13F Filings for Hanson Doremus Investment Management (CIK: 1393944)

View the most recent portfolio holdings disclosed by Hanson Doremus Investment Management in their 13F filing.

HoldingSharesValuePortfolio PercentChange StatusChange Amount
SCHB - Schwab U.S. Broad Market ETF(Class: ETF)6.41M $152.66K 20.42%N/A -
VGIT - Vanguard Intermediate Treasury ETF(Class: ETF)942.52K $56.37K 7.54%N/A -
VEA - Vanguard Developed Market ETF(Class: ETF)794.82K $45.31K 6.06%N/A -
VCIT - Vanguard Intermediate Corporate ETF(Class: ETF)519.22K $43.05K 5.76%N/A -
N/A - Vanguard ESG US Stock ETF(Class: ETF)221.25K $24.26K 3.24%N/A -
MSFT - Microsoft(Class: COMMON)48.65K $24.20K 3.24%N/A -
VWO - Vanguard Emerging Market ETF(Class: ETF)465.60K $23.03K 3.08%N/A -
TSM - Taiwan Semiconductor ADR(Class: ADR)90.90K $20.59K 2.75%N/A -
N/A - Vanguard ESG International Stock ETF(Class: ETF)234.28K $15.35K 2.05%N/A -
SCHF - Schwab Int'l Equity ETF(Class: ETF)652.91K $14.43K 1.93%N/A -
SCHW - The Charles Schwab Corp.(Class: COMMON)125.24K $11.43K 1.53%N/A -
COST - Costco(Class: COMMON)10.96K $10.85K 1.45%N/A -
AAPL - Apple Inc.(Class: COMMON)51.24K $10.51K 1.41%N/A -
N/A - Vanguard ESG US Corporate Bond ETF(Class: ETF)165.06K $10.46K 1.40%N/A -
BRK.B - Berkshire Hathaway Cl B(Class: COMMON)18.16K $8.82K 1.18%New 18.16K ($8.82K)
V - Visa Inc(Class: COMMON)22.04K $7.83K 1.05%N/A -
GLW - Corning(Class: COMMON)143.76K $7.56K 1.01%N/A -
IBM - IBM Corp.(Class: COMMON)25.52K $7.52K 1.01%N/A -
MRK - Merck(Class: COMMON)85.74K $6.79K 0.91%N/A -
AMZN - Amazon.Com(Class: COMMON)30.26K $6.64K 0.89%N/A -
GOOGL - Alphabet, Inc. Cl A(Class: COMMON)35.95K $6.33K 0.85%N/A -
STX - Seagate Technology PLC(Class: COMMON)41.74K $6.02K 0.81%N/A -
DIS - Walt Disney Hldg(Class: COMMON)46.79K $5.80K 0.78%N/A -
IWD - iShares Russell 1000 Val ETF(Class: ETF)27.45K $5.33K 0.71%N/A -
VTEB - Vanguard Tax-Exempt Bond ETF(Class: ETF)108.55K $5.32K 0.71%N/A -