HoldingsChannel.com
Washington Trust Bank Top Holdings
As of  12/31/2019

   EntityAmountChange
 09/30/2019 to 12/31/2019
Position Size
($ in 1000's)
PACCAR INC 1,802,508 UNCH $142,578
     PCAR1,802,508UNCH$142,578
MICROSOFT CORP 160,636 -768 $25,332
     MSFT160,636-768$25,332
Apple Inc 77,045 -2,019 $22,624
     AAPL77,045-2,019$22,624
ISHARES (IVV) 65,043 +25 $21,024
     IVV65,043+25$21,024
BlackRock Fund Advisors (GNMA) 296,396 +296,396 $14,882
     GNMA296,396+296,396$14,882
JPMorgan Chase & Co 102,329 -1,898 $14,265
     JPM102,329-1,898$14,265
Costco Wholesale Corp 41,295 -1,182 $12,137
     COST41,295-1,182$12,137
BERKSHIRE HATHAWAY      $11,956
     BRK.A28-1$9,509
     BRK.B10,803-20$2,447
APPLIED MATERIALS 195,687 -4,427 $11,945
     AMAT195,687-4,427$11,945
US BANCORP 199,140 -1,352 $11,807
     USB199,140-1,352$11,807
Facebook Inc 53,758 -407 $11,034
     FB53,758-407$11,034
UnitedHealth Group Inc 36,217 -626 $10,647
     UNH36,217-626$10,647
IPATH ETNS USA 459,800 +459,800 $10,502
     DJP459,800+459,800$10,502
Procter & Gamble Co The 81,949 -1,344 $10,235
     PG81,949-1,344$10,235
AbbVie Inc 113,111 -2,308 $10,015
     ABBV113,111-2,308$10,015
STARBUCKS CORP 111,842 -2,513 $9,833
     SBUX111,842-2,513$9,833
WALT DISNEY CO. 67,682 -1,165 $9,789
     DIS67,682-1,165$9,789
Adobe Inc 29,257 -2,362 $9,649
     ADBE29,257-2,362$9,649
VISA INC 50,263 +1,494 $9,445
     V50,263+1,494$9,445
Thermo Fisher Scientific Inc 27,988 -1,122 $9,092
     TMO27,988-1,122$9,092
Medtronic PLC 79,189 -2,857 $8,984
     MDT79,189-2,857$8,984
Anthem Inc 29,586 -459 $8,936
     ANTM29,586-459$8,936
HOME DEPOT INC 39,151 -694 $8,550
     HD39,151-694$8,550
American Tower Corp 37,061 -1,007 $8,517
     AMT37,061-1,007$8,517
Palo Alto Networks Inc 36,738 +36,738 $8,495
     PANW36,738+36,738$8,495
PNC Financial Services Group I 52,321 -753 $8,352
     PNC52,321-753$8,352
ALPHABET INC 6,063 -40 $8,121
     GOOGL6,063-40$8,121
BlackRock Fund Advisors (IWR) 124,288 -40 $7,410
     IWR124,288-40$7,410
GOLDMAN SACHS GRP 32,124 -329 $7,386
     GS32,124-329$7,386
RAYTHEON CO 32,157 -885 $7,066
     RTN32,157-885$7,066
Booking Holdings Inc 3,416 -53 $7,015
     BKNG3,416-53$7,015
Republic Services Inc 78,141 -1,905 $7,004
     RSG78,141-1,905$7,004
BOEING CO 21,410 -94 $6,975
     BA21,410-94$6,975
Deere & Co 39,875 -760 $6,909
     DE39,875-760$6,909
Constellation Brands Inc 34,048 -246 $6,460
     STZ34,048-246$6,460
NEXTERA ENERGY 26,036 -387 $6,305
     NEE26,036-387$6,305
PotlatchDeltic Corp 143,320 +75,377 $6,201
     PCH143,320+75,377$6,201
Union Pacific Corp 33,285 +29,995 $6,018
     UNP33,285+29,995$6,018
Altria Group Inc 110,804 -17,194 $5,531
     MO110,804-17,194$5,531
INTERCONTINENTAL EXCHANGE (ICE) 59,302 +1,343 $5,488
     ICE59,302+1,343$5,488
Linde PLC 22,583 -1,601 $4,808
     LIN22,583-1,601$4,808
Prologis Inc 51,275 -1,489 $4,570
     PLD51,275-1,489$4,570
MDU RES GROUP INC 153,412 -1,747 $4,558
     MDU153,412-1,747$4,558
NRG Energy Inc 109,255 -1,088 $4,343
     NRG109,255-1,088$4,343
Digital Realty Trust Inc 32,360 -142 $3,875
     DLR32,360-142$3,875
Kinder Morgan Inc DE 182,381 -10,625 $3,861
     KMI182,381-10,625$3,861
PROGRESSIVE CP OH 52,065 -21,236 $3,769
     PGR52,065-21,236$3,769
Vanguard ETF USA (VTI) 21,916 +1,384 $3,585
     VTI21,916+1,384$3,585
Valero Energy Corp 37,564 -1,978 $3,518
     VLO37,564-1,978$3,518
Eastman Chemical Co 40,431 -1,731 $3,205
     EMN40,431-1,731$3,205

See Full List: All Stocks Held By Washington Trust Bank
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Washington Trust Bank

Size ($ in 1000's)
At 12/31/2019: $703,097
At 09/30/2019: $611,112

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

Washington Trust Bank Top Holdings 13F Filings | www.HoldingsChannel.com

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