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Canton Hathaway

Filed: 14 Oct 21, 12:14pm

The Securities and Exchange Commission has not necessarily reviewed the information in this filing and has not determined if it is accurate and complete.
The reader should not assume that the information is accurate and complete.

UNITED STATES SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 13F

FORM 13F INFORMATION TABLE

OMB APPROVAL
OMB Number:3235-0006
Expires:Oct 31, 2018
Estimated average burden
hours per response:23.8

COLUMN 1COLUMN 2COLUMN 3COLUMN 4COLUMN 5COLUMN 6COLUMN 7COLUMN 8
VALUESHRS ORSH/PUT/INVESTMENTOTHERVOTING AUTHORITY
NAME OF ISSUERTITLE OF CLASSCUSIP(x$1000)PRN AMTPRNCALLDISCRETIONMANAGERSOLESHAREDNONE
3M CoCOM88579Y10131175SH SOLE 00175
Abbott LaboratoriesCOM00282410059500SH SOLE 00500
AbbVie IncCOM00287Y1091881,740SH SOLE 001,740
Accenture PLC ACOMG1151C10164199SH SOLE 00199
Adobe Systems IncCOM00724F101326567SH SOLE 00567
Advanced Micro Devices IncCOM0079031071,48814,456SH SOLE 0014,456
AdvisorShares Pure US Cannabis ETFETF00768Y453321,000SH SOLE 001,000
AGILENT TECHNOLOGIES INCCOM00846U10126165SH SOLE 00165
Air Products & Chemicals IncCOM0091581065472,135SH SOLE 002,135
Akamai Technologies IncCOM00971T10127258SH SOLE 00258
Albemarle CorpCOM0126531013,87517,696SH SOLE 0017,696
AllianceBernstein Holding LPLP UNIT01881G10659512,000SH SOLE 0012,000
Alphabet IncCOM02079K3051,061397SH SOLE 00397
Alphabet IncCOM02079K1075,4242,035SH SOLE 002,035
Altria Group IncCOM02209S103611,340SH SOLE 001,340
Amazon.Com IncCOM0231351065,0821,547SH SOLE 001,547
American Electric Power Co IncCOM02553710150615SH SOLE 00615
American Express CoCOM0258161095623,357SH SOLE 003,357
American Finance Trust IncCOM02607T109334,140SH SOLE 004,140
American Lithium CorpCOM0272592092211,000SH SOLE 0011,000
American Tower CorpCOM03027X10031115SH SOLE 00115
American Wtr Wks Co IncCOM0304201032041,207SH SOLE 001,207
Amgen IncCOM0311621002,45411,541SH SOLE 0011,541
Analog Devices IncCOM03265410523137SH SOLE 00137
ANTHEM INCCOM0367521032874SH SOLE 0074
Aon Plc Com UsdCOMG0403H10857200SH SOLE 00200
Apple IncCOM0378331007,07750,015SH SOLE 0050,015
APPLIED MATLS INCCOM03822210556437SH SOLE 00437
APTIV PLCCOMG6095L10927180SH SOLE 00180
Ares Capital CorpCOM04010L10330515,000SH SOLE 0015,000
Ares Management CorpCOM03990B10152700SH SOLE 00700
Arvinas IncCOM04335A1051231,500SH SOLE 001,500
At&T IncCOM00206R10269525,724SH SOLE 0025,724
AUTODESK INCCOM0527691062485SH SOLE 0085
Automatic Data Processing IncCOM05301510384420SH SOLE 00420
Bank New York Mellon CorpCOM06405810027520SH SOLE 00520
Bank of America CorporationCOM0605051041323,109SH SOLE 003,109
Bank of Hawaii CorpCOM06254010941500SH SOLE 00500
Berkshire Hathaway Inc ACOM084670108120,945294SH SOLE 00294
Berkshire Hathaway Inc BCOM0846707023,71513,611SH SOLE 0013,611
Bhp Billiton Ltd AdrADR08860610837700SH SOLE 00700
Biohaven Pharmaceutical Holding Co LtdCOMG111961056254,500SH SOLE 004,500
Black Hills CorpCOM09211310925400SH SOLE 00400
Black Stone Minerals LPCOM09225M101332,750SH SOLE 002,750
Blackrock IncCOM09247X1011,0941,304SH SOLE 001,304
Blackstone Group LpCOM09260D1071,92616,552SH SOLE 0016,552
Blackstone Mortgage Trust Inc ACOM09257W100612,000SH SOLE 002,000
Boeing CoCOM09702310567305SH SOLE 00305
Booking Hldgs IncCOM09857L1082410SH SOLE 0010
Bristol Myers SquibbCOM1101221081,57026,538SH SOLE 0026,538
Broadcom IncCOM11135F1014899SH SOLE 0099
Brookline Bancorp IncCOM11373M1074,719309,210SH SOLE 00309,210
CARMAX INCCOM14313010232252SH SOLE 00252
Caterpillar IncCOM14912310142217SH SOLE 00217
Celsius Holdings IncCOM15118V2071982,200SH SOLE 002,200
CenterPoint Energy IncCOM15189T10722900SH SOLE 00900
CHARTER COMMUNICATIONS INC NEWCOM16119P1082839SH SOLE 0039
Chevron CorpCOM16676410023222SH SOLE 00222
Cigna CorpCOM12552310023116SH SOLE 00116
Cisco Sys IncCOM17275R10262011,397SH SOLE 0011,397
Citizens Financial Group IncCOM17461010537790SH SOLE 00790
Coca-Cola CoCOM1912161001773,370SH SOLE 003,370
Colgate-Palmolive CoCOM19416210322288SH SOLE 00288
Comcast CorpCOM20030N1011,26622,628SH SOLE 0022,628
COMERICA INCCOM20034010736445SH SOLE 00445
Communication Services Sel Sect SPDR ETFETF81369Y8522,02625,285SH SOLE 0025,285
Conocophillips ComCOM20825C10426391SH SOLE 00391
Consumer Staples Select Sector SPDR ETFETF81369Y3082,06630,017SH SOLE 0030,017
Corning IncCOM21935010527743SH SOLE 00743
Costco Wholesale CorpCOM22160K1053885SH SOLE 0085
CrowdStrike Holdings IncCOM22788C1053441,400SH SOLE 001,400
Crown Castle International CorpCOM22822V1012,64515,259SH SOLE 0015,259
CUMMINS INCCOM23102110637163SH SOLE 00163
Curaleaf Holdings IncCOM23126M102675,500SH SOLE 005,500
Cvs Health CorpCOM1266501002,16425,506SH SOLE 0025,506
Cypress Dev Corp Com NewCOM2327492003024,750SH SOLE 0024,750
Danaher CorpCOM2358511023,84012,612SH SOLE 0012,612
DEERE & COCOM24419910536106SH SOLE 00106
Disney Walt CoCOM2546871063892,300SH SOLE 002,300
Dollar General CorpCOM25667710528130SH SOLE 00130
Dominion Energy IncCOM25746U109961,320SH SOLE 001,320
Dow IncCOM26055710331546SH SOLE 00546
Duke Energy CorpCOM26441C20452537SH SOLE 00537
Dupont De Nemours IncCOM26614N10225361SH SOLE 00361
Eaton Corp PLCCOMG291831038295,554SH SOLE 005,554
Ebay IncCOM27864210345653SH SOLE 00653
Ecolab IncCOM27886510025119SH SOLE 00119
Edwards Lifesciences CorpCOM28176E10836315SH SOLE 00315
Eli Lilly and CoCOM532457108158685SH SOLE 00685
Emerson Electric CoCOM29101110434358SH SOLE 00358
Enterprise Prods Partners LpLP UNIT2937921071,21456,100SH SOLE 0056,100
Eog Resources IncCOM26875P10144545SH SOLE 00545
ETFMG Prime Cyber Security ETFETF26924G2011,93131,755SH SOLE 0031,755
Exact Sciences CorpCOM30063P1051912,000SH SOLE 002,000
Expedia IncCOM30212P3032791,700SH SOLE 001,700
Exxon Mobil CorpCOM30231G10242720SH SOLE 00720
Facebook IncCOM30303M1026591,942SH SOLE 001,942
Fastenal CoCOM3119001041,57130,432SH SOLE 0030,432
Fidelity Consumer Disc ETFETF31609220484210,495SH SOLE 0010,495
Fidelity Consumer Spls ETFETF31609230367316,080SH SOLE 0016,080
Fidelity Financials ETFETF3160925012113,930SH SOLE 003,930
Fidelity Health Care ETFETF3160926001,02716,088SH SOLE 0016,088
Fidelity Industrials ETFETF3160927091532,950SH SOLE 002,950
Fidelity Technology ETFETF3160928081,0408,765SH SOLE 008,765
Fidelity Telecom Svc ETFETF31609287386516,188SH SOLE 0016,188
Fidelity Utilities ETFETF3160928651463,550SH SOLE 003,550
Financial Select Sector SPDR ETFETF81369Y6052,98879,605SH SOLE 0079,605
Fiserv IncCOM33773810826240SH SOLE 00240
Flex LtdCOMY2573F1021,61091,050SH SOLE 0091,050
Focus Financial Partners IncCOM34417P1001,28624,563SH SOLE 0024,563
Ford Motor CoCOM3453708601,02972,683SH SOLE 0072,683
FORIAN ORDCOM34630N10673270,945SH SOLE 0070,945
Fortive Corp ComCOM34959J1082533,585SH SOLE 003,585
General Dynamics CorpCOM36955010839200SH SOLE 00200
General Electric CoCOM36960430122214SH SOLE 00214
GENERAL MLS INCCOM37033410423380SH SOLE 00380
Gilead Sciences IncCOM37555810324345SH SOLE 00345
Goldman Sachs Group IncCOM38141G104293775SH SOLE 00775
Grayscale Bitcoin Trust (BTC)COM389637109371,100SH SOLE 001,100
Great Lakes Dredge & Dock CorpCOM390607109936,150SH SOLE 006,150
Green Thumb Industries IncCOM39342L108752,750SH SOLE 002,750
Hannon Armstrong Sustainable Infrastructure CapitaCOM41068X10093917,565SH SOLE 0017,565
Healthcare Tr Amer IncCOM42225P5011786,000SH SOLE 006,000
Hess CorpCOM42809H10737477SH SOLE 00477
Home Depot IncCOM4370761023911,191SH SOLE 001,191
Honeywell International IncCOM43851610656265SH SOLE 00265
HUMANA INCCOM44485910252134SH SOLE 00134
Huntington Bancshares IncCOM4461501041,598103,393SH SOLE 00103,393
Illumina IncCOM452327109199490SH SOLE 00490
Independent Bank CorpCOM45383610832424SH SOLE 00424
Industrial Select SPDR ETFETF81369Y7043,23833,098SH SOLE 0033,098
Innovest Global IncCOM45781Q102125,110SH SOLE 0025,110
Intel CorpCOM458140100631,185SH SOLE 001,185
International Lithium CorpCOM459820106821,385,000SH SOLE 001,385,000
International Paper CoCOM46014610331555SH SOLE 00555
INTUITCOM46120210362114SH SOLE 00114
INTUITIVE SURGICAL INCCOM46120E6023030SH SOLE 0030
Invesco S&P 500 Equal Weight ETFETF46137V3576334,225SH SOLE 004,225
Invesco Taxable Municipal Bond ETFETF46138G80525760SH SOLE 00760
iPath S&P 500 VIX Futures ETNETF06747R477772,750SH SOLE 002,750
iShares Core MSCI EAFEETF46432F84231424SH SOLE 00424
iShares Core MSCI Total Intl Stk ETFETF46432F83466925SH SOLE 00925
iShares Core S&P 500ETF464287200141327SH SOLE 00327
Ishares Core S&P Small-Cap EETF4642878042232,041SH SOLE 002,041
iShares Core S&P Total US Stock Mkt ETFETF46428715058592SH SOLE 00592
iShares Core US Aggregate BondETF46428722615,068131,216SH SOLE 00131,216
iShares Gold TrustETF464285204942,813SH SOLE 002,813
iShares iBoxx Investment Grade Corp Bond ETETF46428724227200SH SOLE 00200
Ishares Inc Core Msci Emerging Mkts EtfETF46434G10326425SH SOLE 00425
iShares MBSETF46428858833304SH SOLE 00304
Ishares Msci Eafe EtfETF46428746510,129129,842SH SOLE 00129,842
Ishares Msci Emerging Markets EtfETF4642872343,46268,715SH SOLE 0068,715
iShares Nasdaq BiotechnologyETF4642875562,73516,916SH SOLE 0016,916
iShares Russell 2000ETF4642876554,38120,027SH SOLE 0020,027
iShares Russell 2000 GrowthETF46428764858196SH SOLE 00196
iShares TIPS BondETF46428717627210SH SOLE 00210
Ishares Tr S&P US Pfd StkETF46428868748512,500SH SOLE 0012,500
Ishares Tr Sh Tr Crport EtfETF46428864665612,000SH SOLE 0012,000
iShares US Credit BondETF46428862030496SH SOLE 00496
iShares US Home ConstructionETF46428875227405SH SOLE 00405
iShares US Medical DevicesETF46428881052828SH SOLE 00828
iShares US Treasury BondETF46429B267421,568SH SOLE 001,568
JetBlue Airways CorpCOM477143101312,000SH SOLE 002,000
Johnson & JohnsonCOM4781601042,24713,913SH SOLE 0013,913
Johnson Controls International PLCCOMG5150210527403SH SOLE 00403
Jpmorgan Chase & CoCOM46625H1003,66522,390SH SOLE 0022,390
KKR & Co IncCOM48251W10449800SH SOLE 00800
Lithium Americas CorpCOM53680Q20735816,045SH SOLE 0016,045
Livent CorpCOM53814L10846220,000SH SOLE 0020,000
Lockheed Martin CorpCOM539830109155450SH SOLE 00450
Lowe s Companies IncCOM5486611074432,185SH SOLE 002,185
Lyondellbasell Industries NVCOMN5374510022236SH SOLE 00236
Mack-Cali Realty CorpCOM554489104673,939SH SOLE 003,939
Magellan Midstream Prtnrs LpLP UNIT559080106681,500SH SOLE 001,500
Marathon Patent Group IncCOM565788106632,000SH SOLE 002,000
Marimed IncCOM56782V107832924,400SH SOLE 00924,400
Marsh & Mclennan Companies IncCOM57174810225164SH SOLE 00164
Materials Select Sector SPDR ETFETF81369Y1002,01125,420SH SOLE 0025,420
McDonald s CorpCOM58013510140165SH SOLE 00165
Medtronic PlcCOMG5960L1033,42727,340SH SOLE 0027,340
Merck & Co IncCOM58933Y1054375,820SH SOLE 005,820
Micron TechnologyCOM59511210343600SH SOLE 00600
Microsoft CorpCOM5949181046,44822,870SH SOLE 0022,870
MODERNA INCCOM60770K107231601SH SOLE 00601
Morgan StanleyCOM6174464487427,627SH SOLE 007,627
MVB Financial CorpCOM5538101023678,574SH SOLE 008,574
Neo Lithium CorpCOM64047A1086919,250SH SOLE 0019,250
Netflix Com IncCOM64110L10696157SH SOLE 00157
NextEra Energy IncCOM65339F1011381,763SH SOLE 001,763
NextEra Energy Partners LPCOM65341B1061672,220SH SOLE 002,220
Nike Inc BCOM65410610367463SH SOLE 00463
NORTHROP GRUMMAN CORPCOM66680710240110SH SOLE 00110
NVIDIA CorpCOM67066G104143690SH SOLE 00690
O Shares US Sm Cp Qual Div ETFETF67110P100351,000SH SOLE 001,000
Occidental Petroleum CorpCOM674599105371,236SH SOLE 001,236
Oracle CorpCOM68389X1051211,385SH SOLE 001,385
Palantir Technologies IncCOM69608A1082,23592,950SH SOLE 0092,950
Paychex IncCOM70432610757506SH SOLE 00506
PayPal Holdings IncCOM70450Y1033811,465SH SOLE 001,465
Pepsico IncCOM7134481081,79611,942SH SOLE 0011,942
Pfizer IncCOM7170811031202,781SH SOLE 002,781
Philip Morris International IncCOM71817210950526SH SOLE 00526
Pnc Finl Svcs GroupCOM6934751051961,001SH SOLE 001,001
PRICE T ROWE GROUP INCCOM74144T10823119SH SOLE 00119
Procter And Gamble CoCOM7427181091661,190SH SOLE 001,190
Prologis IncCOM74340W1035304,225SH SOLE 004,225
PRUDENTIAL FINL INCCOM74432010222210SH SOLE 00210
QUALCOMM IncCOM7475251032582,002SH SOLE 002,002
Rani Therapeutics Holdings IncCOM75301810017810,000SH SOLE 0010,000
Raytheon Technologies OrdCOM75513E10168786SH SOLE 00786
S&Pglobal Inc ComCOM78409V1043479SH SOLE 0079
Salesforce.com IncCOM79466L3024001,474SH SOLE 001,474
Select Sector Spdr Fund Shs Ben Consumer DiscretioETF81369Y4072,25212,549SH SOLE 0012,549
Select Sector Spdr Trust The Health Care Select SeETF81369Y2092,49819,621SH SOLE 0019,621
Simulations Plus IncCOM82921410539510,000SH SOLE 0010,000
Snowflake Cl A OrdCOM8334451095421,793SH SOLE 001,793
Southern CoCOM84258710744705SH SOLE 00705
Southwest Airlines CoCOM84474110822421SH SOLE 00421
Spdr Gold Tr Gold ShsETF78463V1073,33920,330SH SOLE 0020,330
SPDR S&P 500 ETFETF78462F1039892,305SH SOLE 002,305
SPDR S&P Homebuilders ETFETF78464A888731,019SH SOLE 001,019
SPDR S&P MidCap 400 ETFETF78467Y10755115SH SOLE 00115
SPDR S&P Software & Services ETFETF78464A5991991,157SH SOLE 001,157
Spdr Ser Tr S&P Biotech EtfETF78464A87044350SH SOLE 00350
Spdr Ser Tr S&P Metals & Mng EtfETF78464A7551263,029SH SOLE 003,029
Splunk IncCOM8486371045063,500SH SOLE 003,500
SPORTRADAR GROUP CL A ORDCOMH8088L103683,000SH SOLE 003,000
Spotify Technology SACOML8681T10252231SH SOLE 00231
Square IncCOM85223410343180SH SOLE 00180
Stag Indl IncCOM85254J1021694,300SH SOLE 004,300
Starbucks CorpCOM8552441091,88617,096SH SOLE 0017,096
STERIS PLCCOMG8473T100175858SH SOLE 00858
Stryker CorpCOM86366710130115SH SOLE 00115
Sunrun IncCOM86771W1053969,000SH SOLE 009,000
SVB FINL GROUPCOM78486Q1012336SH SOLE 0036
Target CorpCOM87612E10675328SH SOLE 00328
Technology Select Sector SPDR ETFETF81369Y8033,08020,627SH SOLE 0020,627
Tesla Motors IncCOM88160R1011,2531,616SH SOLE 001,616
Texas Instruments IncCOM88250810458301SH SOLE 00301
The Estee Lauder Companies Inc Class ACOM51843910435116SH SOLE 00116
The Howard Hughes CorpCOM44267D107881,000SH SOLE 001,000
The Kraft Heinz CoCOM5007541061,47039,927SH SOLE 0039,927
The Simply Good Foods CoCOM82900L1022,51172,797SH SOLE 0072,797
Thermo Fisher Scientific IncCOM8835561026711,175SH SOLE 001,175
Tjx Cos IncCOM872540109691,048SH SOLE 001,048
Truist Finl Corp ComCOM89832Q1094157,081SH SOLE 007,081
Trulieve Cannabis CorpCOM89788C104752,750SH SOLE 002,750
Union Pacific CorpCOM90781810829150SH SOLE 00150
United Bankshares IncCOM909907107551,501SH SOLE 001,501
United Parcel Service Inc Class BCOM911312106115630SH SOLE 00630
UnitedHealth Group IncCOM91324P10290230SH SOLE 00230
Utilities Select Sector SPDR ETFETF81369Y8861,99531,229SH SOLE 0031,229
Vail Resorts IncCOM91879Q10945135SH SOLE 00135
Valero Energy CorpCOM91913Y10026367SH SOLE 00367
Vanguard 500 ETFETF92290836324,59362,355SH SOLE 0062,355
Vanguard Dividend Appreciation ETFETF92190884438249SH SOLE 00249
Vanguard Extended Market ETFETF92290865245248SH SOLE 00248
Vanguard FTSE Developed Markets ETFETF921943858741,460SH SOLE 001,460
Vanguard FTSE Emerging Markets ETFETF9220428583947,881SH SOLE 007,881
Vanguard Large-Cap ETFETF9229086371,0055,000SH SOLE 005,000
Vanguard Long-Term Corporate Bd ETFETF92206C81326245SH SOLE 00245
Vanguard Mid-Cap ETFETF9229086295922,500SH SOLE 002,500
Vanguard Scottsdale Fds Vanguard Short-TETF92206C4099,170111,278SH SOLE 00111,278
Vanguard Small-Cap ETFETF9229087514702,150SH SOLE 002,150
Vanguard Tax-Exempt Bond ETFETF92290774634612SH SOLE 00612
Vanguard Total Stock Market ETFETF92290876976340SH SOLE 00340
Vanguard Value ETFETF92290874470515SH SOLE 00515
Verizon CommunicationsCOM92343V1041082,005SH SOLE 002,005
Visa Inc Com Cl ACOM92826C8393,52715,834SH SOLE 0015,834
Wal-Mart Stores IncCOM9311421033722,672SH SOLE 002,672
Washington Trust Bancorp IncCOM940610108591,116SH SOLE 001,116
Waste Management IncCOM94106L1091,3929,318SH SOLE 009,318
Wells Fargo & CoCOM94974610138815SH SOLE 00815
Wesbanco IncCOM95081010170820,762SH SOLE 0020,762
Weyerhaeuser CoCOM96216610429817SH SOLE 00817
Williams Companies IncCOM969457100582,234SH SOLE 002,234
Yum China Hldgs Inc ComCOM98850P10973112,580SH SOLE 0012,580
Zoetis IncCOM98978V10363322SH SOLE 00322
Zoom video communications-ACOM98980L10130113SH SOLE 00113