V VANGUARD FTSE VEA
9.99% 9.98% $5.7M 115,327 $5.7M 115,327 0 0.00% Unchanged I ISHARES CORE IJR
8.73% 8.73% $5.0M 45,646 $5.0M 45,646 0 0.00% Unchanged I ISHARES TR USMV
6.55% 6.55% $3.7M 53,710 $3.7M 53,710 0 0.00% Unchanged APPLE INC AAPL
4.58% 4.58% $2.6M 21,262 $2.6M 21,262 0 0.00% Unchanged I ISHARES CORE IJH
4.45% 4.45% $2.5M 9,689 $2.5M 9,689 0 0.00% Unchanged V VANGUARD SPECIALIZED FUNDS VIG
3.25% 3.25% $1.8M 12,543 $1.8M 12,543 0 0.00% Unchanged HONEYWELL INTL INC HON
2.83% 2.83% $1.6M 7,405 $1.6M 7,405 0 0.00% Unchanged DANAHER CORP DEL COM DHR
2.23% 2.23% $1.3M 5,617 $1.3M 5,617 0 0.00% Unchanged ABBVIE INC ABBV
2.19% 2.19% $1.2M 11,466 $1.2M 11,466 0 0.00% Unchanged AMAZON COM INC AMZN
1.78% 1.78% $1.0M 327 $1.0M 327 0 0.00% Unchanged BERKSHIRE HATHAWAY INC DEL BRK.B
1.73% 1.73% $982,000 3,844 $982,000 3,844 0 0.00% Unchanged ABBOTT LABORATORIES ABT
1.62% 1.62% $918,000 7,657 $918,000 7,657 0 0.00% Unchanged I ISHARES AAA - A RATED CORPORATE BOND ETF QLTA
1.59% 1.58% $899,000 16,221 $899,000 16,221 0 0.00% Unchanged ALPHABET INC GOOGL
1.57% 1.57% $893,000 433 $893,000 433 0 0.00% Unchanged I ISHARES MSCI EAFE ETF EFA
1.36% 1.36% $770,000 10,151 $770,000 10,151 0 0.00% Unchanged DISNEY WALT CO DIS
1.35% 1.35% $765,000 4,148 $765,000 4,148 0 0.00% Unchanged META PLATFORMS INC META
1.33% 1.33% $752,000 2,553 $752,000 2,553 0 0.00% Unchanged UNITEDHEALTH GROUP INC UNH
1.25% 1.25% $708,000 1,902 $708,000 1,902 0 0.00% Unchanged S SPDR GOLD TR GLD
1.22% 1.22% $692,000 4,325 $692,000 4,325 0 0.00% Unchanged COCA COLA CO KO
1.1% 1.1% $622,000 11,806 $622,000 11,806 0 0.00% Unchanged HUBBELL INC HUBB
1.04% 1.04% $589,000 3,150 $589,000 3,150 0 0.00% Unchanged T TRAVELERS COMPANIES INC COM
0.93% 0.93% $529,000 3,516 $529,000 3,516 0 0.00% Unchanged VERIZON COMMUNICATIONS INC VZ
0.92% 0.91% $519,000 8,921 $519,000 8,921 0 0.00% Unchanged IDEXX LABS INC COM IDXX
0.91% 0.91% $516,000 1,055 $516,000 1,055 0 0.00% Unchanged A Alphabet Inc Class C GOOG
0.9% 0.9% $511,000 247 $511,000 247 0 0.00% Unchanged B BANK OF AMER CORP BAC
0.89% 0.88% $502,000 12,984 $502,000 12,984 0 0.00% Unchanged COLGATE PALMOLIVE CO CL
0.82% 0.82% $464,000 5,890 $464,000 5,890 0 0.00% Unchanged CAMDEN NATL CORP CAC
0.81% 0.81% $458,000 9,575 $458,000 9,575 0 0.00% Unchanged LOWES COS INC COM LOW
0.77% 0.77% $436,000 2,291 $436,000 2,291 0 0.00% Unchanged CISCO SYS INC CSCO
0.77% 0.77% $434,000 8,389 $434,000 8,389 0 0.00% Unchanged S STATE STR SPDR S&P 500 ETF T SPY
0.76% 0.76% $432,000 1,091 $432,000 1,091 0 0.00% Unchanged REAVES UTIL INCOME FD UTG
0.73% 0.73% $416,000 12,411 $416,000 12,411 0 0.00% Unchanged PRICE T ROWE GROUP INC COM TROW
0.73% 0.73% $412,000 2,400 $412,000 2,400 0 0.00% Unchanged DEERE & CO DE
0.71% 0.71% $401,000 1,072 $401,000 1,072 0 0.00% Unchanged ILLINOIS TOOL ITW
0.7% 0.7% $397,000 1,793 $397,000 1,793 0 0.00% Unchanged I ISHARES 1-5 YEAR INVESTMENT GRADE CORPORATE BOND ETF IGSB
0.7% 0.7% $395,000 7,217 $395,000 7,217 0 0.00% Unchanged INTUIT INTU
0.68% 0.68% $383,000 1,001 $383,000 1,001 0 0.00% Unchanged V VANGUARD INDEX FDS VB
0.66% 0.66% $372,000 1,739 $372,000 1,739 0 0.00% Unchanged UNION PAC CORP UNP
0.62% 0.62% $349,000 1,582 $349,000 1,582 0 0.00% Unchanged DOMINION ENERGY INC D
0.6% 0.6% $342,000 4,499 $342,000 4,499 0 0.00% Unchanged I ISHARES INC IEMG
0.58% 0.58% $330,000 5,134 $330,000 5,134 0 0.00% Unchanged V VANGUARD INTL EQUITY INDEX F VT
0.58% 0.58% $330,000 3,390 $330,000 3,390 0 0.00% Unchanged I ISHARES TR IWV
0.58% 0.58% $330,000 1,390 $330,000 1,390 0 0.00% Unchanged STRYKER CORPORATION SYK
0.58% 0.58% $328,000 1,345 $328,000 1,345 0 0.00% Unchanged AIR PRODUCTS AND CHEMICALS I APD
0.55% 0.55% $312,000 1,110 $312,000 1,110 0 0.00% Unchanged S SELECT SECTOR SPDR TR XLK
0.54% 0.54% $305,000 2,299 $305,000 2,299 0 0.00% Unchanged AMGEN INC COM AMGN
0.53% 0.53% $299,000 1,202 $299,000 1,202 0 0.00% Unchanged AUTOMATIC DATA PROCESSING IN ADP
0.52% 0.52% $297,000 1,575 $297,000 1,575 0 0.00% Unchanged MICROSOFT CORP MSFT
0.52% 0.52% $295,000 1,250 $295,000 1,250 0 0.00% Unchanged F FIRST TRUST MORNINGSTAR DIVIDEND LEADERS INDEX FUND TDIV
0.51% 0.51% $290,000 5,370 $290,000 5,370 0 0.00% Unchanged