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.
| Name | Ticker | Shares | Value | Weight | Est. mark | Change |
|---|---|---|---|---|---|---|
| Alphabet Inc | — | 262K | $75.3M | 6.1% | −$6.66M | Cut−$10.8M |
| Nvidia Corp | NVDA | 385.1K | $67.2M | 5.4% | −$4.66M | Cut−$5.71M |
| Apple Inc. | AAPL | 255.1K | $64.7M | 5.2% | −$4.61M | Cut−$5.87M |
| Analog Devices Inc | ADI | 164.9K | $52.5M | 4.2% | $7.74M | Cut$4.33M |
| Microsoft Corp | MSFT | 139.3K | $51.6M | 4.1% | −$15.6M | Added−$14.7M |
| Tjx Cos Inc New | — | 308K | $49.2M | 4.0% | $1.88M | Cut$1.3M |
| Amazon Com Inc | AMZN | 235.1K | $49M | 3.9% | −$5.29M | Added−$5.19M |
| Mastercard Inc | MA | 87.7K | $43.8M | 3.5% | −$6.19M | Added−$5.78M |
| RTX Corp | RTX | 217K | $41.9M | 3.4% | $2.06M | Cut$657.1K |
| Johnson & Johnson | JNJ | 166.2K | $40.6M | 3.3% | $6.23M | Cut$4.18M |
| Advanced Micro Devices Inc | AMD | 194.4K | $39.6M | 3.2% | −$2.09M | Cut−$4.02M |
| Abbott Labs | ABT | 337.7K | $34.7M | 2.8% | −$7.62M | Added−$7.53M |
| Home Depot, Inc. | HD | 104.8K | $34.5M | 2.8% | −$1.59M | Cut−$1.62M |
| Schneider Elec Sa Adr | — | 617K | $33.6M | 2.7% | −$311.3K | Cut−$369.5K |
| Rockwell Automation, Inc | ROK | 89.9K | $32.3M | 2.6% | −$2.71M | Cut−$3.63M |
| Procter And Gamble Co | PG | 215.8K | $31.2M | 2.5% | $240K | Added$723.6K |
| Danaher Corporation | — | 163.3K | $31M | 2.5% | −$6.38M | Added−$6.16M |
| Chevron Corp New | CVX | 148.9K | $30.8M | 2.5% | $8.11M | Cut$7.7M |
| Automatic Data Processing In | — | 136.9K | $27.8M | 2.2% | −$7.4M | Cut−$8.16M |
| Aptargroup, Inc. | ATR | 217.9K | $27.5M | 2.2% | $884.5K | Cut−$1.52M |
| Applied Matls Inc | — | 76.9K | $26.3M | 2.1% | $6.21M | Added$7.48M |
| Xylem Inc. | XYL | 218.6K | $26.1M | 2.1% | −$3.64M | Added−$3.62M |
| Eli Lilly & Co | LLY | 27.2K | $25M | 2.0% | −$3.73M | Added−$894.1K |
| Vertex Pharmaceuticals Inc | — | 51.5K | $23M | 1.8% | −$347.9K | Added−$132.7K |
| Gqg Partners Emerging Markets | — | 1.07M | $19.4M | 1.6% | $413.5K | Added$540.6K |
| Amg River Road Small-Mid Cap V | — | 1.83M | $17.9M | 1.4% | −$290.7K | Added−$154.9K |
| American Express Co | AXP | 59.1K | $17.9M | 1.4% | −$2.96M | Added$1.66M |
| Schwab Charles Corp | — | 184.3K | $17.3M | 1.4% | −$798.5K | Added$3.87M |
| Uber Technologies, Inc | UBER | 234.8K | $16.9M | 1.4% | −$1.79M | Added$1.97M |
| Nextera Energy Inc | — | 153.5K | $14.3M | 1.1% | $1.45M | Added$5.02M |
| Vanguard 500 Index Admir | — | 21.3K | $12.8M | 1.0% | −$625.8K | Held |
| Canadian Natl Ry Co | — | 124.7K | $12.8M | 1.0% | $488.9K | Cut−$391.7K |
| Waste Mgmt Inc Del | — | 49K | $11.3M | 0.9% | $493.9K | Added$499.6K |
| Berkshire Hathaway Inc Del | — | 15 | $10.8M | 0.9% | −$549.9K | Cut−$3.57M |
| Broadcom Inc. | AVGO | 25.5K | $7.9M | 0.6% | −$295.3K | Added$5.11M |
| Fiserv Inc | FISV | 141.1K | $7.88M | 0.6% | −$1.6M | Cut−$5.03M |
| CARRIER GLOBAL Corp | CARR | 138.4K | $7.79M | 0.6% | $480.1K | Cut−$250.1K |
| Unitedhealth Group Inc | UNH | 26.1K | $7.07M | 0.6% | −$1.56M | Cut−$10.2M |
| Union Pac Corp | — | 25.3K | $6.14M | 0.5% | $285.9K | Held |
| Canadian Pacific Kansas City | — | 69K | $5.43M | 0.4% | $317K | Added$787.1K |
| AbbVie Inc. | ABBV | 22.9K | $4.97M | 0.4% | −$250.7K | Added−$237.9K |
| Crowdstrike Hldgs Inc | — | 11.2K | $4.37M | 0.4% | −$848.2K | Added−$699.9K |
| Spdr S&P 500 Etf Tr | — | 6.36K | $4.14M | 0.3% | −$92.6K | Added$2.14M |
| Fpa Crescent Fund | — | 95.5K | $4.05M | 0.3% | −$60.4K | Added$167.2K |
| Walmart Inc. | WMT | 32.1K | $3.98M | 0.3% | $412.5K | Cut$334.1K |
| Honeywell Intl Inc | — | 16.4K | $3.72M | 0.3% | $508.8K | Cut$473.5K |
| Robeco Boston Partners Long Sh | — | 256.7K | $3.58M | 0.3% | −$24.1K | Added$200.3K |
| Waste Connections, Inc. | WCN | 20.5K | $3.33M | 0.3% | — | New |
| Asml Holding N V | — | 2.34K | $3.09M | 0.2% | $571.7K | Added$648.3K |
| Jpmorgan Chase & Co. | — | 10.1K | $2.97M | 0.2% | −$281.7K | Added−$265.3K |
| Amphenol Corp New | — | 20.9K | $2.64M | 0.2% | −$183.5K | Cut−$434.3K |
| Thermo Fisher Scientific Inc. | TMO | 4.59K | $2.26M | 0.2% | −$404K | Cut−$512.9K |
| Exxon Mobil Corp | — | 13.1K | $2.22M | 0.2% | $644.3K | Cut$638.9K |
| Ecolab Inc. | ECL | 7.61K | $2.02M | 0.2% | $26.6K | Cut−$76.8K |
| Alphabet Inc | — | 6.61K | $1.9M | 0.2% | −$178.1K | Cut−$375.8K |
| Vanguard Total Stock Mkt | — | 11.9K | $1.85M | 0.1% | −$82.7K | Held |
| Mccormick & Co Inc | — | 35.7K | $1.8M | 0.1% | −$631.5K | Cut−$7.98M |
| Relx Plc | — | 48.8K | $1.62M | 0.1% | −$354.9K | Cut−$887K |
| Costco Whsl Corp New | — | 1.53K | $1.52M | 0.1% | $204.6K | Held |
| Berkshire Hathaway Inc Del | — | 2.96K | $1.42M | 0.1% | −$69.3K | Cut−$813.3K |
| Vanguard Tax-Managed Fds | — | 21.5K | $1.38M | 0.1% | $18.4K | Added$659.2K |
| Vanguard Intl Gr Adm | — | 12.6K | $1.36M | 0.1% | −$73.7K | Held |
| NetApp, Inc. | NTAP | 10.3K | $1.05M | 0.1% | −$48.2K | Cut−$262.4K |
| Ishares Tr | — | 2.69K | $958.8K | 0.1% | −$43.7K | Added−$8.42K |
| Salesforce, Inc. | CRM | 5K | $933.5K | 0.1% | −$391.3K | Cut−$1.28M |
| Ishares Tr | — | 1.33K | $871.4K | 0.1% | −$42.3K | Held |
| Church & Dwight Co Inc | — | 9.06K | $845.5K | 0.1% | $85.8K | Cut$49.7K |
| Eog Res Inc | — | 5.74K | $829.1K | 0.1% | $226.9K | Cut$120.8K |
| Merck & Co., Inc. | MRK | 6.88K | $827.6K | 0.1% | $103.4K | Cut$80.2K |
| International Business Machs | — | 3.21K | $779.3K | 0.1% | −$173K | Cut−$232.3K |
| Spdr Series Trust | — | 10.1K | $771.9K | 0.1% | −$37.1K | Held |
| Stryker Corp | SYK | 2.27K | $747.5K | 0.1% | −$52.1K | Cut−$69.6K |
| Pepsico Inc | PEP | 4.58K | $711.2K | 0.1% | $53.9K | Cut$42.9K |
| Visa Inc. | V | 2.33K | $705.2K | 0.1% | −$109.1K | Added−$84.3K |
| Philip Morris Intl Inc | — | 4.12K | $681.2K | 0.1% | $20.4K | Held |
| Idexx Labs Inc | — | 1.19K | $668.1K | 0.1% | −$136.3K | Cut−$204K |
| Ishares Tr | — | 1.55K | $661.3K | 0.1% | — | New |
| Novartis Ag | — | 3.7K | $565.2K | 0.0% | $55.1K | Cut$23.3K |
| Mettler Toledo International Inc/ | MTD | 415 | $523.4K | 0.0% | −$55.2K | Cut−$166.7K |
| Rowe T Price Divid Growth Fd C | — | 6.35K | $513.5K | 0.0% | −$4.23K | Added$1.03K |
| Apimeds Pharmaceuticals Us I | — | 274K | $490.3K | 0.0% | $40.9K | Held |
| Toronto Dominion Bk Ont | — | 4.99K | $465.1K | 0.0% | −$4.44K | Cut−$41.2K |
| Repligen Corp | RGEN | 3.85K | $453.6K | 0.0% | −$177.3K | Held |
| Nestle Sa Adr | — | 4.58K | $453.5K | 0.0% | $1.46K | Cut−$38K |
| Illinois Tool Wks Inc | — | 1.73K | $449K | 0.0% | $24.1K | Held |
| Novo-Nordisk A S | — | 12K | $441K | 0.0% | −$169.5K | Cut−$479.5K |
| Royal Bk Cda | — | 2.65K | $429.5K | 0.0% | −$23.1K | Cut−$50.4K |
| American Tower Corp New | — | 2.47K | $426.6K | 0.0% | −$7.39K | Cut−$54.8K |
| Vanguard Admiral Fds Inc | — | 3.66K | $418.4K | 0.0% | $9.22K | Held |
| Vanguard Admiral Fds Inc | — | 3.63K | $417.3K | 0.0% | $14.1K | Held |
| Chubb Limited | — | 1.28K | $417.2K | 0.0% | $17.7K | Cut$2.07K |
| Vaneck Etf Trust | — | 3.3K | $396.1K | 0.0% | $20.7K | Held |
| General Mls Inc | GIS | 10.6K | $393.2K | 0.0% | −$98K | Cut−$142.8K |
| Coca Cola Co | KO | 5.01K | $380.9K | 0.0% | $30.8K | Cut$28K |
| Meta Platforms, Inc. | META | 648 | $370.7K | 0.0% | −$48.9K | Added$3.73K |
| Darden Restaurants Inc | DRI | 1.83K | $359.3K | 0.0% | $20.9K | Added$39.5K |
| John Hancock Funds Ii Multiman | — | 23.1K | $339.3K | 0.0% | — | New |
| Pax Global Environmental Mkts | — | 16.3K | $338.8K | 0.0% | — | New |
| Amgen Inc | AMGN | 953 | $335.3K | 0.0% | $23.4K | Held |
| Ishares Tr | — | 3.68K | $333.5K | 0.0% | $3.88K | Added$8.86K |
| Oracle Corp | — | 2.27K | $333.4K | 0.0% | −$108.3K | Cut−$127.8K |
| Ge Aerospace | — | 1.11K | $315.5K | 0.0% | −$27K | Held |
| Pfizer Inc | PFE | 11K | $308.9K | 0.0% | $35K | Held |
| Altria Group, Inc. | MO | 4.6K | $303.6K | 0.0% | $38.3K | Held |
| Intuitive Surgical Inc | ISRG | 647 | $298.3K | 0.0% | −$68.2K | Cut−$71K |
| Bank Nova Scotia Halifax | — | 4.28K | $296.6K | 0.0% | −$18.7K | Cut−$49K |
| Vanguard Index Fds | — | 1.5K | $294.3K | 0.0% | $7.81K | Held |
| Investment Managers Ser Tr | — | 11.8K | $290.5K | 0.0% | — | New |
| Ishares Tr | — | 3.7K | $290.1K | 0.0% | — | New |
| Ishares Tr | — | 2.6K | $289.6K | 0.0% | — | New |
| Enterprise Prods Partners L | — | 7.5K | $283.8K | 0.0% | $43.4K | Held |
| Intel Corp | INTC | 6.22K | $274.4K | 0.0% | $44.9K | Cut$29.6K |
| Vaneck Etf Trust | — | 695 | $266.5K | 0.0% | $16.2K | Cut$3.57K |
| Palantir Technologies Inc. | PLTR | 1.8K | $263.3K | 0.0% | −$56.6K | Held |
| Vanguard Admiral Fds Inc | — | 1.27K | $258K | 0.0% | −$1.34K | Held |
| DONALDSON Co INC | DCI | 3K | $254.6K | 0.0% | −$11.4K | Held |
| Trane Technologies Plc | TT | 600 | $250K | 0.0% | $16.5K | Held |
| Vanguard Mun Bd Fds | — | 2.48K | $248.2K | 0.0% | −$2.21K | Held |
| Sprott Asset Management Lp | — | 5.16K | $246.2K | 0.0% | $9.91K | Cut−$81.7K |
| First Eagle Global Fund Class I | — | 2.89K | $238.1K | 0.0% | $4.19K | Held |
| Cisco Sys Inc | — | 3.05K | $236.9K | 0.0% | $1.71K | Cut−$28.4K |
| Sprott Asset Management Lp | — | 6.57K | $232.8K | 0.0% | — | New |
| Mondelez Intl Inc | — | 4K | $230.6K | 0.0% | $15.2K | Held |
| Eni S P A | — | 4K | $226.4K | 0.0% | — | New |
| Vaneck Etf Trust | — | 2.4K | $220.2K | 0.0% | $14.4K | Held |
| Ishares Tr | — | 1.15K | $219.6K | 0.0% | −$7.8K | Cut−$8.79K |
| Cvs Health Corp | CVS | 3.01K | $216.4K | 0.0% | −$22.7K | Cut−$25.9K |
| Universal Hlth Svcs Inc | — | 1.2K | $214.8K | 0.0% | −$46.9K | Held |
| Ishares Tr | — | 1K | $213.7K | 0.0% | — | New |
| Digital Rlty Tr Inc | — | 1.15K | $207.2K | 0.0% | — | New |
| GE Vernova Inc. | GEV | 237 | $206.9K | 0.0% | — | New |
| T Rowe Price Tax Free Shrt Int | — | 35.2K | $194.5K | 0.0% | — | New |
| International Tower Hill Min | — | 83.4K | $191.8K | 0.0% | $36.7K | Held |
| Riot Platforms, Inc. | RIOT | 13.2K | $162.5K | 0.0% | −$3.24K | Added$30.1K |
| First Horizon Shs | — | 187.7K | $2 | 0.0% | $0 | Held |
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.