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Institutional Investment Manager
WASHINGTON TRUST BANK
WASHINGTON TRUST BANK (CIK: 0000861787), located at Post Office Box 2127, Spokane, WA. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q3)
Portfolio Summary: 815 holdings with a total value of $318,717,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 PACCAR INC 502,075 28,556,000 8.96%
2 ISHARES TR 74,135 14,698,000 4.61%
3 US BANCORP DEL 296,409 12,399,000 3.89%
4 BROOKDALE SR LIVING INC 255,007 8,216,000 2.58%
5 EXXON MOBIL CORP 63,636 5,985,000 1.88%
6 APPLE INC 58,426 5,886,000 1.85%
7 JOHNSON & JOHNSON 52,126 5,556,000 1.74%
8 BERKSHIRE HATHAWAY INC DEL 25 5,173,000 1.62%
9 ISHARES TR 30,841 4,883,000 1.53%
10 MICROSOFT CORP 87,843 4,072,000 1.28%
11 MDU RES GROUP INC 144,808 4,027,000 1.26%
12 PROCTER AND GAMBLE CO 47,929 4,014,000 1.26%
13 JPMORGAN CHASE & CO 61,974 3,733,000 1.17%
14 WELLS FARGO & CO NEW 71,698 3,719,000 1.17%
15 CHEVRON CORP NEW 27,593 3,292,000 1.03%
16 POTLATCHDELTIC CORPORATION 78,736 3,166,000 0.99%
17 INTERNATIONAL BUSINESS MACHS 16,622 3,155,000 0.99%
18 AT&T INC 88,025 3,102,000 0.97%
19 VANGUARD INDEX FDS 29,141 2,950,000 0.93%
20 DISNEY WALT CO 29,852 2,658,000 0.83%
21 BOEING CO 19,053 2,427,000 0.76%
22 PEPSICO INC 25,931 2,414,000 0.76%
23 ABBVIE INC 41,690 2,408,000 0.76%
24 ORACLE CORP 61,972 2,372,000 0.74%
25 STARBUCKS CORP 30,076 2,270,000 0.71%
26 MERCK & CO INC 37,041 2,196,000 0.69%
27 EMC 72,988 2,136,000 0.67%
28 QUALCOMM INC 27,881 2,085,000 0.65%
29 UNITEDHEALTH GROUP INC 24,085 2,077,000 0.65%
30 VERIZON COMMUNICATIONS INC 41,023 2,051,000 0.64%
31 COCA COLA CO 47,820 2,040,000 0.64%
32 ISHARES TR 30,610 1,963,000 0.62%
33 COSTCO WHSL CORP NEW 15,400 1,930,000 0.61%
34 KIMBERLY CLARK CORP 17,900 1,926,000 0.60%
35 CISCO SYS INC 76,384 1,923,000 0.60%
36 HOME DEPOT INC 20,598 1,890,000 0.59%
37 CATERPILLAR INC 18,618 1,844,000 0.58%
38 MEDTRONIC INC 29,626 1,835,000 0.58%
39 MEAD JOHNSON NUTRITION CO 18,870 1,816,000 0.57%
40 GOLDMAN SACHS GROUP INC 9,817 1,802,000 0.57%
41 INTEL CORP 51,244 1,784,000 0.56%
42 EXPRESS SCRIPTS HLDG CO 24,477 1,729,000 0.54%
43 HALLIBURTON 26,679 1,721,000 0.54%
44 CONSTELLATION BRANDS INC 19,624 1,710,000 0.54%
45 F5 NETWORKS INC 14,200 1,686,000 0.53%
46 CSX CORP 52,337 1,678,000 0.53%
47 WEYERHAEUSER CO 51,525 1,642,000 0.52%
48 MCDONALDS CORP 17,174 1,628,000 0.51%
49 HESS CORP 16,811 1,586,000 0.50%
50 PNC FINL SVCS GROUP INC 18,233 1,560,000 0.49%
Page 1 of 17

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000861787-14-000016, filed 2014.11.21).

From 2023-01-03 onward, the SEC requires values to be reported in nearest dollars. Earlier filings reported values in thousands; therefore, positions shown as $0 in older filings may represent actual values between $0–$999.