Washington Trust Co Portfolio Stock Holdings

Washington Trust Co disclosed 296 stock positions valued at approximately $3.2 billion in its latest SEC 13F filing. The largest holdings include APPLE INC, ALPHABET INC-CL A, and BROADCOM INC. The filing reflects positions held as of June 30, 2026 and was filed on August 3, 2026.

Report Period
June 30, 2026
No. of Stocks
296
Portfolio Value
$3.2B
Holdings by Sector
Washington Trust Co Portfolio Holdings in Q2 2026

287 holdings in the latest reporting period.

Page 1 of 3
CompanySymbolSectorPortfolio %SharesChange (Shares)Change %Value
APPLE INCAAPLTechnology4.80%534,101-6,665-1.23%$154,547,472
ALPHABET INC-CL AGOOGLCommunication Services4.35%391,920-8,155-2.04%$140,060,348
BROADCOM INCAVGOTechnology3.94%335,928-10,115-2.92%$126,896,802
VANGUARD S&P 500 ETFVOOOther3.77%176,773+356+0.20%$121,409,465
NVIDIA CORPNVDATechnology3.22%518,666-13,634-2.56%$103,779,938
ISHARES RUSSELL MID-CAP ETFIWROther3.10%904,618-7,109-0.78%$99,797,457
AMAZON.COM INCAMZNConsumer Cyclical2.97%401,700-3,040-0.75%$95,741,178
ISHARES RUSSELL 2000 ETFIWMOther2.86%306,791-5,106-1.64%$92,175,055
State Street SPDR S&P 500 ETFSPYOther2.43%104,729-93,723-47.23%$78,208,476
ISHARES RUSSELL 1000 ETFIWBOther2.39%187,582-1,792-0.95%$76,814,420
MICROSOFT CORPMSFTTechnology2.36%203,349+1,342+0.66%$75,853,218
JPMORGAN CHASE & COJPMFinancial Services2.32%228,325-3,688-1.59%$74,737,623
KLA CORPKLACTechnology2.29%244,319+217,404+807.74%$73,713,486
VISA INC-CLASS A SHARESVFinancial Services2.28%214,147-1,947-0.90%$73,471,623
PALO ALTO NETWORKS INCPANWTechnology2.01%189,436-2,326-1.21%$64,601,465
State Street SPDR S&P MidCap 40MDYOther1.78%81,402-4,102-4.80%$57,253,283
THERMO FISHER SCIENTIFIC INCTMOHealthcare1.42%91,449-1,666-1.79%$45,848,992
CORNING INCGLWTechnology1.41%178,283-4,400-2.41%$45,538,700
DELL TECHNOLOGIES -CDELLTechnology1.37%102,430-8,762-7.88%$44,194,448
META PLATFORMS INC-CLASS AMETACommunication Services1.31%74,863-496-0.66%$42,169,505
HOME DEPOT INCHDConsumer Cyclical1.26%115,219-2,899-2.45%$40,635,567
QUANTA SERVICES INCPWRIndustrials1.23%55,175-396-0.71%$39,728,207
ASML HOLDING NV-NY REG SHSASMLOther1.18%19,083-348-1.79%$37,965,267
ANALOG DEVICES INCADITechnology1.11%89,572-4,053-4.33%$35,575,328
VANGUARD HIGH DVD YIELD ETFVYMOther1.10%223,282+22+0.01%$35,285,254
WABTEC CORPWABIndustrials1.07%127,648-7,739-5.72%$34,413,901
RTX CORPRTXIndustrials1.06%179,136-6,373-3.44%$33,987,407
TJX COMPANIES INCTJXConsumer Cyclical1.02%216,137-9,703-4.30%$32,744,714
WALMART INCWMTConsumer Defensive1.00%284,641+4,817+1.72%$32,238,449
ISHARES CORE MSCI EAFE ETFIEFAOther0.96%318,667+2,068+0.65%$30,776,859
NEXTERA ENERGY INCNEEUtilities0.95%348,620-5,984-1.69%$30,598,353
ISHARES CORE S&P MIDCAP ETFIJHOther0.89%372,139+21,588+6.16%$28,695,639
CISCO SYSTEMS INCCSCOTechnology0.82%223,632-827-0.37%$26,267,798
JOHNSON & JOHNSONJNJHealthcare0.80%101,711-4,006-3.79%$25,831,594
ISHARES CORE MSCI EMERGINGIEMGOther0.79%308,573-15,016-4.64%$25,562,187
COSTCO WHOLESALE CORPCOSTConsumer Defensive0.79%27,092-478-1.73%$25,343,753
ISHARES CORE S&P SMALL-CAP EIJROther0.76%165,759-2,788-1.65%$24,583,717
ELI LILLY & COLLYHealthcare0.73%19,668+15+0.08%$23,590,849
BLACKROCK INCBLKOther0.71%23,841-531-2.18%$22,924,685
LIVE NATION ENTERTAINMENT INLYVCommunication Services0.68%120,071-1,315-1.08%$21,986,201
EQUINIX INCEQIXReal Estate0.67%20,779-172-0.82%$21,659,822
VANGUARD FTSE ALL-WORLD EX-UVEUOther0.65%248,411+32,003+14.79%$20,804,421
VANGUARD TOTAL STOCK MKT ETFVTIOther0.64%56,028-184-0.33%$20,732,601
UBER TECHNOLOGIES INCUBERTechnology0.60%268,863-2,093-0.77%$19,401,154
BOOKING HOLDINGS INCBKNGConsumer Cyclical0.59%106,790+102,473+2373.71%$19,034,249
EMCOR GROUP INCEMEIndustrials0.57%22,091-358-1.59%$18,332,879
ISHARES INTERMEDIATE GOVERNMGVIOther0.56%168,824+1,417+0.85%$17,911,383
VANGUARD DIVIDEND APPREC ETFVIGOther0.55%75,392+1,925+2.62%$17,839,255
ISHARES CORE U.S. AGGREGATEAGGOther0.53%173,092-1,512-0.87%$17,132,646
MarshMMCFinancial Services0.53%102,090-3,417-3.24%$17,015,259
IQVIA HOLDINGS INCIQVHealthcare0.53%87,978-2,487-2.75%$16,999,110
STRYKER CORPSYKHealthcare0.52%53,566-178-0.33%$16,864,692
S&P GLOBAL INCSPGIFinancial Services0.52%41,351-616-1.47%$16,840,608
INTUITIVE SURGICAL INCISRGHealthcare0.52%42,016-534-1.25%$16,708,922
CHUBB LTDCBFinancial Services0.52%48,855-3,493-6.67%$16,646,988
BERKSHIRE HATHAWAY INC-CL ABRK-AFinancial Services0.51%22--$16,474,700
AUTOMATIC DATA PROCESSINGADPTechnology0.51%73,264-190-0.26%$16,407,473
BANK OF AMERICA CORPBACFinancial Services0.48%270,923-4,581-1.66%$15,437,193
BLACKSTONE INCBXFinancial Services0.45%122,340+5,097+4.35%$14,395,742
JACOBS SOLUTIONS INCJIndustrials0.44%111,694-2,788-2.44%$14,073,444
LOCKHEED MARTIN CORPLMTIndustrials0.44%27,612-2,414-8.04%$14,067,209
WATSCO INCWSOIndustrials0.44%33,608-2,711-7.46%$14,005,462
VERISK ANALYTICS INCVRSKIndustrials0.41%73,572-848-1.14%$13,208,381
PEPSICO INCPEPConsumer Defensive0.41%96,316-6,824-6.62%$13,041,188
WALT DISNEY CO/THEDISCommunication Services0.40%133,907-4,937-3.56%$12,888,549
BERKSHIRE HATHAWAY INC-CL BBRK-BFinancial Services0.39%25,393-429-1.66%$12,706,404
MONDELEZ INTERNATIONAL INC-AMDLZConsumer Defensive0.38%210,676-6,910-3.18%$12,185,480
ABBOTT LABORATORIESABTHealthcare0.38%133,571-2,900-2.12%$12,120,273
ISHARES MSCI EAFE ETFEFAOther0.36%111,893+475+0.43%$11,623,341
PROCTER & GAMBLE CO/THEPGConsumer Defensive0.36%78,282-3,004-3.70%$11,479,344
TE CONNECTIVITY PLCTELOther0.35%55,911+349+0.63%$11,272,216
WASTE MANAGEMENT INCWMIndustrials0.34%48,965-3,822-7.24%$10,913,318
MCDONALD'S CORPMCDConsumer Cyclical0.33%39,761+1,508+3.94%$10,747,798
SALESFORCE INCCRMTechnology0.33%68,471-2,865-4.02%$10,726,668
ACCENTURE PLC-CL AACNTechnology0.32%83,418+1,796+2.20%$10,380,536
AMERICAN TOWER CORPAMTReal Estate0.32%62,249-2,039-3.17%$10,182,069
FEDEX CORPFDXIndustrials0.31%31,641-106-0.33%$9,907,746
State Street Financial Select SXLFOther0.29%176,841+1,993+1.14%$9,480,446
HASBRO INCHASConsumer Cyclical0.29%113,939-2,831-2.42%$9,410,222
ISHARES CORE S&P 500 ETFIVVOther0.29%12,474-175-1.38%$9,341,654
APTIV PLCAPTVOther0.28%144,972-6,413-4.24%$8,898,382
ALPHABET INC-CL CGOOGCommunication Services0.27%25,028-31-0.12%$8,843,143
ELF BEAUTY INCELFConsumer Defensive0.27%116,970-4,628-3.81%$8,655,780
VERIZON COMMUNICATIONS INCVZCommunication Services0.26%201,380+1,109+0.55%$8,526,413
VANGUARD MID-CAP ETFVOOther0.26%104,130+78,205+301.66%$8,389,754
BROADRIDGE FINANCIAL SOLUTIOBRTechnology0.25%59,816-510-0.85%$8,191,802
VANGUARD S/T CORP BOND ETFVCSHOther0.25%102,188-8,488-7.67%$8,075,918
ADOBE INCADBETechnology0.25%39,187-2,483-5.96%$8,034,118
BECTON DICKINSON AND COBDXHealthcare0.25%52,695-3,011-5.41%$7,974,335
EXXON MOBIL CORPXOMEnergy0.24%57,231-1,140-1.95%$7,824,622
INTL FLAVORS & FRAGRANCESIFFBasic Materials0.23%92,886-6,710-6.74%$7,358,429
ABBVIE INCABBVHealthcare0.22%28,765-1,032-3.46%$7,238,334
GXO LOGISTICS INCGXOIndustrials0.21%136,492-4,386-3.11%$6,920,145
MEDTRONIC PLCMDTOther0.21%88,382-2,795-3.07%$6,914,124
PFIZER INCPFEHealthcare0.21%280,405-21,010-6.97%$6,752,153
ISHARES US FINANCIALS ETFIYFOther0.21%52,495-2,091-3.83%$6,693,637
VANGUARD SMALL-CAP ETFVBOther0.18%18,998-347-1.79%$5,758,674
VANGUARD LARGE-CAP ETFVVOther0.16%14,960-818-5.18%$5,144,894
INTL BUSINESS MACHINES CORPIBMTechnology0.14%16,304-440-2.63%$4,584,905
CATERPILLAR INCCATIndustrials0.14%4,101-26-0.63%$4,367,155