HoldingsChannel.com
All Stocks Held By Hall Laurie J Trustee
As of  12/31/2019
   EntityAmountChange
 09/30/2019 to 12/31/2019
Position Size
($ in 1000's)
MICROSOFT CORP 85,851 -1,241 $13,537
     MSFT85,851-1,241$13,537
STRYKER CORP 36,960 +406 $7,759
     SYK36,960+406$7,759
PROCTER & GAMBLE CO 61,105 -368 $7,633
     PG61,105-368$7,633
APPLE PUTER INC 25,788 -5 $7,572
     AAPL25,788-5$7,572
ABBOTT LABS 87,152 +5,550 $7,570
     ABT87,152+5,550$7,570
JOHNSON & JOHNSON 45,654 -1,826 $6,659
     JNJ45,654-1,826$6,659
3M COMPANY 32,744 UNCH $5,776
     MMM32,744UNCH$5,776
INTEL CORP 95,857 -6,821 $5,738
     INTC95,857-6,821$5,738
PEPSICO INC 40,258 -450 $5,503
     PEP40,258-450$5,503
MASTERCARD INCORPORATED 18,066 -900 $5,394
     MA18,066-900$5,394
VANGUARD TOTAL STOCK MARKET ETF (VTI) 30,235 -17,818 $4,947
     VTI30,235-17,818$4,947
ALPHABET INC 3,200 +151 $4,278
     GOOG3,200+151$4,278
DISNEY WALT CO 29,172 +6,150 $4,220
     DIS29,172+6,150$4,220
DANAHER CORP 27,174 +2,158 $4,170
     DHR27,174+2,158$4,170
XILINX INC 41,309 +8,975 $4,040
     XLNX41,309+8,975$4,040
FISERV INC 31,842 -270 $3,681
     FISV31,842-270$3,681
EXXON MOBIL CORP 52,627 -951 $3,672
     XOM52,627-951$3,672
ANALOG DEVICES INC 29,389 +2,875 $3,493
     ADI29,389+2,875$3,493
A T & T INC 84,737 -359 $3,311
     T84,737-359$3,311
AUTOMATIC DATA PROCESSING 19,270 +50 $3,286
     ADP19,270+50$3,286
CIGNA CORP 15,785 UNCH $3,228
     CI15,785UNCH$3,228
NIKE INC 31,754 +6,196 $3,216
     NKE31,754+6,196$3,216
MERCK AND CO INC 33,684 -720 $3,064
     MRK33,684-720$3,064
ROCKWELL AUTOMATION 14,890 +1,415 $3,018
     ROK14,890+1,415$3,018
SYSCO CORP 34,777 -175 $2,975
     SYY34,777-175$2,975
APPLIED MATERIALS INC 47,577 -600 $2,904
     AMAT47,577-600$2,904
WASTE MGMT INC 22,882 +350 $2,608
     WM22,882+350$2,608
XYLEM INC 32,415 +7,400 $2,555
     XYL32,415+7,400$2,555
UNILEVER PLC SPONSORED 43,495 +9,265 $2,486
     UL43,495+9,265$2,486
ISHARES MSCI EAFE ETF (EFA) 35,335 +710 $2,454
     EFA35,335+710$2,454
STATE STREET CORP 29,738 UNCH $2,352
     STT29,738UNCH$2,352
NOVARTIS AG 23,870 +2,150 $2,260
     NVS23,870+2,150$2,260
AMGEN INC 9,325 -25 $2,248
     AMGN9,325-25$2,248
CANADIAN NATIONAL RAILWAY CO 23,245 +5,840 $2,103
     CNI23,245+5,840$2,103
BECTON DICKINSON & CO 7,673 +1,715 $2,086
     BDX7,673+1,715$2,086
ABBVIE INC 23,128 -633 $2,048
     ABBV23,128-633$2,048
AIR PRODUCTS & CHEMICAL INC 8,605 UNCH $2,022
     APD8,605UNCH$2,022
NEW YORK TIMES CO 62,100 +33,284 $1,998
     NYT62,100+33,284$1,998
PAYPAL HOLDINGS INC 17,965 +4,825 $1,944
     PYPL17,965+4,825$1,944
APTAR GROUP INC 16,125 +4,950 $1,865
     ATR16,125+4,950$1,865
NVIDIA CORPORATION 7,200 UNCH $1,694
     NVDA7,200UNCH$1,694
AMAZON.COM INC 905 +34 $1,673
     AMZN905+34$1,673
VANGUARD FTSE DEVELOPED MARKETS ETF (VEA) 36,025 -15,105 $1,587
     VEA36,025-15,105$1,587
EMERSON ELEC CO 20,635 -100 $1,574
     EMR20,635-100$1,574
TELADOC HEALTH INC 17,985 +945 $1,506
     TDOC17,985+945$1,506
CHARTER COMMUNICATIONS INC 3,086 UNCH $1,497
     CHTR3,086UNCH$1,497
ALPHABET INC 1,082 -105 $1,449
     GOOGL1,082-105$1,449
PFIZER INC 35,699 +517 $1,399
     PFE35,699+517$1,399
J P MORGAN CHASE & CO 9,917 +625 $1,382
     JPM9,917+625$1,382
TJX COS INC 21,815 UNCH $1,332
     TJX21,815UNCH$1,332
BERKSHIRE HATHAWAY INC      $1,320
     BRK.B5,830+90$1,320
WALGREENS BOOTS ALLIANCE 22,020 -600 $1,297
     WBA22,020-600$1,297
VANGUARD TOTAL INTERNATIONAL STOCK ETF (VXUS) 22,675 UNCH $1,263
     VXUS22,675UNCH$1,263
SPDR S & P 500 ETF (SPY) 3,797 -43 $1,222
     SPY3,797-43$1,222
CHEVRON CORP 10,065 -45 $1,213
     CVX10,065-45$1,213
CVS HEALTH CORPORATION 15,094 +6,050 $1,122
     CVS15,094+6,050$1,122
GENTEX CORP 33,713 UNCH $977
     GNTX33,713UNCH$977
ZOETIS INC 6,978 UNCH $924
     ZTS6,978UNCH$924
GENERAL ELECTRIC CO 81,633 UNCH $911
     GE81,633UNCH$911
BRISTOL MYERS SQUIBB CO 12,742 +11,820 $818
     BMY12,742+11,820$818
ILLUMINA INC 2,430 +50 $806
     ILMN2,430+50$806
PARKER HANNIFIN CP 3,729 UNCH $768
     PH3,729UNCH$768
CISCO SYSTEM INC 14,736 -56 $707
     CSCO14,736-56$707
PACCAR INC 8,914 UNCH $705
     PCAR8,914UNCH$705
THERMO FISHER SCIENTIFIC INC 2,123 -50 $690
     TMO2,123-50$690
US BANCORP 11,570 UNCH $686
     USB11,570UNCH$686
ISHARES CORE S&P 500 MKT ETF (IVV) 1,866 +381 $603
     IVV1,866+381$603
UNITED TECHNOLOGIES CORP 3,575 UNCH $535
     UTX3,575UNCH$535
WELLS FARGO & CO 9,839 UNCH $529
     WFC9,839UNCH$529
WALMART INC 4,130 +130 $491
     WMT4,130+130$491
BANK OF AMERICA CORP 13,682 UNCH $482
     BAC13,682UNCH$482
CINTAS CORP 1,791 UNCH $482
     CTAS1,791UNCH$482
MEDTRONIC PLC 4,149 -100 $470
     MDT4,149-100$470
CHURCH & DWIGHT CO INC 6,445 -100 $453
     CHD6,445-100$453
EDWARDS LIFESCIENCES CORP 1,930 UNCH $450
     EW1,930UNCH$450
ISHARES RUS 3000 INDX ETF (IWV) 2,379 UNCH $448
     IWV2,379UNCH$448
INTUITIVE SURGICAL INC 750 UNCH $443
     ISRG750UNCH$443
ALNYLAM PHARMA 3,800 UNCH $438
     ALNY3,800UNCH$438
QUALCOMM INC 4,890 -180 $431
     QCOM4,890-180$431
MCCORMICK & CO NON VOTING 2,200 UNCH $373
     MKC2,200UNCH$373
VISA INC 1,972 +130 $371
     V1,972+130$371
DUPONT DE NEMOURS INC CORP 5,411 -213 $348
     DD5,411-213$348
COLGATE PALMOLIVE CO 5,000 UNCH $345
     CL5,000UNCH$345
GRAINGER WW INC 1,015 UNCH $343
     GWW1,015UNCH$343
ISHARES TR CORE S&P TOTAL U STK MKT ETF (ITOT) 4,704 UNCH $342
     ITOT4,704UNCH$342
ECOLAB INC 1,721 -219 $332
     ECL1,721-219$332
NEXTERA ENERGY INC 1,313 UNCH $318
     NEE1,313UNCH$318
ZIMMER HLDGS INC 2,115 UNCH $316
     ZBH2,115UNCH$316
CDK GLOBAL INC 5,726 -522 $313
     CDK5,726-522$313
HOME DEPOT INC 1,429 UNCH $312
     HD1,429UNCH$312
MARSH & MCLENNAN COS INC 2,650 UNCH $295
     MMC2,650UNCH$295
AMERICAN EXPRESS CO 2,339 UNCH $291
     AXP2,339UNCH$291
COCA COLA CO 5,235 +400 $290
     KO5,235+400$290
DOMINION ENERGY INC 3,445 UNCH $285
     D3,445UNCH$285
VANGUARD BOND INDEX SHORT TERM BOND FUND ETF (BSV) 3,375 UNCH $272
     BSV3,375UNCH$272
TEXAS INSTRS INC 2,095 -200 $269
     TXN2,095-200$269
FORTIVE CORP 3,470 -856 $265
     FTV3,470-856$265
ACCENTURE PLC IRELAND 1,186 +36 $250
     ACN1,186+36$250
ILLINOIS TOOL WKS INC 1,325 -950 $238
     ITW1,325-950$238
ALCON AG CORP 4,176 -5 $235
     ALC4,176-5$235
CATERPILLAR INC 1,490 UNCH $220
     CAT1,490UNCH$220
COSTCO WHSL CORP 750 UNCH $220
     COST750UNCH$220
MCDONALDS CORP 1,065 +65 $211
     MCD1,065+65$211
BAXTER INTERNATIONAL INC 2,500 UNCH $209
     BAX2,500UNCH$209
WABTEC CORP 2,676 UNCH $209
     WAB2,676UNCH$209
ARCH CAPITAL GROUP LTD 4,739 UNCH $203
     ACGL4,739UNCH$203
LABORATORY CORP OF AMERICA HLDGS 1,200 UNCH $203
     LH1,200UNCH$203
BANK OF NEW YORK MELLON CORP 3,970 UNCH $200
     BK3,970UNCH$200
FACTSET RESEARCH SYSTEMS 733 UNCH $197
     FDS733UNCH$197
UNILEVER NV NY SH 3,311 UNCH $190
     UN3,311UNCH$190
UNITED PARCEL SVC INC 1,600 UNCH $187
     UPS1,600UNCH$187
CERNER CORPORATION 2,513 UNCH $185
     CERN2,513UNCH$185
ORACLE CORP 3,500 UNCH $185
     ORCL3,500UNCH$185
ENVISTA HOLDINGS CORP 5,951 +5,951 $177
     NVST5,951+5,951$177
NORFOLK SOUTHERN CORP 900 UNCH $175
     NSC900UNCH$175
ALIBABA GROUP HOLDINGS 787 UNCH $167
     BABA787UNCH$167
WPP PLC 2,340 UNCH $165
     WPP2,340UNCH$165
INGERSOLL RAND PLC 1,200 UNCH $160
     IR1,200UNCH$160
BROADRIDGE FINANCIAL SOLUTIONS INC 1,250 UNCH $154
     BR1,250UNCH$154
ENERGY TRANSFER OPERATING LP 12,004 UNCH $154
     ET12,004UNCH$154
DIAGEO PLC SPONSORED 891 UNCH $150
     DEO891UNCH$150
HEWLETT PACKARD ENTERPRISE INC 9,307 -475 $148
     HPE9,307-475$148
SYNCHRONY FINANCIAL 4,100 UNCH $148
     SYF4,100UNCH$148
INTERNATIONAL BUSINESS MACHINES 1,078 -150 $144
     IBM1,078-150$144
ISHARES LEHMAN TREAS ETF (TIP) 1,200 UNCH $140
     TIP1,200UNCH$140
HONEYWELL INTL INC 750 UNCH $133
     HON750UNCH$133
MARKETAXESS HOLDINGS 350 UNCH $133
     MKTX350UNCH$133
LOWES COMPANIES INC 1,100 UNCH $132
     LOW1,100UNCH$132
COMCAST CORPORATION 2,885 +390 $130
     CMCSA2,885+390$130
VERIZON COMMUNICATIONS INC 2,086 -600 $128
     VZ2,086-600$128
ISHARES CORP SP SMALL CAP ETF (IJR) 1,514 +824 $127
     IJR1,514+824$127
CORNING INC 4,205 UNCH $122
     GLW4,205UNCH$122
IDEXX LABS INC 425 -50 $111
     IDXX425-50$111
TOTAL S A 1,960 UNCH $108
     TOT1,960UNCH$108
ANSYS INC 415 UNCH $107
     ANSS415UNCH$107
HOLOGIC INC 2,043 -200 $107
     HOLX2,043-200$107
OWENS CORNING 1,600 UNCH $104
     OC1,600UNCH$104
SCHLUMBERGER LTD 2,510 -1,550 $101
     SLB2,510-1,550$101
PPG INDS INC 750 UNCH $100
     PPG750UNCH$100
LINDE PLC 464 -138 $99
     LIN464-138$99
AMERICAN TOWER CORP 425 UNCH $98
     AMT425UNCH$98
CORTEVA INC 3,334 -2,001 $98
     CTVA3,334-2,001$98
ZEBRA TECHNOLOGIES CORP 380 UNCH $97
     ZBRA380UNCH$97
IQVIA HOLDINGS INC 605 +75 $93
     IQV605+75$93
VANGUARD TOTAL WORLD STOCK INDEX FUND ETF (VT) 1,127 UNCH $91
     VT1,127UNCH$91
ENTERPRISE PRODUCT PARTNERS LP 3,200 UNCH $90
     EPD3,200UNCH$90
FIRST REPUBLIC BANK SAN FRANCISCO CALIF 750 UNCH $88
     FRC750UNCH$88
GLAXOSMITHKLINE PLC SPONSORED 1,842 UNCH $87
     GSK1,842UNCH$87
STAG INDL INC 2,750 -1,500 $87
     STAG2,750-1,500$87
VANGUARD FTSE EMERGING MARKETS ETF (VWO) 1,950 +1,050 $87
     VWO1,950+1,050$87
JM SMUCKER COMPANY 828 UNCH $86
     SJM828UNCH$86
CNH INDUSTRIAL NV 7,750 UNCH $85
     CNHI7,750UNCH$85
ENTERGY CORP 700 UNCH $84
     ETR700UNCH$84
BOEING CO 252 UNCH $82
     BA252UNCH$82
EQUINOR ASA 4,025 UNCH $80
     EQNR4,025UNCH$80
HARTFORD FINL SVCS GROUP INC 1,300 UNCH $79
     HIG1,300UNCH$79
CEDAR FAIR LP DEPOSITARY UNIT 1,400 UNCH $78
     FUN1,400UNCH$78
JACK HENRY & ASSOCIATES INC 533 -534 $78
     JKHY533-534$78
AUTOZONE INC 65 UNCH $77
     AZO65UNCH$77
ALLSTATE CORP 680 UNCH $76
     ALL680UNCH$76
UNION PACIFIC CORP 410 -50 $74
     UNP410-50$74
DOW INC 1,341 -1,795 $73
     DOW1,341-1,795$73
ROYAL CARIBBEAN CRUISES L 530 +530 $71
     RCL530+530$71
ISHARES CORE SP MID CAP ETF (IJH) 335 +335 $69
     IJH335+335$69
BROWN FORMAN CORP      $68
     BF.B1,000UNCH$68
FOX CORP 1,800 UNCH $66
     FOX1,800UNCH$66
OREILLY AUTOMOTIVE INC 145 UNCH $64
     ORLY145UNCH$64
SHERWIN WILLIAMS COMPANY 110 UNCH $64
     SHW110UNCH$64
ENBRIDGE INC 1,555 UNCH $62
     ENB1,555UNCH$62
NORTHERN TRUST CORP 575 UNCH $61
     NTRS575UNCH$61
BEYOND MEAT INC 775 +775 $59
     BYND775+775$59
EVERSOURCE ENERGY 695 UNCH $59
     ES695UNCH$59
FACEBOOK INC 289 UNCH $59
     FB289UNCH$59
LAS VEGAS SANDS CORP 820 UNCH $57
     LVS820UNCH$57
REGENERON PHARMACEUTICALS INC 150 UNCH $56
     REGN150UNCH$56
WEYERHAEUSER CO 1,800 -1,040 $55
     WY1,800-1,040$55
BP PLC SPONSORED 1,434 UNCH $54
     BP1,434UNCH$54
CITIGROUP INC 670 +100 $54
     C670+100$54
SINA CORP 1,345 UNCH $54
     SINA1,345UNCH$54
DUNKIN BRANDS GROUP INC 700 -125 $53
     DNKN700-125$53
BAIDU INC SPON 410 UNCH $52
     BIDU410UNCH$52
CONOCOPHILLIPS 780 +200 $51
     COP780+200$51
IONIS PHARMACEUTICALS 840 +50 $51
     IONS840+50$51
THE MEDICINES CO 600 -70 $51
     MDCO600-70$51
ALLEGION PLC 400 UNCH $50
     ALLE400UNCH$50
ROPER TECHNOLOGIES INC. 140 UNCH $50
     ROP140UNCH$50
INVESCO RUSSELL 1000 ENHANCED EQUAL WEIGHT INVES ENHAN EQL WGT ETF (USEQ) 1,610 UNCH $49
     USEQ1,610UNCH$49
WAYFAIR INC 525 +525 $47
     W525+525$47
SALESFORCE.COM 285 UNCH $46
     CRM285UNCH$46
ROYAL DUTCH SHELL PLC B      $45
     RDS.B750UNCH$45
T MOBILE US INC 550 UNCH $43
     TMUS550UNCH$43
PALO ALTO NETWORKS INC 180 UNCH $42
     PANW180UNCH$42
HP INC 1,982 UNCH $41
     HPQ1,982UNCH$41
AMBARELLA INC SHS 640 +50 $39
     AMBA640+50$39
LAM RESEARCH CORP 135 UNCH $39
     LRCX135UNCH$39
SEMPRA ENERGY 260 +260 $39
     SRE260+260$39
HEALTH CARE SELECT SECTOR SPDR ETF (XLV) 380 UNCH $39
     XLV380UNCH$39
CUMMINS INC 215 UNCH $38
     CMI215UNCH$38
LAUDER ESTEE COS INC 186 +34 $38
     EL186+34$38
ARCHER DANIELS MIDLAND COMPANY 800 UNCH $37
     ADM800UNCH$37
VIACOMCBS INC CORP 872 +292 $37
     CBS872+292$37
CAPITAL ONE FINL CORP 350 UNCH $36
     COF350UNCH$36
WESTERN MIDSTREAM PARTNERS LP 1,753 UNCH $35
     WES1,753UNCH$35
BANK OF NOVA SCOTIA 600 -500 $34
     BNS600-500$34
MANULIFE FINL CORP 1,671 UNCH $34
     MFC1,671UNCH$34
QORVO INC 290 UNCH $34
     QRVO290UNCH$34
INTERXION HOLDINGS NV 390 +70 $33
     INXN390+70$33
QUEST DIAGNOSTICS 300 UNCH $32
     DGX300UNCH$32
TARGET CORP 240 +130 $31
     TGT240+130$31
TEGNA INC 1,780 +140 $30
     TGNA1,780+140$30
ALLIANCE RESOURCE PARTNERS LP UNT 2,660 UNCH $29
     ARLP2,660UNCH$29
COGNEX 520 +80 $29
     CGNX520+80$29
SPDR BLOOMBERG BARCLAYS CONVERTIBLE SECURITIES ETF (CWB) 500 UNCH $28
     CWB500UNCH$28
IAC INTERACTIVE 110 +20 $27
     IAC110+20$27
LUMENTUM HOLDINGS INC 340 UNCH $27
     LITE340UNCH$27
METLIFE INC 535 UNCH $27
     MET535UNCH$27
NATIONAL WESTERN LIFE INSURANCE CO 93 UNCH $27
     NWLI93UNCH$27
FIDELITY NATIONAL INFORMATIONAL SVCS 185 UNCH $26
     FIS185UNCH$26
BLACKROCK INC 50 +50 $25
     BLK50+50$25
CELANESE CORPORATION 200 +200 $25
     CE200+200$25
HD SUPPLY HLDGS INC. 620 UNCH $25
     HDS620UNCH$25
VF CORP 250 UNCH $25
     VFC250UNCH$25
VANGUARD REIT ETF (VNQ) 255 +255 $24
     VNQ255+255$24
TRIMBLE INCORPORATED 560 +90 $23
     TRMB560+90$23
ADVANCED AUTO PARTS INC 140 UNCH $22
     AAP140UNCH$22
EATON CORP PLC 230 UNCH $22
     ETN230UNCH$22
NEOGEN CORP 333 UNCH $22
     NEOG333UNCH$22
STARBUCKS CORP 252 +77 $22
     SBUX252+77$22
TORONTO DOMINION BANK 400 -300 $22
     TD400-300$22
CLOROX CO 135 UNCH $21
     CLX135UNCH$21
METHANEX CORPORATION 550 UNCH $21
     MEOH550UNCH$21
ALASKA AIR GROUP 290 UNCH $20
     ALK290UNCH$20
CARNIVAL CORPORATION 400 UNCH $20
     CCL400UNCH$20
DEVON ENERGY CORP 760 UNCH $20
     DVN760UNCH$20
IRIDIUM COMMUNICATIONS INC 810 +140 $20
     IRDM810+140$20
BOYD GAMING CORP 650 +120 $19
     BYD650+120$19
INVESCO TR II S&P GLOBAL WATER INDEX ETF (CGW) 460 UNCH $19
     CGW460UNCH$19
GILEAD SCIENCES INC 290 UNCH $19
     GILD290UNCH$19
SQUARE INC CORP 300 UNCH $19
     SQ300UNCH$19
SELECT SECTOR SPDR TR REAL ESTATE SELECT SECTOR SPDR FUND (XLRE) 502 UNCH $19
     XLRE502UNCH$19
SEATTLE GENETICS INC 160 UNCH $18
     SGEN160UNCH$18
CAE INDS LTD 630 +110 $17
     CAE630+110$17
CUBIC CORP 270 +120 $17
     CUB270+120$17
DEERE & CO 100 UNCH $17
     DE100UNCH$17
DISCOVERY INC SER C 570 +90 $17
     DISCK570+90$17
DXC TECHNOLOGY 437 -49 $17
     DXC437-49$17
WISDOMTREE TR JAPAN HEDGED EQUITY FUND (DXJ) 310 UNCH $17
     DXJ310UNCH$17
FREEPORT MCMORAN INC 1,280 UNCH $17
     FCX1,280UNCH$17
II VI INC 492 +292 $17
     IIVI492+292$17
WATSCO INC 95 UNCH $17
     WSO95UNCH$17
CYRUSONE INC. 240 UNCH $16
     CONE240UNCH$16
OLD NATL BANCORP IND 871 -268 $16
     ONB871-268$16
COGNIZANT TECHNOLOGY 236 UNCH $15
     CTSH236UNCH$15
HEXCEL CORP 210 +30 $15
     HXL210+30$15
KANSAS CITY SOUTHERN 100 UNCH $15
     KSU100UNCH$15
FIREEYE INC 820 +140 $14
     FEYE820+140$14
SEAWORLD ENTERTAINMENT INC CORP 430 +200 $14
     SEAS430+200$14
ADVANCED ENERGY INDUSTRIES 180 +90 $13
     AEIS180+90$13
DEUTSCHE MSCI FOREIGN HEDGED FD ETF (DBEF) 390 +390 $13
     DBEF390+390$13
FORMFACTOR INC 510 +80 $13
     FORM510+80$13
GOLAR LNG LTD 940 UNCH $13
     GLNG940UNCH$13
OMNICOM GROUP 156 UNCH $13
     OMC156UNCH$13
ROBERT HALF INTERNATIONAL INC 200 +40 $13
     RHI200+40$13
WORLD WRESTLING ENTERTAINMENT INC 200 +30 $13
     WWE200+30$13
FARO TECHNOLOGIES INC 235 +165 $12
     FARO235+165$12
INTERCEPT PHARMACEUTICALS 100 +20 $12
     ICPT100+20$12
LAZARD LTD 300 +40 $12
     LAZ300+40$12
MADISON SQUARE GARDEN CO 40 +10 $12
     MSG40+10$12
RAYMOND JAMES FINL INC 130 UNCH $12
     RJF130UNCH$12
SPDR BLOOMBERG BARCLAYS SHORT TERM HIGH YIELD BOND ETF (SJNK) 460 +460 $12
     SJNK460+460$12
SERVICESOURCE INTERNATIONAL INC 7,216 UNCH $12
     SREV7,216UNCH$12
EVOQUA WATER TECHNOLOGIES CORP 590 +110 $11
     AQUA590+110$11
DUKE ENERGY CORP 116 UNCH $11
     DUK116UNCH$11
VIAVI SOLUTIONS INC 710 +230 $11
     VIAV710+230$11
VISHAY INTERTECHNOLOGY INC 500 +90 $11
     VSH500+90$11
WERNER ENTERPRISES INC 310 +50 $11
     WERN310+50$11
ESPERION THERAPEUTICS INC 170 +70 $10
     ESPR170+70$10
TE CONNECTIVITY LTD 100 +100 $10
     TEL100+100$10
WESTROCK 225 UNCH $10
     WRK225UNCH$10
AMERICAN ELEC PWR INC 100 UNCH $9
     AEP100UNCH$9
N LIGHT INC 420 +100 $9
     LASR420+100$9
LIBERTY SIRIUSXM GROUP 180 UNCH $9
     LSXMA180UNCH$9
AEROVIRONMENT INC CORP 130 UNCH $8
     AVAV130UNCH$8
MACYS INC 480 UNCH $8
     M480UNCH$8
NOKIA CORP SPONSORED 2,000 UNCH $7
     NOK2,000UNCH$7
SPLUNK INC 50 UNCH $7
     SPLK50UNCH$7
SAREPTA THERAPEUTICS INC 55 +10 $7
     SRPT55+10$7
FIBROGEN INC 150 +30 $6
     FGEN150+30$6
HELMERICH & PAYNE INC 130 +20 $6
     HP130+20$6
OCCIDENTAL PETE CORP 134 -616 $6
     OXY134-616$6
PORTOLA PHARMACEUTICALS INC 260 +50 $6
     PTLA260+50$6
ATALASSIAN CORP PLC 50 UNCH $6
     TEAM50UNCH$6
AERIE PHARMACEUTICALS INC 200 +40 $5
     AERI200+40$5
ATARA BIOTHERAPEUTICS INC 280 +280 $5
     ATRA280+280$5
ALTERYX INC CORP 50 UNCH $5
     AYX50UNCH$5
CARS.COM INC 432 UNCH $5
     CARS432UNCH$5
MACROGENICS INC 470 +260 $5
     MGNX470+260$5
MYRIAD GENETICS INC 200 +40 $5
     MYGN200+40$5
PEMBINA PIPELINE CORP 142 UNCH $5
     PBA142UNCH$5
SCRIPPS E W INC 330 +60 $5
     SSP330+60$5
UNIFI INC 180 +30 $5
     UFI180+30$5
CARA THERAPEUTICS INC CORP 270 +120 $4
     CARA270+120$4
IMMUNOGEN INC 710 +120 $4
     IMGN710+120$4
MICRO FOCUS INTERNATIONAL PLC 285 -64 $4
     MFGP285-64$4
PLUG POWER INC CORP 1,390 +1,390 $4
     PLUG1,390+1,390$4
PROTHENA CORP PLC 230 +140 $4
     PRTA230+140$4
PTC THERAPEUTICS INC 80 +10 $4
     PTCT80+10$4
QEP RESOURCES INC 810 +110 $4
     QEP810+110$4
ULTRAGENYX PHARMACEUTICAL INC CORP 100 +100 $4
     RARE100+100$4
TENABLE HOLDINGS INC CORP 170 +170 $4
     TENB170+170$4
TUTOR PERINI CORP 340 +60 $4
     TPC340+60$4
ULTRA CLEAN HOLDINGS INC CORP 180 UNCH $4
     UCTT180UNCH$4
CLOVIS ONCOLOGY INC 290 +290 $3
     CLVS290+290$3
CYTOKINETICS INC 270 +50 $3
     CYTK270+50$3
GROUPON INC 1,270 +230 $3
     GRPN1,270+230$3
NORDSTROM INC 70 UNCH $3
     JWN70UNCH$3
VENTAS INC 50 UNCH $3
     VTR50UNCH$3
CHEMOURS CO 87 UNCH $2
     CC87UNCH$2
HIGHPOINT RESOURCES CORP 1,370 UNCH $2
     HPR1,370UNCH$2
JD COMMON INC SPONSORED REPSTG 50 UNCH $2
     JD50UNCH$2
LIONS GATE ENTMT CORP      $2
     LGF.B191UNCH$2
GANNET CO INC 257 +257 $2
     NEWM257+257$2
PERSPECTA INC CORP 59 -24 $2
     PRSP59-24$2
SMARTSHEET INC 50 UNCH $2
     SMAR50UNCH$2
TWITTER INC 50 UNCH $2
     TWTR50UNCH$2
KONTOOR BRANDS INC CORP 35 UNCH $1
     KTB35UNCH$1
LIBERTY SIRIUS GROUP C 30 UNCH $1
     LSXMK30UNCH$1
LEXICON PHARMACEUTICALS INC 230 UNCH $1
     LXRX230UNCH$1
ZUORA INC 50 UNCH $1
     ZUO50UNCH$1
BRIGHTHOUSE FINL INC 10 +0 $0
     BHF10UNCH$0
ALTABA INC $0 (exited)
     AABA0-275$0
ALDER BIOPHARMACEUTICALS INC $0 (exited)
     ALDR0-360$0
ALKERMES PLC $0 (exited)
     ALKS0-2,600$0
SOTHEBYS $0 (exited)
     BID0-40$0
CAMBREX CORP $0 (exited)
     CBM0-191$0
CELGENE CORP $0 (exited)
     CELG0-11,820$0
CONSOLIDATED COMMUNICATIONS HOLDINGS INC $0 (exited)
     CNSL0-1,700$0
FINISAR CORP $0 (exited)
     FNSR0-280$0
GANNETT CO INC $0 (exited)
     GCI0-475$0
INTERNATIONAL SPEEDWAY CORP $0 (exited)
     ISCA0-80$0
KINDER MORGAN INC $0 (exited)
     KMI0-833$0
MRC GLOBAL INC $0 (exited)
     MRC0-1,440$0
SPARK THERAPEUTICS INC $0 (exited)
     ONCE0-70$0
PROGENICS PHARMACEUTICALS INC $0 (exited)
     PGNX0-520$0
PARK HOTELS & RESORTS INC $0 (exited)
     PK0-740$0
SUNTRUST BANKS INC $0 (exited)
     STI0-780$0
TIFFANY & CO $0 (exited)
     TIF0-1,000$0
VIACOM INC $0 (exited)
     VIAB0-490$0
VERSUM MATERIALS INC 0 -3,152 $0 (exited)
     VSM0-3,152$0

See Summary: Hall Laurie J Trustee Top Holdings
See Details: Top 10 Stocks Held By Hall Laurie J Trustee

EntityShares/Amount
Change
Position Value
Change
NVST +5,951+$177
RCL +530+$71
IJH +335+$69
BYND +775+$59
W +525+$47
SRE +260+$39
BLK +50+$25
CE +200+$25
VNQ +255+$24
DBEF +390+$13
EntityShares/Amount
Change
Position Value
Change
CELG -11,820-$1,174
VSM -3,152-$167
TIF -1,000-$93
STI -780-$54
ALKS -2,600-$51
PK -740-$18
MRC -1,440-$17
KMI -833-$17
VIAB -490-$12
CBM -191-$11
EntityShares/Amount
Change
Position Value
Change
NYT +33,284+$1,177
BMY +11,820+$772
UL +9,265+$429
XLNX +8,975+$939
XYL +7,400+$563
NKE +6,196+$816
DIS +6,150+$1,220
CVS +6,050+$551
CNI +5,840+$539
ABT +5,550+$742
EntityShares/Amount
Change
Position Value
Change
VTI -17,818-$2,310
VEA -15,105-$513
INTC -6,821+$447
CTVA -2,001-$51
JNJ -1,826+$516
DOW -1,795-$76
SLB -1,550-$38
STAG -1,500-$38
MSFT -1,241+$1,429
Size ($ in 1000's)
At 12/31/2019: $216,720
At 09/30/2019: $196,112

Hall Laurie J Trustee holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Hall Laurie J Trustee 13F filings. Link to 13F filings: SEC filings

All Stocks Held By Hall Laurie J Trustee | www.HoldingsChannel.com

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