APPLIED MATLS INC AMAT
13.56% 7.65% $18.6M 25,711 $8.6M 25,213 +498 +1.98% Add GE AEROSPACE GE
6.78% 6.43% $9.3M 24,862 $7.2M 25,502 -640 -2.51% Reduce GE VERNOVA INC GEV
5.55% 5.08% $7.6M 6,473 $5.7M 6,547 -74 -1.13% Reduce JPMORGAN CHASE & CO JPM
5.28% 5.68% $7.2M 22,136 $6.4M 21,756 +380 +1.75% Add APPLE INC AAPL
4.98% 5.45% $6.8M 23,617 $6.1M 24,183 -566 -2.34% Reduce TRUSTCO BK CORP N Y TRST
3.74% 3.6% $5.1M 93,341 $4.1M 92,563 +778 +0.84% Add MICROSOFT CORP MSFT
3.63% 4.21% $5.0M 13,360 $4.7M 12,820 +540 +4.21% Add JOHNSON & JOHNSON JNJ
3.62% 4.19% $5.0M 19,555 $4.7M 19,295 +260 +1.35% Add ABBVIE INC ABBV
3.41% 3.59% $4.7M 18,576 $4.0M 18,576 0 0.00% Unchanged EXXON MOBIL CORP XOM
3% 4.56% $4.1M 30,102 $5.1M 30,252 -150 -0.50% Reduce INTEL CORP INTC
2.45% 0.96% $3.4M 24,097 $1.1M 24,497 -400 -1.63% Reduce COCA COLA CO KO
2.44% 2.78% $3.3M 41,149 $3.1M 41,181 -32 -0.08% Reduce AMERICAN EXPRESS CO AXP
2.29% 2.45% $3.1M 9,275 $2.8M 9,125 +150 +1.64% Add WALMART INC WMT
1.88% 2.51% $2.6M 22,748 $2.8M 22,778 -30 -0.13% Reduce RTX CORPORATION RTX
1.72% 2.13% $2.4M 12,434 $2.4M 12,434 0 0.00% Unchanged CHEVRON CORPORATION CVX
1.66% 2.58% $2.3M 13,753 $2.9M 14,018 -265 -1.89% Reduce PROCTER & GAMBLE CO PG
1.66% 2.03% $2.3M 15,492 $2.3M 15,833 -341 -2.15% Reduce CISCO SYS INC CSCO
1.58% 1.24% $2.2M 18,430 $1.4M 18,030 +400 +2.22% Add ELI LILLY & CO LLY
1.5% 1.38% $2.1M 1,713 $1.6M 1,688 +25 +1.48% Add TEXAS INSTRS INC TXN
1.4% 1.09% $1.9M 6,428 $1.2M 6,333 +95 +1.50% Add MCDONALDS CORP MCD
1.32% 1.77% $1.8M 6,709 $2.0M 6,409 +300 +4.68% Add PEPSICO INC PEP
1.26% 1.76% $1.7M 12,728 $2.0M 12,728 0 0.00% Unchanged ABBOTT LABORATORIES ABT
1.2% 1.73% $1.6M 18,115 $1.9M 18,970 -855 -4.51% Reduce CATERPILLAR INC CAT
1.11% 0.94% $1.5M 1,428 $1.1M 1,488 -60 -4.03% Reduce I INTERNATIONAL BUSINESS MACHS IBM
0.97% 1.01% $1.3M 4,731 $1.1M 4,706 +25 +0.53% Add I INVESCO QQQ TR QQQ
0.96% 0.93% $1.3M 1,796 $1.0M 1,808 -12 -0.66% Reduce ORACLE CORP ORCL
0.96% 1.18% $1.3M 8,978 $1.3M 9,049 -71 -0.78% Reduce MERCK & CO INC MRK
0.92% 1.01% $1.3M 9,841 $1.1M 9,491 +350 +3.69% Add LOWES COS INC COM LOW
0.91% 1.19% $1.2M 5,663 $1.3M 5,683 -20 -0.35% Reduce EMERSON ELEC CO EMR
0.84% 0.94% $1.1M 8,000 $1.1M 8,100 -100 -1.23% Reduce A Alphabet Inc Class C GOOG
0.81% 0.8% $1.1M 3,146 $902,462 3,146 0 0.00% Unchanged COLGATE PALMOLIVE CO CL
0.78% 0.73% $1.1M 11,706 $820,765 9,630 +2,076 +21.56% Add META PLATFORMS INC META
0.78% 0.86% $1.1M 1,896 $970,332 1,696 +200 +11.79% Add NORFOLK SOUTHN CORP COM NSC
0.77% 0.53% $1.1M 3,361 $594,377 2,071 +1,290 +62.29% Add SOUTHERN CO SO
0.76% 0.85% $1.0M 10,940 $957,672 9,922 +1,018 +10.26% Add DISNEY WALT CO DIS
0.74% 1.01% $1.0M 10,597 $1.1M 11,807 -1,210 -10.25% Reduce HOME DEPOT INC HD
0.74% 0.81% $1.0M 2,871 $911,355 2,771 +100 +3.61% Add JOHNSON CONTROLS INTERNATION JCI
0.58% 0.61% $801,851 5,488 $685,918 5,238 +250 +4.77% Add STATE STR CORP COM STT
0.57% 0.5% $785,249 4,630 $560,660 4,430 +200 +4.51% Add V VANGUARD INDEX FDS VOO
0.57% 0.6% $776,782 1,131 $675,829 1,131 0 0.00% Unchanged MASCO CORP MAS
0.56% 0.51% $766,913 9,425 $568,988 9,425 0 0.00% Unchanged BERKSHIRE HATHAWAY INC DEL BRK.B
0.53% 0.62% $728,567 1,456 $697,714 1,456 0 0.00% Unchanged PHILIP MORRIS INTL INC PM
0.51% 0.56% $693,790 3,835 $634,079 3,835 0 0.00% Unchanged TARGET CORP COM TGT
0.5% 0.57% $692,365 5,301 $642,481 5,301 0 0.00% Unchanged AUTOMATIC DATA PROCESSING IN ADP
0.5% 0.54% $688,870 3,076 $604,662 2,976 +100 +3.36% Add 3M CO COM MMM
0.41% 0.46% $565,068 3,490 $514,116 3,540 -50 -1.41% Reduce ALPHABET INC GOOGL
0.4% 0.4% $552,852 1,547 $444,854 1,547 0 0.00% Unchanged GENERAL MILLS INC COM GIS
0.36% 0.48% $493,325 14,176 $534,889 14,371 -195 -1.36% Reduce ECOLAB INC ECL
0.33% 0.38% $451,350 1,620 $430,952 1,620 0 0.00% Unchanged ALLSTATE CORP ALL
0.33% 0.35% $449,706 1,890 $391,872 1,890 0 0.00% Unchanged