Washington Trust Bank 13F annual report

Washington Trust Bank is an investment fund managing more than $1.01 trillion ran by Bill Ramey. There are currently 161 companies in Mr. Ramey’s portfolio. The largest investments include Paccar and Microsoft, together worth $129 billion.

$1.01 trillion Assets Under Management (AUM)

As of 22nd July 2024, Washington Trust Bank’s top holding is 762,129 shares of Paccar currently worth over $78.5 billion and making up 7.8% of the portfolio value. Relative to the number of outstanding shares of Paccar, Washington Trust Bank owns more than approximately 0.1% of the company. In addition, the fund holds 112,527 shares of Microsoft worth $50.3 billion, whose value grew 6.7% in the past six months. The third-largest holding is Procter & Gamble Co/the worth $41.6 billion and the next is Apple Inc worth $39.3 billion, with 186,659 shares owned.

Currently, Washington Trust Bank's portfolio is worth at least $1.01 trillion. The total portfolio value may be much higher due to cash assets that are not publicly disclosed such as fixed income, real estate, or cash equivalents.

Careers at Washington Trust Bank

The Washington Trust Bank office and employees reside in Spokane, Washington. According to the last 13-F report filed with the SEC, Bill Ramey serves as the Chief Fiduciary Officer at Washington Trust Bank.

Recent trades

In the most recent 13F filing, Washington Trust Bank revealed that it had opened a new position in Motorola Inc and bought 648 shares worth $250 million.

The investment fund also strengthened its position in Microsoft by buying 83 additional shares. This makes their stake in Microsoft total 112,527 shares worth $50.3 billion. Microsoft dropped approximately 0.1% in the past year.

On the other hand, there are companies that Washington Trust Bank is getting rid of from its portfolio. Washington Trust Bank closed its position in Ready Capital Corp on 29th July 2024. It sold the previously owned 1,228,607 shares for $11.2 billion. Bill Ramey also disclosed a decreased stake in Paccar by approximately 0.1%. This leaves the value of the investment at $78.5 billion and 762,129 shares.

One of the average hedge funds

The two most similar investment funds to Washington Trust Bank are Gladstone Capital Management LL.P. and Modern Wealth Management. They manage $1.01 trillion and $1.01 trillion respectively.


Bill Ramey investment strategy

Washington Trust Bank’s portfolio is diversified across 13 sectors. Currently, their heaviest sector is Technology — making up 19.8% of the total portfolio value. The fund focuses on investments in the United States as 61.5% of the portfolio companies are based in the United States.

The majority of the companies in the fund’s portfolio are large-cap stocks. Stocks with a size of more than $10 billion in market cap make up 60% of the total holdings value. On the other hand, small-cap stocks make up only 2.5% of the portfolio. The average market cap of the portfolio companies is close to $164 billion.

The complete list of Washington Trust Bank trades based on 13F SEC filings

These positions were updated on July 29th based on the fund’s latest 13F filing. Quickly find out what the most recently closed or increased positions are.

Security Shares Owned Value Allocation
Paccar Inc.
0.04%
762,129
$78,453,559,000 7.76%
Microsoft Corporation
0.07%
112,527
$50,293,942,000 4.98%
Procter & Gamble Co/the
0.05%
252,390
$41,624,159,000 4.12%
Apple Inc
1.25%
186,659
$39,314,118,000 3.89%
Ishares
19.58%
136,486
$42,721,420,000 4.23%
NVIDIA Corp
720.65%
275,641
$34,052,690,000 3.37%
Amazon.com Inc.
3.90%
138,133
$26,694,202,000 2.64%
Palo Alto Networks Inc
3.72%
71,603
$24,274,133,000 2.40%
Costco Wholesale Corp
4.62%
27,240
$23,153,728,000 2.29%
JPMorgan Chase & Co.
1.92%
107,768
$21,797,156,000 2.16%
Advanced Micro Dev
3.41%
131,801
$21,379,440,000 2.12%
Roper Industries Inc
3.21%
35,628
$20,082,078,000 1.99%
ServiceNow Inc
4.03%
25,469
$20,035,698,000 1.98%
Adobe Inc
7.95%
35,043
$19,467,789,000 1.93%
Blackrock Fund Advisors
6.30%
629,304
$50,684,092,000 5.01%
Mastercard Incorporated
1.06%
40,098
$17,689,634,000 1.75%
Tjx Cos Inc/the
2.29%
158,057
$17,402,076,000 1.72%
Unitedhealth Group Inc
1.22%
33,389
$17,003,682,000 1.68%
Merck & Co Inc
2.61%
134,440
$16,643,672,000 1.65%
Elevance Health Inc
1.30%
30,153
$16,338,704,000 1.62%
Home Depot Inc/the
1.58%
47,142
$16,228,162,000 1.61%
Alphabet Inc
4.11%
95,636
$17,430,726,000 1.72%
Goldman Sachs Grp
0.02%
34,897
$15,784,611,000 1.56%
Vertex Pharmaceuticals, Inc.
3.35%
33,023
$15,478,541,000 1.53%
Cencora Inc.
2.37%
64,064
$14,433,619,000 1.43%
Pnc Financial Services Group I
1.71%
91,337
$14,201,077,000 1.40%
Marsh & Mclennan
2.18%
64,921
$13,680,153,000 1.35%
Starbucks Corp.
8.13%
175,380
$13,653,333,000 1.35%
Republic Services, Inc.
0.20%
69,942
$13,592,529,000 1.34%
Walt Disney Co/the
6.23%
124,126
$12,324,470,000 1.22%
Constellation Brands, Inc.
0.84%
45,970
$11,827,161,000 1.17%
Meta Platforms Inc
5.07%
23,294
$11,745,301,000 1.16%
L3Harris Technologies Inc
3.14%
52,038
$11,686,694,000 1.16%
Boeing Co.
8.90%
63,521
$11,561,457,000 1.14%
Ready Capital Corp
Closed
1,228,607
$11,217,182,000
Deere & Co.
2.39%
29,931
$11,183,120,000 1.11%
Comcast Corp
11.33%
265,452
$10,395,100,000 1.03%
Exxon Mobil Corp.
0.65%
77,099
$8,875,637,000 0.88%
Valero Energy Corp.
3.52%
52,471
$8,225,354,000 0.81%
Conocophillips
2.01%
65,816
$7,528,035,000 0.74%
Linde Plc.
0.39%
16,323
$7,162,695,000 0.71%
Us Bancorp
3.56%
171,544
$6,810,297,000 0.67%
Eli Lilly & Co
1.77%
7,509
$6,798,499,000 0.67%
Vanguard Group Inc/the
32.28%
114,989
$9,319,854,000 0.92%
Martin Marietta M.
1.96%
12,338
$6,684,729,000 0.66%
Digital Realty Trust Inc
0.56%
41,901
$6,371,047,000 0.63%
Duke Energy Corp.
2.14%
62,277
$6,242,023,000 0.62%
NiSource Inc
2.44%
211,269
$6,086,660,000 0.60%
Vanguard Etf/usa
11.33%
216,493
$19,823,212,000 1.96%
Prologis Inc
5.34%
48,579
$5,455,907,000 0.54%
Berkshire Hathaway Inc.
20.00%
8
$4,897,928,000 0.48%
Berkshire Hathaway Inc.
0.90%
9,959
$4,051,321,000 0.40%
Johnson & Johnson
1.22%
19,460
$2,844,274,000 0.28%
Oracle Corp.
0.85%
19,216
$2,713,299,000 0.27%
Waste Connections Inc
No change
15,187
$2,663,192,000 0.26%
Mdu Res Group Inc
No change
100,869
$2,531,812,000 0.25%
Abbvie Inc
3.16%
14,400
$2,469,888,000 0.24%
F5 Inc
No change
14,000
$2,411,220,000 0.24%
Barclays Capital Inc
56.76%
73,180
$2,346,150,000 0.23%
Columbia Sportswear Co.
No change
28,839
$2,280,588,000 0.23%
Bk Of America Corp
1.22%
54,577
$2,170,527,000 0.21%
Chevron Corp.
23.06%
12,763
$1,996,388,000 0.20%
Glacier Bancorp, Inc.
4.79%
50,604
$1,888,541,000 0.19%
State Street Etf/usa
65.46%
68,091
$1,732,235,000 0.17%
Philip Morris Intl
5.95%
17,033
$1,725,954,000 0.17%
Abbott Laboratories
1.00%
16,263
$1,689,889,000 0.17%
Altria Group Inc.
3.95%
36,194
$1,648,637,000 0.16%
Knife Riv Hol Co.
No change
22,771
$1,597,158,000 0.16%
Pepsico Inc
12.18%
9,273
$1,529,396,000 0.15%
Wisdomtree Asset Management Inc
48.29%
41,876
$1,518,905,000 0.15%
BRP Group, Inc.
Closed
52,131
$1,508,671,000
Ishares Tr
21.08%
34,743
$1,479,704,000 0.15%
Corning, Inc.
0.78%
38,000
$1,476,300,000 0.15%
Old National Bancorp/in
No change
83,281
$1,431,600,000 0.14%
Mcdonald's Corp
5.73%
4,175
$1,063,957,000 0.11%
AMGEN Inc.
No change
3,169
$990,154,000 0.10%
iShares Trust
63.71%
9,815
$1,306,362,000 0.13%
Stryker Corp.
1.37%
2,874
$977,879,000 0.10%
Union Pacific Corp.
1.17%
4,230
$957,080,000 0.09%
Wells Fargo & Co.
7.00%
15,607
$926,900,000 0.09%
Visa Inc
2.01%
3,221
$845,416,000 0.08%
5th Third Bancorp
No change
22,240
$811,538,000 0.08%
Ssga Funds Management Inc
21.49%
12,589
$1,762,201,000 0.17%
Broadcom Inc
4.72%
484
$777,076,000 0.08%
Caterpillar Inc.
60.72%
2,322
$773,458,000 0.08%
Cisco Systems, Inc.
3.03%
15,893
$755,076,000 0.07%
3M Co.
0.82%
7,258
$741,695,000 0.07%
Pfizer Inc.
9.15%
26,392
$738,449,000 0.07%
Mckesson Corporation
10.46%
1,258
$734,722,000 0.07%
Citigroup Inc
2.30%
11,457
$727,061,000 0.07%
Automatic Data Processing Inc.
1.43%
2,897
$691,485,000 0.07%
Walmart Inc
4.60%
9,490
$642,568,000 0.06%
Accenture plc
17.83%
1,995
$605,303,000 0.06%
WaFd Inc
No change
20,889
$597,008,000 0.06%
Kimberly-clark Cp
No change
4,194
$579,611,000 0.06%
Intuit Inc
0.23%
870
$571,773,000 0.06%
Trane Technologies plc
No change
1,726
$567,733,000 0.06%
CSX Corp.
Closed
15,085
$559,201,000
Analog Devices Inc.
15.08%
2,342
$534,585,000 0.05%
Mondelez International Inc.
20.84%
8,009
$524,109,000 0.05%
Qualcomm, Inc.
12.84%
2,601
$518,068,000 0.05%
Vanguard Group, Inc.
55.07%
6,581
$504,763,000 0.05%
Paychex Inc.
2.10%
4,151
$492,143,000 0.05%
Medtronic Plc
3.68%
6,221
$489,655,000 0.05%
Lockheed Martin Corp.
No change
1,033
$482,514,000 0.05%
Tractor Supply Co.
No change
1,722
$464,940,000 0.05%
Marathon Petroleum Corp
Closed
2,208
$444,912,000
TE Connectivity Ltd
No change
2,923
$439,707,000 0.04%
Brown & Brown, Inc.
No change
4,842
$432,923,000 0.04%
Essex Property Trust, Inc.
No change
1,573
$428,171,000 0.04%
Simon Prop Group
No change
2,773
$420,941,000 0.04%
Illinois Tool Wks
23.32%
1,776
$420,841,000 0.04%
Honeywell International Inc
0.15%
1,965
$419,606,000 0.04%
Genuine Parts Co.
3.01%
2,997
$414,545,000 0.04%
Utd Parcel Serv
Closed
2,713
$403,233,000
Ameriprise Financial Inc
Closed
916
$401,611,000
Fastenal Co.
No change
6,324
$397,400,000 0.04%
Amer Express Co
17.19%
1,700
$393,635,000 0.04%
Occidental Petroleum Corp.
1.40%
6,000
$378,180,000 0.04%
Dr Horton Inc
5.22%
2,668
$376,001,000 0.04%
Lennar Corp.
0.32%
2,501
$374,825,000 0.04%
Air Products And Chemicals Inc
No change
1,397
$360,496,000 0.04%
Sysco Corp.
0.52%
4,990
$356,236,000 0.04%
NextEra Energy Inc
5.21%
5,006
$354,475,000 0.04%
Becton Dickinson
0.20%
1,502
$351,033,000 0.03%
General Electric Co
Closed
1,972
$346,145,000
Intl Business Mchn
44.99%
1,998
$345,554,000 0.03%
EOG Resources, Inc.
1.16%
2,702
$340,101,000 0.03%
Canadian Pacific Kansas City L
2.38%
4,268
$336,019,000 0.03%
Pool Corporation
No change
1,062
$326,385,000 0.03%
Nike, Inc.
Closed
3,433
$322,633,000
Steel Dynamics Inc.
No change
2,480
$321,160,000 0.03%
McCormick & Co., Inc.
No change
4,445
$315,328,000 0.03%
Piper Sandler Cos
No change
1,333
$306,817,000 0.03%
Cincinnati Financial Corp.
No change
2,501
$295,368,000 0.03%
Macerich Co/the
No change
18,652
$287,987,000 0.03%
Ishares/usa
27.63%
765
$278,850,000 0.03%
KKR & Co. Inc
No change
2,644
$278,255,000 0.03%
Pulte Homes Inc
No change
2,500
$275,250,000 0.03%
Ovintiv Inc
No change
5,721
$268,143,000 0.03%
Kenvue Inc
No change
14,665
$266,610,000 0.03%
Yum Brands Inc.
10.87%
2,000
$264,920,000 0.03%
American Tower Corp.
Closed
1,339
$264,573,000
Jack Henry & Associates, Inc.
No change
1,569
$260,485,000 0.03%
APA Corporation
5.93%
8,794
$258,895,000 0.03%
Blackrock Fund Advisors
Closed
2,468
$258,474,000
Inspire Medical Systems Inc
Closed
1,200
$257,748,000
Devon Energy Corp.
No change
5,365
$254,301,000 0.03%
Select Sector Spdr
No change
3,717
$253,276,000 0.03%
Parker-Hannifin Corp.
8.26%
498
$251,893,000 0.02%
NVR Inc.
No change
33
$250,422,000 0.02%
Motorola Inc
Opened
648
$250,160,000 0.02%
T-Mobile US Inc
66.93%
1,412
$248,766,000 0.02%
Steris Plc
No change
1,127
$247,422,000 0.02%
Salesforce.com Inc
Closed
821
$247,269,000
Applied Materials Inc.
10.68%
1,045
$246,610,000 0.02%
Ishares
Closed
3,212
$238,395,000
Donaldson Co. Inc.
Closed
3,150
$235,242,000
Enterprise Products Partners L
No change
8,041
$233,029,000 0.02%
Blackrock Inc.
13.74%
295
$232,259,000 0.02%
Vanguard
Closed
483
$232,178,000
Gilead Sciences, Inc.
0.33%
3,348
$229,706,000 0.02%
Idacorp, Inc.
No change
2,410
$224,492,000 0.02%
Target Corp
3.58%
1,510
$223,540,000 0.02%
Verizon Commun
12.26%
5,417
$223,398,000 0.02%
Colgate-Palmolive Co.
No change
2,302
$223,386,000 0.02%
Travelers Co Inc
Closed
966
$222,316,000
Exelixis Inc
No change
9,878
$221,959,000 0.02%
AT&T Inc.
14.34%
11,559
$220,892,000 0.02%
Thermo Fisher Scientific Inc.
Closed
380
$220,860,000
Emerson Electric Co.
No change
1,981
$218,227,000 0.02%
Intel Corp.
6.29%
6,971
$215,892,000 0.02%
S&P Global Inc
8.29%
476
$212,296,000 0.02%
Arthur J. Gallagher & Co.
Closed
833
$208,283,000
Phillips 66
Closed
1,275
$208,259,000
Danaher Corp.
5.35%
832
$207,875,000 0.02%
Casey's General Stores Inc
Opened
543
$207,187,000 0.02%
Equinix Inc
Closed
248
$204,682,000
First Interstate Bancsystem In
Opened
7,330
$203,554,000 0.02%
Progressive Cp(oh)
0.61%
979
$203,348,000 0.02%
Hershey Co (the)
Closed
1,041
$202,475,000
Amcor Plc
Closed
10,393
$98,838,000
Opko Health Inc
No change
26,533
$33,166,000 0.00%
No transactions found
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