| # | % | |||||
|---|---|---|---|---|---|---|
| 51 | AMAZON COM INC | 3,113 | 1,158,000 | 0.17% | ||
| 52 | COCA COLA CO | 28,340 | 1,149,000 | 0.16% | ||
| 53 | CHEVRON CORP NEW | 10,108 | 1,061,000 | 0.15% | ||
| 54 | DISNEY WALT CO | 10,056 | 1,055,000 | 0.15% | ||
| 55 | UNITED TECHNOLOGIES CORP | 8,618 | 1,010,000 | 0.14% | ||
| 56 | PEOPLES UNITED FINANCIAL INC | 64,280 | 977,000 | 0.14% | ||
| 57 | STARBUCKS CORP | 10,057 | 952,000 | 0.14% | ||
| 58 | ISHARES TR | 14,750 | 947,000 | 0.13% | ||
| 59 | SELECT SECTOR SPDR TR | 11,991 | 930,000 | 0.13% | ||
| 60 | KIMBERLY CLARK CORP | 8,326 | 892,000 | 0.13% | ||
| 61 | MCDONALDS CORP | 8,784 | 856,000 | 0.12% | ||
| 62 | QUALCOMM INC | 11,610 | 805,000 | 0.11% | ||
| 63 | AMERICAN ELEC PWR INC | 14,066 | 791,000 | 0.11% | ||
| 64 | Praxair Inc | 6,338 | 765,000 | 0.11% | ||
| 65 | MASTERCARD INCORPORATE | 8,836 | 763,000 | 0.11% | ||
| 66 | ISHARES TR | 6,293 | 744,000 | 0.11% | ||
| 67 | MERCK & CO INC | 12,480 | 717,000 | 0.10% | ||
| 68 | VERIZON COMMUNICATIONS INC | 13,943 | 678,000 | 0.10% | ||
| 69 | HOME DEPOT INC | 5,757 | 654,000 | 0.09% | ||
| 70 | BRISTOL MYERS SQUIBB CO | 9,902 | 639,000 | 0.09% | ||
| 71 | Altria Group, Inc. | 12,589 | 630,000 | 0.09% | ||
| 72 | PRICELINE GRP INC | 539 | 627,000 | 0.09% | ||
| 73 | EMERSON ELEC CO | 10,808 | 612,000 | 0.09% | ||
| 74 | GILEAD SCIENCES INC | 6,202 | 609,000 | 0.09% | ||
| 75 | AMERICAN EXPRESS CO | 7,773 | 607,000 | 0.09% | ||
| 76 | SPDR S&P DIVIDEND ETF | 7,737 | 605,000 | 0.09% | ||
| 77 | PFIZER INC | 16,243 | 565,000 | 0.08% | ||
| 78 | CELGENE CORP | 4,597 | 530,000 | 0.08% | ||
| 79 | PHILIP MORRIS INTL INC | 6,878 | 518,000 | 0.07% | ||
| 80 | OCCIDENTAL PETE CORP DEL | 7,032 | 513,000 | 0.07% | ||
| 81 | DANAHER CORP DEL | 5,940 | 504,000 | 0.07% | ||
| 82 | GENERAL DYNAMICS CORP | 3,670 | 498,000 | 0.07% | ||
| 83 | BOEING CO | 3,259 | 489,000 | 0.07% | ||
| 84 | ISHARES TR | 5,930 | 458,000 | 0.07% | ||
| 85 | Kinder Morgan Inc | 10,864 | 457,000 | 0.07% | ||
| 86 | ISHARES TR | 5,281 | 453,000 | 0.06% | ||
| 87 | CVS HEALTH CORP | 4,347 | 449,000 | 0.06% | ||
| 88 | AMGEN INC | 2,620 | 419,000 | 0.06% | ||
| 89 | BIOGEN INC | 991 | 418,000 | 0.06% | ||
| 90 | COMCAST CORP NEW | 7,355 | 415,000 | 0.06% | ||
| 91 | VISA INC CL A COMMON STOCK | 6,312 | 413,000 | 0.06% | ||
| 92 | FORD MTR CO DEL | 25,546 | 412,000 | 0.06% | ||
| 93 | AUTOMATIC DATA PROCESSING IN | 4,739 | 406,000 | 0.06% | ||
| 94 | LOWES COS INC | 5,451 | 405,000 | 0.06% | ||
| 95 | McKesson Corp | 1,736 | 393,000 | 0.06% | ||
| 96 | ISHARES TRUST S&P 100 ETF | 4,352 | 393,000 | 0.06% | ||
| 97 | ISHARES TR | 3,373 | 384,000 | 0.05% | ||
| 98 | AT&T Inc New | 11,109 | 363,000 | 0.05% | ||
| 99 | ROYAL DUTCH SHELL PLC | 6,000 | 358,000 | 0.05% | ||
| 100 | V F CORP | 4,633 | 349,000 | 0.05% |
Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001426853-15-000003, filed 2015.05.11).
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.