CANANDAIGUA NATIONAL BANK & TRUST CO

Holdings as of 2026-06-30, filed 2026-07-07

This is history, not a current position. These holdings describe 2026-06-30, and the report became public 7 days later. The portfolio has changed since.

Aggregates

computed from the positions below
Positions reported
305
Value reported by manager
$1.2B
Sum of our stored positions
$1.2B
should match the line above
Disclosure lag
7 d
quarter end to filing
Top 5 concentration
25.8%
of the positions shown
New positions
0
vs previous quarter
Exited
0
vs previous quarter
Option positions
0
puts and calls

Positions

200 largest shown
IssuerClassValueSharesTypeCUSIP
iShares Core S&P US Value ETFCom$89.1M808,560464287663
State Street SPDR S&P 500 Growth ETFCom$71.2M598,20178464A409
Schwab Fundamental Intl Equity ETFCom$53.5M1,014,722808524755
State Street SPDR S&P 500 ETF TrustCom$47.3M63,36678462F103
State Street SPDR S&P 400 Mid Cap Value ETFCom$33.6M354,65178464A839
Apple IncCom$32M110,536037833100
Microsoft CorporationCom$29.4M78,873594918104
Exxon-Mobil CorpCom$27.6M202,12230231G102
JP Morgan Chase & CoCom$26.8M81,95046625H100
State Street SPDR S&P 600 Small Cap Value ETFCom$23.9M219,31978464A300
Johnson & JohnsonCom$21.8M85,650478160104
iShares MSCI EAFE Index FundCom$17.5M168,040464287465
RTX CorpCom$16.5M87,19475513E101
Caterpillar IncCom$15.9M14,953149123101
Alphabet Inc Class CCom$15.4M43,71102079K107
WisdomTree Emerging Markets ETFCom$14.6M270,84497717W315
iShares Russell Midcap Growth Index FundCom$14.3M97,890464287481
Vanguard Small Cap ETFCom$14M46,232922908751
Amazon Com IncCom$13.3M55,944023135106
Nvidia Corp.Com$11.8M59,17767066G104
Procter & Gamble CoCom$11.1M75,791742718109
Vanguard Mid-Cap EtfCom$11M136,457922908629
Merck & Co Inc NewCom$10.8M83,85358933Y105
Oracle CorporationCom$10.1M69,11068389X105
Cisco SystemsCom$10.1M85,81017275R102
iShares Russell 1000 Value Index FundCom$9.3M38,523464287598
McDonalds CorpCom$9.1M33,672580135101
Lilly Eli & CoCom$9M7,511532457108
Invesco QQQ Tr Series 1Com$8.7M11,85046090E103
Intl Business Machines CorpCom$8.3M29,452459200101
Goldman Sachs Group Inc.Com$8.2M8,15738141G104
Pepsico IncCom$7.9M58,678713448108
Chevron CorporationCom$7.9M47,806166764100
iShares Core US REIT ETFCom$7.7M115,955464288521
Coca Cola CoCom$7.3M89,582191216100
Abbvie IncCom$6.9M27,54000287Y109
NextEra Energy IncCom$6.9M78,19065339F101
Mastercard Inc Cl ACom$6.7M13,13557636Q104
Alphabet Inc Class ACom$6.1M17,08602079K305
iShares 20 Year Treasury Bond ETFCom$6M69,971464287432
Financial Institutions, IncCom$6M154,106317585404
iShares Russell MidCap Index FundCom$6M54,356464287499
Lockheed Martin Corp ComCom$6M11,719539830109
Constellation Brands Inc Cl ACom$5.8M41,49221036P108
iShares Core S&P Total US Stock Mkt ETFCom$5.7M34,851464287150
Norfolk Southern CorpCom$5.6M17,873655844108
Bank Amer CorpCom$5.6M98,482060505104
Advanced Micro DevicesCom$5.5M9,491007903107
iShares Tr Russell 2000 IndexCom$5.5M18,292464287655
Texas Instruments IncCom$5.5M18,334882508104
Paychex Inc.Com$5.3M53,736704326107
Abbott LaboratoriesCom$5.1M56,284002824100
Walmart IncCom$4.8M42,526931142103
Corning Inc.Com$4.7M18,509219350105
Trane Technologies PLCCom$4.7M9,621G8994E103
TJX Companies IncCom$4.7M30,992872540109
Home Depot IncCom$4.7M13,232437076102
BlackRock Inc.Com$4.6M4,73809290D101
Deere & CoCom$4.5M7,067244199105
Morgan Stanley Dean Witter & Co.Com$4.4M20,966617446448
iShares TR Core S&P Mid-Cap ETFCom$4.3M55,195464287507
Amgen Inc.Com$3.9M10,817031162100
Innovator Eqty Def Prot 1yr to Aug 2026 ETFCom$3.9M142,23445783Y111
Carrier Global CorporationCom$3.9M53,14514448C104
Pfizer Inc.Com$3.9M160,394717081103
State Street SPDR S&P Dividend ETFCom$3.9M25,33878464A763
iShares Trust MSCI EAFE ESG ETFCom$3.8M37,23746435G516
GE AerospaceCom$3.8M10,227369604301
CVS Health CorpCom$3.7M36,217126650100
iShares Russell 1000 GrowthCom$3.6M29,240464287614
Southern CoCom$3.6M37,115842587107
Digital Rlty Tr IncCom$3.5M19,516253868103
American Express CoCom$3.5M10,332025816109
Innovator Eqty Def Prot 1yr to July 2027 ETFCom$3.4M115,08745783Y251
Meta Platforms IncCom$3.4M6,10130303M102
Broadcom IncCom$3.4M9,05711135F101
iShares Core S P 500 ETFCom$3.3M4,429464287200
Vanguard REIT ETFCom$3.3M34,394922908553
State Street SPDR Dow Jones Indl Avg ETFCom$3.3M6,31378467X109
Vanguard FTSE Emerging Mkt MFCCom$3.2M54,100922042858
Vanguard Index Funds S & P 500 ETFCom$3.2M4,695922908363
Ishares Tr/0-5 Yr Tips Bd ETFCom$3.2M31,04946429B747
Innovator Eqty Def Prot 1 Yr to March 2027Com$3.1M111,56745784N742
Aflac, Inc.Com$3.1M26,494001055102
Cigna GroupCom$3.1M11,258125523100
Eaton Corp PLCCom$3M7,057G29183103
General Dynamics CorpCom$2.9M8,249369550108
Intel Corp.Com$2.9M20,719458140100
Berkshire Hathaway Inc Cl BCom$2.9M5,720084670702
Lowes Companies IncCom$2.8M12,674548661107
Cummins Engine Co IncCom$2.7M3,853231021106
Schwab Charles CorpCom$2.7M29,489808513105
iShares Select Dividend ETFCom$2.7M17,232464287168
Travelers Cos Inc.Com$2.7M8,03489417E109
SLB LimitedCom$2.6M56,826806857108
Carlisle Cos IncCom$2.6M7,263142339100
Otis Worldwide CorpCom$2.6M36,66368902V107
iShares MSCI Emerging MarketsCom$2.5M37,154464287234
Applied MaterialsCom$2.5M3,425038222105
ConocoPhillipsCom$2.5M23,57520825C104
Allstate Corp.Com$2.4M10,260020002101
Snap-On Inc.Com$2.4M5,987833034101
Boeing CoCom$2.3M10,813097023105
Disney Walt CoCom$2.3M24,294254687106
Salesforce.ComCom$2.3M14,90079466L302
Nuveen ESG Large Cap Value ETFCom$2.3M46,03167092P300
Union Pacific CorpCom$2.3M8,428907818108
Innovator Equity Def Prot 1 Yr to June 2027Com$2.2M80,70245784N643
VisaCom$2.2M6,37692826C839
Verizon CommunicationsCom$2.2M51,51392343V104
Stryker Corp.Com$2.2M6,887863667101
3M CompanyCom$2.1M13,25788579Y101
iShares Core MSCI Total Instl Stk ETFCom$2.1M22,44346432F834
Duke Energy Corp NewCom$2.1M16,82826441C204
Mondelez Intl IncCom$2.1M35,543609207105
Vanguard MSCI Europe ETFCom$2M23,081922042874
iShares ESG 1-5 Yr USD Corp Bond ETFCom$2M80,39146435G243
Thermo Fisher Scientific, Inc.Com$2M3,920883556102
GE Vernova IncCom$1.9M1,65936828A101
Canadian Natl Ry CoCom$1.9M16,333136375102
Kimberly Clark CorpCom$1.9M17,618494368103
American Tower Com REITCom$1.9M11,76203027X100
Nuveen ESG Mid Cap Value ETFCom$1.9M43,88767092P508
Emerson Elec CoCom$1.9M13,182291011104
Linde PlcCom$1.8M3,563G54950103
Danaher CorpCom$1.8M9,628235851102
Darden Restaurants IncCom$1.8M8,640237194105
iShares Tr Russell 3000Com$1.8M4,150464287689
Community Financial System IncCom$1.8M26,105203607106
Vanguard Total Int'l Bond ETFCom$1.7M35,80692203J407
Wells Fargo & CompanyCom$1.7M20,730949746101
Eastman Chemical Co.Com$1.7M25,019277432100
American Water Works CompanyCom$1.7M12,720030420103
NOV IncCom$1.7M89,37562955J103
KLA CorporationCom$1.6M5,431482480100
Vanguard Growth ETFCom$1.6M18,984922908736
HCA Healthcare IncCom$1.6M4,17640412C101
Qualcomm IncCom$1.6M8,744747525103
Chipotle Mexican GrillCom$1.6M46,914169656105
Costco Whsl Corp NewCom$1.6M1,70322160K105
Automatic Data Processing IncCom$1.6M7,026053015103
McKesson CorporationCom$1.6M2,07158155Q103
iShares Core MSCI EAFE ETFCom$1.6M16,10446432F842
Chubb LimitedCom$1.5M4,518H1467J104
Palo Alto NetworkCom$1.5M4,514697435105
Innovator Eqty Def Prot 1 Yr to Feb 2027 ETFCom$1.5M58,83645784N775
T-Mobile USCom$1.5M9,089872590104
Analog Devices Inc.Com$1.5M3,788032654105
Berkshire Hathaway Inc Del Cl ACom$1.5M2084670108
Servicenow IncCom$1.5M14,84881762P102
iShares MSCI Emerging Mkts ESG Optimized ETFCom$1.5M26,65246434G863
Vanguard Intl Dividend Appreciation ETFCom$1.4M15,139921946810
Citigroup Inc Com NewCom$1.4M10,080172967424
Enbridge IncCom$1.4M25,50129250N105
Dominion Energy IncCom$1.4M20,01125746U109
Bristol-Myers Squibb Co.Com$1.4M23,502110122108
Philip Morris Intl IncCom$1.3M7,439718172109
Air Products & Chemicals IncCom$1.3M4,504009158106
iShares Core MSCI Emerging Markets ETFCom$1.3M15,91746434G103
Colgate Palmolive CoCom$1.3M14,190194162103
Vanguard FTSE All-Wld ex-US SmCp Idx ETFCom$1.3M8,341922042718
iShares Russell 2000 GrowthCom$1.3M3,219464287648
Vanguard MSCI Pacific ETFCom$1.3M10,893922042866
Lam Resh CorpCom$1.3M2,895512807306
Accenture PLCCom$1.3M10,050G1151C101
Bank New York Mellon CorpCom$1.2M8,593064058100
iShares TR Core S&P Small-Cap ETFCom$1.2M8,273464287804
Autodesk, Inc.Com$1.2M6,301052769106
Yum Brands Inc.Com$1.2M7,358988498101
AON PlcCom$1.2M3,540G0403H108
AvalonBay CommunitiesCom$1.2M6,168053484101
Paypal Hldgs IncCom$1.2M26,85270450Y103
iShares Preferred & Income Secs ETFCom$1.2M37,814464288687
Clorox CoCom$1.1M12,031189054109
Innovator US Eq Pwr Buff 1 yr to Mar 2027 ETFCom$1.1M23,82545782C383
United Rentals IncCom$1.1M1,000911363109
AT&T Inc.Com$1.1M52,24100206R102
Broadstone Net Lease IncCom$1.1M52,08711135E203
Adobe Inc.Com$1.1M5,23300724F101
Marriott International Inc Class ACom$1.1M2,881571903202
O'Reilly Automotive Inc New ComCom$1.1M11,48267103H107
Vanguard Dividend Appreciation ETFCom$1M4,307921908844
Progessive Corp OH ComCom$1M4,610743315103
Prologis Inc REITCom$991K7,31574340W103
Sysco CorpCom$977.3K11,693871829107
NXP Semiconductors NVCom$954.9K3,398N6596X109
Vanguard Small Cap ValueCom$941.8K3,876922908611
Medtronic PLCCom$926.4K11,842G5960L103
KKR & Co IncCom$920.5K10,02948251W104
VanEck Vectors Green Bond ETFCom$919.4K38,09292189F171
Innovator Eqty Def Prot 1yr to Oct 2026 ETFCom$913.9K33,10045784N700
United Parcel Service IncCom$909.6K8,461911312106
APA CorporationCom$906.7K27,83903743Q108
CSX CorpCom$904.7K19,034126408103
Cardinal Health Inc.Com$872.8K3,67414149Y108
Entergy CorpCom$870.5K7,57929364G103
Prudential Financial IncCom$842.3K7,804744320102
L3Harris Technologies IncCom$840.1K2,891502431109
iShares KLD 400 Social Index FundCom$831.6K5,840464288570
Starbucks CorpCom$822.9K8,053855244109
Values are shown exactly as filed. Before 2023 managers reported in thousands of dollars and afterwards in whole dollars; the reporting unit is not always determinable from the document, so nothing is converted automatically.

Source: U.S. Securities and Exchange Commission, Form 13F · as of 2026-07-07