NBT BANK N A /NY

NBT BANK N A /NY latest Q4_2020 13F filings reported $657,458,000 in market value on this 2021-01-15 report date . The portfolio quarterly return is 9.41%. This fund has 228 securities concentrations of 100% weights.

NBT BANK N A /NY largest holding is Apple Inc. with weight of 5.19% and $34,134,000 in market value. The portfolio return is computed based on the amount invested in the new quarter. The following shows the portfolio details.

Portfolio Performance History

FILE DATEREPORT PERIODQTR YEARFILE TYPENOS. OF STOCKSREPORTED VALUERETURN
2021-01-152020-12-31Q4_202013F-HR228$657,458,0009.41%
2020-10-292020-09-30Q3_202013F-HR219$600,929,0007.12%
2020-07-222020-06-30Q2_202013F-HR212$561,000,00014.66%
2020-04-232020-03-31Q1_202013F-HR202$489,287,000-23.00%
2020-02-052019-12-31Q4_201913F-HR221$635,418,00011.24%
2019-11-122019-09-30Q3_201913F-HR190$571,197,0002.21%
2019-08-072019-06-30Q2_201913F-HR186$558,872,0001.75%
2019-05-062019-03-31Q1_201913F-HR180$549,265,000-11.23%
2019-02-142018-12-31Q4_201813F-HR184$618,784,0000.09%
2018-11-092018-09-30Q3_201813F-HR185$618,208,00010.63%
2018-07-312018-06-30Q2_201813F-HR180$558,784,000-8.57%
2018-05-222018-03-31Q1_201813F-HR195$611,142,000-3.71%
2018-02-142017-12-31Q4_201713F-HR196$634,706,0001.44%
2017-11-072017-09-30Q3_201713F-HR202$625,675,0001.89%
2017-08-082017-06-30Q2_201713F-HR200$614,071,0001.91%
2017-04-252017-03-31Q1_201713F-HR205$602,547,0003.61%
2017-02-102016-12-31Q4_201613F-HR202$581,577,0001.22%
2016-10-272016-09-30Q3_201613F-HR204$574,580,0000.35%
2016-08-052016-06-30Q2_201613F-HR197$572,571,0000.65%

Portfolio Details

Stock NameTickersValueCurrent Value (x1000)Change Value %WeightComputed PriceShares Change %Current Shares
APPLE INCAAPLINCR$34,1340.13%5.19%$132.69-0.02%257,247
FlexShares Mstar Glbl Upstrm Nat ResGUNRINCR$33,7760.11%5.14%$32.54-0.06%1,037,976
MICROSOFT CORPMSFTINCR$25,3890.03%3.86%$222.42-0.03%114,151
ISHARES TREFGINCR$20,6660.10%3.14%$100.91-0.02%204,796
J P MORGAN CHASE & CO COMJPMINCR$14,8680.24%2.26%$127.08-0.06%117,001
PROCTER AND GAMBLE COPGDECR$14,524-0.10%2.21%$139.14-0.10%104,381
JOHNSON & JOHNSONJNJINCR$14,4290.02%2.19%$157.37-0.03%91,687
LOWES COS INCLOWDECR$11,804-0.05%1.80%$160.52-0.02%73,536
MCDONALDS CORPMCDDECR$10,801-0.03%1.64%$214.56-0.01%50,340
DISNEY WALT CODISINCR$10,5640.47%1.61%$181.180.00%58,306
PEPSICO INCPEPINCR$9,9550.05%1.51%$148.29-0.02%67,130
SPDR SERIE DIVIDEND ETFSDYINCR$9,7890.05%1.49%$105.93-0.09%92,409
ISHARES TRIEGAINCR$9,1290.15%1.39%$69.080.00%132,143
VANGUARD INDEX FDSVOODECR$8,785-0.25%1.34%$343.70-0.33%25,560
ABBOTT LABSABTDECR$8,699-0.04%1.32%$109.49-0.05%79,450
SPDR S&P MIDCAP 400 ETF TR ZMDYINCR$8,2120.20%1.25%$419.90-0.03%19,557
NBT BANCORP INCNBTBDECR$8,118-0.20%1.23%$32.10-0.33%252,881
ALPHABET INCGOOGINCR$7,9780.20%1.21%$1751.870.01%4,554
UNION PAC CORPUNPINCR$7,8010.05%1.19%$208.230.00%37,464
SCHWAB US DIVIDEND EQUITY ETFSCHDINCR$7,6700.16%1.17%$64.140.00%119,588
DANAHER CORPORATIONDHRINCR$7,3450.01%1.12%$222.13-0.02%33,066
INTEL CORPINTCDECR$6,836-0.15%1.04%$49.82-0.12%137,211
EXXON MOBIL CORPXOMINCR$6,6500.12%1.01%$41.22-0.06%161,335
PFIZER COMPANY INCPFEINCR$6,5070.03%0.99%$36.810.02%176,765
BRISTOL MYERS SQUIBB COBMYDECR$6,474-0.06%0.98%$62.04-0.09%104,358
ISHARES TRIWMINCR$6,3810.30%0.97%$196.07-0.01%32,545
CHEVRON CORP NEWCVXINCR$6,2870.12%0.96%$84.45-0.04%74,444
PRICE T ROWE GROUP INCTROWINCR$6,2770.18%0.95%$151.400.00%41,461
QUALCOMM INCORPORATEDQCOMINCR$6,1660.30%0.94%$152.340.01%40,475
TARGET CORPTGTINCR$6,1950.12%0.94%$176.530.00%35,094
VERIZON COMMUNICATIONS INCVZDECR$5,938-0.05%0.90%$58.75-0.04%101,073
ISHARES TRIBBINCR$5,7620.13%0.88%$151.500.01%38,034
HONEYWELL INTL INCHONINCR$5,5610.29%0.85%$212.710.00%26,144
CISCO SYSTEMSCSCOINCR$5,4630.17%0.83%$44.750.03%122,081
DEERE & CODEINCR$5,4700.22%0.83%$269.050.01%20,331
AUTOMATIC DATA PROCESSINGADPINCR$5,2520.26%0.80%$176.200.00%29,807
ISHARES INCIEMGINCR$5,2640.31%0.80%$62.040.12%84,846
MERCK & CO INC NEWMRKDECR$5,195-0.02%0.79%$81.790.00%63,515
SPDR PORTFOLIO DEVELOPED WORLD EX-US ETFSPDWINCR$5,1640.10%0.79%$33.75-0.05%153,021
S & P DEPOSITORY RECEIPTSSPYINCR$5,2220.12%0.79%$373.880.00%13,967
ISHARES TREEMINCR$5,1390.16%0.78%$51.67-0.01%99,451
TJX COMPANIES, INC.TJXINCR$5,0960.26%0.78%$68.290.03%74,623
FLEXSHARES TR NFRAINCR$4,9390.20%0.75%$53.760.11%91,867
UNITEDHEALTH GROUP INCUNHINCR$4,9000.14%0.75%$350.680.01%13,973
RAYTHEON TECHNOLOGIES CORP USD 1.0RTXINCR$4,7790.23%0.73%$71.52-0.01%66,825
ABBVIE INCABBVINCR$4,6870.17%0.71%$107.15-0.04%43,742
BERKSHIRE HATHAWAY INC NEWBRK/BINCR$4,6730.12%0.71%$231.830.03%20,157
ISHARES MSCI EAFE SMALL-CAP ETFSCZINCR$4,6680.25%0.71%$68.350.07%68,295
NEXTERA ENERGY INC COMNEEINCR$4,6870.12%0.71%$77.163.01%60,742
ISHARES MSCI EAFE ETFEFAINCR$4,5200.13%0.69%$72.96-0.02%61,953
CATERPILLAR INCCATINCR$4,3780.25%0.67%$182.000.02%24,055
ALPHABET INC USD 0.001 CLS AGOOGLINCR$4,0790.17%0.62%$1752.90-0.02%2,327
CVS HEALTH CORPORATIONCVSINCR$3,9320.23%0.60%$68.310.05%57,562
NIKE INCNKEINCR$3,9570.11%0.60%$141.45-0.02%27,974
INTERNATIONAL BUSINESS MACHINE COMPANYIBMINCR$3,8750.00%0.59%$125.89-0.03%30,781
COCA COLA COKODECR$3,730-0.09%0.57%$54.83-0.18%68,030
WALMART INCWMTINCR$3,7510.03%0.57%$144.170.00%26,018
LOCKHEED MARTIN CORPLMTDECR$3,481-0.05%0.53%$354.910.03%9,808
ORACLE SYSTEMSORCLINCR$3,3000.05%0.50%$64.68-0.03%51,022
VISA INCVINCR$3,2970.18%0.50%$218.690.08%15,076
MICROCHIP TECHNOLOGY INC.MCHPINCR$3,2410.34%0.49%$138.10-0.01%23,468
AT&T INCTINCR$3,1480.02%0.48%$28.760.01%109,440
SCHWAB INTERNATIONAL EQUITY ETFSCHFINCR$3,1273.51%0.48%$36.012.93%86,829
AMAZON COM INCAMZNINCR$3,0870.04%0.47%$3256.330.01%948
VANGUARD SCOTTSDALE FDSVCITINCR$3,1020.14%0.47%$97.140.12%31,934
PHILIP MORRIS INTL INCPMINCR$3,0290.08%0.46%$82.80-0.02%36,583
SELECT SECTOR SPDR TRXLKINCR$3,0070.07%0.46%$130.00-0.04%23,131
SPDR SER TRKREINCR$2,9310.48%0.45%$51.940.02%56,428
AMERICAN WTR WKS CO INC NEWAWKINCR$2,8010.06%0.43%$153.450.00%18,253
ISHARES TRPFFINCR$2,8050.10%0.43%$38.520.04%72,826
NORFOLK SOUTHN CORPNSCINCR$2,8490.10%0.43%$237.58-0.01%11,992
BOEING COBAINCR$2,7620.21%0.42%$214.03-0.07%12,905
SALESFORCE.COMCRMDECR$2,748-0.06%0.42%$222.530.07%12,349
FACEBOOK INCFBINCR$2,6760.08%0.41%$273.170.03%9,796
SELECT SECTOR SPDR TRXLUINCR$2,6830.11%0.41%$62.700.05%42,789
LINDE PLC EUR 0.001LININCR$2,6130.08%0.40%$263.49-0.03%9,917
HOME DEPOT INCHDDECR$2,510-0.08%0.38%$265.64-0.04%9,449
NOVARTIS AG SPONSORED ADRNVSINCR$2,2710.08%0.35%$94.44-0.01%24,046
GRAINGER W W INC USD 0.5GWWINCR$2,2540.12%0.34%$408.33-0.02%5,520
AIR PRODUCTS & CHEMICALS INCAPDDECR$2,168-0.09%0.33%$273.19-0.01%7,936
ECOLAB INCECLINCR$2,1810.06%0.33%$216.28-0.02%10,084
MEDTRONIC PLC USD 0.1MDTINCR$2,1840.17%0.33%$117.140.04%18,644
SELECT SECTOR SPDR TRXLREINCR$2,1580.05%0.33%$36.560.01%59,027
3M COMMMINCR$2,1350.14%0.32%$174.770.04%12,216
GOLDMAN SACHS GROUPGSINCR$2,1290.35%0.32%$263.690.03%8,074
ISHARES TR S&P MIDCAP 400 INDEX FUNDIJHINCR$2,1250.19%0.32%$229.83-0.04%9,246
SELECT SECTOR SPDR TRXLBINCR$2,1060.14%0.32%$72.400.00%29,088
DUPONT DE NEMOURS INC USD 0.01DDINCR$2,0500.27%0.31%$71.13-0.01%28,821
PRUDENTIAL FINANCIALPRUINCR$2,0170.27%0.31%$78.080.03%25,832
VANGUARD INTL EQUITY INDEX FVWOINCR$2,0380.16%0.31%$50.110.00%40,669
WISDOMTREE U.S. MIDCAP DIVIDEND FUNDDONINCR$2,0460.20%0.31%$34.800.00%58,800
COLGATE PALMOLIVE COCLINCR$1,9420.06%0.30%$85.54-0.04%22,702
ALTRIA GROUP INCMOINCR$1,9230.05%0.29%$41.01-0.01%46,895
AUTOLIV INCALVINCR$1,8910.17%0.29%$92.13-0.07%20,526
CARRIER GLOBAL CORPORAITON USD 0.01CARRINCR$1,9330.14%0.29%$37.73-0.08%51,234
DOMINION ENERGY INCDDECR$1,926-0.09%0.29%$75.21-0.05%25,608
ISHARES TRHYGINCR$1,9110.52%0.29%$87.280.46%21,895
SCHWAB US AGGREGATE BOND ETFSCHZINCR$1,9260.44%0.29%$56.030.44%34,375
SOUTHERN COSOINCR$1,8980.14%0.29%$61.430.01%30,899
VANECK VECTORS AGRIBUSINESS ETFMOOINCR$1,8890.19%0.29%$77.880.03%24,254
COMCAST CORP NEWCMCSAINCR$1,8610.20%0.28%$52.380.06%35,526
SELECT SECTOR SPDR TRXLYINCR$1,8690.06%0.28%$160.79-0.03%11,624
CLOROX CO DELCLXDECR$1,644-0.08%0.25%$201.89-0.05%8,143
OTIS WORLDWIDE CORPORATION USD 0.01OTISDECR$1,6660.00%0.25%$67.54-0.08%24,667
SCHWAB U.S. SMALL-CAP ETFSCHAINCR$1,6660.27%0.25%$89.02-0.02%18,715
ACTIVISION BLIZZARD INCATVIINCR$1,5490.21%0.24%$92.820.05%16,688
MONDELEZ INTERNATIONAL INCMDLZINCR$1,5640.02%0.24%$58.490.00%26,738
ISHARES TR IYZINCR$1,5400.31%0.23%$30.220.18%50,958
DOW HOLDINGS INC USD 0.01DOWINCR$1,4780.16%0.22%$55.51-0.02%26,627
EMERSON ELEC COEMRINCR$1,4160.22%0.22%$80.390.00%17,614
SPDR DOW JONES INDL AVERAGEDIAINCR$1,4170.10%0.22%$305.780.00%4,634
VANGUARD INDEX FDSVNQINCR$1,4260.04%0.22%$84.95-0.03%16,786
WELLS FARGO CO NEWWFCINCR$1,4380.10%0.22%$30.18-0.15%47,645
LILLY ELI & COLLYDECR$1,391-0.13%0.21%$168.81-0.24%8,240
US BANCORP DEL COMPANYUSBINCR$1,2710.28%0.19%$46.59-0.02%27,278
COSTCO WHSL CORP NEWCOSTINCR$1,1550.13%0.18%$376.710.06%3,066
EATON CORP PLCETNINCR$1,1680.15%0.18%$120.10-0.02%9,725
SELECT SECTOR SPDR TRXLIINCR$1,2040.12%0.18%$88.54-0.03%13,598
GENERAL MLS INCGISDECR$1,089-0.12%0.17%$58.84-0.08%18,508
PAYPAL HLDGS INCPYPLINCR$1,0890.19%0.17%$234.340.00%4,647
CITIGROUP INC COM NEWCINCR$1,0820.31%0.16%$61.65-0.08%17,552
SELECT SECTOR SPDR TRXLFINCR$1,0320.23%0.16%$29.490.00%34,993
SELECT SECTOR SPDR TRXLVINCR$1,0710.04%0.16%$113.50-0.04%9,436
AMERICAN EXPRESS COMPANYAXPINCR$9590.19%0.15%$120.89-0.02%7,933
AMGENAMGNDECR$983-0.10%0.15%$229.940.00%4,275
CORNING INCGLWINCR$9720.03%0.15%$35.99-0.07%27,011
NYF - iShares S&P New York AMT-Free Bond FNYFINCR$1,0130.13%0.15%$58.250.11%17,392
UNITED PARCEL SERVICEUPSINCR$1,0080.02%0.15%$168.390.01%5,986
BK OF AMERICA CORPBACINCR$9240.12%0.14%$30.31-0.11%30,488
BAXTER INTERNATIONAL INCBAXDECR$899-0.02%0.14%$80.18-0.01%11,212
GENERAL DYNAMICS CORPGDINCR$9060.03%0.14%$148.70-0.04%6,093
INTERCONTINENTAL EXCHANGE INICEINCR$9360.15%0.14%$115.270.00%8,120
SCHLUMBERGER LTDSLBINCR$9180.30%0.14%$21.85-0.08%42,013
FLEXSHARES INTERNATIONAL QUALITY DIVIDEND INDEX FUNDIQDFINCR$8530.41%0.13%$24.170.21%35,285
SYSCO CORPORATIONSYYINCR$8730.07%0.13%$74.26-0.11%11,756
ZIMMER BIOMET HOLDINGS INCZBHINCR$8250.11%0.13%$154.09-0.02%5,354
NUCOR CORPNUEINCR$7890.11%0.12%$53.15-0.07%14,844
SPDR PORTFOLIO INTERMEDIATE TERM CORPORATE BOND ETFSPIBDECR$704-0.03%0.11%$37.18-0.05%18,934
SELECT SECTOR SPDR TRXLPINCR$6610.02%0.10%$67.41-0.03%9,806
FISERV INCFISVINCR$6360.10%0.10%$114.02-0.01%5,578
FLEXSHARES TRGQREINCR$6830.44%0.10%$57.590.32%11,860
GENERAL ELECTRIC COMPANYGEINCR$6630.70%0.10%$10.81-0.02%61,324
KIMBERLY-CLARK CORPKMBDECR$642-0.10%0.10%$134.79-0.02%4,763
STARBUCKS CORPSBUXINCR$6820.24%0.10%$106.96-0.01%6,376
BECTON DICKINSON & COBDXINCR$6030.07%0.09%$250.210.00%2,410
GILEAD SCIENCES INCGILDINCR$5690.03%0.09%$58.300.12%9,760
NVIDIA CORPORATIONNVDADECR$566-0.07%0.09%$521.66-0.04%1,085
S&P GLOBAL INCSPGIDECR$559-0.09%0.09%$328.820.00%1,700
THERMO FISHER SCIENTIFIC INCTMOINCR$6130.07%0.09%$465.810.01%1,316
WISDOMTREE SMALL CAP DIVIDEND ETFDESDECR$5780.00%0.09%$26.62-0.21%21,716
XYLEM INCXYLINCR$5830.18%0.09%$101.76-0.02%5,729
ISHARES CORE HIGH DIVIDEND ETFHDVINCR$5691.17%0.09%$87.730.99%6,486
BANK NEW YORK MELLON CORPBKINCR$4950.24%0.08%$42.490.00%11,651
VANGUARD BD INDEX FDSBNDINCR$5200.11%0.08%$88.270.11%5,891
ARROW FINL CORPAROWINCR$4410.35%0.07%$29.890.14%14,756
BEST BUY INCBBYDECR$474-0.13%0.07%$99.60-0.02%4,759
CSX CORPCSXINCR$4710.17%0.07%$90.730.00%5,191
DTE ENERGY CODTEINCR$4310.05%0.07%$121.270.00%3,554
DUKE ENERGY CORP NEWDUKDECR$457-0.23%0.07%$91.40-0.25%5,000
FORTIVE CORP USD 0.01FTVDECR$482-0.17%0.07%$70.89-0.11%6,799
GLAXOSMITHKLINE PLCGSKDECR$458-0.03%0.07%$36.750.00%12,463
ILLINOIS TOOL WORKS INC USD 0.01ITWINCR$4550.05%0.07%$204.040.00%2,230
ISHARES TRIJRINCR$4400.41%0.07%$91.880.07%4,789
MASTERCARD INCORPORATEDMAINCR$4320.05%0.07%$357.020.00%1,210
METLIFE INCMETINCR$4300.24%0.07%$46.92-0.02%9,164
QUANTA SVCS INCPWRINCR$4860.36%0.07%$72.000.00%6,750
VEONEER INCVNEINCR$4920.45%0.07%$21.290.00%23,106
YUM BRANDS INCYUMINCR$4930.11%0.07%$108.47-0.07%4,545
ACCENTURE PLCACNINCR$4090.16%0.06%$261.680.00%1,563
BLACKROCK INC USD 0.01BLKINCR$3940.30%0.06%$721.610.01%546
SCHWAB CHARLES CORP NEWSCHWINCR$3770.79%0.06%$53.120.22%7,097
CONOCOPHILLIPS COM CL-BCOPINCR$4150.14%0.06%$40.02-0.07%10,370
CORTEVA INCCTVAINCR$4270.26%0.06%$38.70-0.06%11,034
SELECT SECTOR SPDR TRXLEINCR$3660.03%0.06%$37.91-0.19%9,654
ISHARES TRIJKINCR$4140.21%0.06%$72.133.00%5,740
JACOBS ENGR GROUP INCJINCR$4220.18%0.06%$108.960.00%3,873
KRAFT HEINZ COKHCINCR$3980.42%0.06%$34.630.23%11,494
NETFLIX INCNFLXINCR$4070.08%0.06%$541.220.00%752
TRUIST FINL CORPTFCBUY$4210.00%0.06%$47.840.00%8,800
VANGUARD BD INDEX FDSBIVDECR$406-0.01%0.06%$92.800.00%4,375
XCEL ENERGY INCXELDECR$373-0.03%0.06%$66.800.00%5,584
BHP GROUP LTDBHPINCR$3020.26%0.05%$65.45-0.01%4,614
DIGITAL RLTY TR INCDLRDECR$300-0.05%0.05%$139.730.00%2,147
EXELON CORPEXCDECR$304-0.13%0.05%$42.15-0.26%7,213
ISHARES TRTIPINCR$3580.01%0.05%$127.810.00%2,801
ISHARES TRAGGINCR$3550.55%0.05%$118.140.55%3,005
J P MORGAN EXCHANGE-TRADED FJPSTDECR$349-0.08%0.05%$50.80-0.08%6,870
PUBLIC SVC ENTERPRISE GRP INPEGINCR$2990.06%0.05%$58.380.00%5,122
SPDR GOLD TRGLDINCR$3060.01%0.05%$178.630.00%1,713
STERICYCLE INCSRCLINCR$3450.10%0.05%$69.280.00%4,980
AMERICAN TOWER CORP NEWAMTDECR$283-0.08%0.04%$223.720.00%1,265
FEDEX CORPFDXINCR$2790.20%0.04%$259.290.16%1,076
ISHARES TRIGSBINCR$2470.00%0.04%$55.160.00%4,478
ISHARES TRIWYINCR$2780.09%0.04%$133.010.00%2,090
INVESCO EXCH TRADED FD TR IIBKLNINCR$2720.02%0.04%$22.250.00%12,225
ISHARES TRQLTAINCR$2710.08%0.04%$58.460.07%4,636
ISHARES TRIWFINCR$2730.11%0.04%$241.170.00%1,132
ISHARES TRIWRDECR$233-0.03%0.04%$68.63-0.18%3,395
MARRIOTT INTL INC NEWMARBUY$2700.00%0.04%$131.900.00%2,047
OREILLY AUTOMOTIVE INCORLYDECR$272-0.02%0.04%$453.330.00%600
SPDR INDEX SHS FDSSPEMINCR$2670.14%0.04%$42.15-0.01%6,334
SPDR WELLS FARGO PREFERRED STOCK ETFPSKINCR$2800.02%0.04%$44.370.00%6,310
SCHWAB FUNDAMENTAL INTERNATIONAL LARGE COMPANY INDEX ETFFNDFBUY$2350.00%0.04%$29.320.00%8,015
SKYWORKS SOLUTIONS INCSWKSINCR$2750.05%0.04%$152.780.00%1,800
STATE STR CORPSTTINCR$2550.23%0.04%$72.960.00%3,495
STRYKER CORPORATIONSYKINCR$2600.16%0.04%$244.82-0.01%1,062
UNIVEST FINANCIAL CORPORATIOUVSPINCR$2430.43%0.04%$20.570.00%11,812
VANGUARD TAX-MANAGED INTL FDVEAINCR$2940.14%0.04%$47.23-0.01%6,225
VANGUARD MID-CAP VALUE INDEX FUNDVOEINCR$2720.17%0.04%$119.090.00%2,284
VIACOMCBS INCVIACBUY$2540.00%0.04%$37.220.00%6,825
WALGREENS BOOTS ALLIANCE INCWBAINCR$2660.10%0.04%$39.99-0.01%6,652
ALLSTATE CORPALLBUY$2020.00%0.03%$110.080.00%1,835
APACHE CORPAPAINCR$1940.63%0.03%$14.230.08%13,632
BIOGEN INCBIIBBUY$2180.00%0.03%$244.940.00%890
CIGNA CORP NEWCIBUY$2060.00%0.03%$207.870.00%991
DICKS SPORTING GOODS INCDKSBUY$2010.00%0.03%$56.080.00%3,584
ISHARES CORE INTERNATIONAL AGGREGATE BOND FUNDIAGGBUY$2070.00%0.03%$56.100.00%3,690
ISHARES CORE S&P 500 INDEX ETFIVVBUY$2150.00%0.03%$375.870.00%572
ISHARES TRIWNBUY$2010.00%0.03%$132.060.00%1,522
KEYCORPKEYDECR$181-0.23%0.03%$16.36-0.44%11,062
MORGAN STANLEYMSBUY$2190.00%0.03%$68.630.00%3,191
PALO ALTO NETWORKS INCPANWBUY$2260.00%0.03%$355.910.00%635
V F CORPVFCBUY$2100.00%0.03%$85.570.00%2,454
VANGUARD WHITEHALL FDSVYMBUY$2140.00%0.03%$91.180.00%2,347
VANGUARD INDEX FDSVOBUY$2180.00%0.03%$206.830.00%1,054
VARIAN MEDICAL SYSTEMS, INC.VARBUY$2010.00%0.03%$175.240.00%1,147
WASTE MANAGEMENT INCWMDECR$210-0.38%0.03%$118.31-0.41%1,775
DEUTSCHE BANK A GDBINCR$1090.30%0.02%$10.900.00%10,000
ABERDEEN ASIA-PACIFIC INCOMEFAXSOLD$00.00%-100.00%$0.000.00%0
COMMUNITY BK SYS INCCBUSOLD$00.00%-100.00%$0.000.00%0
ENTERPRISE PRODS PARTNERS LEPDSOLD$00.00%-100.00%$0.000.00%0
FORD MTR CO DELFSOLD$00.00%-100.00%$0.000.00%0
MFS INTER INCOME TRMINSOLD$00.00%-100.00%$0.000.00%0
ROCKWELL AUTOMATION INCROKSOLD$00.00%-100.00%$0.000.00%0
TEXAS INSTRUMENTS INCTXNSOLD$00.00%-100.00%$0.000.00%0
TOMPKINS FINL CORPTMPSOLD$00.00%-100.00%$0.000.00%0