13F

Investor

PLIMOTH TRUST CO LLC

CIK 0001623678 · filed 2026-01-27 · SEC filing

13F book

$448.8M

Positions

172

Largest name

6.4%

Apple Inc. · AAPL

Est. mark

Need a prior quarter to estimate
NameTickerSharesValueWeightEst. markChange
Apple Inc.AAPL106.1K$28.8M6.4%Held
Microsoft CorpMSFT52.1K$25.2M5.6%Held
Nvidia CorpNVDA125.6K$23.4M5.2%Held
Alphabet Inc55.2K$17.3M3.9%Held
Amazon Com IncAMZN63.8K$14.7M3.3%Held
Jpmorgan Chase & Co.43K$13.8M3.1%Held
Eli Lilly & CoLLY8.46K$9.09M2.0%Held
Walmart Inc.WMT76.1K$8.48M1.9%Held
Applied Matls Inc29.6K$7.6M1.7%Held
Visa Inc.V20.5K$7.18M1.6%Held
Ishares Tr71.7K$7.17M1.6%Held
Merck & Co., Inc.MRK66.4K$6.99M1.6%Held
Qualcomm Inc40.4K$6.91M1.5%Held
Johnson & JohnsonJNJ31.8K$6.59M1.5%Held
RTX CorpRTX34.7K$6.37M1.4%Held
Caterpillar IncCAT11K$6.32M1.4%Held
Broadcom Inc.AVGO18.2K$6.3M1.4%Held
Exxon Mobil Corp51.8K$6.23M1.4%Held
Salesforce, Inc.CRM23.3K$6.16M1.4%Held
Ishares Tr125.2K$5.69M1.3%Held
Select Sector Spdr Tr38K$5.47M1.2%Held
Mcdonalds CorpMCD17.8K$5.44M1.2%Held
Meta Platforms, Inc.META7.89K$5.21M1.2%Held
Invesco Exch Traded Fd Tr Ii439.7K$4.94M1.1%Held
Chubb Limited15.7K$4.91M1.1%Held
Procter And Gamble CoPG32.6K$4.67M1.0%Held
Bank America Corp83.4K$4.59M1.0%Held
Chevron Corp NewCVX29.6K$4.51M1.0%Held
Alphabet Inc14.1K$4.41M1.0%Held
AbbVie Inc.ABBV19.3K$4.41M1.0%Held
Nextera Energy Inc54.8K$4.4M1.0%Held
American Express CoAXP11.7K$4.33M1.0%Held
Tjx Cos Inc New28.1K$4.32M1.0%Held
Ge Aerospace13.8K$4.24M0.9%Held
At&T Inc161.8K$4.02M0.9%Held
Duke Energy Corp New34.2K$4.01M0.9%Held
Lowes Cos Inc16.3K$3.93M0.9%Held
Amgen IncAMGN11.9K$3.91M0.9%Held
International Business Machs12.7K$3.77M0.8%Held
Eaton Corp PlcETN11.4K$3.64M0.8%Held
Palo Alto Networks IncPANW19.4K$3.57M0.8%Held
Coca Cola CoKO50.6K$3.54M0.8%Held
Berkshire Hathaway Inc Del7.03K$3.53M0.8%Held
Goldman Sachs Group Inc4.01K$3.53M0.8%Held
Dell Technologies Inc.DELL26.1K$3.29M0.7%Held
Union Pac Corp14.2K$3.28M0.7%Held
Stryker CorpSYK9.23K$3.24M0.7%Held
Abbott LabsABT25.8K$3.23M0.7%Held
Linde PlcLIN7.25K$3.09M0.7%Held
Emerson Elec Co23.2K$3.07M0.7%Held
Ishares Tr33.8K$3.02M0.7%Held
Pepsico IncPEP19.8K$2.84M0.6%Held
T-Mobile Us Inc13.8K$2.81M0.6%Held
Disney Walt Co23.1K$2.63M0.6%Held
Cisco Sys Inc33.9K$2.61M0.6%Held
Darden Restaurants IncDRI13.8K$2.55M0.6%Held
Verizon Communications IncVZ57.6K$2.35M0.5%Held
GE Vernova Inc.GEV3.5K$2.28M0.5%Held
Home Depot, Inc.HD6.52K$2.24M0.5%Held
Vanguard Index Fds7.57K$2.2M0.5%Held
Select Sector Spdr Tr39.3K$2.15M0.5%Held
Waste Mgmt Inc Del9.71K$2.13M0.5%Held
NIKE, Inc.NKE32K$2.04M0.5%Held
Deere & CoDE4.32K$2.01M0.4%Held
Ishares Inc31.2K$2M0.4%Held
Cigna GroupCI7.08K$1.95M0.4%Held
Select Sector Spdr Tr11.4K$1.76M0.4%Held
Toronto Dominion Bk Ont18.2K$1.71M0.4%Held
Select Sector Spdr Tr14.5K$1.71M0.4%Held
Wisdomtree Tr23.8K$1.63M0.4%Held
Constellation Brands, Inc.STZ11.5K$1.58M0.4%Held
Select Sector Spdr Tr13.2K$1.58M0.4%Held
Ishares Tr12.5K$1.51M0.3%Held
Travelers Companies, Inc.TRV4.93K$1.43M0.3%Held
Unitedhealth Group IncUNH4.29K$1.41M0.3%Held
Vanguard Index Fds15.9K$1.4M0.3%Held
Bristol-Myers Squibb Co25.3K$1.37M0.3%Held
Select Sector Spdr Tr8.33K$1.29M0.3%Held
Global X Fds68.3K$1.29M0.3%Held
Pfizer IncPFE49.8K$1.24M0.3%Held
Consolidated Edison IncED11.9K$1.18M0.3%Held
Adobe Inc.ADBE3.33K$1.17M0.3%Held
Netflix IncNFLX12.2K$1.14M0.3%Held
BlackRock, Inc.BLK1.05K$1.12M0.3%Held
Entergy Corp New10.6K$975.6K0.2%Held
Spdr Gold Tr2.36K$935.7K0.2%Held
Philip Morris Intl Inc5.81K$932.4K0.2%Held
United Parcel Service IncUPS9.32K$924.8K0.2%Held
Automatic Data Processing In3.46K$890.3K0.2%Held
Truist Finl Corp18.1K$889.7K0.2%Held
Southern Copper Corp/SCCO6.16K$883.8K0.2%Held
Iron Mtn Inc Del10.3K$856.7K0.2%Held
Altria Group, Inc.MO14.6K$843.7K0.2%Held
Ishares Tr1.23K$839.1K0.2%Held
Oracle Corp4.29K$835.6K0.2%Held
Southern Co9.33K$813.3K0.2%Held
Gilead Sciences, Inc.GILD6.63K$813.2K0.2%Held
Metlife Inc10.3K$812.1K0.2%Held
Honeywell Intl Inc3.99K$778.4K0.2%Held
Lockheed Martin CorpLMT1.59K$770.5K0.2%Held
Berkshire Hathaway Inc Del1$754.8K0.2%Held
Ge Healthcare Technologies I8.78K$720.1K0.2%Held
Select Sector Spdr Tr9.18K$713.2K0.2%Held
National Grid Plc8.81K$681.8K0.2%Held
Target CorpTGT6.83K$667.6K0.1%Held
Palantir Technologies Inc.PLTR3.71K$659.3K0.1%Held
Analog Devices IncADI2.42K$656K0.1%Held
Principal Financial Group In7.4K$652.6K0.1%Held
Microchip Technology Inc.10K$640.3K0.1%Held
Intuit Inc.INTU961$636.6K0.1%Held
Independent Bk Corp Mass8.38K$612.4K0.1%Held
Dominion Energy, IncD10.4K$612.3K0.1%Held
Public Storage Oper Co2.35K$608.5K0.1%Held
Exelon CorpEXC13.1K$569.1K0.1%Held
Cummins IncCMI1.08K$549.2K0.1%Held
Vaneck Etf Trust30.7K$541.3K0.1%Held
Danaher Corporation2.25K$516.2K0.1%Held
Starbucks CorpSBUX5.89K$496.2K0.1%Held
Wisdomtree Tr9.4K$485.2K0.1%Held
Nucor CorpNUE2.96K$483.6K0.1%Held
Medtronic PlcMDT4.86K$466.9K0.1%Held
State Str Corp3.47K$447.7K0.1%Held
Costco Whsl Corp New508$438.1K0.1%Held
Ishares Tr925$437.8K0.1%Held
Prudential Finl Inc3.67K$414.3K0.1%Held
Ppl Corp11.8K$412.9K0.1%Held
Ameriprise Finl Inc841$412.4K0.1%Held
Vanguard Scottsdale Fds4.01K$399.1K0.1%Held
Capital One Finl Corp1.64K$397.2K0.1%Held
Regeneron Pharmaceuticals, Inc.REGN513$396K0.1%Held
ConocophillipsCOP4.14K$387.4K0.1%Held
Air Prods & Chems Inc1.56K$386.6K0.1%Held
Ishares Tr4.02K$385.7K0.1%Held
Phillips 66PSX2.98K$385.1K0.1%Held
Select Sector Spdr Tr8.96K$382.7K0.1%Held
Comcast Corp New12.8K$382.6K0.1%Held
Kimberly Clark CorpKMB3.76K$379.5K0.1%Held
3M COMMM2.36K$377.5K0.1%Held
Accenture Plc Ireland1.4K$375.4K0.1%Held
American Tower Corp New2.03K$356.6K0.1%Held
Boston Scientific CorpBSX3.73K$356.1K0.1%Held
Intel CorpINTC9.33K$344.3K0.1%Held
Goldman Sachs Etf Tr2.6K$344K0.1%Held
Fedex CorpFDX1.19K$343.7K0.1%Held
Gsk Plc6.92K$339.4K0.1%Held
Williams Sonoma IncWSM1.9K$339.3K0.1%Held
Cvs Health CorpCVS4.17K$330.5K0.1%Held
Spdr Series Trust2.83K$301.5K0.1%Held
Us Bancorp Del5.31K$283.1K0.1%Held
Aflac IncAFL2.56K$282K0.1%Held
Wisdomtree Tr8.34K$279K0.1%Held
Select Sector Spdr Tr6.19K$276.9K0.1%Held
DuPont de Nemours, Inc.DD6.82K$274.2K0.1%Held
Ishares Tr5.13K$271.1K0.1%Held
Price T Rowe Group IncTROW2.61K$267.4K0.1%Held
DONALDSON Co INCDCI3K$266K0.1%Held
Select Sector Spdr Tr6.59K$265.9K0.1%Held
Sysco CorpSYY3.59K$264.8K0.1%Held
Citigroup Inc2.26K$263.7K0.1%Held
Check Point Software Tech Lt1.42K$263.7K0.1%Held
Select Sector Spdr Tr5.7K$258.3K0.1%Held
Novartis Ag1.85K$254.6K0.1%Held
Edwards Lifesciences CorpEW2.98K$253.8K0.1%Held
Bank New York Mellon Corp2.15K$249.6K0.1%Held
Thermo Fisher Scientific Inc.TMO419$242.8K0.1%Held
Ishares Tr2.49K$239.4K0.1%Held
International Paper Co5.78K$227.6K0.1%Held
Service Corp Intl2.86K$223K0.1%Held
Novo-Nordisk A S4.28K$217.5K0.0%Held
American Elec Pwr Co Inc1.77K$204K0.0%Held
Beacon Financial CorpBBT7.6K$200.5K0.0%Held
Corecare Sys Inc10K$00.0%Held

Positions as of Q4 2025. 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.