13F

Investor

Riverview Trust Co

CIK 0001593600 · filed 2026-05-01 · SEC filing

13F book

$81.2M

Positions

202

11 new · 28 sold

Largest name

21.5%

Fidelity Merrimack Str Tr

Est. mark

$1.99K

Price effect on 191 names still held. Flow −$1.86M.
NameTickerSharesValueWeightEst. markChange
Fidelity Merrimack Str Tr351.5K$17.4M21.5%−$211.4KHeld
Ishares Tr157.2K$14.2M17.5%$168KAdded$184.5K
Vanguard Index Fds17.6K$5.27M6.5%−$281.5KHeld
Vanguard Tax-Managed Fds48.4K$3.1M3.8%$77.8KHeld
Ishares Tr25.8K$2.56M3.2%−$15.8KHeld
Kla CorpKLAC1.49K$2.19M2.7%$383.4KHeld
Microsoft CorpMSFT4.69K$1.74M2.1%−$531.9KHeld
Vanguard Index Fds2.74K$1.64M2.0%−$81KHeld
Seagate Technology Hldngs Pl3.83K$1.5M1.8%$445.6KHeld
Vanguard Index Fds4.6K$1.48M1.8%−$66.6KHeld
Broadcom Inc.AVGO4.39K$1.36M1.7%−$160.5KHeld
Jpmorgan Chase & Co.3.94K$1.16M1.4%−$110.4KHeld
Deere & CoDE2K$1.12M1.4%$195.2KHeld
Vanguard Index Fds3.91K$1.12M1.4%−$11.9KHeld
Vanguard Index Fds3.95K$1.03M1.3%$15.7KCut−$19.9K
Berkshire Hathaway Inc Del2.05K$984.3K1.2%−$48.2KHeld
Apple Inc.AAPL3.62K$919.5K1.1%−$65.5KHeld
Costco Whsl Corp New803$800.1K1.0%$107.7KHeld
Johnson & JohnsonJNJ2.92K$715K0.9%$109.7KHeld
Lowes Cos Inc3.02K$714.7K0.9%−$14.8KHeld
AbbVie Inc.ABBV3.19K$694.4K0.9%−$35.1KHeld
BlackRock, Inc.BLK585$562.6K0.7%−$63.5KCut−$76.4K
Vanguard Star Fds7.24K$558.2K0.7%$12.1KHeld
Illinois Tool Wks Inc2.12K$550.5K0.7%$29.6KHeld
Ishares Tr6K$501.4K0.6%$6.54KCut−$38.2K
Ishares Tr720$470.3K0.6%−$22.8KHeld
Public Svc Enterprise Grp In5.51K$446.4K0.5%$3.58KHeld
Royal Bk Cda2.61K$422.9K0.5%−$22.8KHeld
Vanguard Wellington Fd2.13K$419.4K0.5%$12.4KHeld
Capital One Finl Corp2.23K$406.8K0.5%−$133.6KHeld
Cisco Sys Inc5.04K$391.1K0.5%$2.82KHeld
Procter And Gamble CoPG2.7K$390K0.5%$3.05KCut$328
Lockheed Martin CorpLMT642$388K0.5%$77.5KCut$72.2K
Pepsico IncPEP2.42K$375.5K0.5%$28.5KHeld
Abbott LabsABT3.25K$333.8K0.4%−$73.5KHeld
ConocophillipsCOP2.4K$317.5K0.4%$92.3KHeld
Ishares Tr3.18K$309.2K0.4%$3.05KHeld
Ishares Tr2.15K$306.8K0.4%−$13.5KHeld
Chevron Corp NewCVX1.47K$304.6K0.4%$80.2KCut$73K
Nvidia CorpNVDA1.74K$303.5K0.4%−$21.1KCut−$58.4K
Paychex IncPAYX3.28K$302.1K0.4%−$65.8KHeld
Amazon Com IncAMZN1.39K$289.9K0.4%−$31.4KHeld
Alphabet Inc945$271.1K0.3%−$25.5KCut−$123K
Mcdonalds CorpMCD865$268.8K0.3%$4.46KCut−$4.4K
Csx CorpCSX6.34K$260.1K0.3%$9KAdded$192.1K
Alphabet Inc900$258.8K0.3%−$22.9KHeld
Ishares Inc3.53K$245.9K0.3%$8.92KHeld
At&T Inc8.15K$236.2K0.3%$33.8KHeld
Us Bancorp Del4.54K$236.1K0.3%−$6.13KCut−$21.9K
Goldman Sachs Group Inc268$226.7K0.3%−$8.85KHeld
Meta Platforms, Inc.META396$226.6K0.3%−$34.8KCut−$158.9K
Granite Constr Inc1.88K$225.3K0.3%$8.51KHeld
RTX CorpRTX1.13K$218.6K0.3%$10.8KHeld
Qualcomm Inc1.59K$204.6K0.3%−$67.2KCut−$86.5K
Amgen IncAMGN546$192.1K0.2%$13.4KCut$4.89K
International Business Machs790$191.5K0.2%−$42.5KHeld
Ge Aerospace664$188.4K0.2%−$16.1KHeld
Williams Cos Inc2.58K$187.9K0.2%$32.7KHeld
Cardinal Health IncCAH887$187.4K0.2%$5.15KHeld
Digital Rlty Tr Inc1.02K$183.3K0.2%$25.9KCut$13.7K
Ishares Tr1.2K$181.1K0.2%$12.3KHeld
Shell Plc1.89K$175.7K0.2%$36.9KCut−$17.5K
Lam Research CorpLRCX800$170.9K0.2%$34KHeld
3M COMMM1.11K$161.6K0.2%−$16.5KHeld
Arch Cap Group Ltd1.67K$160.7K0.2%$117Held
Oracle Corp1.08K$159.2K0.2%−$51.7KHeld
Xcel Energy Inc1.99K$157.9K0.2%$11.1KHeld
Sysco CorpSYY2.2K$156.6K0.2%−$5.18KCut−$30.8K
Eqt CorpEQT2.39K$152.2K0.2%$24KHeld
GE Vernova Inc.GEV166$144.9K0.2%$36.4KHeld
Nextera Energy Inc1.55K$144.3K0.2%$19.6KCut$14.3K
Schwab Charles Corp1.52K$143.2K0.2%−$9.04KHeld
Dte Energy Co947$138.5K0.2%$16.3KCut$2.65K
Merck & Co., Inc.MRK1.08K$129.9K0.2%$16.2KHeld
Cummins IncCMI239$128.6K0.2%$6.59KHeld
Phillips 66PSX703$128.1K0.2%$37.4KCut$29.9K
Electronic Arts Inc.EA624$127.2K0.2%−$287Held
Nuveen Ca Qualty Mun Income10.6K$123.6K0.2%−$1.7KHeld
Ameriprise Finl Inc276$122.7K0.2%−$12.7KHeld
Becton Dickinson & CoBDX750$117.9K0.1%−$27.6KCut−$50.9K
L3harris Technologies Inc340$117.4K0.1%$17.5KHeld
Corning Inc850$115.6K0.1%$41.1KCut$22.7K
Verizon Communications IncVZ2.29K$114.8K0.1%$21.6KCut$18.3K
BWX Technologies, Inc.BWXT550$112.5K0.1%$17.4KHeld
Intel CorpINTC2.53K$111.7K0.1%$18.3KHeld
Norfolk Southn Corp365$104.8K0.1%New
Allstate Corp487$101K0.1%−$394Cut−$34.3K
State Str Corp793$100.4K0.1%−$1.94KHeld
Union Pac Corp410$99.5K0.1%$1.02KAdded$78.7K
Motorola Solutions, Inc.MSI226$98.1K0.1%$11.4KHeld
Walmart Inc.WMT786$97.7K0.1%$10.1KHeld
Pnc Finl Svcs Group Inc436$90.7K0.1%−$280Cut−$17K
Fedex CorpFDX234$83.3K0.1%$15.8KHeld
Select Sector Spdr Tr1.8K$82.6K0.1%$5.76KCut−$19.9K
Welltower Inc.WELL400$79.1K0.1%$4.84KHeld
Aflac IncAFL696$76.4K0.1%−$390Held
Bristol-Myers Squibb Co1.25K$76.1K0.1%$8.41KCut−$3.29K
Ishares Tr520$75.8K0.1%$2.44KHeld
Darden Restaurants IncDRI380$74.5K0.1%$4.57KHeld
General Dynamics CorpGD217$74.5K0.1%$1.42KHeld
Ishares Tr269$66.7K0.1%$495Held
Goldman Sachs Etf Tr533$66.7K0.1%−$3.86KHeld
Honeywell Intl Inc265$59.9K0.1%$8.2KCut−$55.2K
Truist Finl Corp1.3K$59.6K0.1%−$4.2KCut−$16.6K
Netflix IncNFLX600$57.7K0.1%$1.43KHeld
Micron Technology IncMU170$57.4K0.1%$8.91KHeld
Te Connectivity PlcTEL251$52.5K0.1%−$4.64KCut−$23.8K
Marsh & Mclennan Cos Inc300$52K0.1%−$3.62KCut−$22.2K
Spdr S&P 500 Etf Tr80$52K0.1%−$2.53KHeld
American Express CoAXP169$51.1K0.1%−$11.4KHeld
Ebay IncEBAY559$50.9K0.1%$2.19KHeld
Citigroup Inc435$49.3K0.1%−$1.43KHeld
Caci Intl Inc90$48.9K0.1%$995Held
Kinder Morgan Inc Del1.38K$46.3K0.1%$8.33KHeld
Starbucks CorpSBUX516$46.2K0.1%$2.78KHeld
Kimberly Clark CorpKMB431$41.6K0.1%−$1.9KHeld
Arista Networks, Inc.ANET332$40.8K0.1%−$2.74KHeld
Johnson Ctls Intl Plc309$40.5K0.1%$3.46KCut−$8.99K
Ishares Tr297$36.9K0.0%$1.23KHeld
Gildan Activewear Inc.GIL610$33.9K0.0%−$4.15KHeld
Cboe Global Mkts Inc120$33.7K0.0%$3.61KHeld
Mastercard IncMA67$33.5K0.0%−$4.77KHeld
Eog Res Inc228$33K0.0%$9.02KHeld
Eaton Corp PlcETN92$32.9K0.0%$3.6KHeld
Masco Corp544$32.8K0.0%−$1.68KHeld
Global Pmts Inc487$32.8K0.0%−$4.92KCut−$17.5K
Fastenal CoFAST671$31.1K0.0%$4.21KHeld
Disney Walt Co315$30.4K0.0%−$5.48KCut−$28.2K
Comcast Corp New1.04K$29.9K0.0%−$1.23KHeld
Waters Corp100$29.8K0.0%New
T-Mobile Us Inc140$29.4K0.0%$978Held
Visa Inc.V94$28.4K0.0%−$4.56KCut−$39.6K
Corteva, Inc.CTVA335$28K0.0%$5.59KCut$628
Vanguard Growth Etf64$28K0.0%−$3.27KHeld
Labcorp Holdings Inc.LH104$27.7K0.0%$1.66KHeld
Ishares Tr248$27.6K0.0%−$632Held
Coca Cola CoKO330$25.1K0.0%$2.03KHeld
Home Depot, Inc.HD75$24.7K0.0%−$1.14KHeld
Vertex Pharmaceuticals Inc55$24.6K0.0%−$375Held
British Amern Tob Plc400$23.4K0.0%$740Held
Fortinet, Inc.FTNT275$22.5K0.0%$635Held
Warner Bros. Discovery, Inc.WBD815$22.4K0.0%−$1.11KHeld
Vanguard Charlotte Fds461$22.2K0.0%New
Spdr Dow Jones Indl Average47$21.8K0.0%−$817Held
Progressive Corp109$21.6K0.0%−$3.21KCut−$15.3K
Vanguard Index Fds105$20.6K0.0%$547Held
Slb Limited/NvSLB400$20.6K0.0%$5.2KHeld
Sempra210$20.4K0.0%$1.87KHeld
Target CorpTGT165$20K0.0%$3.87KHeld
Advanced Micro Devices IncAMD95$19.3K0.0%−$1.02KHeld
Ross Stores, Inc.ROST89$19.3K0.0%$3.25KHeld
Ishares Tr150$19.2K0.0%−$1.32KHeld
Medtronic PlcMDT220$19.1K0.0%−$2.07KHeld
Southern Co194$18.7K0.0%$1.81KHeld
Tesla, Inc.TSLA50$18.6K0.0%−$3.9KHeld
Clorox Co Del173$17.9K0.0%$484Cut−$6.37K
Camden Ppty Tr175$17.1K0.0%−$2.17KHeld
Weyerhaeuser Co Mtn BeWY696$17K0.0%$515Cut−$9.88K
Autozone IncAZO5$16.9K0.0%−$69Held
Bce Inc648$16.4K0.0%$921Held
Iac IncPPLI379$15.2K0.0%$352Cut−$4.58K
Cigna GroupCI55$14.7K0.0%−$467Held
Prudential Finl Inc150$14.7K0.0%−$2.28KHeld
Unitedhealth Group IncUNH50$13.5K0.0%−$2.98KCut−$39.3K
Southwest Airls Co348$13.1K0.0%−$1.31KCut−$44.4K
Air Prods & Chems Inc40$11.6K0.0%$1.74KHeld
Exelon CorpEXC223$10.9K0.0%$1.21KHeld
Emerson Elec Co73$9.56K0.0%−$125Held
American Elec Pwr Co Inc72$9.44K0.0%$1.14KHeld
Pfizer IncPFE321$9.01K0.0%$1.02KCut−$28.7K
Match Group Inc New272$8.35K0.0%−$430Cut−$26.8K
Oreilly Automotive Inc90$8.31K0.0%$99Held
Cognizant Technology Solutio125$7.67K0.0%−$2.71KCut−$33.8K
Cvs Health CorpCVS105$7.54K0.0%−$792Cut−$25.6K
Amdocs LtdDOX115$7.5K0.0%−$1.75KCut−$29.5K
Expeditors Intl Wash Inc52$7.45K0.0%−$301Held
CARRIER GLOBAL CorpCARR120$6.76K0.0%$416Held
Nvr IncNVR1$6.59K0.0%−$703Held
Chubb Limited19$6.19K0.0%$263Held
Bunge Global SaBG48$6.11K0.0%$1.83KCut−$11.3K
Moodys Corp13$5.67K0.0%−$970Held
Ecolab Inc.ECL20$5.32K0.0%$70Held
J P Morgan Exchange Traded F76$5.24K0.0%New
Ishares Tr224$5.13K0.0%New
Regeneron Pharmaceuticals, Inc.REGN6$4.64K0.0%$5Held
Vanguard Bd Index Fds61$4.49K0.0%New
Vanguard Scottsdale Fds49$4.05K0.0%New
Tjx Cos Inc New23$3.67K0.0%$140Held
J P Morgan Exchange Traded F56$3.33K0.0%New
J P Morgan Exchange Traded F35$3.29K0.0%New
Price T Rowe Group IncTROW36$3.25K0.0%−$441Held
J P Morgan Exchange Traded F44$3.19K0.0%New
Ishares Tr32$3.04K0.0%New
Columbia Bkg Sys Inc96$2.63K0.0%−$50Cut−$8.1K
Western Un Co257$2.24K0.0%−$149Cut−$7.3K
Novo-Nordisk A S42$1.54K0.0%−$593Held
Viatris IncVTRS39$5270.0%$41Cut−$1.44K
Angi Inc.ANGI66$4520.0%−$402Cut−$2.96K
Adient plcADNT10$2020.0%$10Cut−$565
Organon & Co.OGN19$1140.0%−$22Cut−$417
Embecta Corp.EMBC8$710.0%−$24Cut−$1.6K
Walgreens Boots Alliance800$00.0%$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.