HoldingsChannel.com
Plimoth Trust Co. LLC Top Holdings
As of  03/31/2020

   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
Apple Inc. 39,821 -3,354 $10,126
     AAPL39,821-3,354$10,126
Invesco II Pfd ETF (PGX) 752,052 +5,696 $9,897
     PGX752,052+5,696$9,897
Ishares Core U.S. Aggregate ETF (AGG) 79,047 +527 $9,120
     AGG79,047+527$9,120
Microsoft Corp 54,195 +1,123 $8,547
     MSFT54,195+1,123$8,547
Vanguard Real Estate ETF (VNQ) 98,274 -744 $6,864
     VNQ98,274-744$6,864
AT&T Inc. Com 197,571 -6,357 $5,759
     T197,571-6,357$5,759
Verizon Communications Inc. 102,202 +2,330 $5,492
     VZ102,202+2,330$5,492
Intel Corp 97,166 -2,805 $5,258
     INTC97,166-2,805$5,258
JPMorgan Chase & Company 51,837 -3,682 $4,667
     JPM51,837-3,682$4,667
Procter & Gamble Co 38,637 +759 $4,250
     PG38,637+759$4,250
Wisdomtree International Equity Fund ETF (DWM) 107,204 -968 $4,234
     DWM107,204-968$4,234
MFC Vaneck Vectors ETF Trust (PFXF) 255,511 +2,334 $4,216
     PFXF255,511+2,334$4,216
Johnson & Johnson 27,845 -1,095 $3,651
     JNJ27,845-1,095$3,651
Pfizer Inc 110,102 -2,855 $3,593
     PFE110,102-2,855$3,593
International Business Machines 32,159 -1,630 $3,567
     IBM32,159-1,630$3,567
NextEra Energy Inc. 13,135 -199 $3,161
     NEE13,135-199$3,161
IShares Tr Short Term Corp Bd ETF (IGSB) 56,061 +15,986 $2,935
     IGSB56,061+15,986$2,935
Merck & Co. Inc. 38,002 -289 $2,924
     MRK38,002-289$2,924
United Parcel Service 30,886 -1,443 $2,885
     UPS30,886-1,443$2,885
Amazon.Com Inc. 1,461 +218 $2,849
     AMZN1,461+218$2,849
Wal Mart Stores Inc 23,520 -4,268 $2,672
     WMT23,520-4,268$2,672
Cisco Systems Inc. 67,821 -580 $2,666
     CSCO67,821-580$2,666
Bristol Myers Squibb Co. 46,841 +1,227 $2,611
     BMY46,841+1,227$2,611
Lowe s Companies Inc. 29,254 -635 $2,517
     LOW29,254-635$2,517
Kimberly Clark Corp 19,453 -695 $2,487
     KMB19,453-695$2,487
AbbVie Inc 32,225 -3,538 $2,455
     ABBV32,225-3,538$2,455
Alphabet Inc. Cl A 2,106 +2 $2,447
     GOOGL2,106+2$2,447
Pepsico Inc 20,302 +629 $2,438
     PEP20,302+629$2,438
Duke Energy Corp 29,866 -112 $2,416
     DUK29,866-112$2,416
McDonald s Corp. 14,248 -145 $2,356
     MCD14,248-145$2,356
Gilead Sciences Inc. 30,997 -957 $2,317
     GILD30,997-957$2,317
The Walt Disney Company 23,520 +375 $2,272
     DIS23,520+375$2,272
Target Corp. 23,650 -2,635 $2,199
     TGT23,650-2,635$2,199
Chevron Corp com 29,625 -815 $2,146
     CVX29,625-815$2,146
CVS Health Corp 34,938 -164 $2,073
     CVS34,938-164$2,073
Lilly Eli & Co 14,691 -310 $2,038
     LLY14,691-310$2,038
Qualcomm Inc 29,345 +10 $1,985
     QCOM29,345+10$1,985
Exxon Mobil Corporation 51,937 -1,312 $1,972
     XOM51,937-1,312$1,972
Select Sector SPDR Technology ETF (XLK) 24,446 -435 $1,965
     XLK24,446-435$1,965
Eaton Corp PLC 24,275 -8,127 $1,886
     ETN24,275-8,127$1,886
Home Depot Inc. 9,242 +34 $1,726
     HD9,242+34$1,726
Amgen Inc. 8,471 -145 $1,717
     AMGN8,471-145$1,717
Applied Materials Inc. 37,194 -400 $1,705
     AMAT37,194-400$1,705
IShares Edge MSCI Emerging Market ETF (EEMV) 35,449 +4,974 $1,664
     EEMV35,449+4,974$1,664
Coca Cola 36,605 -6,820 $1,620
     KO36,605-6,820$1,620
Dominion Energy Inc. 22,241 -2,350 $1,606
     D22,241-2,350$1,606
Starbucks Corporation 24,349 -85 $1,600
     SBUX24,349-85$1,600
Facebook Inc 8,993 +245 $1,500
     FB8,993+245$1,500
UnitedHealth Group Inc. 5,983 -265 $1,492
     UNH5,983-265$1,492
Nike Inc. Class B 17,687 -123 $1,464
     NKE17,687-123$1,464

See Full List: All Stocks Held By Plimoth Trust Co. LLC
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Plimoth Trust Co. LLC

Size ($ in 1000's)
At 03/31/2020: $238,467
At 12/31/2019: $309,212

Plimoth Trust Co. LLC holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Plimoth Trust Co. LLC 13F filings. Link to 13F filings: SEC filings

Plimoth Trust Co. LLC Top Holdings 13F Filings | www.HoldingsChannel.com

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