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Stock Style
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Stock Style shows hedge fund manager's main investment focus in Value or Growth. It is determined based on analysis of portfolio holdings that are part of about 3000 US Stocks.
Style
Market Cap
Large
Value
Mid
Blend
Small
Growth
50
3
2
2
2
0
28
5
2
SABAL TRUST CO

Time Period2018-12-31

Total Holdings137

Total Value ($x1000)974,778
Activities
New13

Increased55

Unchanged17

Decreased52

Sold Out11

Top 10 Stock Holdingstotal 29.62%
PFE3.36

MSFT3.18

VZ3.1

MRK3.01

AMGN2.89

 
CSCO2.88

MCD2.85

CME2.84

BA2.76

PEP2.75

-- hover over a symbol below for details --
SEC 13F
Filing
Detail
Sort:
PFE
3.36%
COM
MSFT
3.18%
COM
VZ
3.1%
COM
MRK
3.01%
COM
AMGN
2.89%
COM
CSCO
2.88%
COM
MCD
2.85%
COM
CME
2.84%
COM
BA
2.76%
COM
PEP
2.75%
COM
CIU
2.73%
INTERM CR BD ETF
WM
2.63%
COM
AFL
2.58%
COM
PSA
2.54%
COM
XOM
2.53%
COM
HD
2.52%
COM
UPS
2.51%
CL B
BBT
2.43%
COM
UL
2.35%
SPON ADR NEW
SYY
2.32%
COM
PLD
2.26%
COM
WBA
2.25%
COM
JPM
2.13%
COM
PAYX
2.1%
COM
VYM
2%
HIGH DIV YLD
ADM
1.95%
COM
AAPL
1.93%
COM
AWK
1.92%
COM
DUK
1.89%
COM NEW
EMR
1.8%
COM
NEE
1.76%
COM
DEO
1.71%
SPON ADR NEW
BMO
1.67%
COM
GIS
1.66%
COM
ADP
1.65%
COM
SO
1.65%
COM
RDS/B
1.39%
SPON ADR B
OXY
1.38%
COM
CSJ
1.06%
1-3 YR CR BD ETF
XLP
0.86%
SBI CONS STPLS
JNJ
0.61%
COM
XLI
0.58%
SBI INT-INDS
VFH
0.52%
FINANCIALS ETF
XLE
0.5%
SBI INT-ENERGY
VWO
0.39%
FTSE EMR MKT ETF
VGT
0.35%
INF TECH ETF
XLV
0.35%
SBI HEALTHCARE
KO
0.29%
COM
IWR
0.28%
RUS MID-CAP ETF
IJH
0.27%
CORE S&P MCP ETF
CVX
0.24%
COM
XLY
0.21%
SBI CONS DISCR
VTI
0.2%
TOTAL STK MKT
IJR
0.2%
CORE S&P SCP ETF
PG
0.19%
COM
SPY
0.18%
TR UNIT
ABBV
0.17%
COM
UNP
0.17%
COM
XLU
0.16%
SBI INT-UTILS
VNQ
0.15%
REIT ETF
DWDP
0.15%
COM
BRK.B
0.14%
CL B NEW
IWM
0.13%
RUSSELL 2000 ETF
LMT
0.13%
COM
VEA
0.12%
FTSE DEV MKT ETF
INTC
0.12%
COM
HON
0.11%
COM
O
0.11%
COM
BAX
0.11%
COM
MMM
0.1%
COM
BDX
0.1%
COM
VEU
0.09%
ALLWRLD EX US
LLY
0.09%
COM
BP
0.09%
SPONSORED ADR
APD
0.09%
COM
KMB
0.08%
COM
RJF
0.08%
COM
CHD
0.08%
COM
VOX
0.08%
TELCOMM ETF
HCN
0.07%
COM
AMED
0.07%
COM
BLK
0.07%
COM
QQQ
0.07%
UNIT SER 1
ROK
0.06%
COM
CMCSA
0.06%
CL A
BMY
0.06%
COM
UTX
0.06%
COM
ABT
0.06%
COM
CL
0.06%
COM
T
0.06%
COM
BK
0.06%
COM
CAT
0.05%
COM
ETN
0.05%
SHS
NSC
0.05%
COM
VFC
0.05%
COM
EW
0.05%
COM
PM
0.05%
COM
HOMB
0.04%
COM
ITW
0.04%
COM
ENB
0.04%
COM
HBNC
0.04%
COM
IBM
0.04%
COM
DIS
0.04%
COM DISNEY
UGI
0.04%
COM
QCOM
0.04%
COM
GE
0.04%
COM
EFA
0.04%
MSCI EAFE ETF
PFIS
0.03%
COM
WY
0.03%
COM
DEM
0.03%
EMERG MKTS ETF
BRK.A
0.03%
CL A
DVY
0.03%
SELECT DIVID ETF
ORCL
0.03%
COM
SWK
0.03%
COM
UN
0.03%
N Y SHS NEW
AMZN
0.03%
COM
XLF
0.03%
SBI INT-FINL
TXN
0.03%
COM
ETV
0.03%
COM
GPC
0.03%
COM
UNH
0.03%
COM
ED
0.03%
COM
DCI
0.02%
COM
V
0.02%
COM CL A
MO
0.02%
COM
NOC
0.02%
COM
D
0.02%
COM
SNA
0.02%
COM
HRS
0.02%
COM
AMT
0.02%
COM
BDJ
0.02%
COM
KSU
0.02%
COM NEW
COST
0.02%
COM
AWP
0.01%
COM SH BEN INT
EXG
0.01%
COM
VER
0.01%
COM
CJJD
< 0.01%
COM NEW
MDT
2.79%
SHS
FNF
1.51%
COM
AET
0.22%
COM
COL
0.05%
COM
PRK
0.04%
COM
BAC
0.03%
COM
HBHC
0.03%
COM
HYG
0.03%
IBOXX HI YD ETF
CB
0.02%
COM
CW
0.02%
COM
GD
0.02%
COM