13F

Investor

Hemenway Trust Co LLC

CIK 0001494234 · filed 2026-05-07 · SEC filing

13F book

$1.24B

Positions

135

13 new · 5 sold

Largest name

6.1%

Alphabet Inc

Est. mark

−$54.1M

Price effect on 122 names still held. Flow −$10.1M.
NameTickerSharesValueWeightEst. markChange
Alphabet Inc262K$75.3M6.1%−$6.66MCut−$10.8M
Nvidia CorpNVDA385.1K$67.2M5.4%−$4.66MCut−$5.71M
Apple Inc.AAPL255.1K$64.7M5.2%−$4.61MCut−$5.87M
Analog Devices IncADI164.9K$52.5M4.2%$7.74MCut$4.33M
Microsoft CorpMSFT139.3K$51.6M4.1%−$15.6MAdded−$14.7M
Tjx Cos Inc New308K$49.2M4.0%$1.88MCut$1.3M
Amazon Com IncAMZN235.1K$49M3.9%−$5.29MAdded−$5.19M
Mastercard IncMA87.7K$43.8M3.5%−$6.19MAdded−$5.78M
RTX CorpRTX217K$41.9M3.4%$2.06MCut$657.1K
Johnson & JohnsonJNJ166.2K$40.6M3.3%$6.23MCut$4.18M
Advanced Micro Devices IncAMD194.4K$39.6M3.2%−$2.09MCut−$4.02M
Abbott LabsABT337.7K$34.7M2.8%−$7.62MAdded−$7.53M
Home Depot, Inc.HD104.8K$34.5M2.8%−$1.59MCut−$1.62M
Schneider Elec Sa Adr617K$33.6M2.7%−$311.3KCut−$369.5K
Rockwell Automation, IncROK89.9K$32.3M2.6%−$2.71MCut−$3.63M
Procter And Gamble CoPG215.8K$31.2M2.5%$240KAdded$723.6K
Danaher Corporation163.3K$31M2.5%−$6.38MAdded−$6.16M
Chevron Corp NewCVX148.9K$30.8M2.5%$8.11MCut$7.7M
Automatic Data Processing In136.9K$27.8M2.2%−$7.4MCut−$8.16M
Aptargroup, Inc.ATR217.9K$27.5M2.2%$884.5KCut−$1.52M
Applied Matls Inc76.9K$26.3M2.1%$6.21MAdded$7.48M
Xylem Inc.XYL218.6K$26.1M2.1%−$3.64MAdded−$3.62M
Eli Lilly & CoLLY27.2K$25M2.0%−$3.73MAdded−$894.1K
Vertex Pharmaceuticals Inc51.5K$23M1.8%−$347.9KAdded−$132.7K
Gqg Partners Emerging Markets1.07M$19.4M1.6%$413.5KAdded$540.6K
Amg River Road Small-Mid Cap V1.83M$17.9M1.4%−$290.7KAdded−$154.9K
American Express CoAXP59.1K$17.9M1.4%−$2.96MAdded$1.66M
Schwab Charles Corp184.3K$17.3M1.4%−$798.5KAdded$3.87M
Uber Technologies, IncUBER234.8K$16.9M1.4%−$1.79MAdded$1.97M
Nextera Energy Inc153.5K$14.3M1.1%$1.45MAdded$5.02M
Vanguard 500 Index Admir21.3K$12.8M1.0%−$625.8KHeld
Canadian Natl Ry Co124.7K$12.8M1.0%$488.9KCut−$391.7K
Waste Mgmt Inc Del49K$11.3M0.9%$493.9KAdded$499.6K
Berkshire Hathaway Inc Del15$10.8M0.9%−$549.9KCut−$3.57M
Broadcom Inc.AVGO25.5K$7.9M0.6%−$295.3KAdded$5.11M
Fiserv IncFISV141.1K$7.88M0.6%−$1.6MCut−$5.03M
CARRIER GLOBAL CorpCARR138.4K$7.79M0.6%$480.1KCut−$250.1K
Unitedhealth Group IncUNH26.1K$7.07M0.6%−$1.56MCut−$10.2M
Union Pac Corp25.3K$6.14M0.5%$285.9KHeld
Canadian Pacific Kansas City69K$5.43M0.4%$317KAdded$787.1K
AbbVie Inc.ABBV22.9K$4.97M0.4%−$250.7KAdded−$237.9K
Crowdstrike Hldgs Inc11.2K$4.37M0.4%−$848.2KAdded−$699.9K
Spdr S&P 500 Etf Tr6.36K$4.14M0.3%−$92.6KAdded$2.14M
Fpa Crescent Fund95.5K$4.05M0.3%−$60.4KAdded$167.2K
Walmart Inc.WMT32.1K$3.98M0.3%$412.5KCut$334.1K
Honeywell Intl Inc16.4K$3.72M0.3%$508.8KCut$473.5K
Robeco Boston Partners Long Sh256.7K$3.58M0.3%−$24.1KAdded$200.3K
Waste Connections, Inc.WCN20.5K$3.33M0.3%New
Asml Holding N V2.34K$3.09M0.2%$571.7KAdded$648.3K
Jpmorgan Chase & Co.10.1K$2.97M0.2%−$281.7KAdded−$265.3K
Amphenol Corp New20.9K$2.64M0.2%−$183.5KCut−$434.3K
Thermo Fisher Scientific Inc.TMO4.59K$2.26M0.2%−$404KCut−$512.9K
Exxon Mobil Corp13.1K$2.22M0.2%$644.3KCut$638.9K
Ecolab Inc.ECL7.61K$2.02M0.2%$26.6KCut−$76.8K
Alphabet Inc6.61K$1.9M0.2%−$178.1KCut−$375.8K
Vanguard Total Stock Mkt11.9K$1.85M0.1%−$82.7KHeld
Mccormick & Co Inc35.7K$1.8M0.1%−$631.5KCut−$7.98M
Relx Plc48.8K$1.62M0.1%−$354.9KCut−$887K
Costco Whsl Corp New1.53K$1.52M0.1%$204.6KHeld
Berkshire Hathaway Inc Del2.96K$1.42M0.1%−$69.3KCut−$813.3K
Vanguard Tax-Managed Fds21.5K$1.38M0.1%$18.4KAdded$659.2K
Vanguard Intl Gr Adm12.6K$1.36M0.1%−$73.7KHeld
NetApp, Inc.NTAP10.3K$1.05M0.1%−$48.2KCut−$262.4K
Ishares Tr2.69K$958.8K0.1%−$43.7KAdded−$8.42K
Salesforce, Inc.CRM5K$933.5K0.1%−$391.3KCut−$1.28M
Ishares Tr1.33K$871.4K0.1%−$42.3KHeld
Church & Dwight Co Inc9.06K$845.5K0.1%$85.8KCut$49.7K
Eog Res Inc5.74K$829.1K0.1%$226.9KCut$120.8K
Merck & Co., Inc.MRK6.88K$827.6K0.1%$103.4KCut$80.2K
International Business Machs3.21K$779.3K0.1%−$173KCut−$232.3K
Spdr Series Trust10.1K$771.9K0.1%−$37.1KHeld
Stryker CorpSYK2.27K$747.5K0.1%−$52.1KCut−$69.6K
Pepsico IncPEP4.58K$711.2K0.1%$53.9KCut$42.9K
Visa Inc.V2.33K$705.2K0.1%−$109.1KAdded−$84.3K
Philip Morris Intl Inc4.12K$681.2K0.1%$20.4KHeld
Idexx Labs Inc1.19K$668.1K0.1%−$136.3KCut−$204K
Ishares Tr1.55K$661.3K0.1%New
Novartis Ag3.7K$565.2K0.0%$55.1KCut$23.3K
Mettler Toledo International Inc/MTD415$523.4K0.0%−$55.2KCut−$166.7K
Rowe T Price Divid Growth Fd C6.35K$513.5K0.0%−$4.23KAdded$1.03K
Apimeds Pharmaceuticals Us I274K$490.3K0.0%$40.9KHeld
Toronto Dominion Bk Ont4.99K$465.1K0.0%−$4.44KCut−$41.2K
Repligen CorpRGEN3.85K$453.6K0.0%−$177.3KHeld
Nestle Sa Adr4.58K$453.5K0.0%$1.46KCut−$38K
Illinois Tool Wks Inc1.73K$449K0.0%$24.1KHeld
Novo-Nordisk A S12K$441K0.0%−$169.5KCut−$479.5K
Royal Bk Cda2.65K$429.5K0.0%−$23.1KCut−$50.4K
American Tower Corp New2.47K$426.6K0.0%−$7.39KCut−$54.8K
Vanguard Admiral Fds Inc3.66K$418.4K0.0%$9.22KHeld
Vanguard Admiral Fds Inc3.63K$417.3K0.0%$14.1KHeld
Chubb Limited1.28K$417.2K0.0%$17.7KCut$2.07K
Vaneck Etf Trust3.3K$396.1K0.0%$20.7KHeld
General Mls IncGIS10.6K$393.2K0.0%−$98KCut−$142.8K
Coca Cola CoKO5.01K$380.9K0.0%$30.8KCut$28K
Meta Platforms, Inc.META648$370.7K0.0%−$48.9KAdded$3.73K
Darden Restaurants IncDRI1.83K$359.3K0.0%$20.9KAdded$39.5K
John Hancock Funds Ii Multiman23.1K$339.3K0.0%New
Pax Global Environmental Mkts16.3K$338.8K0.0%New
Amgen IncAMGN953$335.3K0.0%$23.4KHeld
Ishares Tr3.68K$333.5K0.0%$3.88KAdded$8.86K
Oracle Corp2.27K$333.4K0.0%−$108.3KCut−$127.8K
Ge Aerospace1.11K$315.5K0.0%−$27KHeld
Pfizer IncPFE11K$308.9K0.0%$35KHeld
Altria Group, Inc.MO4.6K$303.6K0.0%$38.3KHeld
Intuitive Surgical IncISRG647$298.3K0.0%−$68.2KCut−$71K
Bank Nova Scotia Halifax4.28K$296.6K0.0%−$18.7KCut−$49K
Vanguard Index Fds1.5K$294.3K0.0%$7.81KHeld
Investment Managers Ser Tr11.8K$290.5K0.0%New
Ishares Tr3.7K$290.1K0.0%New
Ishares Tr2.6K$289.6K0.0%New
Enterprise Prods Partners L7.5K$283.8K0.0%$43.4KHeld
Intel CorpINTC6.22K$274.4K0.0%$44.9KCut$29.6K
Vaneck Etf Trust695$266.5K0.0%$16.2KCut$3.57K
Palantir Technologies Inc.PLTR1.8K$263.3K0.0%−$56.6KHeld
Vanguard Admiral Fds Inc1.27K$258K0.0%−$1.34KHeld
DONALDSON Co INCDCI3K$254.6K0.0%−$11.4KHeld
Trane Technologies PlcTT600$250K0.0%$16.5KHeld
Vanguard Mun Bd Fds2.48K$248.2K0.0%−$2.21KHeld
Sprott Asset Management Lp5.16K$246.2K0.0%$9.91KCut−$81.7K
First Eagle Global Fund Class I2.89K$238.1K0.0%$4.19KHeld
Cisco Sys Inc3.05K$236.9K0.0%$1.71KCut−$28.4K
Sprott Asset Management Lp6.57K$232.8K0.0%New
Mondelez Intl Inc4K$230.6K0.0%$15.2KHeld
Eni S P A4K$226.4K0.0%New
Vaneck Etf Trust2.4K$220.2K0.0%$14.4KHeld
Ishares Tr1.15K$219.6K0.0%−$7.8KCut−$8.79K
Cvs Health CorpCVS3.01K$216.4K0.0%−$22.7KCut−$25.9K
Universal Hlth Svcs Inc1.2K$214.8K0.0%−$46.9KHeld
Ishares Tr1K$213.7K0.0%New
Digital Rlty Tr Inc1.15K$207.2K0.0%New
GE Vernova Inc.GEV237$206.9K0.0%New
T Rowe Price Tax Free Shrt Int35.2K$194.5K0.0%New
International Tower Hill Min83.4K$191.8K0.0%$36.7KHeld
Riot Platforms, Inc.RIOT13.2K$162.5K0.0%−$3.24KAdded$30.1K
First Horizon Shs187.7K$20.0%$0Held

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.