADR NEWUNLYF50,369$3.0M1.07%
31PROCTER & GAMBLE CO COM74271810917,309$2.9M1.05%
32AUTOMATIC DATA PROCESSING COMADP9,615$2.9M1.05%
33UL SOLUTIONS INC CLASS AULS51,405$2.9M1.03%
34PEPSICO INC COMPEP18,320$2.7M0.98%
35CROWN HOLDINGS INCCCK30,730$2.7M0.98%
36NOVARTIS AG ADRNVSEF23,534$2.6M0.94%
37NVIDIA CORPORATIONNVDA23,740$2.6M0.92%
38BECTON DICKINSON & CO COMBDX11,155$2.6M0.91%
39STRYKER CORP COMSYK6,415$2.4M0.85%
40ABBVIE INCABBV10,320$2.2M0.77%
41ADVANCED MICRO DEVICES INCAMD20,716$2.1M0.76%
42VERTEX PHARMACEUTICALS INCVRTX4,335$2.1M0.75%
43MORGAN STANLEYMS-PQ18,000$2.1M0.75%
44AUTOMATIC DATA PROCESSING COMADP6,735$2.1M0.73%
45AIR PRODUCTS & CHEMICAL INC COMAIIR6,750$2.0M0.71%
46VERALTO CORP COMMONVLTO19,832$1.9M0.69%
47AMGEN INCAMGN5,945$1.9M0.66%
48PARKER HANNIFIN CORPPH3,033$1.8M0.66%
49ISHARES MSCI EAFE ETF46428746521,229$1.7M0.62%
50A T & T INCT-PC57,362$1.6M0.58%
51SPDR S & P 500 ETFSPY2,880$1.6M0.57%
52MERCK AND CO INCMRK17,875$1.6M0.57%
533M COMPANYMMM10,175$1.5M0.53%
54PEPSICO INC COMPEP9,835$1.5M0.53%
55AMAZON.COM INCAMZN7,680$1.5M0.52%
56SYSCO CORP COMSYY19,258$1.4M0.52%
57JOHNSON & JOHNSON COMJNJ8,150$1.4M0.48%
583M COMPANYMMM8,956$1.3M0.47%
59PACCAR INCPCAR13,371$1.3M0.46%
60GE AEROSPACE3696043016,235$1.2M0.45%
61VANGUARD FTSE DEVELOPED MARKETS92194385824,214$1.2M0.44%
62CINTAS CORP COMCTAS5,446$1.1M0.40%
63INTERNATIONAL BUSINESS MACHINESINTR4,398$1.1M0.39%
64CIGNA GROUP1255231003,300$1.1M0.39%
65CHARTER COMMUNICATIONS INC CL A16119P1082,695$993,1880.35%
66ABBVIE INCABBV4,575$958,5540.34%
67AMAZON.COM INCAMZN4,920$936,0790.33%
68ABBOTT LABS COMABLZF7,055$935,8460.33%
69BERKSHIRE HATHAWAY INC CLASS-BBRK-A1,737$925,0910.33%
70VANGUARD TOTAL INTERNATIONAL ST92190976814,639$909,0820.32%
71EMERSON ELEC CO COMEMR8,145$893,0180.32%
72APPLIED MATERIALS INC COM0382221056,075$881,6040.31%
73ALNYLAM PHARMAALNY3,250$877,5650.31%
74EXXON MOBIL CORP COMXOM6,734$800,8750.29%
75CATERPILLAR INCCAT2,228$734,7940.26%
76SYSCO CORP COMSYY9,525$714,7560.25%
77STATE STREET CORP COMSTT-PG7,900$707,2870.25%
78STATE STREET CORP COMSTT-PG7,625$682,6660.24%
79ALPHABET INC CLASS CGOOG4,177$652,5730.23%
80JPMORGAN CHASE & CO COMVYLD2,575$631,6480.23%
81JPMORGAN CHASE & CO COMVYLD2,540$623,0620.22%
82BERKSHIRE HATHAWAY INC CLASS-BBRK-A1,163$619,3910.22%
83CHURCH & DWIGHT CO INCCHD5,550$611,0000.22%
84WALMART INCWMT6,753$592,8460.21%
85LILLY ELI & CO COMLLY700$578,1370.21%
86EMERSON ELEC CO COMEMR5,256$576,2680.21%
87ANALOG DEVICES INC COMADI2,812$567,0960.20%
88ALPHABET INC CLASS AGOOG3,660$565,9820.20%
89MASTERCARD INCORPORATEDMA1,010$553,6010.20%
90TJX COS INC NEW COM8725401094,475$545,0550.19%
91CVS HEALTH CORPORATIONCVS8,000$542,0000.19%
92UNION PACIFIC CORP COMUNP2,290$540,9900.19%
93PFIZER INCPFE21,088$534,3700.19%
94ZOETIS INCZTS3,238$533,1370.19%
95ALPHABET INC CLASS AGOOG3,400$525,7760.19%
96QUALCOMM INC COMQCOM3,335$512,2890.18%
97VANGUARD INTL EQUITY INDEX ETF9220427758,316$504,4490.18%
98ISHARES CORE S&P 500 (MKT) ETF464287200892$501,2150.18%
99THERMO FISHER SCIENTIFIC INCTMO962$478,6910.17%
100GE VERNOVA INC CORP COMMONGEV1,557$475,3210.17%
101INTUITIVE SURGICAL INCISRG925$458,1250.16%
102MCCORMICK & CO COM NON VOTINGMKC-V5,540$455,9970.16%
103EXXON MOBIL CORP COMXOM3,828$455,2640.16%
104WALMART INCWMT5,000$438,9500.16%
105VERTEX PHARMACEUTICALS INCVRTX893$432,9440.15%
106META PLATFORMS INCMETA750$432,2700.15%
107VANGUARD BOND INDEX SHORT TERM9219378275,454$426,9390.15%
108BROADRIDGE FINANCIAL SOLUTIONS11133T1031,700$412,1820.15%
109CISCO SYSTEMS INC COMCSCO6,645$410,0630.15%
110TRANE TECHNOLOGIES PLC CORP PLCTT1,200$404,3040.14%
111HOME DEPOT INC COMHD1,045$382,9820.14%
112FISERV INC COMFISV1,725$380,9320.14%
113VANGUARD BOND INDEX SHORT TERM9219378274,813$376,7620.13%
114MICROSOFT CORP COMMSFT975$366,0050.13%
115APTAR GROUP INCATR2,390$354,6280.13%
116MASTERCARD INCORPORATEDMA625$342,5750.12%
117BERKSHIRE HATHAWAY INC CLASS-BBRK-A638$339,7860.12%
118GE AEROSPACE3696043011,650$330,2480.12%
119VANGUARD BOND INDEX SHORT TERM9219378274,000$313,1200.11%
120CARRIER GLOBAL CORPCARR4,925$312,2450.11%
121RELX PLC SPON ADRRLXXF6,170$311,0300.11%
122BECTON DICKINSON & CO COMBDX1,355$310,3760.11%
123MARSH & MCLENNAN COS INC COM5717481021,200$292,8360.10%
124CROWN HOLDINGS INCCCK3,260$290,9880.10%
125ZOETIS INCZTS1,754$288,7960.10%
126CANADIAN NATIONAL RAILWAY CO CO1363751022,950$287,5070.10%
127HOME DEPOT INC COMHD784$287,3280.10%
128STANLEY BLACK & DECKER INCSWK3,730$286,7620.10%
129INTERNATIONAL BUSINESS MACHINESINTR1,150$285,9590.10%
130ALPHABET INC CLASS CGOOG1,830$285,9010.10%
131AIR PRODUCTS & CHEMICAL INC COMAIIR965$284,5980.10%
132GRAINGER WW INC384802104280$276,5920.10%
133TJX COS INC NEW COM8725401092,200$267,9600.10%
134MERCK AND CO INCMRK2,979$267,3950.10%
135UL SOLUTIONS INC CLASS AULS4,650$262,2600.09%
136FACTSET RESEARCH SYSTEMS303075105575$261,4180.09%
137COCA COLA CO COMKO3,550$254,2510.09%
138VISA INCV705$247,0740.09%
139US BANCORP NEWUSB-PS5,700$240,6540.09%
140DANAHER CORP2358511021,125$230,6250.08%
141GENTEX CORP COMGNTX9,870$229,9710.08%
142APPLE COMPUTER INC COMAAPL1,020$226,5730.08%
143LOWES COMPANIES INC548661107960$223,9010.08%
144ENERGY TRANSFER LPET-PI11,904$221,2950.08%
145ECOLAB INC COMECL850$215,4920.08%
146ACCENTURE PLC IRELANDACN680$212,1870.08%
147INTEL CORP COMINTC8,950$203,2550.07%
148NOVARTIS AG ADRNVSEF1,800$200,6640.07%
149DISNEY WALT CO COM2546871062,032$200,5580.07%
150VISA INCV566$198,3600.07%
151EDWARDS LIFESCIENCES CORPEW2,730$197,8700.07%
152QUALCOMM INC COMQCOM1,275$195,8530.07%
153AMAZON.COM INCAMZN1,000$190,2600.07%
154JOHNSON & JOHNSON COMJNJ1,147$190,2180.07%
155EATON CORP PLCETN690$187,5630.07%
156SOLVENTUM CORP COMMONSOLV2,461$187,1340.07%
157COCA COLA CO COMKO2,600$186,2120.07%
158EDWARDS LIFESCIENCES CORPEW2,560$185,5490.07%
159INTUIT INC COMINTU300$184,1970.07%
160AMPHENOL CORP CL A0320951012,800$183,6520.07%
161NEW YORK TIMES CO CL ANYT3,685$182,7760.07%
162MEDTRONIC PLCMDT1,970$177,0240.06%
163CATERPILLAR INCCAT505$166,5490.06%
164GE HEALTHCARE TECHNOLOGIES INCGEHC2,052$165,6170.06%
165SOLVENTUM CORP COMMONSOLV2,088$158,7720.06%
166PALO ALTO NETWORKS INC COMMONPANW920$156,9890.06%
167GE VERNOVA INC CORP COMMONGEV507$154,7770.06%
168ADVANCED MICRO DEVICES INCAMD1,464$150,4110.05%
169THERMO FISHER SCIENTIFIC INCTMO301$149,2800.05%
170TEXAS INSTRS INC COM882508104820$147,3540.05%
171ACCENTURE PLC IRELANDACN470$146,6590.05%
172AMPHENOL CORP CL A0320951012,235$146,5940.05%
173VERTEX PHARMACEUTICALS INCVRTX300$145,4460.05%
174BERKSHIRE HATHAWAY INC CLASS-BBRK-A265$141,1340.05%
175JPMORGAN CHASE & CO COMVYLD575$141,0480.05%
176ECOLAB INC COMECL546$138,4220.05%
177TEXAS INSTRS INC COM882508104755$135,6740.05%
178ROCKWELL AUTOMATION INCROK520$134,3580.05%
179WASTE MGMT INC94106L109580$134,2760.05%
180JPMORGAN ULTRA-SHORT INCOME ETF46641Q8372,590$131,1320.05%
181ARCH CAPITAL GROUP LTDG0450A1051,350$129,8430.05%
182ROCKWELL AUTOMATION INCROK500$129,1900.05%
183JOHNSON & JOHNSON COMJNJ750$124,3800.04%
184PFIZER INCPFE4,860$123,1520.04%
185COSTCO WHSL CORP NEW COM22160K105124$117,2770.04%
186XYLEM INCXYL980$117,0710.04%
187IDEXX LABS INC COM45168D104275$115,4860.04%
188US BANCORP NEWUSB-PS2,705$114,2050.04%
189VANGUARD INTERMEDIATE TERM BOND9219378191,475$112,9410.04%
190FISERV INC COMFISV475$104,8940.04%
191JPMORGAN ULTRA-SHORT INCOME ETF46641Q8372,040$103,2850.04%
192BANK OF AMERICA CORP NEW0605051042,207$92,0980.03%
193NOVARTIS AG ADRNVSEF808$90,0760.03%
194ECOLAB INC COMECL350$88,7320.03%
195MERCK AND CO INCMRK950$85,2720.03%
196MICROSOFT CORP COMMSFT220$82,5860.03%
197APPLE COMPUTER INC COMAAPL360$79,9670.03%
198BANK OF AMERICA CORP NEW0605051041,850$77,2010.03%
199COSTCO WHSL CORP NEW COM22160K10578$73,7710.03%
200GENTEX CORP COMGNTX3,150$73,3950.03%
201VISA INCV200$70,0920.03%
202META PLATFORMS INCMETA120$69,1630.02%
203GRAINGER WW INC38480210470$69,1480.02%
204GRAINGER WW INC38480210470$69,1480.02%
205MARSH & MCLENNAN COS INC COM571748102280$68,3280.02%
206MCCORMICK & CO COM NON VOTINGMKC-V800$65,8480.02%
207PROCTER & GAMBLE CO COM742718109375$63,9080.02%
208EATON CORP PLCETN230$62,5210.02%
209VANGUARD INTERMEDIATE TERM BOND921937819800$61,2560.02%
210IDEXX LABS INC COM45168D104145$60,8930.02%
211PROCTER & GAMBLE CO COM742718109350$59,6470.02%
212VANGUARD FTSE DEVELOPED MARKETS9219438581,155$58,7090.02%
213CISCO SYSTEMS INC COMCSCO950$58,6250.02%
214EDWARDS LIFESCIENCES CORPEW800$57,9840.02%
215STRYKER CORP COMSYK155$57,6990.02%
216MICROSOFT CORP COMMSFT150$56,3090.02%
217GE HEALTHCARE TECHNOLOGIES INCGEHC677$54,6410.02%
218ISHARES MSCI EAFE ETF464287465650$53,1250.02%
219COSTCO WHSL CORP NEW COM22160K10556$52,9640.02%
220VISA INCV150$52,5690.02%
221PEPSICO INC COMPEP350$52,4790.02%
222TJX COS INC NEW COM872540109430$52,3740.02%
223GENTEX CORP COMGNTX2,220$51,7260.02%
224PALO ALTO NETWORKS INC COMMONPANW300$51,1920.02%
225PALO ALTO NETWORKS INC COMMONPANW300$51,1920.02%
226ARCH CAPITAL GROUP LTDG0450A105531$51,0720.02%
227ECOLAB INC COMECL200$50,7040.02%
228AMAZON.COM INCAMZN260$49,4680.02%
229EATON CORP PLCETN180$48,9290.02%
230ARCH CAPITAL GROUP LTDG0450A105500$48,0900.02%
231ZOETIS INCZTS285$46,9250.02%
232TJX COS INC NEW COM872540109385$46,8930.02%
233ALPHABET INC CLASS AGOOG300$46,3920.02%
234AMAZON.COM INCAMZN240$45,6620.02%
235ROCKWELL AUTOMATION INCROK175$45,2170.02%
236APTAR GROUP INCATR300$44,5140.02%
237EATON CORP PLCETN160$43,4930.02%
238THERMO FISHER SCIENTIFIC INCTMO85$42,2960.02%
239MASTERCARD INCORPORATEDMA75$41,1090.01%
240PALO ALTO NETWORKS INC COMMONPANW240$40,9540.01%
241FISERV INC COMFISV175$38,6450.01%
242ARCH CAPITAL GROUP LTDG0450A105400$38,4720.01%
243PEPSICO INC COMPEP255$38,2350.01%
244XYLEM INCXYL320$38,2270.01%
245ECOLAB INC COMECL150$38,0280.01%
246COSTCO WHSL CORP NEW COM22160K10540$37,8310.01%
247IDEXX LABS INC COM45168D10490$37,7960.01%
248BANK OF AMERICA CORP NEW060505104900$37,5570.01%
249PEPSICO INC COMPEP250$37,4850.01%
250THERMO FISHER SCIENTIFIC INCTMO75$37,3200.01%
251INTERNATIONAL BUSINESS MACHINESINTR150$37,2990.01%
252TJX COS INC NEW COM872540109300$36,5400.01%
253UNION PACIFIC CORP COMUNP150$35,4360.01%
254AIR PRODUCTS & CHEMICAL INC COMAIIR120$35,3900.01%
255AMAZON.COM INCAMZN180$34,2470.01%
256APPLE COMPUTER INC COMAAPL150$33,3200.01%
257MARSH & MCLENNAN COS INC COM571748102130$31,7240.01%
258ALPHABET INC CLASS CGOOG200$31,2460.01%
259INTUIT INC COMINTU50$30,7000.01%
260INTUIT INC COMINTU50$30,7000.01%
261VANGUARD INTERMEDIATE TERM BOND921937819400$30,6280.01%
262APTAR GROUP INCATR200$29,6760.01%
263GRAINGER WW INC38480210430$29,6350.01%
264ACCENTURE PLC IRELANDACN90$28,0840.01%
265MERCK AND CO INCMRK300$26,9280.01%
266MICROSOFT CORP COMMSFT70$26,2770.01%
267ECOLAB INC COMECL100$25,3520.01%
268JOHNSON & JOHNSON COMJNJ150$24,8760.01%
269VERALTO CORP COMMONVLTO250$24,3630.01%
270BANK OF AMERICA CORP NEW060505104550$22,9520.01%
271AMPHENOL CORP CL A032095101300$19,6770.01%
272EDWARDS LIFESCIENCES CORPEW270$19,5700.01%
273UNILEVER PLC SPONSORED ADR NEWUNLYF326$19,4130.01%
274UNION PACIFIC CORP COMUNP75$17,7180.01%
275ROCKWELL AUTOMATION INCROK65$16,7950.01%
276DISNEY WALT CO COM254687106160$15,7920.01%
277SPDR S & P 500 ETFSPY27$15,1040.01%
278ROCKWELL AUTOMATION INCROK50$12,9190.00%
279NVIDIA CORPORATIONNVDA90$9,7540.00%
280NVIDIA CORPORATIONNVDA90$9,7540.00%
281UNILEVER PLC SPONSORED ADR NEWUNLYF120$7,1460.00%
282ENERGY TRANSFER LPET-PI100$1,8590.00%