13F Filings for TRUST CO OF TOLEDO NA /OH/ (CIK: 1008937)

View the most recent portfolio holdings disclosed by TRUST CO OF TOLEDO NA /OH/ in their 13F filing.

HoldingSharesValuePortfolio PercentChange StatusChange Amount
MSFT - Microsoft Corp(Class: Com)150.18K $74.70M 8.24%N/A -
AAPL - Apple Inc(Class: Com)265.83K $54.54M 6.02%N/A -
JPM - JP Morgan Chase Co(Class: Com)99K $28.70M 3.17%N/A -
ORCL - Oracle Corporation(Class: Com)113.22K $24.75M 2.73%N/A -
NVDA - NVIDIA Corp(Class: Com)151.73K $23.97M 2.64%N/A -
LLY - Lilly Eli Co(Class: Com)27.89K $21.74M 2.40%N/A -
GOOGL - Alphabet Inc-A(Class: Com)116.56K $20.54M 2.27%N/A -
AMZN - Amazon.com Inc(Class: Com)88.10K $19.33M 2.13%N/A -
XMHQ - Invesco SP Mid Cap Quality ETF(Class: Com)160.28K $15.75M 1.74%New 160.28K ($15.75M)
PANW - Palo Alto Networks Inc(Class: Com)69.66K $14.26M 1.57%N/A -
PG - Procter Gamble Co(Class: Com)86.67K $13.81M 1.52%N/A -
WELL - Welltower Inc(Class: Com)75.90K $11.67M 1.29%N/A -
DE - Deere Co(Class: Com)21.69K $11.03M 1.22%N/A -
MCD - McDonalds Corp(Class: Com)37.31K $10.90M 1.20%N/A -
CVX - Chevron Corp(Class: Com)72.38K $10.36M 1.14%N/A -
WTV - Wisdom Tree Value ETF(Class: Com)118.25K $10.22M 1.13%New 118.25K ($10.22M)
ABT - Abbott Laboratories(Class: Com)74.01K $10.07M 1.11%N/A -
HD - Home Depot Inc(Class: Com)24.38K $8.94M 0.99%N/A -
GOOG - Alphabet Inc-C(Class: Com)50.08K $8.88M 0.98%N/A -
COST - Costco Wholesale Corp(Class: Com)8.80K $8.71M 0.96%N/A -
CSCO - Cisco Systems Inc(Class: Com)124.08K $8.61M 0.95%N/A -
XOM - Exxon Mobil Corp(Class: Com)79.56K $8.58M 0.95%N/A -
N/A - iShares MSCI EAFE Growth ETF(Class: Com)75.73K $8.48M 0.94%New 75.73K ($8.48M)
AMGN - Amgen Inc(Class: Com)28.72K $8.02M 0.88%N/A -
ABBV - AbbVie Inc(Class: Com)42.55K $7.90M 0.87%N/A -