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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 (2015Q2)
Portfolio Summary: 795 holdings with a total value of $409,874,000.
#
Name
Shares
Value ($)
%
Options
Notes
751 SPDR S&P 500 ETF TR 9,060 1,865,000 0.46%
752 VALERO ENERGY CORP NEW 30,942 1,937,000 0.47%
753 GRAINGER W W INC 8,325 1,970,000 0.48%
754 PRICELINE GRP INC 1,741 2,005,000 0.49%
755 INVESCO LTD 54,479 2,042,000 0.50%
756 CSX CORP 64,569 2,108,000 0.51%
757 ISHARES TR 34,507 2,191,000 0.53%
758 PNC FINL SVCS GROUP INC 23,142 2,214,000 0.54%
759 QUALCOMM INC 35,442 2,220,000 0.54%
760 VERIZON COMMUNICATIONS INC 48,053 2,240,000 0.55%
761 PRUDENTIAL FINL INC 25,705 2,250,000 0.55%
762 COMERICA INC 44,258 2,271,000 0.55%
763 CATERPILLAR INC 26,861 2,278,000 0.56%
764 MEAD JOHNSON NUTRITI 26,921 2,429,000 0.59%
765 BOEING CO 17,570 2,437,000 0.59%
766 COSTCO WHSL CORP NEW 18,176 2,455,000 0.60%
767 HOME DEPOT INC 23,486 2,610,000 0.64%
768 GOLDMAN SACHS GROUP INC 12,510 2,612,000 0.64%
769 CISCO SYS INC 95,961 2,635,000 0.64%
770 CHEVRON CORP NEW 28,080 2,709,000 0.66%
771 CONSTELLATION BRANDS INC 23,637 2,742,000 0.67%
772 JOHNSON & JOHNSON 29,120 2,838,000 0.69%
773 EXPRESS SCRIPTS HLDG CO 34,368 3,057,000 0.75%
774 ORACLE CORP 76,501 3,083,000 0.75%
775 VANGUARD INDEX FDS 31,270 3,347,000 0.82%
776 ABBVIE INC 50,800 3,413,000 0.83%
777 UNITEDHEALTH GROUP INC 28,247 3,446,000 0.84%
778 PROCTER AND GAMBLE CO 44,304 3,466,000 0.85%
779 STARBUCKS CORP 65,070 3,489,000 0.85%
780 POTLATCHDELTIC CORPORATION 101,814 3,596,000 0.88%
781 WELLS FARGO & CO NEW 70,235 3,950,000 0.96%
782 DISNEY WALT CO 35,743 4,080,000 1.00%
783 MICROSOFT CORP 103,742 4,580,000 1.12%
784 JPMORGAN CHASE & CO 72,616 4,920,000 1.20%
785 ISHARES NASDAQ BIOTECHNOLOGY ETF 9,147 4,940,000 1.21%
786 BERKSHIRE HATHAWAY INC DEL 25 5,121,000 1.25%
787 FACEBOOK INC 60,921 5,225,000 1.27%
788 ISHARES TR 30,841 5,253,000 1.28%
789 EXXON MOBIL CORP 65,663 5,463,000 1.33%
790 MYLAN N V 93,848 6,369,000 1.55%
791 MEDTRONIC PLC 93,170 6,904,000 1.68%
792 APPLE INC 71,386 8,954,000 2.18%
793 US BANCORP DEL 263,423 11,433,000 2.79%
794 ISHARES TR 73,267 15,182,000 3.70%
795 PACCAR INC 1,802,175 114,997,000 28.06%
Page 16 of 16

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000861787-15-000018, filed 2015.07.10).

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.