HoldingsChannel.com
Webster Bank N. A. Top Holdings
As of  06/30/2019

   EntityAmountChange
 03/31/2019 to 06/30/2019
Position Size
($ in 1000's)
SPDR TRUST (SPY) 243,699 -6,859 $71,404
     SPY243,699-6,859$71,404
VANGUARD (VOO) 197,300 +6,523 $53,103
     VOO197,300+6,523$53,103
JP Morgan ETFs USA (JPST) 646,201 +43,667 $32,562
     JPST646,201+43,667$32,562
Exxon Mobil Corp 329,625 -10,268 $25,259
     XOM329,625-10,268$25,259
VANGUARD ETF USA (VTIP) 451,537 +69,257 $22,270
     VTIP451,537+69,257$22,270
Apple Inc 92,515 +662 $18,310
     AAPL92,515+662$18,310
MICROSOFT CORP 125,890 +962 $16,864
     MSFT125,890+962$16,864
JPMorgan Chase & Co 140,284 +5,672 $15,684
     JPM140,284+5,672$15,684
Amazon.com Inc 7,476 -424 $14,156
     AMZN7,476-424$14,156
SSGA FUNDS MANAGEMENT INC (TOTL) 221,393 +1,993 $10,864
     TOTL221,393+1,993$10,864
CISCO SYSTEMS 193,506 -755 $10,591
     CSCO193,506-755$10,591
PEPSICO INC 76,590 -1,518 $10,043
     PEP76,590-1,518$10,043
JOHNSON & JOHNSON 70,736 -599 $9,852
     JNJ70,736-599$9,852
Danaher Corp 68,686 -1,156 $9,816
     DHR68,686-1,156$9,816
VISA INC 54,303 +1,234 $9,424
     V54,303+1,234$9,424
ALPHABET INC 8,686 -44 $9,405
     GOOGL8,686-44$9,405
Procter & Gamble Co The 81,804 +404 $8,970
     PG81,804+404$8,970
BK OF AMERICA CORP      $8,959
     BAC266,921-512$7,740
     BAC.PRL888UNCH$1,219
Thermo Fisher Scientific Inc 29,410 +145 $8,637
     TMO29,410+145$8,637
BlackRock Inc 18,338 +1,123 $8,606
     BLK18,338+1,123$8,606
ISHARES (IVV) 26,864 -45 $7,918
     IVV26,864-45$7,918
UTD TECHNOLOGIES 55,043 -1,066 $7,167
     UTX55,043-1,066$7,167
FISERV INC 77,470 -535 $7,062
     FISV77,470-535$7,062
iShares ETFs USA (EFA) 102,648 -4,213 $6,747
     EFA102,648-4,213$6,747
Walmart Inc 60,029 -183 $6,633
     WMT60,029-183$6,633
BOEING CO 17,901 -1,208 $6,517
     BA17,901-1,208$6,517
ISHARES (IEFA) 103,066 -2,194 $6,328
     IEFA103,066-2,194$6,328
TRAVELERS CO INC 40,906 -1,201 $6,117
     TRV40,906-1,201$6,117
SSGA FM 197,240 +426 $6,061
     FLRN197,240+426$6,061
Vanguard ETF USA (VTI) 38,571 -225 $5,789
     VTI38,571-225$5,789
ORACLE CORP 98,441 -321 $5,608
     ORCL98,441-321$5,608
CVS Health Corp 102,065 +749 $5,561
     CVS102,065+749$5,561
SALESFORCE.COM INC 36,344 +3,310 $5,515
     CRM36,344+3,310$5,515
Vanguard ETF USA (VIG) 47,010 +1,528 $5,414
     VIG47,010+1,528$5,414
Chevron Corp 41,938 -2 $5,219
     CVX41,938-2$5,219
Costco Wholesale Corp 19,640 -332 $5,190
     COST19,640-332$5,190
Vanguard ETF USA (VB) 32,215 -534 $5,047
     VB32,215-534$5,047
ECOLAB INC 25,404 -472 $5,016
     ECL25,404-472$5,016
Capital One Financial Corp 53,677 -599 $4,871
     COF53,677-599$4,871
DuPont de Nemours Inc 63,889 +63,889 $4,796
     DD63,889+63,889$4,796
WALT DISNEY CO. 33,892 -478 $4,733
     DIS33,892-478$4,733
Facebook Inc 24,348 -205 $4,699
     FB24,348-205$4,699
GEN ELEC CO 424,294 -13,935 $4,455
     GE424,294-13,935$4,455
Fastenal Co 133,603 +66,531 $4,354
     FAST133,603+66,531$4,354
HOME DEPOT INC 20,709 +1,248 $4,307
     HD20,709+1,248$4,307
iShares ETFs USA (AGG) 37,749 +19,680 $4,204
     AGG37,749+19,680$4,204
iShares ETFs USA (GVI) 36,462 +5,917 $4,094
     GVI36,462+5,917$4,094
CHUBB LIMITED COM 27,694 -184 $4,079
     CB27,694-184$4,079
3M Co 23,318 +170 $4,042
     MMM23,318+170$4,042
Laboratory Corp of America Hol 23,068 -263 $3,988
     LH23,068-263$3,988

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 06/30/2019: $726,231
At 03/31/2019: $699,502

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

Webster Bank N. A. Top Holdings 13F Filings | www.HoldingsChannel.com

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