Laurie Hall

Hall Laurie J Trustee as of March 31, 2026

Portfolio Holdings for Hall Laurie J Trustee

Hall Laurie J Trustee holds 104 positions in its portfolio as reported in the March 2026 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
Microsoft Corp Equities (MSFT) 7.0 $20M 54k 370.17
Apple Computer Equities (AAPL) 5.0 $14M 56k 253.79
Applied Materials Equities (AMAT) 4.0 $11M 33k 341.79
Alphabet Inc Class C Equities (GOOG) 3.9 $11M 38k 286.86
Nvidia Corporation Equities (NVDA) 3.3 $9.3M 54k 174.40
Stryker Corp Equities (SYK) 3.1 $8.9M 27k 328.59
Vanguard Total Stock Market Etf Equities (VTI) 3.0 $8.5M 27k 320.81
Tjx Cos Equities (TJX) 2.9 $8.3M 52k 159.70
Procter & Gamble Equities (PG) 2.7 $7.8M 54k 144.44
Amphenol Corp Cl A Equities (APH) 2.7 $7.6M 60k 126.35
Analog Devices Equities (ADI) 2.6 $7.4M 23k 318.14
Johnson & Johnson Equities (JNJ) 2.6 $7.4M 30k 244.44
Mastercard Incorporated Equities (MA) 2.5 $7.2M 14k 499.66
Abbott Labs Equities (ABT) 2.4 $6.7M 66k 102.67
International Business Machines Equities (IBM) 2.3 $6.4M 26k 242.39
Rockwell Automation Equities (ROK) 2.2 $6.3M 18k 358.88
Waste Mgmt Equities (WM) 2.2 $6.1M 27k 229.79
Carrier Global Corp Equities (CARR) 2.1 $5.9M 105k 56.31
Ul Solutions Inc Class A Equities (ULS) 1.8 $5.2M 61k 85.71
Danaher Corp Equities (DHR) 1.6 $4.6M 24k 189.60
New York Times Co Cl A Equities (NYT) 1.6 $4.5M 54k 83.73
Crown Holdings Equities (CCK) 1.5 $4.3M 43k 100.25
Xylem Equities (XYL) 1.4 $3.9M 33k 119.50
Aptar Group Equities (ATR) 1.3 $3.7M 30k 126.02
Novartis Equities (NVS) 1.3 $3.5M 23k 152.75
Advanced Micro Devices Equities (AMD) 1.2 $3.4M 17k 203.43
Cigna Group Equities (CI) 1.2 $3.3M 13k 266.75
Mccormick & Co Com Non Voting Equities (MKC) 1.2 $3.3M 66k 50.44
Relx Equities (RELX) 1.1 $3.1M 95k 33.15
Pepsico Equities (PEP) 1.1 $3.1M 20k 155.29
Unilever Equities (UL) 1.1 $3.0M 53k 56.97
Abbvie Equities (ABBV) 1.1 $3.0M 14k 217.49
Amazon.com Equities (AMZN) 1.0 $2.9M 14k 208.27
Vertex Pharmaceuticals Equities (VRTX) 0.9 $2.7M 6.0k 446.54
Salesforce Equities (CRM) 0.9 $2.6M 14k 186.67
3m Company Equities (MMM) 0.9 $2.6M 18k 145.23
Morgan Stanley Equities (MS) 0.9 $2.4M 15k 164.57
Veralto Corp Common Equities (VLTO) 0.8 $2.3M 26k 88.42
Ge Aerospace Equities (GE) 0.8 $2.2M 7.9k 283.77
Parker Hannifin Corp Equities (PH) 0.8 $2.2M 2.5k 895.24
Air Products & Chemical Equities (APD) 0.8 $2.1M 7.4k 290.49
Automatic Data Processing Equities (ADP) 0.7 $2.0M 9.8k 203.18
Amgen Equities (AMGN) 0.7 $2.0M 5.6k 351.85
Ishares Msci Eafe Etf Equities (EFA) 0.7 $1.9M 20k 97.13
State Street Spdr S&p 500 Trust Equities (SPY) 0.7 $1.9M 2.9k 650.33
State Street Corp Equities (STT) 0.7 $1.9M 15k 126.56
Ge Vernova Inc Corp Common Equities (GEV) 0.6 $1.8M 2.1k 872.90
Alphabet Inc Class A Equities (GOOGL) 0.6 $1.8M 6.2k 287.56
Vanguard Ftse Developed Markets Equities (VEA) 0.6 $1.7M 27k 64.08
Berkshire Hathaway Inc Class-b Equities (BRK.B) 0.6 $1.6M 3.3k 479.20
Emerson Elec Equities (EMR) 0.6 $1.6M 12k 131.02
Paccar Equities (PCAR) 0.5 $1.5M 13k 115.50
Jpmorgan Chase & Co Equities (JPM) 0.5 $1.5M 5.1k 294.16
Merck And Equities (MRK) 0.5 $1.5M 12k 120.29
Exxon Mobil Corp Equities (XOM) 0.5 $1.4M 8.3k 169.66
A T & T Equities (T) 0.5 $1.3M 46k 28.99
Walmart Equities (WMT) 0.5 $1.3M 11k 124.28
Sysco Corp Equities (SYY) 0.5 $1.3M 18k 71.33
Vanguard Total International St Equities (VXUS) 0.5 $1.3M 17k 77.11
Caterpillar Equities (CAT) 0.4 $1.2M 1.7k 708.46
Vanguard Bond Index Short Term Equities (BSV) 0.4 $1.1M 14k 78.41
Alnylam Pharma Equities (ALNY) 0.3 $930k 2.8k 330.87
Ishares Core S&p 500 Equities (IVV) 0.3 $894k 1.4k 653.21
Cintas Corp Equities (CTAS) 0.3 $760k 4.5k 169.14
Thermo Fisher Scientific Equities (TMO) 0.2 $695k 1.4k 489.90
Pfizer Equities (PFE) 0.2 $671k 24k 28.08
Vanguard Intl Equity Index Etf Equities (VEU) 0.2 $666k 8.9k 75.10
Ecolab Equities (ECL) 0.2 $584k 2.2k 266.02
Lilly Eli & Co Equities (LLY) 0.2 $575k 625.00 919.77
Qualcomm Equities (QCOM) 0.2 $572k 4.4k 128.78
Charter Communications Inc Cl A Equities (CHTR) 0.2 $572k 2.7k 215.88
Home Depot Equities (HD) 0.2 $528k 1.6k 328.89
Church & Dwight Equities (CHD) 0.2 $501k 5.4k 93.32
Meta Platforms Equities (META) 0.2 $498k 870.00 572.13
Zoetis Equities (ZTS) 0.2 $493k 4.2k 118.21
Visa Equities (V) 0.2 $490k 1.6k 302.24
Grainger Ww Equities (GWW) 0.2 $480k 440.00 1090.81
Eaton Corp Equities (ETN) 0.2 $427k 1.2k 357.67
Intuitive Surgical Equities (ISRG) 0.2 $426k 925.00 460.99
Cisco Systems Equities (CSCO) 0.1 $412k 5.3k 77.59
Coca Cola Equities (KO) 0.1 $399k 5.2k 76.05
Intel Corp Equities (INTC) 0.1 $375k 8.5k 44.13
Edwards Lifesciences Corp Equities (EW) 0.1 $350k 4.4k 80.08
Trane Technologies Plc Corp Equities (TT) 0.1 $319k 765.00 416.74
Us Bancorp Equities (USB) 0.1 $297k 5.7k 52.01
Solventum Corp Common Equities (SOLV) 0.1 $291k 4.5k 65.30
Palo Alto Networks Inc Common Equities (PANW) 0.1 $282k 1.8k 160.32
Marsh Equities (MRSH) 0.1 $279k 1.6k 173.45
Costco Whsl Corp Equities (COST) 0.1 $274k 275.00 996.43
Bank Of America Corp Equities (BAC) 0.1 $269k 5.5k 48.75
Arch Capital Group Equities (ACGL) 0.1 $267k 2.8k 95.99
Warner Bros. Discovery Srs A Equities (WBD) 0.1 $258k 9.4k 27.46
Gentex Corp Equities (GNTX) 0.1 $236k 11k 21.85
Jpmorgan Ultra-short Income Etf Equities (JPST) 0.1 $234k 4.6k 50.61
Energy Transfer Equities (ET) 0.1 $232k 12k 19.30
Labcorp Holdings Equities (LH) 0.1 $224k 840.00 266.81
Nextera Energy Equities (NEE) 0.1 $216k 2.3k 92.88
Watts Water Technologies Class Equities (WTS) 0.1 $215k 740.00 290.29
Bank Of New York Mellon Corp Equities (BK) 0.1 $213k 1.8k 118.63
Broadridge Financial Solutions Equities (BR) 0.1 $211k 1.3k 162.48
Norfolk Southern Corp Equities (NSC) 0.1 $208k 725.00 287.00
Vanguard Intermediate Term Bond Equities (BIV) 0.1 $207k 2.7k 77.18
Chevron Corp Equities (CVX) 0.1 $203k 979.00 206.90
Illinois Tool Wks Equities (ITW) 0.1 $200k 770.00 260.29