Entity | Amount | Change
12/31/2023 to 03/31/2024 |
Position Size ($ in 1000's) |
---|---|---|---|
State Street ETF USA (SPY) | 167,850 | -4,233 | $87,797 |
SPY | 167,850 | -4,233 | $87,797 |
VANGUARD (VOO) | 145,140 | +3,421 | $69,769 |
VOO | 145,140 | +3,421 | $69,769 |
Apple Inc | 239,967 | -5,146 | $41,150 |
AAPL | 239,967 | -5,146 | $41,150 |
WisdomTree ETFs USA (USFR) | 702,483 | +56,919 | $35,328 |
USFR | 702,483 | +56,919 | $35,328 |
MICROSOFT CORP | 70,375 | -1,123 | $29,608 |
MSFT | 70,375 | -1,123 | $29,608 |
NVIDIA Corp | 31,940 | -644 | $28,860 |
NVDA | 31,940 | -644 | $28,860 |
Amazon.com Inc | 124,536 | +700 | $22,464 |
AMZN | 124,536 | +700 | $22,464 |
ALPHABET INC | 143,839 | +2,208 | $21,710 |
GOOGL | 143,839 | +2,208 | $21,710 |
JPMorgan Chase & Co | 107,133 | +974 | $21,459 |
JPM | 107,133 | +974 | $21,459 |
iShares ETFs USA (AGG) | 141,785 | +9,739 | $13,886 |
AGG | 141,785 | +9,739 | $13,886 |
VANGUARD ETF USA (VTI) | 48,145 | -93 | $12,513 |
VTI | 48,145 | -93 | $12,513 |
AbbVie Inc | 67,406 | -175 | $12,275 |
ABBV | 67,406 | -175 | $12,275 |
Danaher Corp | 48,889 | -903 | $12,209 |
DHR | 48,889 | -903 | $12,209 |
VISA INC | 43,445 | +709 | $12,125 |
V | 43,445 | +709 | $12,125 |
Walmart Inc | 189,334 | +126,794 | $11,392 |
WMT | 189,334 | +126,794 | $11,392 |
ISHARES (IVV) | 21,626 | +2,516 | $11,369 |
IVV | 21,626 | +2,516 | $11,369 |
Thermo Fisher Scientific Inc | 19,510 | -1,258 | $11,339 |
TMO | 19,510 | -1,258 | $11,339 |
FISERV INC | 68,870 | -1,835 | $11,007 |
FI | 68,870 | -1,835 | $11,007 |
BlackRock Inc | 13,148 | -219 | $10,961 |
BLK | 13,148 | -219 | $10,961 |
Invesco ETFs USA (BSCO) | 492,766 | -1,152 | $10,333 |
BSCO | 492,766 | -1,152 | $10,333 |
Costco Wholesale Corp | 13,783 | -356 | $10,098 |
COST | 13,783 | -356 | $10,098 |
Fastenal Co | 116,133 | -3,313 | $8,958 |
FAST | 116,133 | -3,313 | $8,958 |
Procter & Gamble Co The | 54,891 | -266 | $8,906 |
PG | 54,891 | -266 | $8,906 |
ISHARES (IEFA) | 119,912 | +4,649 | $8,900 |
IEFA | 119,912 | +4,649 | $8,900 |
Vanguard ETF USA (VB) | 37,824 | -5,036 | $8,646 |
VB | 37,824 | -5,036 | $8,646 |
PEPSICO INC | 48,462 | -739 | $8,481 |
PEP | 48,462 | -739 | $8,481 |
Johnson & Johnson | 51,953 | +285 | $8,218 |
JNJ | 51,953 | +285 | $8,218 |
Home Depot Inc The | 20,538 | +139 | $7,878 |
HD | 20,538 | +139 | $7,878 |
Meta Platforms Inc | 16,113 | +471 | $7,824 |
META | 16,113 | +471 | $7,824 |
BK OF AMERICA CORP | $7,769 | ||
BAC | 181,006 | +14,003 | $6,864 |
BAC.PRL | 758 | UNCH | $905 |
ORACLE CORP | 61,648 | -2,712 | $7,744 |
ORCL | 61,648 | -2,712 | $7,744 |
SALESFORCE.COM INC | 25,653 | -338 | $7,726 |
CRM | 25,653 | -338 | $7,726 |
iShares ETFs USA (IEMG) | 143,221 | -2,165 | $7,390 |
IEMG | 143,221 | -2,165 | $7,390 |
SELECT SECTOR SPDR (XLK) | 34,092 | +3,998 | $7,100 |
XLK | 34,092 | +3,998 | $7,100 |
TRAVELERS CO INC | 30,720 | +199 | $7,070 |
TRV | 30,720 | +199 | $7,070 |
Berkshire Hathaway Inc | $6,632 | ||
BRK.B | 11,246 | +589 | $4,729 |
BRK.A | 3 | UNCH | $1,903 |
Exxon Mobil Corp | 53,762 | +227 | $6,249 |
XOM | 53,762 | +227 | $6,249 |
CVS Health Corp | 77,836 | -2,734 | $6,208 |
CVS | 77,836 | -2,734 | $6,208 |
iShares ETFs USA (GVI) | 56,063 | +17,088 | $5,829 |
GVI | 56,063 | +17,088 | $5,829 |
iShares ETFs USA (EFA) | 72,861 | +972 | $5,819 |
EFA | 72,861 | +972 | $5,819 |
Invesco ETFs USA (QQQ) | 13,091 | +1,167 | $5,813 |
QQQ | 13,091 | +1,167 | $5,813 |
CISCO SYSTEMS | 107,586 | -7,942 | $5,370 |
CSCO | 107,586 | -7,942 | $5,370 |
Caterpillar Inc | 14,619 | +56 | $5,357 |
CAT | 14,619 | +56 | $5,357 |
ISHARES TRUST (IWD) | 29,490 | -3,457 | $5,282 |
IWD | 29,490 | -3,457 | $5,282 |
Invesco ETFs USA (BSCP) | 258,012 | +47,285 | $5,271 |
BSCP | 258,012 | +47,285 | $5,271 |
Vanguard ETF USA (VHT) | 18,544 | -16 | $5,017 |
VHT | 18,544 | -16 | $5,017 |
MCDONALD&apos S CORP | 16,453 | -1,275 | $4,639 |
MCD | 16,453 | -1,275 | $4,639 |
ECOLAB INC | 19,348 | -399 | $4,467 |
ECL | 19,348 | -399 | $4,467 |
GEN DYNAMICS CORP | 15,462 | +839 | $4,368 |
GD | 15,462 | +839 | $4,368 |
Capital One Financial Corp | 27,287 | -393 | $4,063 |
COF | 27,287 | -393 | $4,063 |
See Full List: All Stocks Held By Webster Bank N. A.
— Including:
Biggest new positions
Biggest exits
Biggest increased positions
Biggest decreased positions
See Details: Top 10 Stocks Held By Webster Bank N. A.
Size ($ in 1000's)
At 03/31/2024: $894,963 At 12/31/2023: $816,656 Webster Bank N. A. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Webster Bank N. A. 13F filings. Link to 13F filings: SEC filings |