0001626757-21-000002.txt : 20210210
0001626757-21-000002.hdr.sgml : 20210210
20210209204213
ACCESSION NUMBER: 0001626757-21-000002
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 2
CONFORMED PERIOD OF REPORT: 20201231
FILED AS OF DATE: 20210210
DATE AS OF CHANGE: 20210209
EFFECTIVENESS DATE: 20210210
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: NIXON PEABODY TRUST CO
CENTRAL INDEX KEY: 0001626757
IRS NUMBER: 542189916
STATE OF INCORPORATION: ME
FISCAL YEAR END: 1231
FILING VALUES:
FORM TYPE: 13F-HR
SEC ACT: 1934 Act
SEC FILE NUMBER: 028-17066
FILM NUMBER: 21608757
BUSINESS ADDRESS:
STREET 1: 53 STATE STREET
STREET 2: 29TH FLOOR
CITY: BOSTON
STATE: MA
ZIP: 02109-2835
BUSINESS PHONE: 617-345-1309
MAIL ADDRESS:
STREET 1: 53 STATE STREET
STREET 2: 29TH FLOOR
CITY: BOSTON
STATE: MA
ZIP: 02109-2835
FORMER COMPANY:
FORMER CONFORMED NAME: Watch Point Trust Co
DATE OF NAME CHANGE: 20141201
13F-HR
1
primary_doc.xml
13F-HR
LIVE
false
true
false
0001626757
XXXXXXXX
12-31-2020
12-31-2020
NIXON PEABODY TRUST CO
53 STATE STREET
29TH FLOOR
BOSTON
MA
02109-2835
13F HOLDINGS REPORT
028-17066
N
Dennis Kushmerek
Relationship Manager
617-345-6136
Dennis Kushmerek
Boston
MA
02-09-2021
0
122
237026
false
INFORMATION TABLE
2
13F20201231NPTC.xml
NPTC 4Q 2021
ADOBE SYS LTDCommon Stock00724F1016851369SHOTR013690ADOBE SYS LTDCommon Stock00724F10133366670SHSOLE066700AIR PRODS & CHEMS INC COMCommon Stock00915810627100SHOTR01000AIR PRODS & CHEMS INC COMCommon Stock0091581064051484SHSOLE014840ALNYLAM PHARMACEUTICALS INC COMCommon Stock02043Q1072602000SHSOLE020000ALPHABET INC CCommon Stock02079K107846483SHOTR04830ALPHABET INC CCommon Stock02079K10735842046SHSOLE020460ALPHABET INC ACommon Stock02079K305450257SHOTR02570ALPHABET INC ACommon Stock02079K30546162634SHSOLE026340AMAZON.COM INCCommon Stock0231351061423437SHOTR04370AMAZON.COM INCCommon Stock02313510693572873SHSOLE028730AMERICAN TOWER REIT COMReal Estate Investment Trusts03027X1003491555SHOTR015550AMERICAN TOWER REIT COMReal Estate Investment Trusts03027X100233110387SHSOLE0103870APPLE INCCommon Stock037833100263719870SHOTR0198700APPLE INCCommon Stock03783310013991105444SHSOLE01054440BANK OF AMERICA CORP COMCommon Stock06050510460419930SHOTR0199300BANK OF AMERICA CORP COMCommon Stock0605051043286108427SHSOLE01084270BERKSHIRE HATHAWAY CL BCommon Stock084670702116502SHOTR05020BERKSHIRE HATHAWAY CL BCommon Stock0846707023281415SHSOLE014150BOOKING HOLDINGS INCCommon Stock09857L108635285SHOTR02850BOOKING HOLDINGS INCCommon Stock09857L10845772055SHSOLE020550CVS HEALTH CORPORATIONCommon Stock1266501004736930SHOTR069300CVS HEALTH CORPORATIONCommon Stock126650100366353635SHSOLE0536350CHURCH & DWIGHT CO INC COMCommon Stock17134010214160SHOTR01600CHURCH & DWIGHT CO INC COMCommon Stock171340102722482820SHSOLE0828200COCA COLA CO COMCommon Stock19121610055310075SHOTR0100750COCA COLA CO COMCommon Stock191216100329660101SHSOLE0601010COMCAST CORP NEW CL ACommon Stock20030N10186216459SHOTR0164590COMCAST CORP NEW CL ACommon Stock20030N101470089694SHSOLE0896940DANAHER CORPCommon Stock2358511028293732SHOTR037320DANAHER CORPCommon Stock235851102497122379SHSOLE0223790DISNEY WALT CO COMCommon Stock2546871067023873SHOTR038730DISNEY WALT CO COMCommon Stock254687106439224240SHSOLE0242400EDWARDS LIFESCIENCES CORPCommon Stock28176E1082032226SHSOLE022260FACEBOOK INC ACommon Stock30303M1026522386SHOTR023860FACEBOOK INC ACommon Stock30303M102443916251SHSOLE0162510GENERAL DYNAMICS CORP COMCommon Stock3695501084553056SHOTR030560GENERAL DYNAMICS CORP COMCommon Stock369550108218314671SHSOLE0146710HOME DEPOT INC COMCommon Stock4370761026782554SHOTR025540HOME DEPOT INC COMCommon Stock4370761028933362SHSOLE033620HONEYWELL INTL INC COMCommon Stock4385161062511179SHSOLE011790INTEL CORP COMCommon Stock45814010066513353SHOTR0133530INTEL CORP COMCommon Stock458140100391878639SHSOLE0786390INTERCONTINENTAL EXCHANGE INCCommon Stock45866F1044313740SHOTR037400INTERCONTINENTAL EXCHANGE INCCommon Stock45866F104368431951SHSOLE0319510ISHARES GOLD TRUST ETFCommodity Funds - ETF46428510524313430SHSOLE0134300ISHARES CORE US AGGREGATE BOND ETFFixed Income Funds - ETF4642872263172682SHSOLE026820ISHARES MSCI EMERGING MARK INDEX FDEmerging Markets - ETF4642872342745300SHOTR053000ISHARES MSCI EMERGING MARK INDEX FDEmerging Markets - ETF46428723459511525SHSOLE0115250ISHARES TR MSCI EAFE INDEX FDInternational Equity - ETF46428746576710514SHOTR0105140ISHARES TR MSCI EAFE INDEX FDInternational Equity - ETF464287465232031792SHSOLE0317920ISHARES RUSSELL MID CAP ETFMid Cap Fund - ETF46428749993413630SHSOLE0136300ISHARES RUSSELL 2000 INDEX FUNDSmall Cap Funds - ETF46428765569350SHOTR03500ISHARES RUSSELL 2000 INDEX FUNDSmall Cap Funds - ETF4642876557373757SHSOLE037570ISHARES TRSmall Cap Funds - ETF46428780495910440SHOTR0104400ISHARES TRSmall Cap Funds - ETF464287804183119929SHSOLE0199290ISHARES NATIONAL MUNI BOND ETFMunicipal Bond Funds - ETF4642884143262783SHSOLE027830JPMORGAN CHASE & CO COMCommon Stock46625H1008766890SHOTR068900JPMORGAN CHASE & CO COMCommon Stock46625H100593546707SHSOLE0467070JOHNSON & JOHNSON COMCommon Stock478160104425SHOTR0250JOHNSON & JOHNSON COMCommon Stock4781601043582276SHSOLE022760ESTEE LAUDER COMPANIES INC ACommon Stock5184391045702140SHOTR021400ESTEE LAUDER COMPANIES INC ACommon Stock518439104325412225SHSOLE0122250LOWES COS INC COMCommon Stock5486611071831140SHOTR011400LOWES COS INC COMCommon Stock548661107340621217SHSOLE0212170MASTERCARD INC ACommon Stock57636Q1044371225SHOTR012250MASTERCARD INC ACommon Stock57636Q104522714644SHSOLE0146440MERCK & CO INC COMCommon Stock58933Y1051722100SHOTR021000MERCK & CO INC COMCommon Stock58933Y105208525489SHSOLE0254890MICROSOFT CORP COMCommon Stock59491810416407372SHOTR073720MICROSOFT CORP COMCommon Stock5949181041166152429SHSOLE0524290NEXTERA ENERGY INC COMCommon Stock65339F1014756160SHOTR061600NEXTERA ENERGY INC COMCommon Stock65339F101303639349SHSOLE0393490NOVARTIS AG SPONSORED ADRForeign Stock66987V1096126476SHOTR064760NOVARTIS AG SPONSORED ADRForeign Stock66987V109353537436SHSOLE0374360NVIDIA CORPCommon Stock67066G104394755SHOTR07550NVIDIA CORPCommon Stock67066G10425764933SHSOLE049330PAYPAL HOLDINGS INCCommon Stock70450Y1034832061SHOTR020610PAYPAL HOLDINGS INCCommon Stock70450Y103285712199SHSOLE0121990PEPSICO INC COMCommon Stock7134481087114793SHOTR047930PEPSICO INC COMCommon Stock713448108339222873SHSOLE0228730T ROWE PRICE GROUP INCCommon Stock74144T1085803834SHOTR038340T ROWE PRICE GROUP INCCommon Stock74144T10814599636SHSOLE096360PROCTER & GAMBLE CO COMCommon Stock7427181098205896SHOTR058960PROCTER & GAMBLE CO COMCommon Stock742718109368526481SHSOLE0264810PROVIDENT BANCORP INCCommon Stock74383L10584370212SHSOLE0702120ROCKWELL AUTOMATION INC COMCommon Stock7739031096502590SHOTR025900ROCKWELL AUTOMATION INC COMCommon Stock773903109441417597SHSOLE0175970ROPER INDUSTRIES INCCommon Stock7766961065081178SHOTR011780ROPER INDUSTRIES INCCommon Stock77669610629216776SHSOLE067760SPDR S&P 500 ETF TRUSTEquity Funds - ETF78462F10333548972SHSOLE089720SPDR S&P MIDCAP 400 ETF TRUSTMid Cap Fund - ETF78467Y10720244820SHOTR048200SPDR S&P MIDCAP 400 ETF TRUSTMid Cap Fund - ETF78467Y10725456060SHSOLE060600SPDR NUVEEN BLMBG BARCLAYS ST MUNI ETFMunicipal Bond Funds - ETF78468R73977215500SHSOLE0155000SALESFORCE COM INCCommon Stock79466L3028263711SHOTR037110SALESFORCE COM INCCommon Stock79466L302545424510SHSOLE0245100MATERIALS SELECT SECTOREquity Funds - ETF81369Y1002243100SHOTR031000ENERGY SELECT SECTOR SPDR ETFEquity Funds - ETF81369Y50656915000SHSOLE0150000TECHNOLOGY SELECT SECTOR SPDR ETFEquity Funds - ETF81369Y8034163200SHSOLE032000STRYKER CORP COMCommon Stock8636671017062880SHOTR028800STRYKER CORP COMCommon Stock863667101499220374SHSOLE0203740TJX COMPANIES INC COMCommon Stock87254010973810813SHOTR0108130TJX COMPANIES INC COMCommon Stock872540109449065746SHSOLE0657460THERMO FISHER SCIENTIFICCommon Stock883556102126270SHOTR02700THERMO FISHER SCIENTIFICCommon Stock883556102486210438SHSOLE0104380TRAVELERS COS INCCommon Stock89417E1095483905SHOTR039050TRAVELERS COS INCCommon Stock89417E109292620844SHSOLE0208440US BANCORP COMCommon Stock90297330450210777SHOTR0107770US BANCORP COMCommon Stock902973304193841588SHSOLE0415880UNION PAC CORP COMCommon Stock9078181084031937SHSOLE019370UNITED PARCEL SERVICE INC CL BCommon Stock9113121062691600SHOTR016000UNITED PARCEL SERVICE INC CL BCommon Stock9113121068665140SHSOLE051400VANGUARD TOTAL STOCK MKTEquity Funds - ETF9229087698744491SHSOLE044910VERIZON COMMUNICATIONS INC COMCommon Stock92343V1045799855SHOTR098550VERIZON COMMUNICATIONS INC COMCommon Stock92343V104356360641SHSOLE0606410VISA INCCommon Stock92826C8393101416SHSOLE014160WASTE MGMT INC DELCommon Stock94106L1096465475SHOTR054750WASTE MGMT INC DELCommon Stock94106L109416635327SHSOLE0353270LINDE PLCCommon StockG5494J10386325SHOTR03250LINDE PLCCommon StockG5494J103177670SHSOLE06700MEDTRONIC PLCCommon StockG5960L1035344556SHOTR045560MEDTRONIC PLCCommon StockG5960L103343629336SHSOLE0293360