Entity | Amount | Change
12/31/2023 to 03/31/2024 |
Position Size ($ in 1000's) |
---|---|---|---|
State Street ETF USA (SPY) | 223,351 | -4,087 | $116,828 |
SPY | 223,351 | -4,087 | $116,828 |
Apple Inc | 643,182 | -2,182 | $110,293 |
AAPL | 643,182 | -2,182 | $110,293 |
MICROSOFT CORP | 219,431 | -1,003 | $92,319 |
MSFT | 219,431 | -1,003 | $92,319 |
iShares ETFs USA (IWR) | 1,008,965 | +11,618 | $84,844 |
IWR | 1,008,965 | +11,618 | $84,844 |
Amazon.com Inc | 453,791 | -2,127 | $81,855 |
AMZN | 453,791 | -2,127 | $81,855 |
ISHARES (IWM) | 353,101 | +3,819 | $74,257 |
IWM | 353,101 | +3,819 | $74,257 |
VISA INC | 249,279 | -1,407 | $69,569 |
V | 249,279 | -1,407 | $69,569 |
NVIDIA Corp | 76,791 | -2,364 | $69,385 |
NVDA | 76,791 | -2,364 | $69,385 |
ALPHABET INC | 458,711 | -1,028 | $69,233 |
GOOGL | 458,711 | -1,028 | $69,233 |
VANGUARD (VOO) | 133,289 | +4,242 | $64,072 |
VOO | 133,289 | +4,242 | $64,072 |
Broadcom Inc | 47,448 | -1,775 | $62,888 |
AVGO | 47,448 | -1,775 | $62,888 |
Thermo Fisher Scientific Inc | 104,806 | -616 | $60,914 |
TMO | 104,806 | -616 | $60,914 |
iShares ETFs USA (IWB) | 207,764 | -7,735 | $59,842 |
IWB | 207,764 | -7,735 | $59,842 |
STATE STREET ETF USA (MDY) | 105,079 | -2,290 | $58,466 |
MDY | 105,079 | -2,290 | $58,466 |
Home Depot Inc The | 123,496 | -271 | $47,373 |
HD | 123,496 | -271 | $47,373 |
Meta Platforms Inc | 88,927 | -2,178 | $43,181 |
META | 88,927 | -2,178 | $43,181 |
JPMorgan Chase & Co | 208,082 | -9,365 | $41,679 |
JPM | 208,082 | -9,365 | $41,679 |
Palo Alto Networks Inc | 113,085 | -184 | $32,131 |
PANW | 113,085 | -184 | $32,131 |
Accenture PLC | 83,981 | -679 | $29,109 |
ACN | 83,981 | -679 | $29,109 |
VANGUARD WHITEHALL (VYM) | 235,811 | -1,158 | $28,531 |
VYM | 235,811 | -1,158 | $28,531 |
IQVIA Holdings Inc | 107,501 | +69 | $27,186 |
IQV | 107,501 | +69 | $27,186 |
TJX Cos Inc The | 248,196 | -123 | $25,172 |
TJX | 248,196 | -123 | $25,172 |
iShares ETFs USA (IYF) | 256,799 | +3,605 | $24,563 |
IYF | 256,799 | +3,605 | $24,563 |
Costco Wholesale Corp | 32,780 | -331 | $24,016 |
COST | 32,780 | -331 | $24,016 |
BlackRock Inc | 27,119 | -196 | $22,609 |
BLK | 27,119 | -196 | $22,609 |
Westinghouse Air Brake Technol | 153,332 | -897 | $22,337 |
WAB | 153,332 | -897 | $22,337 |
NEXTERA ENERGY | 348,284 | +4,641 | $22,259 |
NEE | 348,284 | +4,641 | $22,259 |
KLA Corp | 31,682 | -1,178 | $22,132 |
KLAC | 31,682 | -1,178 | $22,132 |
SALESFORCE.COM INC | 71,931 | -1,246 | $21,664 |
CRM | 71,931 | -1,246 | $21,664 |
Stryker Corp | 60,440 | -759 | $21,630 |
SYK | 60,440 | -759 | $21,630 |
Uber Technologies Inc | 278,690 | -11,427 | $21,456 |
UBER | 278,690 | -11,427 | $21,456 |
MARSH & MCLENNAN | 103,675 | -674 | $21,355 |
MMC | 103,675 | -674 | $21,355 |
Johnson & Johnson | 131,946 | -238 | $20,873 |
JNJ | 131,946 | -238 | $20,873 |
ANALOG DEVICES INC | 105,481 | -610 | $20,863 |
ADI | 105,481 | -610 | $20,863 |
ISHARES (IEFA) | 280,422 | +30,687 | $20,813 |
IEFA | 280,422 | +30,687 | $20,813 |
PEPSICO INC | 116,763 | +23 | $20,432 |
PEP | 116,763 | +23 | $20,432 |
S&P Global Inc | 47,590 | +1,572 | $20,247 |
SPGI | 47,590 | +1,572 | $20,247 |
AUTOMATIC DATA PROCESSING | 80,931 | +83 | $20,212 |
ADP | 80,931 | +83 | $20,212 |
RTX Corp | 202,960 | +1,411 | $19,795 |
RTX | 202,960 | +1,411 | $19,795 |
Intuitive Surgical Inc | 48,709 | -526 | $19,439 |
ISRG | 48,709 | -526 | $19,439 |
BECTON DICKINSON | 78,529 | -35 | $19,432 |
BDX | 78,529 | -35 | $19,432 |
Walmart Inc | 322,492 | +215,673 | $19,404 |
WMT | 322,492 | +215,673 | $19,404 |
Verisk Analytics Inc | 82,019 | +60 | $19,334 |
VRSK | 82,019 | +60 | $19,334 |
WATSCO INC | 44,626 | -1,778 | $19,277 |
WSO | 44,626 | -1,778 | $19,277 |
CVS Health Corp | 239,820 | -9,414 | $19,128 |
CVS | 239,820 | -9,414 | $19,128 |
ASML HOLDING NV | 19,548 | -182 | $18,971 |
ASML | 19,548 | -182 | $18,971 |
EQUINIX INC | 22,736 | -235 | $18,765 |
EQIX | 22,736 | -235 | $18,765 |
Sysco Corp | 230,608 | +14 | $18,721 |
SYY | 230,608 | +14 | $18,721 |
Jacobs Solutions Inc | 117,001 | +481 | $17,987 |
J | 117,001 | +481 | $17,987 |
VANGUARD ETF USA (VCSH) | 228,226 | -16,641 | $17,644 |
VCSH | 228,226 | -16,641 | $17,644 |
See Full List: All Stocks Held By WASHINGTON TRUST Co
— Including:
Biggest new positions
Biggest exits
Biggest increased positions
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See Details: Top 10 Stocks Held By WASHINGTON TRUST Co
Size ($ in 1000's)
At 03/31/2024: $2,722,060 At 12/31/2023: $2,527,019 WASHINGTON TRUST Co holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from WASHINGTON TRUST Co 13F filings. Link to 13F filings: SEC filings |