Universe · entity

Hemenway Trust Co LLC

Institutional manager (13F) · CIK 1494234
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $1.2B
#IssuerValueShares
1ALPHABET INC CL A$75M261,957
2NVIDIA CORP$67M385,065
3APPLE$65M255,066
4ANALOG DEVICES$52M164,880
5MICROSOFT$52M139,303
6TJX COS$49M308,019
7AMAZON.COM$49M235,071
8MASTERCARD$44M87,703
9RTX CORPORATION$42M216,956
10JOHNSON AND JOHNSON$41M166,241
11ADVANCED MICRO DEVICES$40M194,431
12ABBOTT LABS$35M337,725
13HOME DEPOT$34M104,792
14SCHNEIDER ELEC SA ADR$34M616,969
15ROCKWELL AUTOMATION$32M89,879
16PROCTER & GAMBLE$31M215,755
17DANAHER CORP$31M163,343
18CHEVRON$31M148,927
19AUTOMATIC DATA PROCESSING$28M136,950
20APTARGROUP$27M217,872
21APPLIED MATERIAL$26M76,922
22XYLEM INC$26M218,587
23ELI LILLY & CO$25M27,160
24VERTEX PHARMACEUTICALS$23M51,499
25GQG PARTNERS EMERGING MARKETS$19M1,067,352
26AMG RIVER ROAD SMALL-MID CAP V$18M1,830,975
27AMERICAN EXPRESS$18M59,068
28CHARLES SCHWAB$17M184,295
29UBER TECHNOLOGIES INC$17M234,824
30NEXTERA ENERGY$14M153,453
31VANGUARD 500 INDEX FD ADMIRAL$13M21,310
32CANADIAN NATL RAILWAY$13M124,717
33WASTE MANAGEMENT INC$11M49,021
34BERKSHIRE HATHAWAY CL A$11M15
35BROADCOM INC$8M25,522
36FISERV$8M141,132
37CARRIER GLOBAL$8M138,359
38UNITEDHEALTH GROUP$7M26,135
39UNION PACIFIC$6M25,297
40CANADIAN PACIFIC KANSAS CITY L$5M68,992
41ABBVIE$5M22,851
42CROWDSTRIKE HOLDINGS INC$4M11,206
43SPDR S&P 500 ETF$4M6,364
44FPA CRESCENT FUND$4M95,513
45WAL-MART STORES$4M32,053
46HONEYWELL INTL$4M16,445
47ROBECO BOSTON PARTNERS LONG SH$4M256,697
48WASTE CONNECTIONS INC NEW$3M20,519
49ASML HOLDING NV$3M2,336
50JPMORGAN CHASE$3M10,097
All filings on EDGAR ↗

Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.