The Securities and Exchange Commission has not necessarily reviewed the information in this filing and has not determined if it is accurate and complete.
The reader should not assume that the information is accurate and complete.

  UNITED STATES SECURITIES AND EXCHANGE COMMISSION OMB APPROVAL
 Washington, D.C. 20549
FORM 13F
OMB Number:   3235-0006
Estimated average burden
hours per response:       23.8


FORM 13F COVER PAGE


Report for the Calendar Year or Quarter Ended:
03-31-2026
 
Check here if Amendment:      Amendment Number:
 
This Amendment (Check only one.):    is a restatement.
     adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name:Ledyard National Bank 
Address:P O BOX 799 
 38 S MAIN ST 
 HANOVER NH 03755-0799 

Form 13F File Number:  028-11030 
CRD Number (if applicable):   
SEC File Number (if applicable):   


The institutional investment manager filing this report and the person by whom it is signed hereby represent that the person signing the report is authorized to submit it, that all information contained herein is true, correct and complete, and that it is understood that all required items, statements, schedules, lists, and tables, are considered integral parts of this form.

Person Signing this Report on Behalf of Reporting Manager:

Name:Margie Arbuckle-Morrill 
Title:SVP, Wealth Compliance Director 
Phone: 603-640-2692 

Signature, Place, and Date of Signing:

Margie Arbuckle-Morrill Hanover,  NEW HAMPSHIRE 04-24-2026 
[Signature][City, State][Date]

Do you wish to provide information pursuant to Special Instruction 5?        Yes      X  No

Report Type (Check only one.):

X  13F HOLDINGS REPORT. (Check here if all holdings of this reporting manager are reported in this report.)

     13F NOTICE. (Check here if no holdings reported are in this report, and all holdings are reported by other reporting manager(s).)

     13F COMBINATION REPORT. (Check here if a portion of the holdings for this reporting manager are reported in this report and a portion are reported by other reporting manager(s).)


Form 13F Summary Page

Report Summary:

Number of Other Included Managers:
Form 13F Information table Entry Total:330 
Form 13F Information table Value Total:1,153,570,784 
 (round to nearest dollar)

List of Other Included Managers:

Provide a numbered list of the name(s) and Form 13F number(s) of all institutional investement managers with respect to which this report is filed, other than the manager filing this report.


     NONE

FORM 13F INFORMATION TABLE

COLUMN 1COLUMN 2COLUMN 3COLUMN 4COLUMN 5COLUMN 6COLUMN 7COLUMN 8
NAME OF ISSUER TITLE OF CLASS CUSIPFIGI VALUE
(round to nearest dollar)
SHRS OR
PRN AMT
SH /
PRN
PUT /
CALL
INVESTMENT
DISCRETION
OTHER
MANAGER
VOTING AUTHORITY
SOLESHAREDNONE
AT&T INCCom00206R102-5,383,617185,706SH-SOLE0182,67703,029
AT&T INCCom00206R102-352,69212,166SH-DFND012,16600
ABBOTT LABORATORIESCom002824100-1,434,91613,976SH-SOLE013,97600
ABBOTT LABORATORIESCom002824100-84,805826SH-DFND082600
ABBVIE INCCom00287Y109-3,768,01417,325SH-SOLE017,32500
ABBVIE INCCom00287Y109-114,835528SH-DFND052800
ADOBE INCCom00724F101-3,614,35714,869SH-SOLE014,6600209
ADOBE INCCom00724F101-12,15450SH-DFND05000
ADVANCED MICRO DEVICESCom007903107-334,4391,644SH-SOLE01,64400
ALPHA ARCHITECT US EQUITY 3 ETFCom02072Q275-4,500,14691,951SH-SOLE091,95100
ALPHA ARCHITECT US EQUITY 2 ETFCom02072Q358-3,095,08266,536SH-SOLE066,53600
ALPHA ARCHITECT US EQUITY ETFCom02072Q853-1,009,79119,277SH-SOLE019,27700
ALPHABET INC CL CCom02079K107-7,999,37827,886SH-SOLE027,6860200
ALPHABET INC CL CCom02079K107-246,700860SH-DFND086000
ALPHABET INC CL ACom02079K305-25,922,38490,146SH-SOLE089,13101,015
ALPHABET INC CL ACom02079K305-247,302860SH-DFND086000
AMAZON COM INCCom023135106-15,727,50975,515SH-SOLE074,8150700
AMAZON COM INCCom023135106-87,473420SH-DFND042000
AMEREN CORPCom023608102-527,7264,801SH-SOLE04,80100
AMERICAN ELECTRIC POWER CO INCCom025537101-5,705,78143,529SH-SOLE043,3840145
AMERICAN EXPRESS COCom025816109-1,423,1684,705SH-SOLE04,70500
AMERICAN INTERNATIONAL GROUP INCCom026874784-2,284,21430,355SH-SOLE030,1630192
AMERICAN TOWER CORPCom03027X100-948,5005,496SH-SOLE05,49600
CENCORA INCCom03073E105-2,755,6368,772SH-SOLE08,697075
AMERIPRISE FINANCIAL INCCom03076C106-299,081673SH-SOLE067300
AMGEN INCCom031162100-8,226,95723,382SH-SOLE023,332050
AMGEN INCCom031162100-990,4582,815SH-DFND02,81500
ANALOG DEVICES INCCom032654105-883,1572,776SH-SOLE02,77600
APPLE INCCom037833100-58,836,136231,830SH-SOLE0229,96801,862
APPLE INCCom037833100-782,4353,083SH-DFND03,08300
APPLIED MATERIALS INCCom038222105-2,096,1986,133SH-SOLE06,13300
ATLANTIC UNION BANKSHARES CORPCom04911A107-481,70413,478SH-SOLE013,47800
ATMOS ENERGY CORPCom049560105-495,6042,683SH-SOLE02,68300
AUTOMATIC DATA PROCESSING INCCom053015103-1,386,7046,825SH-SOLE06,82500
AUTOMATIC DATA PROCESSING INCCom053015103-161,731796SH-DFND079600
AUTOZONE INCCom053332102-361,422107SH-SOLE010700
BALL CORPCom058498106-206,7673,498SH-SOLE03,49800
BANK OF AMERICA CORPCom060505104-434,7538,918SH-SOLE08,91800
BANK OF AMERICA CORPCom060505104-73,1251,500SH-DFND01,50000
BANK OF NEW YORK MELLON CORPCom064058100-350,7892,957SH-SOLE02,95700
BERKSHIRE HATHAWAY INC ACom084670108-718,1401SH-SOLE0100
BERKSHIRE HATHAWAY INC BCom084670702-14,871,01431,033SH-SOLE030,7670266
BERKSHIRE HATHAWAY INC BCom084670702-97,757204SH-DFND020400
BLACKROCK INCCom09290D101-834,764868SH-SOLE086800
BOOKING HOLDINGS INCCom09857L108-202,09548SH-SOLE04800
BRISTOL MYERS SQUIBB COCom110122108-754,12212,434SH-SOLE012,43400
BRISTOL MYERS SQUIBB COCom110122108-292,0304,815SH-DFND04,81500
BROADCOM INCCom11135F101-36,399,614117,604SH-SOLE0115,80301,801
BROADCOM INCCom11135F101-602,9251,948SH-DFND01,94800
CSX CORPCom126408103-667,51416,261SH-SOLE016,26100
CAMDEN NATIONAL CORPCom133034108-363,4677,660SH-SOLE07,66000
CARRIER GLOBAL CORPCom14448C104-540,0699,591SH-SOLE09,59100
CATERPILLAR INCCom149123101-7,802,27011,013SH-SOLE010,928085
CATERPILLAR INCCom149123101-60,92886SH-DFND08600
CHEVRON CORPORATIONCom166764100-1,644,8557,950SH-SOLE07,95000
CHEVRON CORPORATIONCom166764100-477,3182,307SH-DFND02,30700
CISCO SYSTEMS INCCom17275R102-14,155,209182,436SH-SOLE0181,12101,315
CISCO SYSTEMS INCCom17275R102-253,4093,266SH-DFND03,26600
COCA COLA COCom191216100-1,354,14617,806SH-SOLE017,80600
COCA COLA COCom191216100-31,409413SH-DFND041300
COLGATE PALMOLIVE INCCom194162103-222,6212,612SH-SOLE02,61200
COMCAST CORPCom20030N101-585,33920,388SH-SOLE020,38800
COMCAST CORPCom20030N101-6,201216SH-DFND021600
CONSOLIDATED EDISON INCCom209115104-743,9326,573SH-SOLE06,57300
CORNING INCCom219350105-468,4173,445SH-SOLE03,44500
COSTCO WHOLESALE CORPCom22160K105-1,584,3241,590SH-SOLE01,59000
COUPANG INCCom22266T109-267,60514,174SH-SOLE014,17400
CURTISS WRIGHT CORPCom231561101-207,742305SH-SOLE030500
DANAHER CORPCom235851102-1,178,5546,216SH-SOLE06,21600
DANAHER CORPCom235851102-8,72246SH-DFND04600
DEERE & COMPANYCom244199105-564,9901,003SH-SOLE01,00300
DEERE & COMPANYCom244199105-14,64626SH-DFND02600
DFA SHORT DURA REAL RET PORTFOLIO FUNDCom25239Y576-23,170,2712,187,939SH-SOLE02,179,21308,726
DFA SHORT DURA REAL RET PORTFOLIO FUNDCom25239Y576-115,75610,931SH-DFND010,93100
DIMENSIONAL EMERG CORE EQ MKT ETFCom25434V302-33,819,503998,804SH-SOLE0995,84702,957
DIMENSIONAL EMERG CORE EQ MKT ETFCom25434V302-48,8601,443SH-DFND01,44300
WALT DISNEY COCom254687106-437,5654,540SH-SOLE04,54000
WALT DISNEY COCom254687106-9,638100SH-DFND010000
EOG RESOURCES INCCom26875P101-4,560,31631,544SH-SOLE031,459085
EOG RESOURCES INCCom26875P101-33,829234SH-DFND023400
ECOLAB INCCom278865100-325,6081,224SH-SOLE01,22400
EDWARDS LIFESCIENCES CORPCom28176E108-1,298,25716,212SH-SOLE016,21200
EMERSON ELECTRIC COCom291011104-2,342,63817,880SH-SOLE017,88000
EMERSON ELECTRIC COCom291011104-128,531981SH-DFND098100
ENTERPRISE PRODUCTS PRTN LPCom293792107-301,9637,980SH-SOLE07,98000
EVERGY INCCom30034W106-4,488,31554,789SH-SOLE054,5390250
EXELON CORPCom30161N101-2,272,07746,350SH-SOLE046,1000250
EXXON MOBIL CORPCom30231G102-7,166,09942,238SH-SOLE042,23800
EXXON MOBIL CORPCom30231G102-131,487775SH-DFND077500
META PLATFORMS INCCom30303M102-651,6561,139SH-SOLE01,13900
META PLATFORMS INCCom30303M102-22,88540SH-DFND04000
FEDERATED HERMES MDT MKT NEUTRAL FUNDCom31423A432-28,149,6071,262,881SH-SOLE01,252,689010,191
FIFTH THIRD BANCORPCom316773100-595,01312,807SH-SOLE012,80700
FIFTH THIRD BANCORPCom316773100-9,292200SH-DFND020000
FIRST TRUST GLOBAL WIND ENERGY ETFCom33736G106-1,239,62250,106SH-SOLE049,7130393
FIRST TRUST GLOBAL WIND ENERGY ETFCom33736G106-18,332741SH-DFND074100
FLEXSHARES MSTAR GLOB UPSTREAM NAT RES ETFCom33939L407-10,736,232194,638SH-SOLE0193,31301,325
FLEXSHARES MSTAR GLOB UPSTREAM NAT RES ETFCom33939L407-42,694774SH-DFND077400
FLEXSHARES QUALITY DIV DEFENSIVE ETFCom33939L845-439,2495,503SH-SOLE05,50300
FLEXSHARES QUALITY DVD ETFCom33939L860-11,966,950151,308SH-SOLE0149,80801,500
FRANKLIN FTSE UNITED KINGDOM ETFCom35473P678-207,5175,970SH-SOLE05,97000
FULTON FINANCIAL CORPCom360271100-232,10011,411SH-SOLE011,41100
GE VERNOVA LLCCom36828A101-319,481366SH-SOLE036600
GE VERNOVA LLCCom36828A101-42,77249SH-DFND04900
GE AEROSPACECom369604301-667,4272,352SH-SOLE02,35200
GE AEROSPACECom369604301-70,943250SH-DFND025000
GSK PLCCom37733W204-2,727,71149,424SH-SOLE049,42400
GSK PLCCom37733W204-28,699520SH-DFND052000
GOLDMAN SACHS GROUP INCCom38141G104-335,012396SH-SOLE039600
GOLDMAN SACHS ACTIVEBETA INTL EQUITY ETFCom381430107-21,415,511496,534SH-SOLE0493,41803,116
GOLDMAN SACHS ACTIVEBETA INTL EQUITY ETFCom381430107-30,277702SH-DFND070200
GOLDMAN SACHS ACTIVEBETA US LGE CAP EQ ETFCom381430503-12,869,495102,849SH-SOLE0102,84900
GOLDMAN SACHS ACTIVEBETA US LGE CAP EQ ETFCom381430503-26,402211SH-DFND021100
HERSHEY COMPANYCom427866108-575,8552,770SH-SOLE02,77000
HOLOGIC INCCom436440101-235,0093,109SH-SOLE03,10900
HOME DEPOT INCCom437076102-10,097,25230,701SH-SOLE030,4660235
HOME DEPOT INCCom437076102-246,010748SH-DFND074800
HONEYWELL INTL INCCom438516106-9,009,33039,859SH-SOLE039,789070
HOWMET AEROSPACE INCCom443201108-285,5401,239SH-SOLE01,23900
HUNTINGTON BANCSHARES INCCom446150104-171,88410,983SH-SOLE010,98300
IDEXX LABORATORIES INCCom45168D104-315,220561SH-SOLE056100
IDEXX LABORATORIES INCCom45168D104-56,189100SH-DFND010000
ILLINOIS TOOL WORKS INCCom452308109-346,4461,331SH-SOLE01,33100
ILLINOIS TOOL WORKS INCCom452308109-638,4912,453SH-DFND02,45300
INGERSOLL RAND INCCom45687V106-146,7801,832SH-SOLE01,83200
INGERSOLL RAND INCCom45687V106-78,437979SH-DFND097900
INSULET CORPCom45784P101-234,3911,117SH-SOLE01,11700
INTEL CORPCom458140100-620,99714,072SH-SOLE014,07200
INTEL CORPCom458140100-226,1225,124SH-DFND05,12400
INTERCONTINENTAL EXCHANGE INCCom45866F104-239,8521,525SH-SOLE01,52500
INTERNATIONAL BUSINESS MACHINES CORPCom459200101-3,759,71115,511SH-SOLE015,461050
INTERNATIONAL BUSINESS MACHINES CORPCom459200101-48,478200SH-DFND020000
INVESCO QQQ TRUST SERIES 1 ETFCom46090E103-1,549,7282,685SH-SOLE02,68500
INTUITCom461202103-1,567,3783,625SH-SOLE03,606019
INTUITIVE SURGICAL INCCom46120E602-284,892618SH-SOLE061800
INTUITIVE SURGICAL INCCom46120E602-17,51838SH-DFND03800
INVESCO WATER RESOURCES ETFCom46137V142-270,2484,042SH-SOLE04,04200
INVESCO WATER RESOURCES ETFCom46137V142-33,430500SH-DFND050000
INVESCO S&P 500 EQUAL WEIGHT ETFCom46137V357-593,0333,090SH-SOLE03,09000
INVESCO KBW BANK PORT ETFCom46138E628-19,125,361241,726SH-SOLE0239,95901,767
INVESCO SOLAR ETFCom46138G706-250,1944,491SH-SOLE04,49100
ISHARES GOLD TRUST ETFCom464285204-279,5553,171SH-SOLE03,17100
ISHARES SELECT DIVIDEND ETFCom464287168-645,0074,260SH-SOLE04,26000
ISHARES CORE S&P 500 ETFCom464287200-67,782,295103,768SH-SOLE0103,6120156
ISHARES CORE S&P 500 ETFCom464287200-13,71721SH-DFND02100
ISHARES CORE TOT AGGR US BOND ETFCom464287226-318,2603,206SH-SOLE03,20600
ISHARES IBOXX INV GRADE CORP BD ETFCom464287242-630,1805,782SH-SOLE05,78200
ISHARES S&P GROWTH INDEX ETFCom464287309-238,5492,109SH-SOLE02,10900
ISHARES MSCI EAFE INDEX ETFCom464287465-1,110,09911,429SH-SOLE011,42900
ISHARES MSCI EAFE INDEX ETFCom464287465-78,287806SH-DFND080600
ISHARES RUSSELL MID CAP ETFCom464287499-247,3532,544SH-SOLE02,54400
ISHARES CORE S&P MIDCAP ETFCom464287507-1,301,57319,274SH-SOLE019,27400
ISHARES RUSSELL 1000 VALUE ETFCom464287598-338,0261,582SH-SOLE01,58200
ISHARES RUSSELL 1000 GROWTH ETFCom464287614-1,237,4132,902SH-SOLE02,90200
ISHARES RUSSELL 2000 ETFCom464287655-346,4561,397SH-SOLE01,39700
ISHARES RUSSELL 3000 ETFCom464287689-1,787,7904,823SH-SOLE04,82300
ISHARES CORE S&P SMALL CAP ETFCom464287804-641,6885,162SH-SOLE05,16200
ISHARES CORE S&P SMALL CAP ETFCom464287804-22,624182SH-DFND018200
ISHARES CALIFORNIA MUNI BOND ETFCom464288356-341,1606,000SH-SOLE06,00000
ISHARES NATL MUNI BOND ETFCom464288414-24,959,793235,137SH-SOLE0231,62303,514
ISHARES NATL MUNI BOND ETFCom464288414-331,8253,126SH-DFND03,12600
ISHARES MSCI KLD 400 SOCIAL ETFCom464288570-531,2974,384SH-SOLE04,38400
ISHARES MSCI KLD 400 SOCIAL ETFCom464288570-145,4281,200SH-DFND01,20000
ISHARES BROAD USD INV GR CORP BOND ETFCom464288620-257,2775,022SH-SOLE05,02200
ISHARES 5-10 YR INV GRADE CORP BOND ETFCom464288638-226,6644,259SH-SOLE04,25900
ISHARES MSCI USA ESG SELECT SOCIAL IDX ETFCom464288802-3,126,01423,664SH-SOLE023,5040160
ISHARES MSCI EAFE GROWTH ETFCom464288885-360,6163,238SH-SOLE03,23800
ISHARES MSCI EAFE MIN VOL FACTOR ETFCom46429B689-13,865,032151,746SH-SOLE0151,3460400
ISHARES MSCI EAFE MIN VOL FACTOR ETFCom46429B689-26,223287SH-DFND028700
ISHARES EDGE MSCI MIN VOL USA ETFCom46429B697-452,2934,877SH-SOLE04,87700
ISHARES EDGE MSCI USA QUAL FACT ETFCom46432F339-435,6012,271SH-SOLE02,27100
ISHARES CORE MSCI EAFE ETFCom46432F842-53,477,791590,719SH-SOLE0587,72702,992
ISHARES CORE MSCI EAFE ETFCom46432F842-97,3201,075SH-DFND01,07500
ISHARES U S EQUITY FACTOR ETFCom46434V282-339,9665,151SH-SOLE05,15100
ISHARES MSCI INTL QUAL FACTOR ETFCom46434V456-20,213,513437,238SH-SOLE0436,21301,025
ISHARES MSCI INTL QUAL FACTOR ETFCom46434V456-31,852689SH-DFND068900
ISHARES CORE DIVIDEND GROWTH ETFCom46434V621-80,129,8401,141,776SH-SOLE01,139,79201,984
ISHARES CORE DIVIDEND GROWTH ETFCom46434V621-45,617650SH-DFND065000
ISHARES IBONDS DEC 2026 TERM CORP ETFCom46435GAA0-254,76210,510SH-SOLE010,51000
ISHARES IBONDS DEC 2028 TERM CORP ETFCom46435U515-378,00014,923SH-SOLE014,92300
ISHARES IBONDS DEC 2027 TERM CORP ETFCom46435UAA9-330,63413,640SH-SOLE013,64000
ISHARES IBONDS DEC 2029 TERM CORP ETFCom46436E205-356,18015,313SH-SOLE015,31300
JPMORGAN CHASE & COCom46625H100-21,590,46273,397SH-SOLE073,0930304
JPMORGAN CHASE & COCom46625H100-93,543318SH-DFND031800
JPMORGAN US QUALITY FACTOR ETFCom46641Q761-10,667,718173,968SH-SOLE0173,96800
JPMORGAN US QUALITY FACTOR ETFCom46641Q761-10,547172SH-DFND017200
JOHNSON & JOHNSON COCom478160104-11,205,61845,842SH-SOLE045,4020440
JOHNSON & JOHNSON COCom478160104-207,285848SH-DFND084800
KLA CORPCom482480100-434,361295SH-SOLE029500
KIMBERLY-CLARK CORPCom494368103-631,6866,548SH-SOLE06,54800
KIMBERLY-CLARK CORPCom494368103-28,941300SH-DFND030000
KROGER COCom501044101-13,713,450189,517SH-SOLE0188,16501,352
KROGER COCom501044101-59,118817SH-DFND081700
ELI LILLY & COCom532457108-3,869,4724,207SH-SOLE04,20700
ELI LILLY & COCom532457108-610,727664SH-DFND066400
LINCOLN ELECTRIC HOLDINGSCom533900106-2,827,30711,351SH-SOLE011,0510300
LOCKHEED MARTIN CORPCom539830109-212,141351SH-SOLE035100
LOWES COMPANIES INCCom548661107-7,184,56630,407SH-SOLE030,347060
MARSH & MCLENNAN CO INCCom571748102-1,541,6248,888SH-SOLE08,838050
MASCO CORPCom574599106-3,158,74052,323SH-SOLE051,9230400
MASCO CORPCom574599106-24,812411SH-DFND041100
MASTERCARD INC CL ACom57636Q104-2,520,7855,045SH-SOLE04,8160229
MASTERCARD INC CL ACom57636Q104-24,98350SH-DFND05000
MCDONALDS CORPCom580135101-1,139,3563,666SH-SOLE03,66600
MCDONALDS CORPCom580135101-62,780202SH-DFND020200
MERCK & CO INCCom58933Y105-8,666,29372,045SH-SOLE071,8950150
MERCK & CO INCCom58933Y105-168,4061,400SH-DFND01,40000
METLIFE INCCom59156R108-3,506,36849,581SH-SOLE049,4810100
METLIFE INCCom59156R108-5,72881SH-DFND08100
METTLER-TOLEDO INTL INCCom592688105-288,815229SH-SOLE022900
MICROSOFT CORPCom594918104-39,537,117106,808SH-SOLE0105,9780830
MICROSOFT CORPCom594918104-552,2941,492SH-DFND01,49200
MONDELEZ INTERNATIONAL INC ACom609207105-241,5694,191SH-SOLE04,19100
MORGAN STANLEYCom617446448-586,3633,563SH-SOLE03,56300
NASDAQ INCCom631103108-125,0431,473SH-SOLE01,47300
NASDAQ INCCom631103108-152,8021,800SH-DFND01,80000
NETFLIX INCCom64110L106-249,7022,597SH-SOLE02,59700
NEXTERA ENERGY INCCom65339F101-4,372,79047,080SH-SOLE047,08000
NIKE INC CLASS BCom654106103-547,58510,367SH-SOLE010,36700
NOVARTIS AG SPON ADRCom66987V109-216,4471,417SH-SOLE01,41700
NVIDIA CORPCom67066G104-4,831,57827,704SH-SOLE027,70400
NUVEEN ESG LGE CAP VALUE ETFCom67092P300-1,513,05733,254SH-SOLE032,5340720
NUVEEN ESG INTL DEV MKTS EQ ETFCom67092P805-1,407,38738,975SH-SOLE038,4260549
ORACLE CORPORATIONCom68389X105-2,127,35814,461SH-SOLE014,46100
ORACLE CORPORATIONCom68389X105-39,425268SH-DFND026800
PNC FINANCIAL SERVICES GROUPCom693475105-359,1631,726SH-SOLE01,72600
PNC FINANCIAL SERVICES GROUPCom693475105-12,90262SH-DFND06200
PPG INDUSTRIESCom693506107-202,8581,898SH-SOLE01,89800
PPG INDUSTRIESCom693506107-30,888289SH-DFND028900
PPL CORPCom69351T106-446,71111,694SH-SOLE011,69400
PEPSICO INCCom713448108-2,262,26514,568SH-SOLE014,56800
PEPSICO INCCom713448108-363,3792,340SH-DFND02,34000
PFIZER INCCom717081103-4,712,526167,825SH-SOLE0165,44202,383
PFIZER INCCom717081103-415,72414,805SH-DFND014,80500
PHILIP MORRIS INTERNATIONAL INCCom718172109-619,1983,745SH-SOLE03,74500
PRINCIPAL GLOBAL LISTED INF INSTCom74256W121-968,19275,463SH-SOLE074,32501,138
PROCTER & GAMBLE COCom742718109-11,684,47480,895SH-SOLE080,2050690
PROCTER & GAMBLE COCom742718109-176,6501,223SH-DFND01,22300
PUBLIC SERVICE ENTERPRISE GROUPCom744573106-293,2823,623SH-SOLE03,62300
RTX CORPORATIONCom75513E101-2,639,83713,685SH-SOLE013,68500
REGENERON PHARMACEUTICALS INCCom75886F107-4,810,4576,226SH-SOLE06,1200106
ROPER TECHNOLOGIES, INCCom776696106-321,659909SH-SOLE090900
SHELL PLC ADRCom780259305-82,584888SH-SOLE088800
SHELL PLC ADRCom780259305-367,8153,955SH-DFND03,95500
SPDR S&P 500 ETF TRUSTCom78462F103-4,577,0937,038SH-SOLE07,03800
SPDR GOLD SHARES ETFCom78463V107-878,2222,041SH-SOLE02,04100
SPDR S&P DIVIDEND ETFCom78464A763-1,478,81010,133SH-SOLE010,13300
SPDR S&P MIDCAP 400 ETF TRUSTCom78467Y107-350,936569SH-SOLE056900
SALESFORCE INCCom79466L302-2,768,50314,831SH-SOLE014,751080
SANOFI ADRCom80105N105-202,8384,210SH-SOLE04,21000
SANOFI ADRCom80105N105-32,329671SH-DFND067100
CHARLES SCHWAB CORPCom808513105-585,1196,226SH-SOLE06,22600
SCHWAB US DIVIDEND EQUITY ETFCom808524797-24,610,299802,161SH-SOLE0799,36102,800
SPDR HEALTH CARE SELECT SECTOR ETFCom81369Y209-982,8736,704SH-SOLE06,70400
STATE STREET CONSUMER STAPLES SELECT SECTOR SCom81369Y308-1,746,99421,310SH-SOLE021,0200290
SPDR CONS DISC SELECT SECTOR ETFCom81369Y407-1,385,13612,710SH-SOLE012,71000
SPDR FINANCIAL SELECT SECTOR ETFCom81369Y605-3,372,71268,315SH-SOLE068,31500
SPDR INDUSTRIAL SELECT SECTOR ETFCom81369Y704-435,0542,690SH-SOLE02,69000
SPDR TECHNOLOGY SELECT SECTOR ETFCom81369Y803-4,162,56131,321SH-SOLE031,32100
SOLSTICE ADVANCED MATERIALS INCCom83443Q103-466,7856,129SH-SOLE06,112017
SPROTT PHYSICAL GOLD TRUSTCom85207H104-290,1478,187SH-SOLE08,18700
STARBUCKS CORPCom855244109-284,5383,176SH-SOLE03,17600
STARBUCKS CORPCom855244109-35,836400SH-DFND040000
STRYKER CORPCom863667101-613,4781,867SH-SOLE01,86700
SYSCO CORPORATIONCom871829107-211,2792,962SH-SOLE02,96200
TJX COMPANIES INCCom872540109-12,399,26877,641SH-SOLE076,01401,627
TJX COMPANIES INCCom872540109-30,343190SH-DFND019000
T ROWE PRICE CAP APP ETFCom87283Q867-8,574,912240,936SH-SOLE0240,93600
T ROWE PRICE CAP APP ETFCom87283Q867-2,02957SH-DFND05700
TARGET CORPCom87612E106-2,435,99920,099SH-SOLE020,009090
TARGET CORPCom87612E106-20,240167SH-DFND016700
TESLA INCCom88160R101-247,214665SH-SOLE066500
TETRA TECH INCCom88162G103-453,84815,068SH-SOLE015,06800
TEXAS INSTRUMENTS INCCom882508104-144,246743SH-SOLE074300
TEXAS INSTRUMENTS INCCom882508104-58,242300SH-DFND030000
THERMO FISHER SCIENTIFICCom883556102-1,319,2672,684SH-SOLE02,68400
THERMO FISHER SCIENTIFICCom883556102-21,13643SH-DFND04300
3M COCom88579Y101-1,149,2057,913SH-SOLE07,91300
3M COCom88579Y101-21,785150SH-DFND015000
TRAVELERS COS INCCom89417E109-612,2362,099SH-SOLE02,09900
UNION PACIFIC CORPCom907818108-3,450,05614,220SH-SOLE014,155065
UNION PACIFIC CORPCom907818108-218,358900SH-DFND090000
UNITED THERAPEUTICS CORPCom91307C102-1,672,2042,820SH-SOLE02,82000
UNITEDHEALTH GROUP INCCom91324P102-4,702,04217,377SH-SOLE017,1140263
VALERO ENERGY CORPCom91913Y100-458,3331,855SH-SOLE01,85500
VANGUARD DIVIDEND APPREC ETFCom921908844-6,234,80428,991SH-SOLE028,99100
VANGUARD ESG INTL STOCK ETFCom921910725-3,406,02747,484SH-SOLE046,9860498
VANGUARD FTSE DEV MKT ETFCom921943858-650,28410,148SH-SOLE010,14800
VANGUARD HIGH DIVIDEND YIELD ETFCom921946406-643,7914,347SH-SOLE04,34700
VANGUARD SHORT TERM TIPS ETFCom922020805-980,31919,626SH-SOLE019,62600
VANGUARD FTSE PACIFIC ETFCom922042866-2,928,28429,963SH-SOLE029,3760587
VANGUARD FTSE EUROPE ETFCom922042874-4,266,41251,758SH-SOLE050,8520906
VANGUARD INDUSTRIALS ETFCom92204A603-2,805,2978,985SH-SOLE08,98500
VANGUARD INDUSTRIALS ETFCom92204A603-19,98264SH-DFND06400
VANGUARD INFO TECH ETFCom92204A702-1,078,6751,546SH-SOLE01,54600
VANGUARD S&P 500 ETFCom922908363-389,005651SH-SOLE065100
VANGUARD MID CAP VALUE ETFCom922908512-19,061,739103,439SH-SOLE0102,7190720
VANGUARD MID CAP VALUE ETFCom922908512-43,490236SH-DFND023600
VANGUARD MID CAP GROWTH ETFCom922908538-392,7161,526SH-SOLE01,52600
VANGUARD MID CAP GROWTH ETFCom922908538-57,904225SH-DFND022500
VANGUARD REIT INDEX ETFCom922908553-210,1302,369SH-SOLE02,36900
VANGUARD SMALL CAP VALUE ETFCom922908611-206,388950SH-SOLE095000
VANGUARD LARGE CAP ETFCom922908637-9,896,71733,116SH-SOLE033,11600
VANGUARD GROWTH ETFCom922908736-363,846833SH-SOLE083300
VANGUARD VALUE ETFCom922908744-292,7301,492SH-SOLE01,49200
VANGUARD TOTAL STOCK MKT ETFCom922908769-2,993,4789,331SH-SOLE09,33100
VERIZON COMMUNICATIONSCom92343V104-277,6565,531SH-SOLE05,53100
VERIZON COMMUNICATIONSCom92343V104-218,2704,348SH-DFND04,34800
VERTEX PHARMACEUTICALS INCCom92532F100-195,138437SH-SOLE043700
VERTEX PHARMACEUTICALS INCCom92532F100-8,93120SH-DFND02000
VERTIV HOLDINGS COCom92537N108-383,1371,529SH-SOLE01,52900
VICTORYSHARES FREE CASH FLOW ETFCom92647X830-18,718,139474,117SH-SOLE0472,04702,070
VISA INCCom92826C839-13,175,85143,594SH-SOLE043,3890205
VISA INCCom92826C839-150,213497SH-DFND049700
WALMART STORES INCCom931142103-5,557,18044,715SH-SOLE044,1650550
WALMART STORES INCCom931142103-510,0454,104SH-DFND04,10400
WASTE MANAGEMENTCom94106L109-454,0651,976SH-SOLE01,97600
YUM BRANDS INCCom988498101-259,6521,670SH-SOLE01,67000
YUM BRANDS INCCom988498101-108,836700SH-DFND070000
TOTALENERGIES SEComF92124100-11,161,972122,686SH-SOLE0122,68600
ACCENTURE PLCComG1151C101-3,759,97518,962SH-SOLE018,8350127
ACCENTURE PLCComG1151C101-4,95725SH-DFND02500
EATON CORP PLCComG29183103-6,649,44318,591SH-SOLE018,502089
EATON CORP PLCComG29183103-177,762497SH-DFND049700
LINDE PLCComG54950103-2,447,5674,937SH-SOLE04,912025
LINDE PLCComG54950103-111,546225SH-DFND022500
MEDTRONIC PLCComG5960L103-6,681,06277,104SH-SOLE076,6990405
TRANE TECHNOLOGIES PLCComG8994E103-815,5601,957SH-SOLE01,95700
TRANE TECHNOLOGIES PLCComG8994E103-1,277,7253,066SH-DFND03,06600
ASML HOLDING NVComN07059210-478,140362SH-SOLE036200