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St. Louis Trust Co

All holdings · as of Dec 31, 2025

146 positions

CompanyClassValueShares% of portfolio
SBA Communications Corp$2.07M10,7200.2%
Walmart Inc.$2.05M18,4110.2%
BHP Group LtdBHPADR$2.03M33,6870.2%
BlackRock, Inc.$1.97M1,8430.2%
INVESCO EXCHANGE TRADED FD T$1.91M9,9720.2%
AbbVie Inc.$1.89M8,2780.2%
RTX Corp$1.86M10,1490.2%
ASML HOLDING N V$1.84M1,7200.2%
BRISTOL MYERS SQUIBB CO$1.79M33,1580.2%
Merck & Co., Inc.$1.63M15,4880.2%
ISHARES TR$1.60M16,6600.2%
VANGUARD ADMIRAL FDS INC$1.59M16,3000.2%
NEXTERA ENERGY INC$1.55M19,2980.2%
ISHARES TR$1.54M8,4850.2%
VANGUARD INDEX FDS$1.52M17,1330.2%
Broadcom Inc.$1.49M4,3090.2%
VANGUARD ADMIRAL FDS INC$1.49M12,2900.2%
SYNOPSYS INC$1.45M3,0840.2%
INTUIT INC.$1.44M2,1730.2%
CISCO SYSTEMS, INC.$1.38M17,9250.2%
INTERNATIONAL BUSINESS MACHINES CORP$1.37M4,6320.2%
PFIZER INC$1.33M53,4710.2%
Netflix Inc$1.28M13,6400.1%
VANGUARD INDEX FDS$1.23M4,0580.1%
ABBOTT LABORATORIES$1.21M9,6790.1%
VANGUARD INDEX FDS$1.20M4,2890.1%
VANGUARD INDEX FDS$1.18M5,5640.1%
Intuitive Surgical Inc$1.18M2,0750.1%
VANGUARD INDEX FDS$1.17M6,5880.1%
SHOPIFY INC$1.16M7,2210.1%
COCA COLA CO$1.12M15,9620.1%
ISHARES TR$1.08M19,6870.1%
EMERSON ELECTRIC CO$1.07M8,0260.1%
FAIR ISAAC CORP$1.07M6300.1%
Blackstone Inc$1.02M6,6210.1%
S&P Global Inc.$979.3K1,8740.1%
NIKE, Inc.$966.3K15,1670.1%
Alphabet Inc.$921.5K2,9440.1%
CATERPILLAR INC$900.9K1,5730.1%
MSCI Inc.$897.3K1,5640.1%
TransDigm Group Inc.$889.7K6690.1%
Axon Enterprise Inc$865.5K1,5240.1%
PROCTER & GAMBLE Co$861.1K6,0090.1%
BOSTON SCIENTIFIC CORP$852.0K8,9350.1%
VANGUARD SPECIALIZED FUNDS$850.5K3,8700.1%
PEPSICO INC$800.6K5,5780.1%
ServiceNow Inc$759.8K4,9600.1%
MICROSOFT CORP$752.5K1,5560.1%
ISHARES TR$750.5K9,6800.1%
Alphabet Inc.$730.8K2,3290.1%
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