HoldingsChannel.com
Trust Co. of Toledo NA OH Top Holdings
As of  03/31/2020

   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
Vanguard Short Term Federal Adm 4,133,908 -232,526 $45,225
     Com4,133,908-232,526$45,225
Microsoft Corp 129,624 +3,416 $20,443
     MSFT129,624+3,416$20,443
Northern Ultra Short Fixed Income Fund 1,906,773 +41,475 $19,258
     Com1,906,773+41,475$19,258
Apple Inc 57,829 +493 $14,705
     AAPL57,829+493$14,705
Federated Ultra Short Term Bond I 984,681 -78,882 $8,715
     Com984,681-78,882$8,715
Procter & Gamble Co 72,460 +297 $7,970
     PG72,460+297$7,970
Loomis Sayles Strategic Income Y 583,830 -5,347 $7,350
     Com583,830-5,347$7,350
Intel Corp 125,705 -1,368 $6,803
     INTC125,705-1,368$6,803
Abbott Laboratories 77,212 +525 $6,093
     ABT77,212+525$6,093
JP Morgan Chase & Co 66,942 +2,006 $6,026
     JPM66,942+2,006$6,026
PepsiCo Inc 47,610 +1,101 $5,718
     PEP47,610+1,101$5,718
NextEra Energy Inc 22,258 -294 $5,356
     NEE22,258-294$5,356
Disney Walt Co 54,953 +1,898 $5,309
     DIS54,953+1,898$5,309
Danaher Corp 35,565 +520 $4,922
     DHR35,565+520$4,922
Merck & Co Inc 63,326 -1,894 $4,872
     MRK63,326-1,894$4,872
Amazon.com Inc 2,470 +279 $4,816
     AMZN2,470+279$4,816
Norfolk Southern Corp 32,815 +1,472 $4,791
     NSC32,815+1,472$4,791
McDonalds Corp 27,410 -130 $4,532
     MCD27,410-130$4,532
Nike Inc B 54,587 +1,530 $4,517
     NKE54,587+1,530$4,517
Coca Cola Co The 98,975 +752 $4,380
     KO98,975+752$4,380
Chevron Corp 60,053 +1,837 $4,351
     CVX60,053+1,837$4,351
Welltower Inc 91,993 -28 $4,211
     WELL91,993-28$4,211
Oracle Corporation 86,390 +66 $4,175
     ORCL86,390+66$4,175
Lilly Eli & Co 28,962 +269 $4,018
     LLY28,962+269$4,018
Verizon Communications Inc 71,094 +1,879 $3,820
     VZ71,094+1,879$3,820
Johnson & Johnson 28,741 +619 $3,769
     JNJ28,741+619$3,769
AbbVie Inc 48,207 -1,002 $3,673
     ABBV48,207-1,002$3,673
Cisco Systems Inc 91,300 -348 $3,589
     CSCO91,300-348$3,589
United Technologies Corp 36,055 +289 $3,401
     UTX36,055+289$3,401
Alphabet Inc A 2,919 +60 $3,392
     GOOGL2,919+60$3,392
Qualcomm Inc 47,363 -287 $3,204
     QCOM47,363-287$3,204
Baxter International Inc 36,249 +120 $2,943
     BAX36,249+120$2,943
Lowe s Companies Inc 33,918 +4,130 $2,919
     LOW33,918+4,130$2,919
Pfizer Inc 83,491 +615 $2,725
     PFE83,491+615$2,725
Amgen Inc 13,198 +692 $2,676
     AMGN13,198+692$2,676
Lockheed Martin Corp 7,895 -774 $2,676
     LMT7,895-774$2,676
AT&T Inc 90,996 +4,026 $2,653
     T90,996+4,026$2,653
Microchip Technology Inc 37,640 -16,919 $2,552
     MCHP37,640-16,919$2,552
Digital Realty Trust Inc 17,765 +417 $2,467
     DLR17,765+417$2,467
Dominion Resources Inc VA 34,132 +646 $2,464
     D34,132+646$2,464
Exxon Mobil Corp 64,433 +866 $2,447
     XOM64,433+866$2,447
Bristol Myers Squibb 43,132 +226 $2,404
     BMY43,132+226$2,404
T Rowe Price High Yield Inv 385,208 -26,669 $2,196
     Com385,208-26,669$2,196
American Water Works Co Inc 17,823 +130 $2,131
     AWK17,823+130$2,131
Air Products & Chemicals Inc 10,632 -25 $2,123
     APD10,632-25$2,123
Arthur J Gallagher & Co 24,287 +511 $1,979
     AJG24,287+511$1,979
Salesforce.com Inc 13,647 +2,115 $1,965
     CRM13,647+2,115$1,965
ADR Novartis AG II Sp 23,371 -3,214 $1,927
     NVS23,371-3,214$1,927
Kimberly Clark Corp 14,877 -259 $1,903
     KMB14,877-259$1,903
Deere & Company 13,479 -29 $1,862
     DE13,479-29$1,862

See Full List: All Stocks Held By Trust Co. of Toledo NA OH
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Trust Co. of Toledo NA OH

Size ($ in 1000's)
At 03/31/2020: $362,960
At 12/31/2019: $428,839

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

Trust Co. of Toledo NA OH Top Holdings 13F Filings | www.HoldingsChannel.com

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