13F

Investor

First County Bank /CT/

CIK 0001983616 · filed 2026-04-03 · SEC filing

13F book

$187.3M

Positions

162

8 new · 13 sold

Largest name

5.6%

Vanguard Index Fds

Est. mark

−$1.37M

Price effect on 154 names still held. Flow −$2.29M.
NameTickerSharesValueWeightEst. markChange
Vanguard Index Fds53.1K$10.4M5.6%$245.5KAdded$1.41M
Nvidia CorpNVDA44.8K$7.81M4.2%−$541.6KCut−$709K
Apple Inc.AAPL28.9K$7.35M3.9%−$514.3KAdded−$391.5K
Microsoft CorpMSFT18.1K$6.68M3.6%−$1.95MAdded−$1.62M
Ishares Tr50.8K$6.01M3.2%$240.1KCut$76.3K
Exxon Mobil Corp34.6K$5.87M3.1%$1.71MCut$1.63M
Ishares Tr6.24K$4.07M2.2%−$197.8KHeld
Alphabet Inc13.9K$3.99M2.1%−$353.4KCut−$491.1K
Broadcom Inc.AVGO11.4K$3.52M1.9%−$413.4KAdded−$394.6K
AbbVie Inc.ABBV14.7K$3.2M1.7%−$161.7KCut−$343.6K
Amazon Com IncAMZN15.1K$3.15M1.7%New
Vanguard Whitehall Fds20.2K$3M1.6%$92.6KCut−$992.5K
Costco Whsl Corp New2.94K$2.93M1.6%$394.9KCut$382.8K
Jpmorgan Chase & Co.8.59K$2.53M1.3%−$230.2KAdded−$117.2K
Philip Morris Intl Inc14.6K$2.42M1.3%$72.3KCut−$43.2K
Merck & Co., Inc.MRK18.9K$2.28M1.2%$284.6KCut$277.8K
Spdr S&P 500 Etf Tr3.46K$2.25M1.2%−$109.2KCut−$939.8K
Gilead Sciences, Inc.GILD15.5K$2.16M1.2%$257.7KCut$30.2K
Caterpillar IncCAT2.92K$2.07M1.1%$396.2KCut$366.4K
Vanguard Index Fds3.46K$2.07M1.1%−$102.5KCut−$614.8K
Emerson Elec Co15.8K$2.06M1.1%−$26.8KCut−$118.5K
Microchip Technology Inc.30.8K$1.99M1.1%$27.4KCut−$57.5K
Procter And Gamble CoPG13.5K$1.95M1.0%$12.7KAdded$348K
Ishares Tr15.6K$1.93M1.0%$64.3KCut$4.19K
Vanguard Index Fds6.62K$1.9M1.0%−$19.4KAdded$51.6K
Salesforce, Inc.CRM10.2K$1.9M1.0%−$397.5KAdded$549.4K
Ishares Tr20.4K$1.85M1.0%$21.6KAdded$45.1K
Schwab Strategic Tr61.7K$1.8M1.0%−$205.6KAdded−$125K
Eaton Corp PlcETN4.6K$1.65M0.9%$180.3KCut$166K
Palo Alto Networks IncPANW9.84K$1.58M0.8%−$235KCut−$286.3K
Johnson & JohnsonJNJ6.44K$1.57M0.8%$241.4KCut$142.5K
Mcdonalds CorpMCD5.01K$1.56M0.8%$24.5KAdded$102.6K
Kla CorpKLAC1.03K$1.52M0.8%$266.1KCut$261.2K
Verizon Communications IncVZ29.9K$1.5M0.8%$269.2KAdded$345K
Ishares Tr21.9K$1.48M0.8%$33.5KCut−$128.2K
Vanguard Scottsdale Fds18.6K$1.48M0.8%−$8.57KHeld
Union Pac Corp6.08K$1.48M0.8%$63.1KAdded$183.9K
Amgen IncAMGN4.17K$1.47M0.8%$102.3KCut−$159.9K
Oracle Corp9.93K$1.46M0.8%−$474.6KCut−$643.9K
Home Depot, Inc.HD4.3K$1.42M0.8%−$58.7KAdded$87.7K
Duke Energy Corp New10.6K$1.39M0.7%$145.9KCut$595
American Elec Pwr Co Inc10.4K$1.36M0.7%$164.2KCut$45.3K
Ishares Tr12K$1.28M0.7%−$7.51KAdded$74.2K
Schwab Strategic Tr41.1K$1.25M0.7%$36.6KCut$23.7K
Vanguard Bd Index Fds16K$1.24M0.7%−$9.3KAdded$201K
International Business Machs4.98K$1.21M0.6%−$268.2KCut−$336.9K
Pepsico IncPEP7.75K$1.2M0.6%$91.3KCut$85.8K
Cisco Sys Inc15.5K$1.2M0.6%$8.22KAdded$69.8K
RTX CorpRTX6.22K$1.2M0.6%$59.1KCut$39.8K
Meta Platforms, Inc.META2.08K$1.19M0.6%−$181.2KAdded−$170.3K
Advanced Micro Devices IncAMD5.79K$1.18M0.6%−$62.2KCut−$291.8K
Vanguard Growth Etf2.69K$1.17M0.6%−$137.2KCut−$327.9K
Eli Lilly & CoLLY1.27K$1.17M0.6%−$196.7KCut−$241.9K
Berkshire Hathaway Inc Del2.39K$1.15M0.6%−$55.5KAdded−$43K
Schwab Strategic Tr23.3K$1.14M0.6%$86.6KCut$41.4K
Williams Cos Inc15.3K$1.11M0.6%$177.9KAdded$267K
Paypal Hldgs Inc24.5K$1.11M0.6%−$74.7KAdded$776.2K
Tc Energy Corp17.6K$1.1M0.6%$133.7KCut$9.26K
Alphabet Inc3.75K$1.07M0.6%−$100.4KAdded−$94.6K
Enbridge Inc18.9K$1.03M0.5%$119.5KCut−$82.7K
Vanguard Tax-Managed Fds15.9K$1.02M0.5%$25.6KCut$15.3K
Visa Inc.V3.33K$1.01M0.5%−$157KAdded−$129.8K
Automatic Data Processing In4.95K$1.01M0.5%−$267.5KHeld
Chevron Corp NewCVX4.78K$987.9K0.5%$260.2KCut$185.5K
Southern Co9.83K$948.9K0.5%$91.6KCut−$85.4K
Pnc Finl Svcs Group Inc4.55K$946.8K0.5%−$2.91KCut−$223.5K
Honeywell Intl Inc3.89K$878.8K0.5%$96.9KAdded$268K
Ishares Tr3.15K$780.5K0.4%$5.79KCut−$179.1K
Ishares Tr3.61K$770.5K0.4%$12KCut−$24K
Biogen Inc.BIIB4.17K$763.8K0.4%$30.6KCut−$12.7K
Thermo Fisher Scientific Inc.TMO1.53K$750.6K0.4%−$134.3KCut−$134.8K
ConocophillipsCOP5.61K$739.9K0.4%$196.5KAdded$260.8K
Vanguard Scottsdale Fds12.2K$713.8K0.4%−$2.32KCut−$33.6K
Schwab Strategic Tr29.3K$711.8K0.4%−$1.6KAdded$322.4K
Linde PlcLIN1.4K$694.1K0.4%$97.1KHeld
Walmart Inc.WMT5.56K$691.2K0.4%$71.6KCut$63.7K
Ameriprise Finl Inc1.55K$690.2K0.4%−$39.3KAdded$270.9K
Dimensional Etf Trust9.63K$685K0.4%$14KAdded$18K
Pfizer IncPFE24.3K$681.4K0.4%$77.2KCut−$44.5K
Tesla, Inc.TSLA1.81K$671.4K0.4%−$137.4KAdded−$121K
Ishares Tr5.88K$664.9K0.4%−$59.7KCut−$157.4K
Entergy Corp New5.86K$658.3K0.4%$116.8KCut$95.7K
Northrop Grumman Corp963$657K0.4%$107.9KCut$91.3K
Blackstone Inc.BX5.63K$647.2K0.3%−$189KAdded−$96.9K
Coca Cola CoKO8.49K$646K0.3%$52.2KCut−$31.1K
National Grid Plc7.56K$639.3K0.3%$54.8KCut−$25K
Dow Inc.DOW15.3K$635.7K0.3%$195.8KAdded$385.1K
Huntington Bancshares Inc39.4K$617.1K0.3%−$67KCut−$112.9K
Citi Group Inc 4.625 10/30/203610K$594.2K0.3%−$20.4KCut−$35.5K
Vanguard Index Fds2.26K$591.4K0.3%$8.65KAdded$29.3K
Corning Inc4.33K$589K0.3%$199.9KAdded$227.4K
Chubb Limited1.77K$577.9K0.3%$24.4KAdded$26.4K
Tjx Cos Inc New3.61K$576.5K0.3%$22KCut$8.77K
Booking Holdings Inc.BKNG130$547.3K0.3%−$148.9KCut−$154.2K
Vanguard Index Fds1.66K$532.9K0.3%−$24KCut−$210.8K
Mastercard IncMA1.05K$526.6K0.3%−$75.1KCut−$91.6K
Air Prods & Chems Inc1.8K$523.2K0.3%$60.6KAdded$178.8K
Lam Research CorpLRCX2.44K$521.5K0.3%$103.7KCut$79.7K
Morgan Stanley3.16K$519.9K0.3%−$37.8KAdded$1.84K
At&T Inc16.9K$489.8K0.3%$65.8KAdded$96.1K
Truist Finl Corp10.5K$483.1K0.3%−$34KCut−$235.1K
Lowes Cos Inc2.04K$483K0.3%−$9.98KHeld
Schwab Strategic Tr18.3K$469K0.3%−$23.2KCut−$80.6K
British Amern Tob Plc8.01K$468.3K0.3%$14.8KCut−$157.4K
Nextera Energy Inc5.01K$465.2K0.2%$50.6KAdded$142.8K
Digital Rlty Tr Inc2.56K$460.4K0.2%New
Bristol-Myers Squibb Co7.55K$458K0.2%$50.7KCut$35.5K
Te Connectivity PlcTEL2.19K$457.3K0.2%−$40KAdded−$35K
Adobe Inc.ADBE1.86K$452.4K0.2%−$199KCut−$202.5K
Abbott LabsABT4.29K$439.9K0.2%−$96.9KCut−$174.6K
Vanguard Index Fds2.1K$433K0.2%−$6.99KCut−$17.4K
Prologis Inc.3.24K$428.7K0.2%$14.7KCut−$79.7K
Medtronic PlcMDT4.93K$427.5K0.2%−$37KAdded$50K
Lockheed Martin CorpLMT677$409.2K0.2%$65.6KAdded$146.5K
Waste Mgmt Inc Del1.74K$400.3K0.2%$17.5KAdded$19.3K
Us Bancorp Del7.39K$384.5K0.2%−$9.98KCut−$181.4K
Goldman Sachs Group Inc453$383.2K0.2%−$15KCut−$20.2K
Schwab Strategic Tr10K$382.6K0.2%$22KCut−$3.35K
Ge Aerospace1.3K$368.6K0.2%−$31.5KHeld
Altria Group, Inc.MO5.52K$364.4K0.2%−$644.2KCut−$3.45M
Ecolab Inc.ECL1.37K$363.9K0.2%$4.52KAdded$24.5K
Spdr Series Trust11.7K$352.1K0.2%−$1.37KAdded$34.2K
Ishares Tr1.64K$346.9K0.2%−$971Added$123.2K
Invesco Exchange Traded Fd T1.8K$345.8K0.2%$649Cut−$14.5K
Ishares Inc4.92K$343K0.2%$12.4KCut−$2.21K
Select Sector Spdr Tr6.81K$336.3K0.2%−$36.8KCut−$55.1K
Analog Devices IncADI1.04K$329.9K0.2%$48.7KCut$35.9K
Target CorpTGT2.69K$325.7K0.2%$49.7KAdded$118.6K
Spdr Gold Tr740$318.4K0.2%$25.1KHeld
United Rentals, Inc.URI436$317.7K0.2%−$35.2KHeld
Invesco Qqq Tr543$313.4K0.2%−$14.3KAdded$76.3K
Intercontinental Exchange In1.99K$312.8K0.2%−$9.31KHeld
Novartis Ag2.01K$307.6K0.2%$21.8KAdded$106.1K
Allstate Corp1.46K$302.9K0.2%−$814Added$93.7K
Qualcomm Inc2.32K$298.9K0.2%−$72.7KAdded$4.69K
American Tower Corp New1.65K$285.3K0.2%−$3.56KAdded$76.2K
Danaher Corporation1.49K$282.3K0.2%−$58.5KCut−$64.3K
Ishares Tr2.88K$280.3K0.1%$2.77KHeld
Ishares Tr653$278.4K0.1%−$30.6KCut−$174K
Parker-Hannifin CorpPH300$268.6K0.1%$4.88KCut−$15.3K
Deere & CoDE467$263.1K0.1%$45.2KAdded$47.5K
Wells Fargo Co New225$260.4K0.1%−$12.6KHeld
Starbucks CorpSBUX2.79K$249.9K0.1%New
Boeing Co1.25K$248.8K0.1%−$22.6KHeld
Applied Matls Inc717$245.1K0.1%$60.8KCut$32.5K
Ppl Corp6.16K$235.5K0.1%$19.6KCut−$10.8K
Ishares Tr1.7K$224.7K0.1%$1.54KCut−$34.4K
Mondelez Intl Inc3.88K$223.6K0.1%New
Zoetis Inc.ZTS1.85K$218.3K0.1%New
Quest Diagnostics IncDGX1.11K$217.5K0.1%New
Vanguard Specialized Funds1K$215.1K0.1%−$4.72KHeld
Fifth Third Bancorp4.63K$214.9K0.1%New
Johnson Ctls Intl Plc1.63K$213.6K0.1%New
Goldman Sachs Group Inc115K$110.7K0.1%−$1.87KHeld
CT ST Health & EDL Rev Bds 3.5075K$71.5K0.0%−$2.42KHeld
U.S. Treasury Nts 4.125 02/15/50K$50.2K0.0%−$174Held
U.S. Treasury Nts 4.00 01/15/250K$50.1K0.0%−$146Held
Connecticut GO Bds 4.00 06/01/30K$30.8K0.0%−$263Held
Parker CO WTR & SWR Bds 4.00 125K$25.7K0.0%−$346Held
Dodge KS Sales Tax Rev Bds 5.0025K$25.6K0.0%−$210Held
CT Special Tax Oblig Bds 4.0025K$25K0.0%−$31Held
Connecticut St Bds 5.00 03/15/25K$25K0.0%−$81Held

Positions as of Q1 2026. 13F filings arrive up to 45 days after quarter-end and omit shorts. Values are quarter-end marks, as filed. Estimated mark is the price effect on shares still held — not realized P&L or investment advice.