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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

HALL LAURIE J TRUSTEE

Quarter ended Q2 2025 · Filed July 15, 2025 · Accession 0001388382-25-000003

Total Value
$302.4M
Positions
282
Other Managers
15
Confidential Omitted
No
View on SEC.gov

Holdings (282)

#IssuerTicker / CUSIPSharesValue% of Filing
1MICROSOFT CORP COMMSFT36,238$18.0M5.96%
2NVIDIA CORPORATIONNVDA63,891$10.1M3.34%
3MICROSOFT CORP COMMSFT19,915$9.9M3.28%
4STRYKER CORP COMSYK21,730$8.6M2.84%
5APPLE COMPUTER INC COMAAPL39,794$8.2M2.70%
6VANGUARD TOTAL STOCK MARKET ETF92290876926,529$8.1M2.67%
7AMPHENOL CORP CL A03209510180,096$7.9M2.62%
8ABBOTT LABS COMABLZF57,527$7.8M2.59%
9MASTERCARD INCORPORATEDMA12,723$7.1M2.36%
10INTERNATIONAL BUSINESS MACHINESINTR23,935$7.1M2.33%
11CARRIER GLOBAL CORPCARR90,480$6.6M2.19%
12ALPHABET INC CLASS CGOOG34,820$6.2M2.04%
13PROCTER & GAMBLE CO COM74271810938,613$6.2M2.03%
14WASTE MGMT INC94106L10924,958$5.7M1.89%
15TJX COS INC NEW COM87254010945,782$5.7M1.87%
16APPLIED MATERIALS INC COM03822210529,143$5.3M1.76%
17ROCKWELL AUTOMATION INCROK15,822$5.3M1.74%
18ANALOG DEVICES INC COMADI21,535$5.1M1.69%
19RELX PLC SPON ADRRLXXF81,118$4.4M1.46%
20DANAHER CORP23585110220,954$4.1M1.37%
21XYLEM INCXYL30,786$4.0M1.32%
22CIGNA GROUP12552310011,723$3.9M1.28%
23MCCORMICK & CO COM NON VOTINGMKC-V50,815$3.9M1.27%
24APPLE COMPUTER INC COMAAPL18,514$3.8M1.26%
25UL SOLUTIONS INC CLASS AULS51,740$3.8M1.25%
26NVIDIA CORPORATIONNVDA23,730$3.7M1.24%
27APTAR GROUP INCATR23,685$3.7M1.23%
28NEW YORK TIMES CO CL ANYT64,665$3.6M1.20%
29JOHNSON & JOHNSON COMJNJ21,782$3.3M1.10%
30CROWN HOLDINGS INCCCK31,175$3.2M1.06%
31UNILEVER PLC SPONSORED ADR NEWUNLYF50,394$3.1M1.02%
32AUTOMATIC DATA PROCESSING COMADP9,500$2.9M0.97%
33PROCTER & GAMBLE CO COM74271810917,309$2.8M0.91%
34STRYKER CORP COMSYK6,895$2.7M0.90%
35NOVARTIS AG ADRNVSEF22,534$2.7M0.90%
36FISERV INC COMFISV15,400$2.7M0.88%
37ADVANCED MICRO DEVICES INCAMD18,216$2.6M0.85%
38MORGAN STANLEYMS-PQ18,000$2.5M0.84%
39PEPSICO INC COMPEP16,325$2.2M0.71%
40PARKER HANNIFIN CORPPH3,033$2.1M0.70%
41AUTOMATIC DATA PROCESSING COMADP6,735$2.1M0.69%
42VERALTO CORP COMMONVLTO20,246$2.0M0.68%
43VERTEX PHARMACEUTICALS INCVRTX4,365$1.9M0.64%
44BECTON DICKINSON & CO COMBDX11,155$1.9M0.64%
45ISHARES MSCI EAFE ETF46428746521,229$1.9M0.63%
46SALESFORCE INCCRM6,895$1.9M0.62%
47AIR PRODUCTS & CHEMICAL INC COMAIIR6,550$1.8M0.61%
48ABBVIE INCABBV9,920$1.8M0.61%
49SPDR S & P 500 ETFSPY2,880$1.8M0.59%
50AMAZON.COM INCAMZN7,680$1.7M0.56%
51A T & T INCT-PC56,662$1.6M0.54%
52AMGEN INCAMGN5,810$1.6M0.54%
53GE AEROSPACE3696043016,235$1.6M0.53%
543M COMPANYMMM9,935$1.5M0.50%
55VANGUARD FTSE DEVELOPED MARKETS92194385826,434$1.5M0.50%
56SYSCO CORP COMSYY18,658$1.4M0.47%
573M COMPANYMMM8,956$1.4M0.45%
58INTERNATIONAL BUSINESS MACHINESINTR4,573$1.3M0.45%
59PEPSICO INC COMPEP9,835$1.3M0.43%
60PACCAR INCPCAR13,371$1.3M0.42%
61MERCK AND CO INCMRK16,005$1.3M0.42%
62JOHNSON & JOHNSON COMJNJ8,150$1.2M0.41%
63CINTAS CORP COMCTAS5,446$1.2M0.40%
64VANGUARD TOTAL INTERNATIONAL ST92190976816,629$1.1M0.38%
65APPLIED MATERIALS INC COM0382221056,075$1.1M0.37%
66CHARTER COMMUNICATIONS INC CL A16119P1082,695$1.1M0.36%
67AMAZON.COM INCAMZN4,920$1.1M0.36%
68EMERSON ELEC CO COMEMR7,970$1.1M0.35%
69ALNYLAM PHARMAALNY3,250$1.1M0.35%
70ABBOTT LABS COMABLZF7,440$1.0M0.33%
71ABBVIE INCABBV4,575$849,2120.28%
72STATE STREET CORP COMSTT-PG7,900$840,0860.28%
73BERKSHIRE HATHAWAY INC CLASS-BBRK-A1,707$829,2090.27%
74CIGNA GROUP1255231002,500$826,4500.27%
75GE VERNOVA INC CORP COMMONGEV1,557$823,8870.27%
76ALPHABET INC CLASS CGOOG4,627$820,7840.27%
77STATE STREET CORP COMSTT-PG7,625$810,8430.27%
78JPMORGAN CHASE & CO COMVYLD2,575$746,5180.25%
79JPMORGAN CHASE & CO COMVYLD2,515$729,1240.24%
80SYSCO CORP COMSYY9,525$721,4240.24%
81EMERSON ELEC CO COMEMR5,256$700,7820.23%
82WALMART INCWMT7,118$695,9980.23%
83ANALOG DEVICES INC COMADI2,812$669,3120.22%
84ALPHABET INC CLASS AGOOG3,660$645,0020.21%
85TJX COS INC NEW COM8725401095,125$632,8860.21%
86MASTERCARD INCORPORATEDMA1,090$612,5150.20%
87ALPHABET INC CLASS AGOOG3,400$599,1820.20%
88VANGUARD INTL EQUITY INDEX ETF9220427758,652$581,5870.19%
89BERKSHIRE HATHAWAY INC CLASS-BBRK-A1,163$564,9510.19%
90ISHARES CORE S&P 500 (MKT) ETF464287200892$553,8430.18%
91META PLATFORMS INCMETA750$553,5680.18%
92CVS HEALTH CORPORATIONCVS8,000$551,8400.18%
93LILLY ELI & CO COMLLY700$545,6710.18%
94CATERPILLAR INCCAT1,398$542,7180.18%
95CHURCH & DWIGHT CO INCCHD5,550$533,4110.18%
96QUALCOMM INC COMQCOM3,335$531,1320.18%
97EXXON MOBIL CORP COMXOM4,734$510,3250.17%
98INTUITIVE SURGICAL INCISRG925$502,6540.17%
99ZOETIS INCZTS3,188$497,1690.16%
100WALMART INCWMT5,000$488,9000.16%
101MICROSOFT CORP COMMSFT975$484,9750.16%
102PFIZER INCPFE19,888$482,0850.16%
103MCCORMICK & CO COM NON VOTINGMKC-V6,315$478,8030.16%
104CISCO SYSTEMS INC COMCSCO6,645$461,0300.15%
105VANGUARD BOND INDEX SHORT TERM9219378275,454$429,2300.14%
106TRANE TECHNOLOGIES PLC CORP PLCTT975$426,4750.14%
107GE AEROSPACE3696043011,650$424,6940.14%
108BROADRIDGE FINANCIAL SOLUTIONS11133T1031,700$413,1510.14%
109EXXON MOBIL CORP COMXOM3,828$412,6580.14%
110APTAR GROUP INCATR2,615$409,0640.14%
111CARRIER GLOBAL CORPCARR5,475$400,7150.13%
112VERTEX PHARMACEUTICALS INCVRTX900$400,6800.13%
113RELX PLC SPON ADRRLXXF7,370$400,4860.13%
114THERMO FISHER SCIENTIFIC INCTMO962$390,0530.13%
115ISHARES MSCI KLD 400 SOCIAL ETF4642885703,350$389,1360.13%
116CROWN HOLDINGS INCCCK3,760$387,2050.13%
117AMPHENOL CORP CL A0320951013,885$383,6440.13%
118HOME DEPOT INC COMHD1,045$383,1390.13%
119VANGUARD BOND INDEX SHORT TERM9219378274,813$378,7830.13%
120SALESFORCE INCCRM1,370$373,5850.12%
121UL SOLUTIONS INC CLASS AULS4,665$339,8920.11%
122INTERNATIONAL BUSINESS MACHINESINTR1,150$338,9970.11%
123ALPHABET INC CLASS CGOOG1,830$324,6240.11%
124VANGUARD BOND INDEX SHORT TERM9219378274,000$314,8000.10%
125BERKSHIRE HATHAWAY INC CLASS-BBRK-A638$309,9210.10%
126MASTERCARD INCORPORATEDMA530$297,8280.10%
127GRAINGER WW INC384802104280$291,2670.10%
128HOME DEPOT INC COMHD784$287,4460.10%
129CANADIAN NATIONAL RAILWAY CO CO1363751022,700$280,9080.09%
130AMPHENOL CORP CL A0320951012,800$276,5000.09%
131ZOETIS INCZTS1,754$273,5360.09%
132FISERV INC COMFISV1,575$271,5460.09%
133GE VERNOVA INC CORP COMMONGEV507$268,2790.09%
134MARSH & MCLENNAN COS INC COM5717481021,200$262,3680.09%
135AIR PRODUCTS & CHEMICAL INC COMAIIR915$258,0850.09%
136US BANCORP NEWUSB-PS5,700$257,9250.09%
137FACTSET RESEARCH SYSTEMS303075105575$257,1860.09%
138TJX COS INC NEW COM8725401092,060$254,3890.08%
139STANLEY BLACK & DECKER INCSWK3,730$252,7080.08%
140DISNEY WALT CO COM2546871062,032$251,9880.08%
141VISA INCV705$250,3100.08%
142NEW YORK TIMES CO CL ANYT4,435$248,2710.08%
143EATON CORP PLCETN690$246,3230.08%
144COCA COLA CO COMKO3,350$237,0130.08%
145INTUIT INC COMINTU300$236,2890.08%
146BECTON DICKINSON & CO COMBDX1,355$233,3990.08%
147AMERICAN EXPRESS CO COMAXP729$232,5360.08%
148ECOLAB INC COMECL850$229,0240.08%
149DANAHER CORP2358511021,140$225,1960.07%
150AMAZON.COM INCAMZN1,000$219,3900.07%
151ORACLE CORP COMORCL-PD1,000$218,6300.07%
152NOVARTIS AG ADRNVSEF1,800$217,8180.07%
153ENERGY TRANSFER LPET-PI11,904$215,8200.07%
154EDWARDS LIFESCIENCES CORPEW2,730$213,5130.07%
155LOWES COMPANIES INC548661107960$212,9950.07%
156APPLE COMPUTER INC COMAAPL1,020$209,2730.07%
157ADVANCED MICRO DEVICES INCAMD1,464$207,7420.07%
158MERCK AND CO INCMRK2,579$204,1540.07%
159ACCENTURE PLC IRELANDACN680$203,2450.07%
160VISA INCV566$200,9580.07%
161EDWARDS LIFESCIENCES CORPEW2,560$200,2180.07%
162CATERPILLAR INCCAT505$196,0460.06%
163GENTEX CORP COMGNTX8,770$192,8520.06%
164PALO ALTO NETWORKS INC COMMONPANW920$188,2690.06%
165COCA COLA CO COMKO2,600$183,9500.06%
166SOLVENTUM CORP COMMONSOLV2,424$183,8360.06%
167QUALCOMM INC COMQCOM1,135$180,7600.06%
168JOHNSON & JOHNSON COMJNJ1,147$175,2040.06%
169ROCKWELL AUTOMATION INCROK520$172,7280.06%
170TEXAS INSTRS INC COM882508104820$170,2480.06%
171JPMORGAN CHASE & CO COMVYLD575$166,6980.06%
172ROCKWELL AUTOMATION INCROK500$166,0850.05%
173SOLVENTUM CORP COMMONSOLV2,088$158,3540.05%
174LABCORP HOLDINGS INCLH600$157,5060.05%
175TEXAS INSTRS INC COM882508104755$156,7530.05%
176GE HEALTHCARE TECHNOLOGIES INCGEHC2,052$151,9920.05%
177IDEXX LABS INC COM45168D104275$147,4940.05%
178ECOLAB INC COMECL546$147,1140.05%
179ACCENTURE PLC IRELANDACN470$140,4780.05%
180VERTEX PHARMACEUTICALS INCVRTX300$133,5600.04%
181WASTE MGMT INC94106L109580$132,7160.04%
182JPMORGAN ULTRA-SHORT INCOME ETF46641Q8372,590$131,2610.04%
183BERKSHIRE HATHAWAY INC CLASS-BBRK-A265$128,7290.04%
184XYLEM INCXYL980$126,7730.04%
185ARCH CAPITAL GROUP LTDG0450A1051,350$122,9180.04%
186COSTCO WHSL CORP NEW COM22160K105124$122,7530.04%
187THERMO FISHER SCIENTIFIC INCTMO301$121,6380.04%
188UNILEVER PLC SPONSORED ADR NEWUNLYF1,970$120,5050.04%
189JOHNSON & JOHNSON COMJNJ750$114,5630.04%
190VANGUARD INTERMEDIATE TERM BOND9219378191,475$114,0770.04%
191PFIZER INCPFE4,660$112,9580.04%
192MICROSOFT CORP COMMSFT220$109,4300.04%
193BANK OF AMERICA CORP NEW0605051042,207$104,4350.03%
194JPMORGAN ULTRA-SHORT INCOME ETF46641Q8372,040$103,3870.03%
195NOVARTIS AG ADRNVSEF808$97,7760.03%
196ECOLAB INC COMECL350$94,3040.03%
197META PLATFORMS INCMETA120$88,5710.03%
198BANK OF AMERICA CORP NEW0605051041,850$87,5420.03%
199EATON CORP PLCETN230$82,1080.03%
200IDEXX LABS INC COM45168D104145$77,7690.03%
201MICROSOFT CORP COMMSFT150$74,6120.02%
202APPLE COMPUTER INC COMAAPL360$73,8610.02%
203GRAINGER WW INC38480210470$72,8170.02%
204GRAINGER WW INC38480210470$72,8170.02%
205VISA INCV200$71,0100.02%
206FISERV INC COMFISV405$69,8260.02%
207GENTEX CORP COMGNTX3,150$69,2690.02%
208CISCO SYSTEMS INC COMCSCO950$65,9110.02%
209VANGUARD FTSE DEVELOPED MARKETS9219438581,155$65,8470.02%
210COSTCO WHSL CORP NEW COM22160K10565$64,3460.02%
211EATON CORP PLCETN180$64,2580.02%
212EDWARDS LIFESCIENCES CORPEW800$62,5680.02%
213VANGUARD INTERMEDIATE TERM BOND921937819800$61,8720.02%
214PALO ALTO NETWORKS INC COMMONPANW300$61,3920.02%
215PALO ALTO NETWORKS INC COMMONPANW300$61,3920.02%
216STRYKER CORP COMSYK155$61,3230.02%
217MARSH & MCLENNAN COS INC COM571748102280$61,2190.02%
218MCCORMICK & CO COM NON VOTINGMKC-V800$60,6560.02%
219PROCTER & GAMBLE CO COM742718109375$59,7450.02%
220ROCKWELL AUTOMATION INCROK175$58,1300.02%
221ISHARES MSCI EAFE ETF464287465650$58,1040.02%
222EATON CORP PLCETN160$57,1180.02%
223AMAZON.COM INCAMZN260$57,0410.02%
224PROCTER & GAMBLE CO COM742718109350$55,7620.02%
225COSTCO WHSL CORP NEW COM22160K10556$55,4370.02%
226ECOLAB INC COMECL200$53,8880.02%
227VISA INCV150$53,2580.02%
228TJX COS INC NEW COM872540109430$53,1010.02%
229ALPHABET INC CLASS AGOOG300$52,8690.02%
230AMAZON.COM INCAMZN240$52,6540.02%
231GE HEALTHCARE TECHNOLOGIES INCGEHC677$50,1450.02%
232PALO ALTO NETWORKS INC COMMONPANW240$49,1140.02%
233SALESFORCE INCCRM180$49,0840.02%
234GENTEX CORP COMGNTX2,220$48,8180.02%
235ARCH CAPITAL GROUP LTDG0450A105531$48,3480.02%
236IDEXX LABS INC COM45168D10490$48,2710.02%
237TJX COS INC NEW COM872540109385$47,5440.02%
238APTAR GROUP INCATR300$46,9290.02%
239PEPSICO INC COMPEP350$46,2140.02%
240ARCH CAPITAL GROUP LTDG0450A105500$45,5250.02%
241ZOETIS INCZTS285$44,4460.01%
242INTERNATIONAL BUSINESS MACHINESINTR150$44,2170.01%
243BANK OF AMERICA CORP NEW060505104900$42,5880.01%
244LABCORP HOLDINGS INCLH160$42,0020.01%
245XYLEM INCXYL320$41,3950.01%
246ECOLAB INC COMECL150$40,4160.01%
247COSTCO WHSL CORP NEW COM22160K10540$39,5980.01%
248AMAZON.COM INCAMZN180$39,4900.01%
249INTUIT INC COMINTU50$39,3820.01%
250INTUIT INC COMINTU50$39,3820.01%
251ARCH CAPITAL GROUP LTDG0450A105400$36,4200.01%
252ALPHABET INC CLASS CGOOG200$35,4780.01%
253MICROSOFT CORP COMMSFT70$34,8190.01%
254THERMO FISHER SCIENTIFIC INCTMO85$34,4640.01%
255AIR PRODUCTS & CHEMICAL INC COMAIIR120$33,8470.01%
256MASTERCARD INCORPORATEDMA60$33,7160.01%
257PEPSICO INC COMPEP255$33,6700.01%
258TJX COS INC NEW COM872540109270$33,3420.01%
259PEPSICO INC COMPEP250$33,0100.01%
260APTAR GROUP INCATR200$31,2860.01%
261GRAINGER WW INC38480210430$31,2070.01%
262VANGUARD INTERMEDIATE TERM BOND921937819400$30,9360.01%
263APPLE COMPUTER INC COMAAPL150$30,7760.01%
264THERMO FISHER SCIENTIFIC INCTMO75$30,4100.01%
265AMPHENOL CORP CL A032095101300$29,6250.01%
266MARSH & MCLENNAN COS INC COM571748102130$28,4230.01%
267ECOLAB INC COMECL100$26,9440.01%
268ACCENTURE PLC IRELANDACN90$26,9000.01%
269BANK OF AMERICA CORP NEW060505104550$26,0260.01%
270VERALTO CORP COMMONVLTO250$25,2380.01%
271FISERV INC COMFISV135$23,2750.01%
272JOHNSON & JOHNSON COMJNJ150$22,9130.01%
273ROCKWELL AUTOMATION INCROK65$21,5910.01%
274EDWARDS LIFESCIENCES CORPEW270$21,1170.01%
275LABCORP HOLDINGS INCLH80$21,0010.01%
276UNILEVER PLC SPONSORED ADR NEWUNLYF326$19,9410.01%
277DISNEY WALT CO COM254687106160$19,8420.01%
278SPDR S & P 500 ETFSPY27$16,6820.01%
279ROCKWELL AUTOMATION INCROK50$16,6090.01%
280NVIDIA CORPORATIONNVDA90$14,2190.00%
281NVIDIA CORPORATIONNVDA90$14,2190.00%
282ENERGY TRANSFER LPET-PI100$1,8130.00%