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general

Essex Savings Bank 13F annual report

By Rachel Davis
Apple Computer Inc. Cmn.

6.87%

111,301

$21,428,749,0006.23%Chevron Com

0.83%

134,898

$20,121,365,0005.85%Exxon Mobil Corp.

0.04%

178,115

$17,807,924,0005.18%Johnson & Johnson Com

1.68%

71,541

$11,213,308,0003.26%Microsoft Com

12.26%

27,081

$10,183,237,0002.96%Automatic Data Processing Inc - Taxable

0.58%

43,209

$10,066,393,0002.93%Berkshire Hathaway Inc.

No change

15

$8,139,375,0002.37%Lilly Eli & Company

0.19%

12,236

$7,132,472,0002.07%Vanguard Index Fds S&p 500 Etf Shs

84.84%

15,090

$6,591,152,0001.92%Home Depot Com

0.89%

18,331

$6,352,404,0001.85%Target Corp

1.03%

32,934

$4,690,454,0001.36%Alphabet Inc

7.61%

33,205

$4,679,568,0001.36%Amazon.com Inc.

15.37%

30,378

$4,615,616,0001.34%Jp Morgan Chase & Co Com

7.78%

26,048

$4,430,750,0001.29%Procter & Gamble Co.

5.04%

29,813

$4,368,779,0001.27%Verisk Analytics Inc

0.25%

18,251

$4,359,431,0001.27%Visa Inc

6.20%

15,701

$4,087,582,0001.19%Alphabet Inc Cap Stk Cl A

8.36%

25,706

$3,590,856,0001.04%Pepsico Inc

10.16%

20,479

$3,478,138,0001.01%Merck & Co Inc

7.23%

31,629

$3,448,182,0001.00%Berkshire Hathaway Inc Del Cl B New

15.26%

9,580

$3,416,694,0000.99%Invesco Qqq Tr Unit Ser 1

0.54%

7,453

$3,052,061,0000.89%NVIDIA Corp

18.01%

6,082

$3,011,856,0000.88%Broadcom Inc.

2.14%

2,676

$2,987,078,0000.87%Ishares Tr Russell 2000

47.95%

13,736

$2,756,945,0000.80%Vanguard Tax-managed Fd Europe Pac Etf

2.37%

53,512

$2,563,215,0000.75%Spdr Tr Unit Ser 1

3.26%

5,202

$2,472,505,0000.72%Adobe Inc

1.29%

4,098

$2,444,812,0000.71%Wal-mart

2.77%

15,267

$2,406,828,0000.70%Rtx Corporation Com

3.78%

27,968

$2,353,213,0000.68%Deere & Co Com

0.49%

5,367

$2,146,045,0000.62%Ishares Tr Index Russell1000grw

89.46%

7,046

$2,136,058,0000.62%Ishares Tr S&p Small Cap 600 Index

8.77%

18,637

$2,017,449,0000.59%Vanguard Whitehall Fds High Dividend Yield Etf

0.63%

17,967

$2,005,644,0000.58%Abbvie Inc

0.17%

12,674

$1,964,073,0000.57%Mcdonalds Corp Com

7.24%

6,558

$1,944,498,0000.57%Cisco

1.60%

38,232

$1,931,467,0000.56%Facebook Inc Cl A

20.05%

5,234

$1,852,568,0000.54%Ishares Tr S&p 500 Index

66.04%

3,861

$1,844,126,0000.54%Union Pac Corp Com

15.56%

7,447

$1,829,122,0000.53%Cvs Corp.

0.87%

22,872

$1,805,961,0000.53%Caterpillar Inc.

4.87%

6,052

$1,789,330,0000.52%Vanguard Mid Cap Etf

4.20%

7,617

$1,772,013,0000.52%Spdr Ser Tr Nuveen Bloomberg

Opened

69,761

$1,764,255,0000.51%Stryker Corp.

1.48%

5,842

$1,749,382,0000.51%Accenture Plc Ireland Shs Class A

5.65%

4,976

$1,746,069,0000.51%Schwab Charles Corp New Com

16.09%

23,953

$1,647,718,0000.48%Mastercard Incorporated

4.98%

3,858

$1,645,467,0000.48%Moodys Corp Com

0.22%

4,134

$1,614,530,0000.47%Vanguard Index Fds Small Cp Etf

7.82%

7,518

$1,603,808,0000.47%Pfizer Inc.

4.84%

54,281

$1,562,736,0000.45%Blackrock Inc.

26.10%

1,899

$1,541,578,0000.45%Norfolk Southern Corp Com

0.09%

6,476

$1,530,794,0000.45%Kimberly - Clark Corp

No change

12,472

$1,515,468,0000.44%Ishares Tr S&p Midcap 400

3.40%

5,423

$1,502,927,0000.44%General Dynamics Corp.

3.73%

5,707

$1,481,871,0000.43%Intl Business Machines Com

1.12%

8,592

$1,405,210,0000.41%Trane Technologies plc

7.48%

5,562

$1,356,570,0000.39%Ishares Tr S&p 500 Grwt Etf

No change

18,011

$1,352,624,0000.39%Unitedhealth Group Inc

12.64%

2,540

$1,337,197,0000.39%Vanguard Index Fds Value Etf

69.61%

8,901

$1,330,698,0000.39%Jp Morgan Etf Ultra Short Income

No change

26,167

$1,314,106,0000.38%AMGEN Inc.

4.12%

4,393

$1,265,214,0000.37%Costco Whsl Corp New Com

16.71%

1,914

$1,263,381,0000.37%Lockheed Martin Corp Com

32.04%

2,765

$1,253,171,0000.36%Vanguard Specialized Port Divd Apprec Indx Etf

7.54%

7,347

$1,251,926,0000.36%Emerson Electric Co.

6.68%

12,743

$1,240,273,0000.36%Honeywell Intl Inc Com

10.06%

5,884

$1,233,926,0000.36%Palo Alto Networks Inc

9.37%

4,178

$1,232,005,0000.36%L3Harris Technologies Inc

5.40%

5,837

$1,229,384,0000.36%Vanguard Scottsdale Fds Inter Term Treas

Opened

20,146

$1,194,857,0000.35%Salesforce Com Inc Com

11.02%

4,482

$1,179,341,0000.34%Vanguard Admiral Fds Inc 500 Grth Idx F

31.12%

4,340

$1,175,181,0000.34%Coca Cola Co Com

10.44%

19,376

$1,141,817,0000.33%Vanguard Intl Equity Index Femr Mkt Etf

2.54%

27,649

$1,136,093,0000.33%United Parcel Service Cl B Com

28.02%

7,174

$1,127,957,0000.33%Ishares Inc Core Msci Emkt

44.18%

22,217

$1,123,730,0000.33%Proshares Tr S&p 500 Dv Arist

No change

11,678

$1,111,745,0000.32%Illinois Tool Wks Inc Com

14.54%

4,214

$1,103,811,0000.32%Boeing Co Com

47.95%

4,221

$1,100,197,0000.32%Conocophillips Com

3.33%

9,353

$1,085,595,0000.32%Disney Walt Co Com

22.19%

11,898

$1,074,258,0000.31%Danaher Corp.

10.84%

4,541

$1,050,509,0000.31%Colgate-Palmolive Co.

15.67%

13,082

$1,042,761,0000.30%Cigna Corp New

2.67%

3,463

$1,036,955,0000.30%Intel Com

3.93%

20,432

$1,026,701,0000.30%Nike, Inc.

11.12%

9,291

$1,008,716,0000.29%Vanguard Total Stk Mkt Etf

0.85%

4,175

$990,391,0000.29%Ishares Tr Core S&p Ttl Stk

65.21%

9,283

$976,848,0000.28%Sonoco Prods Co Com

2.49%

17,295

$966,096,0000.28%Ishares Dividend Growth Etf

35.84%

17,631

$948,721,0000.28%Eaton Corp Cmn

9.76%

3,903

$939,912,0000.27%Wells Fargo & Co New Com

8.50%

18,835

$927,053,0000.27%Mondelez International Inc.

4.75%

12,763

$924,417,0000.27%Comcast Corp New Cl A

9.13%

20,885

$915,588,0000.27%Netflix Inc.

10.57%

1,800

$876,376,0000.25%Novo-nordisk A S Adr

12.64%

8,430

$872,082,0000.25%Tesla Mtrs Inc Com

40.48%

3,422

$850,293,0000.25%Bristol-Myers Squibb Co.

22.80%

16,519

$847,576,0000.25%Oracle Corp.

49.31%

7,861

$828,777,0000.24%Grainger W.w. Inc$825,373,0000.24%Thermo Fisher Scientific Inc.

3.79%

1,534

$814,209,0000.24%Aflac Inc.

5.13%

9,835

$811,385,0000.24%Ishares Tr National Mun Etf

No change

6,903

$748,353,0000.22%Phillips 66 Com

8.55%

5,547

$738,520,0000.21%Qualcomm, Inc.

0.42%

4,980

$720,248,0000.21%Vanguard Scottsdale Fds Short Term Treas

191.12%

12,300

$717,457,0000.21%Goldman Sachs

3.62%

1,859

$717,120,0000.21%3m Company Com

1.67%

6,514

$712,102,0000.21%Cheniere Energy Inc Com New

8.16%

4,137

$706,223,0000.21%NextEra Energy Inc

29.48%

11,459

$696,008,0000.20%Duke Energy Corp New Com New

0.16%

7,073

$686,358,0000.20%Southern Company

1.77%

9,588

$672,207,0000.20%Ishares Tr Russell Midcap Index Fd

No change

8,608

$669,010,0000.19%Dupont De Nemours Inc (new)

No change

8,657

$665,982,0000.19%Dover Corp.

0.12%

4,312

$663,226,0000.19%Freeport-mcmoran Copper & Gold Com

3.10%

15,548

$661,719,0000.19%Ecolab, Inc.

2.80%

3,262

$647,010,0000.19%Cummins Inc.

38.88%

2,611

$625,514,0000.18%J P Morgan Exchange-traded Fultra Sht Muncpl

24.09%

12,114

$614,662,0000.18%Bhp Billiton Ltd Sponsored Adr

15.46%

8,804

$601,399,0000.17%Bank Of America Corp Com

20.87%

17,548

$590,661,0000.17%American Express Co.

14.49%

3,121

$584,680,0000.17%Ishares Tr Index Msci Eafe Idx

5.53%

7,657

$576,951,0000.17%Asml Holding Nv Ny Reg Shs

74.77%

762

$576,762,0000.17%Vanguard Scottsdale Fds Long Term Treas

Opened

9,167

$563,953,0000.16%Ishares Tr S&p 500 Val Etf

Closed

3,662

$563,361,000Invesco Etf S&p 500 Equal Weight

15.63%

3,544

$559,242,0000.16%Flexshares Tr Esg & Clm Us Lrg

No change

10,281

$555,276,0000.16%Abbott Labs Com

18.09%

5,006

$551,001,0000.16%Starbucks Corp Com

16.38%

5,619

$539,466,0000.16%Ishares Tr Index Russell Mcp Gr

No change

5,163

$539,325,0000.16%Ishares Tr Russell1000val

9.82%

3,198

$528,466,0000.15%Verizon Communications Inc

8.08%

13,863

$522,630,0000.15%Pnc Finl Svcs Group Inc Com

14.49%

3,358

$519,979,0000.15%Ishares Core S&p Value

No change

6,124

$516,436,0000.15%Air Prods & Chems Inc Com

1.65%

1,847

$505,682,0000.15%Us Bancorp Del Com New

2.72%

11,685

$505,605,0000.15%Vanguard Russell 1000 Value Etf

1.67%

6,883

$499,291,0000.15%Advanced Micro Devices Inc.

19.15%

3,385

$498,978,0000.15%Chubb Limited Com

23.18%

2,094

$473,244,0000.14%Philip Morris Intl Inc Com

21.67%

4,986

$469,077,0000.14%Ishares Tr Msci Val Idx

No change

8,663

$451,252,0000.13%Altria Group Inc.

10.25%

11,038

$445,270,0000.13%Iron Mtn Inc New Com

3.82%

6,290

$440,108,0000.13%Paychex Inc.

6.04%

3,669

$437,010,0000.13%Ingersoll Rand Inc.

15.86%

5,604

$433,411,0000.13%Lowes Companies

21.60%

1,942

$432,187,0000.13%Valero Energy Corp New Com

7.88%

3,301

$429,130,0000.12%White Mtns Ins Group Ltd Com$427,421,0000.12%AT&T, Inc.

0.58%

25,193

$422,479,0000.12%Schwab Strategic Tr Us Brd Mkt Etf

7.04%

7,561

$420,919,0000.12%ServiceNow Inc

24.25%

579

$409,044,0000.12%Diageo P L C Spon Adr New

6.12%

2,773

$403,912,0000.12%Avery Dennison Corp Com

5.51%

1,933

$390,774,0000.11%Tjx Cos Inc New Com

13.96%

4,155

$389,772,0000.11%Uber Technologies Inc

8.91%

6,306

$388,193,0000.11%Schwab Strategic Tr Us Dividend Eq

6.68%

5,069

$385,900,0000.11%Intuit Com

36.67%

615

$384,384,0000.11%Kenvue Inc Com

15.10%

17,794

$382,922,0000.11%Hershey Co Com

14.92%

2,041

$380,518,0000.11%Texas Instruments Inc.

7.44%

2,225

$379,267,0000.11%Schwab Strategic Tr Us Lrg Cap Etf

No change

6,616

$373,140,0000.11%Gilead Sciences, Inc.

5.57%

4,547

$368,346,0000.11%Morgan Stanley Dean Witter

Opened

3,950

$368,330,0000.11%Ishares Tr Index Dj Sel Div Inx

1.23%

3,140

$368,069,0000.11%Northrop Grumman Corp Com

15.30%

776

$363,271,0000.11%Shell Plc Sponsored Adr Representing B Shrs

42.75%

5,513

$362,695,0000.11%Pacer Fds Tr Us Cash Cows 100

No change

6,916

$359,561,0000.10%Ishares Gold Trust

No change

9,175

$358,008,0000.10%Vanguard Scottsdale Fds S/t Corp Bd Index Etf

6.11%

4,601

$355,977,0000.10%Realty Income Corp Com

9.05%

6,195

$355,709,0000.10%Fedex Corp

5.65%

1,403

$354,912,0000.10%MetLife, Inc.

No change

5,348

$353,658,0000.10%Ppg Inds Inc Com

3.05%

2,299

$343,810,0000.10%Clorox Co Del Com

13.10%

2,375

$338,650,0000.10%Bp Amoco Plc Ads (uk)

22.84%

9,536

$337,474,0000.10%KKR & Co. Inc

Opened

4,057

$336,122,0000.10%Arista Networks Inc

6.26%

1,409

$331,832,0000.10%Novartis A G Sponsored Adr

28.14%

3,274

$330,573,0000.10%Sysco Corp Com

1.29%

4,502

$329,223,0000.10%Ishares Tr Dj Us Tech Sec

No change

2,680

$328,970,0000.10%Taiwan Semiconductor Mfg Ltd Sponsored Adr

Opened

3,113

$323,752,0000.09%Dow Inc

6.80%

5,880

$322,454,0000.09%Marriott Intl Inc New Cl A

0.14%

1,428

$322,027,0000.09%Carrier Global Corporation Com

No change

5,593

$321,313,0000.09%Financial Select Sector Spdr

Opened

8,502

$319,589,0000.09%Fidelity National Financial Fnf Group Com

No change

6,261

$319,434,0000.09%Ishares Tr Msci Grw Idx

No change

3,265

$316,206,0000.09%American Tower Corp New Com

7.07%

1,424

$307,407,0000.09%Ishares Tr Core Msci Eafe

6.70%

4,333

$304,823,0000.09%State Street Corp.

No change

3,900

$302,094,0000.09%Proshares Tr S&p Mdcp 400 Div

7.11%

4,095

$301,227,0000.09%Ishares Tr Msci Acwi Indx

No change

2,956

$300,831,0000.09%St Paul Travelers Cos

1.19%

1,572

$299,447,0000.09%Lennar Corp.

Opened

2,000

$298,078,0000.09%Ishares Tr Rus 1000 Etf

8.10%

1,135

$297,664,0000.09%Ishares Tr Core Msci Total

No change

4,575

$297,054,0000.09%Crown Castle Inc

2.16%

2,540

$292,578,0000.09%Prologis Inc

4.00%

2,159

$287,791,0000.08%Aercap Holdings Nv

3.09%

3,835

$284,978,0000.08%Webster Financial Corp.

0.71%

5,608

$284,604,0000.08%Laboratory Corp Amer Hldgs Com New

No change

1,242

$282,290,0000.08%Vanguard Total Bond Market Etf

No change

3,833

$281,875,0000.08%Sherwin Williams Co Com

Opened

900

$280,695,0000.08%Spdr Ser Tr Prtflo S&p500 Vl

3.81%

5,985

$279,079,0000.08%Vaneck Etf Trust Mrngstr Wde Moat

0.73%

3,268

$277,355,0000.08%Spdr Gold Trust Gold Shs

2.28%

1,438

$274,897,0000.08%Stanley Black & Decker Inc

Opened

2,740

$268,792,0000.08%Otis Worldwide Corp Com

No change

2,997

$268,137,0000.08%Medtronic Plc

10.65%

3,253

$267,980,0000.08%Marsh & McLennan Cos., Inc.

30.59%

1,413

$267,717,0000.08%Packaging Corp Amer Com

3.99%

1,643

$267,660,0000.08%Lam Research Corp Com

Opened

340

$266,305,0000.08%Schlumberger Ltd.

1.62%

5,093

$265,038,0000.08%Blackstone Group Inc Com Cl A

Opened

2,013

$263,541,0000.08%Spdr Ser Tr Portfolio Sm Etf

7.80%

6,229

$262,731,0000.08%Schwab Strategic Intl Equityetf

No change

7,090

$261,975,0000.08%Truist Financial Corporation

Closed

9,083

$259,864,000Spdr Series Trust S&p Divid Etf

0.48%

2,069

$258,560,0000.08%Invesco Exch Traded Fd Tr Iis&p500 Low Vol

No change

4,105

$257,176,0000.07%Hca Hldgs Inc Com$257,136,0000.07%Corning, Inc.

9.06%

8,356

$254,435,0000.07%General Electric Co Com New

Opened

1,986

$253,469,0000.07%Ishares Tr Usa Quality Fctr

No change

1,719

$252,931,0000.07%Invesco Exchange Traded Fd Ts&p 500 Garp Etf

No change

2,500

$245,100,0000.07%Citigroup Inc Com New

Opened

4,729

$243,205,0000.07%Linde Plc Com Euro .001

Opened

591

$242,718,0000.07%Ishares Tr Usa Min Vol Etf

No change

3,107

$242,437,0000.07%Monster Beverage Corp New Com

Opened

4,097

$236,026,0000.07%Waste Management, Inc.

Opened

1,316

$235,692,0000.07%Spdr S & P Midcap Etf

No change

464

$235,423,0000.07%Canadian Pac Ry Ltd Com

Opened

2,961

$234,096,0000.07%Paypal Hldgs Inc Com

0.13%

3,771

$231,537,0000.07%Ishares Tr Russell Midcap Value Index Fund

Opened

1,960

$227,926,0000.07%Vanguard Bd Index Fd Inc Short Trm Bond

2.25%

2,953

$227,438,0000.07%American Electric Power Company Inc.

3.22%

2,785

$226,192,0000.07%Fluor Corp. (new)

No change

5,768

$225,874,0000.07%Exelon Corp Com

Opened

6,174

$221,583,0000.06%Ibb/ Ishares Nasdaq Biotech Index Fund

Opened

1,620

$220,076,0000.06%Roper Technologies Inc

Opened

403

$219,696,0000.06%Allegion Pub Ltd Co Ord Shs

Opened

1,710

$216,639,0000.06%Ferguson Plc New

Opened

1,115

$215,270,0000.06%T. Rowe Price Group Inc

56.08%

1,996

$214,947,0000.06%I Shares Us Treasury Bond Etf

0.57%

9,318

$214,592,0000.06%Elevance Health Inc Com

Opened

454

$214,082,0000.06%Vertex Pharmaceuticals, Inc.

Opened

526

$214,020,0000.06%Unilever Plc Spon Adr New

Opened

4,369

$211,763,0000.06%Vanguard Bd Index Fd Inc Intermed Term

Opened

2,764

$211,108,0000.06%Spdr Series Trust S&p Biotech

Closed

2,878

$210,149,000Crowdstrike Holdings Inc

Opened

820

$209,359,0000.06%Wisdomtree Trust Smlcap Earn Fd

Opened

4,200

$209,202,0000.06%Corteva Inc

Opened

4,355

$208,647,0000.06%CMS Energy Corporation

Opened

3,571

$207,329,0000.06%Ishares Tr Phlx Semicnd Etf

Opened

358

$206,240,0000.06%Jacobs Solutions Inc

Closed

1,500

$204,750,000Autodesk Inc.

Opened

838

$204,032,0000.06%Ishares Tr Dj Pharma Indx

Opened

1,100

$203,940,0000.06%Rush Enterprises Inc

Opened

4,050

$203,674,0000.06%Equinix Inc

Opened

250

$201,344,0000.06%Brookfield Asset Mgmt Inc

Opened

5,014

$201,110,0000.06%Vanguard Star Fd Vg Tl Intl Stk F

Opened

3,457

$200,330,0000.06%Keycorp New Com

Opened

10,875

$156,599,0000.05%Teva Pharmaceutical Indus. Ltd Adr

34.27%

14,770

$154,198,0000.04%Invesco Exchng Traded Fd Tr Pfd Etf

No change

12,325

$141,363,0000.04%Eaton Vance Ltd Duration Income Fund

Closed

11,984

$108,335,000Haleon Plc Spnsd Adr

4.89%

11,259

$92,659,0000.03%DNP Select Income Fund Inc.

No change

10,200

$86,496,0000.03%PlayAGS Inc

Closed

11,611

$75,701,000Graftech Intl Ltd Com

Closed

19,058

$72,800,000Wipro Ltd Spons Adr

Opened

11,983

$66,745,0000.02%No transactions foundShowing first 500 out of 271 holdings