HoldingsChannel.com
Raymond James Trust N.A. Top Holdings
As of  06/30/2019

   EntityAmountChange
 03/31/2019 to 06/30/2019
Position Size
($ in 1000's)
MICROSOFT CORP 378,636 +3,065 $50,722
     MSFT378,636+3,065$50,722
COCA COLA CO 782,761 -21,619 $39,858
     KO782,761-21,619$39,858
APPLE INC 190,898 +1,634 $37,783
     AAPL190,898+1,634$37,783
VANGUARD (VEA) 854,922 +23,220 $35,658
     VEA854,922+23,220$35,658
JP MORGAN CHASE & CO 273,673 +5,798 $30,597
     JPM273,673+5,798$30,597
HOME DEPOT INC 123,286 +3,844 $25,640
     HD123,286+3,844$25,640
CISCO SYSTEMS INC 452,918 +2,660 $24,789
     CSCO452,918+2,660$24,789
ISHARES (AGG) 214,416 -653 $23,875
     AGG214,416-653$23,875
VANGUARD (VOO) 88,237 -7,675 $23,749
     VOO88,237-7,675$23,749
ISHARES (IEFA) 374,438 -15,165 $22,991
     IEFA374,438-15,165$22,991
PROCTER & GAMBLE CO 207,148 -4,858 $22,714
     PG207,148-4,858$22,714
JOHNSON & JOHNSON 161,872 +5,561 $22,546
     JNJ161,872+5,561$22,546
MERCK & CO 258,741 +3,942 $21,696
     MRK258,741+3,942$21,696
PFIZER INC 495,475 +6,083 $21,464
     PFE495,475+6,083$21,464
VISA 120,398 +1,342 $20,895
     V120,398+1,342$20,895
CHEVRON CORP 165,357 +2,470 $20,577
     CVX165,357+2,470$20,577
VANGUARD (VXF) 173,437 -2,214 $20,566
     VXF173,437-2,214$20,566
VERIZON COMMUNICATIONS INC 344,624 +3,645 $19,688
     VZ344,624+3,645$19,688
AT&T INC 555,391 +34,676 $18,612
     T555,391+34,676$18,612
EXXON MOBIL CORP 234,155 +4,022 $17,943
     XOM234,155+4,022$17,943
ALPHABET INC 14,343 +176 $15,503
     GOOG14,343+176$15,503
WALT DISNEY CO 110,371 +4,377 $15,413
     DIS110,371+4,377$15,413
UNION PACIFIC CORP 91,007 +1,903 $15,390
     UNP91,007+1,903$15,390
AMAZON COM INC 7,890 +251 $14,941
     AMZN7,890+251$14,941
WAL MART STORES INC 129,227 +794 $14,279
     WMT129,227+794$14,279
COMCAST CORP 331,289 +1,405 $14,007
     CMCSA331,289+1,405$14,007
QUALCOMM INC 180,995 +2,262 $13,768
     QCOM180,995+2,262$13,768
UNITED HEALTH GROUP INC 54,246 +2,447 $13,237
     UNH54,246+2,447$13,237
SPDR (SPY) 44,845 +6,458 $13,139
     SPY44,845+6,458$13,139
PEPSICO INC 99,274 -888 $13,018
     PEP99,274-888$13,018
ABBOTT LABORATORIES 153,062 -4,840 $12,873
     ABT153,062-4,840$12,873
HONEYWELL INTERNATIONAL INC 69,458 +1,832 $12,126
     HON69,458+1,832$12,126
WELLS FARGO & CO 254,992 +3,472 $12,066
     WFC254,992+3,472$12,066
3M CO 68,500 +837 $11,874
     MMM68,500+837$11,874
ISHARES (IWF) 75,449 -166 $11,871
     IWF75,449-166$11,871
ABBVIE INC 161,854 -1,897 $11,770
     ABBV161,854-1,897$11,770
MCDONALDS 54,631 +1,071 $11,344
     MCD54,631+1,071$11,344
ISHARES (IJR) 144,688 -4,926 $11,326
     IJR144,688-4,926$11,326
BLACKROCK INC 23,990 +454 $11,259
     BLK23,990+454$11,259
AUTOMATIC DATA PROCESSING 66,227 +9,248 $10,949
     ADP66,227+9,248$10,949
FACEBOOK INC 56,613 +94 $10,926
     FB56,613+94$10,926
ALLSTATE CORP 107,427 -855 $10,924
     ALL107,427-855$10,924
ISHARES (IVV) 35,373 +3,209 $10,426
     IVV35,373+3,209$10,426
LOCKHEED MARTIN CORP 28,647 +310 $10,414
     LMT28,647+310$10,414
ISHARES (IWD) 80,485 +712 $10,239
     IWD80,485+712$10,239
UNITED TECHNOLOGIES CORPORATION 77,472 +126 $10,087
     UTX77,472+126$10,087
AMGEN INC 54,380 +1,463 $10,021
     AMGN54,380+1,463$10,021
TARGET 114,174 -2,000 $9,889
     TGT114,174-2,000$9,889
BB&T CORP 193,028 +1,130 $9,484
     BBT193,028+1,130$9,484
INTEL CORP 196,632 +37 $9,413
     INTC196,632+37$9,413

See Full List: All Stocks Held By Raymond James Trust N.A.
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Raymond James Trust N.A.

Size ($ in 1000's)
At 06/30/2019: $1,815,325
At 03/31/2019: $1,734,022

Raymond James Trust N.A. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Raymond James Trust N.A. 13F filings. Link to 13F filings: SEC filings

Raymond James Trust N.A. Top Holdings 13F Filings | www.HoldingsChannel.com

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