Washington Trust Advisors, Inc.

Institutional manager — quarterly 13F holdings, Q ending 2026-03-31

Reported value
$1.24B
Q ending 2026-03-31
Prior quarter
$1.31B
Q ending 2025-12-31
Change
-5.5% QoQ · +9.8% YoY
Positions
684
reported holdings

Largest positions

Top 100 of 684 reported positions by value, Q ending 2026-03-31. A manager can hold shares, calls and puts on the same security at once — such positions are listed as separate rows. Type: Shares = common stock, Put/Call = option positions (valued at the underlying), Principal = debt. Tickers link to stock pages where covered.
HoldingTickerTypeValueShares
Quanta ServicesPWRShares$86.7M158K
AppleAAPLShares$71.3M281K
Alphabet Cl CGOOGShares$59.6M208K
Alphabet Cl AGOOGLShares$44.9M156K
AmazonAMZNShares$43.2M208K
VisaVShares$41.1M136K
Meta PlatformsMETAShares$41.0M72K
Palo Alto NetworksPANWShares$39.0M243K
Deere & CoDEShares$35.8M64K
Berkshire Hathaway BBRK/BShares$34.0M71K
Booking HoldingsBKNGShares$31.7M8K
NvidiaNVDAShares$31.1M178K
ResmedRMDShares$26.9M120K
Regeneron PharmaceuticalsREGNShares$22.2M29K
Iqvia HoldingsIQVShares$22.0M129K
Schwab Fundamental U.S. Large CompFNDXShares$20.6M740K
Uber TechnologiesUBERShares$20.6M286K
Jacobs SolutionsJShares$20.0M157K
MicrosoftMSFTShares$19.0M51K
PepsicoPEPShares$18.4M118K
Vanguard S&P 500 Index Fd EtfVOOShares$16.6M28K
Brookfield Renewable CorpBEPCShares$15.6M393K
StarbucksSBUXShares$15.4M172K
Becton DickinsonBDXShares$15.1M96K
Exxon MobilXOMShares$13.6M80K
Walt Disney CompanyDISShares$12.9M134K
Johnson & JohnsonJNJShares$11.2M46K
Air ProductsAPDShares$11.0M38K
Edwards LifesciencesEWShares$10.7M134K
EcolabECLShares$10.6M40K
Sphere EntertainmentSPHRShares$10.6M90K
WalmartWMTShares$10.3M83K
S&P GlobalSPGIShares$9.6M22K
Zebra TechZBRAShares$9.5M45K
Schwab Fundamental International EFNDFShares$9.4M191K
SnowflakeSNOWShares$9.1M60K
Vanguard Growth EtfVUGShares$9.0M21K
American TowerAMTShares$8.9M51K
Jp Morgan ChaseJPMShares$8.8M30K
Vanguard Tax-Exempt Bond EtfVTEBShares$8.7M174K
XylemXYLShares$8.3M69K
Veeva SystemsVEEVShares$8.1M46K
Intuitive SurgicalISRGShares$7.8M17K
ChewyCHWYShares$7.5M277K
Vanguard Value IndexVTVShares$6.6M34K
Kinder MorganKMIShares$6.6M196K
NikeNKEShares$6.3M118K
PenumbraPENShares$6.1M19K
Asml Holding NvShares$6.1M5K
Invitation HomesINVHShares$5.9M237K
IbmIBMShares$5.0M21K
Ishares Iboxx High Yield Bond IndeHYGShares$5.0M63K
Vanguard Total Stock VipersVTIShares$4.9M15K
Spdr Tr (S&P 500)SPYShares$4.5M7K
Cisco SystemsCSCOShares$4.1M52K
Vanguard Ftse Dev MarketsVEAShares$3.9M61K
Dimensional National Municipal BonDFNMShares$3.9M82K
Waters CorpWATShares$3.9M13K
Coca ColaKOShares$3.9M51K
Berkshire Hathaway ABRK/AShares$3.6M5
Vanguard Total Bond Market EtfBNDShares$3.6M48K
AbbvieABBVShares$3.6M16K
EatonShares$3.5M10K
Vanguard Small-Cap EtfVBShares$3.0M11K
Dfa Us Core Equity EtfDFAUShares$2.9M65K
Vanguard Mid-Cap Value EtfVOEShares$2.9M16K
Abbott LabsABTShares$2.8M27K
Schwab Us Tips EtfSCHPShares$2.7M102K
Tempus AiTEMShares$2.7M60K
Automatic DataADPShares$2.6M13K
Dfa Tax Managed Us EquityDFUSShares$2.5M36K
Proctor & GamblePGShares$2.5M18K
Dfa Emerging Core Equity Market EtDFAEShares$2.4M71K
Dimensional Us High Profitability DUHPShares$2.2M61K
Home DepotHDShares$2.2M7K
United Parcel ServiceUPSShares$2.1M21K
Ge VernovaGEVShares$2.1M2K
Dfa International Core Equity MarkDFAIShares$2.1M53K
Ge AerospaceGEShares$2.1M7K
Evercore PartnersEVRShares$2.0M7K
Align TechnologyALGNShares$1.9M11K
CaterpillarCATShares$1.9M3K
Raytheon TechnologiesRTXShares$1.9M10K
Vaneck Merk Gold EtfOUNZShares$1.9M41K
Dimensional International Value EtDFIVShares$1.8M34K
Globus MedicalGMEDShares$1.8M21K
Vanguard Mid-Cap Growth EtfVOTShares$1.8M7K
American ExpressAXPShares$1.7M6K
FedexFDXShares$1.7M5K
Vanguard Short Term Corp Bond IndeVCSHShares$1.6M20K
Lowe'SLOWShares$1.6M7K
Arrowhead PharmaceuticalsARWRShares$1.6M25K
Dfa Core Fixed Income EtfDFCFShares$1.6M38K
Alexandria Real Estate EquitiesAREShares$1.5M32K
PaypalPYPLShares$1.5M33K
Dimensional International High ProDIHPShares$1.5M46K
Schwab Us Dividend Equity EtfSCHDShares$1.4M46K
Thermo Fisher ScientificTMOShares$1.4M3K
Mcdonald'SMCDShares$1.3M4K
Brookfield CorpBNShares$1.3M32K

Values as reported in public regulatory filings (USD); holdings are reported quarterly, up to 45 days after quarter end, and may contain reporting errors. Nothing here is investment advice.