HoldingsChannel.com
Plimoth Trust Co. LLC Top Holdings
As of  12/31/2019

   EntityAmountChange
 09/30/2019 to 12/31/2019
Position Size
($ in 1000's)
Apple Inc. 43,175 -3,673 $12,679
     AAPL43,175-3,673$12,679
Invesco II Pfd ETF (PGX) 746,356 -1,511 $11,203
     PGX746,356-1,511$11,203
Vanguard Real Estate ETF (VNQ) 99,018 +578 $9,188
     VNQ99,018+578$9,188
Ishares Core U.S. Aggregate ETF (AGG) 78,520 +557 $8,823
     AGG78,520+557$8,823
Microsoft Corp 53,072 -720 $8,370
     MSFT53,072-720$8,370
AT&T Inc. Com 203,928 -7,734 $7,969
     T203,928-7,734$7,969
JPMorgan Chase & Company 55,519 -14,690 $7,739
     JPM55,519-1,685$7,739
Verizon Communications Inc. 99,872 -646 $6,132
     VZ99,872-646$6,132
Intel Corp 99,971 -4,720 $5,983
     INTC99,971-4,720$5,983
Wisdomtree International Equity Fund ETF (DWM) 108,172 -281 $5,785
     DWM108,172-281$5,785
MFC Vaneck Vectors ETF Trust (PFXF) 253,177 +4,542 $5,119
     PFXF253,177+4,542$5,119
Procter & Gamble Co 37,878 -843 $4,731
     PG37,878-843$4,731
International Business Machines 33,789 +1,395 $4,529
     IBM33,789+1,395$4,529
Pfizer Inc 112,957 -2,795 $4,426
     PFE112,957-2,795$4,426
Johnson & Johnson 28,940 -778 $4,221
     JNJ28,940-778$4,221
United Parcel Service 32,329 -185 $3,785
     UPS32,329-185$3,785
Exxon Mobil Corporation 53,249 -784 $3,715
     XOM53,249-784$3,715
Chevron Corp com 30,440 -323 $3,668
     CVX30,440-323$3,668
Lowe s Companies Inc. 29,889 -1,152 $3,580
     LOW29,889-1,152$3,580
Merck & Co. Inc. 38,291 -370 $3,482
     MRK38,291-370$3,482
Target Corp. 26,285 -1,525 $3,370
     TGT26,285-1,525$3,370
The Walt Disney Company 23,145 -838 $3,347
     DIS23,145-838$3,347
Wal Mart Stores Inc 27,788 +65 $3,302
     WMT27,788+65$3,302
Cisco Systems Inc. 68,401 +1,780 $3,281
     CSCO68,401+1,780$3,281
NextEra Energy Inc. 13,334 -13,953 $3,229
     NEE13,334-519$3,229
AbbVie Inc 35,763 -520 $3,166
     ABBV35,763-520$3,166
Eaton Corp PLC 32,402 -878 $3,070
     ETN32,402-878$3,070
Bristol Myers Squibb Co. 45,614 -679 $2,928
     BMY45,614-679$2,928
McDonald s Corp. 14,393 -144 $2,845
     MCD14,393-144$2,845
Alphabet Inc. Cl A 2,104 +28 $2,818
     GOOGL2,104+28$2,818
Kimberly Clark Corp 20,148 +110 $2,771
     KMB20,148+110$2,771
Duke Energy Corp 29,978 +720 $2,734
     DUK29,978+720$2,734
Pepsico Inc 19,673 +2,509 $2,689
     PEP19,673+2,509$2,689
CVS Health Corp 35,102 -853 $2,607
     CVS35,102-853$2,607
Qualcomm Inc 29,335 -1,485 $2,588
     QCOM29,335-1,485$2,588
Coca Cola 43,425 -285 $2,404
     KO43,425-285$2,404
Bank Of America Corporation 68,156 -5,411 $2,401
     BAC68,156-5,411$2,401
American Express Co 18,845 -23 $2,346
     AXP18,845-23$2,346
Amazon.Com Inc. 1,243 +64 $2,297
     AMZN1,243+64$2,297
Applied Materials Inc. 37,594 -2,103 $2,295
     AMAT37,594-2,103$2,295
Select Sector SPDR Technology ETF (XLK) 24,881 -146 $2,281
     XLK24,881-146$2,281
Darden Restaurants Inc. 20,320 +1,140 $2,215
     DRI20,320+1,140$2,215
IShares Tr Short Term Corp Bd ETF (IGSB) 40,075 +5,857 $2,149
     IGSB40,075+5,857$2,149
Starbucks Corporation 24,434 -640 $2,148
     SBUX24,434-640$2,148
United Technologies Corp. 13,983 -85 $2,094
     UTX13,983-85$2,094
Amgen Inc. 8,616 -487 $2,077
     AMGN8,616-487$2,077
Gilead Sciences Inc. 31,954 -1,058 $2,076
     GILD31,954-1,058$2,076
Microchip Technology Inc. 19,545 -780 $2,047
     MCHP19,545-780$2,047
Dominion Energy Inc. 24,591 -150 $2,036
     D24,591-150$2,036
Home Depot Inc. 9,208 -260 $2,011
     HD9,208-260$2,011

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 12/31/2019: $309,212
At 09/30/2019: $304,975

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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