0001105837-17-000008.txt : 20171012 0001105837-17-000008.hdr.sgml : 20171012 20171012134611 ACCESSION NUMBER: 0001105837-17-000008 CONFORMED SUBMISSION TYPE: 13F-HR PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20170930 FILED AS OF DATE: 20171012 DATE AS OF CHANGE: 20171012 EFFECTIVENESS DATE: 20171012 FILER: COMPANY DATA: COMPANY CONFORMED NAME: WEBSTER BANK, N. A. CENTRAL INDEX KEY: 0001105837 IRS NUMBER: 060273620 FILING VALUES: FORM TYPE: 13F-HR SEC ACT: 1934 Act SEC FILE NUMBER: 028-05301 FILM NUMBER: 171134246 BUSINESS ADDRESS: STREET 1: WEBSTER PLAZA STREET 2: 123 BANK STREET PB805-2 CITY: WATERBURY STATE: CT ZIP: 06702 BUSINESS PHONE: 800-580-3656 MAIL ADDRESS: STREET 1: WEBSTER PLAZA STREET 2: 123 BANK STREET PB805-2 CITY: WATERBURY STATE: CT ZIP: 06702 FORMER COMPANY: FORMER CONFORMED NAME: WEBSTER TRUST CO NA DATE OF NAME CHANGE: 20000209 13F-HR 1 primary_doc.xml 13F-HR LIVE false true false 0001105837 XXXXXXXX 09-30-2017 09-30-2017 WEBSTER BANK, N. A.
WEBSTER PLAZA 123 BANK STREET PB805-2 WATERBURY CT 06702
13F HOLDINGS REPORT 028-05301 N
Susan M. Roy AVP, Fiduciary Operations Specialist 203-578-2434 Susan M. Roy Waterbury CT 10-12-2017 0 782 688034 false
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IncCOM7170811034000112034SHSOLENONE11203400 Philip Morris International InCOM7181721092762490SHOTRNONE249000 Philip Morris International InCOM7181721099908915SHSOLENONE891500 Phillips 66COM71854610410105SHOTRNONE10500 Phillips 66COM71854610477840SHSOLENONE84000 PowerShares ETFs/USAFTSE RAFI 100073935X58335330SHOTRNONE33000 PowerShares ETFs/USAFTSE RAFI 100073935X583258524129SHSOLENONE2412900 PowerShares ETFs/USADIV ACHV PRTF73935X732963909SHSOLENONE390900 PowerShares ETFs/USADYN BIOT & GEN73935X8562695378SHSOLENONE537800 PowerShares ETFs/USASENIOR LN PORT73936Q76915630SHOTRNONE63000 PowerShares ETFs/USASENIOR LN PORT73936Q76991439478SHSOLENONE3947800 PowerShares ETFs/USASOVEREIGN DEBT73936T573511705SHOTRNONE170500 PowerShares ETFs/USASOVEREIGN DEBT73936T57323787SHSOLENONE78700 Praxair IncCOM74005P1042201575SHOTRNONE157500 Praxair IncCOM74005P1041501073SHSOLENONE107300 Priceline Group Inc/TheCOM NEW74150340311462SHSOLENONE6200 Principal Financial Group IncCOM74251V10219300SHSOLENONE30000 ProShare Advisors LLCPSHS ULT HLTHCRE74347R73517200SHOTRNONE20000 Proofpoint IncCOM74342410313150SHSOLENONE15000 Prospect Capital CorpCOM74348T1022300SHOTRNONE30000 Prospect Capital CorpCOM74348T102304500SHSOLENONE450000 Prudential Financial IncCOM74432010270657SHSOLENONE65700 Public Service Enterprise GrouCOM74457310630650SHOTRNONE65000 QUALCOMM INCCOM7475251033376507SHOTRNONE650700 QUALCOMM INCCOM747525103196437895SHSOLENONE3789500 Raytheon CoCOM NEW7551115072051100SHOTRNONE110000 Raytheon CoCOM NEW75511150773393SHSOLENONE39300 Republic Services IncCOM76075910035532SHSOLENONE53200 Rite Aid CorpCOM7677541047840000SHSOLENONE4000000 Roche Holdings IncCOM35046510020500SHSOLENONE50000 Rockwell Automation IncCOM7739031092491400SHSOLENONE140000 Rockwell Collins IncCOM7743411013242481SHSOLENONE248100 Roper Industries IncCOM77669610644180SHOTRNONE18000 Roper Industries IncCOM7766961064561874SHSOLENONE1805069 Royal Caribbean Cruises 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ETF921908844458448360SHSOLENONE4836000 Vanguard ETF/USAVG TL INTL STK F921909768891622SHOTRNONE162200 Vanguard ETF/USAINTERMED TERM92193781961720SHOTRNONE72000 Vanguard ETF/USAINTERMED TERM92193781979928SHSOLENONE92800 Vanguard ETF/USATOTAL BND MRKT921937835106112944SHOTRNONE1294400 Vanguard ETF/USATOTAL BND MRKT92193783521639264014SHSOLENONE26401400 Vanguard ETF/USASTRM INFPROIDX9220208051222464SHOTRNONE246400 Vanguard ETF/USASTRM INFPROIDX9220208057396149571SHSOLENONE14957100 Vanguard ETF/USAALLWRLD EX US92204277513250SHOTRNONE25000 Vanguard ETF/USAFTSE EMR MKT ETF922042858811852SHOTRNONE185200 Vanguard ETF/USAFTSE EMR MKT ETF9220428583457924SHSOLENONE792400 Vanguard ETF/USAENERGY ETF92204A30647503SHSOLENONE50300 Vanguard ETF/USAHEALTH CAR ETF92204A50447308SHOTRNONE30800 Vanguard ETF/USAHEALTH CAR ETF92204A50413488850SHSOLENONE885000 Vanguard ETF/USAINF TECH ETF92204A7021281SHOTRNONE8100 Vanguard ETF/USAMATERIALS ETF92204A80164500SHOTRNONE50000 Vanguard ETF/USAMATERIALS ETF92204A8014983877SHSOLENONE387700 Vanguard ETF/USASHRT TRM CORP BD92206C409871091SHSOLENONE109100 Vanguard ETF/USAINT-TERM CORP92206C8704455059SHSOLENONE505900 Vanguard ETF/USASML CP GRW ETF92290859538252SHSOLENONE25200 Vanguard ETF/USASM CP VAL ETF92290861137293SHSOLENONE29300 Vanguard ETF/USAMID CAP ETF92290862979539SHOTRNONE53900 Vanguard ETF/USAMID CAP ETF922908629163511121SHSOLENONE1112100 Vanguard ETF/USAGROWTH ETF922908736106797SHSOLENONE79700 Vanguard ETF/USASMALL CP ETF9229087512661879SHOTRNONE187900 Vanguard ETF/USASMALL CP ETF922908751589341702SHSOLENONE4170200 Vanguard ETF/USATOTAL STK MKT9229087698216339SHOTRNONE633900 Vanguard ETF/USATOTAL STK MKT922908769421832563SHSOLENONE3256300 Vanguard GroupSHORT TRM BOND9219378271291610SHOTRNONE161000 Vanguard GroupSHORT TRM BOND921937827662783023SHSOLENONE8302300 Vanguard Group Inc/TheINTL BD IDX ETF92203J40712225SHOTRNONE22500 Vanguard Group Inc/TheINTL BD IDX ETF92203J4071462670SHSOLENONE267000 Vanguard Group Inc/TheSHTRM GVT BD ETF92206C102580SHSOLENONE8000 Vanguard Group Inc/TheINT-TERM GOV92206C706575SHSOLENONE7500 Vanguard Group Inc/TheLARGE CAP ETF92290863758500SHSOLENONE50000 Varian Medical Systems IncCOM92220P1051931925SHSOLENONE17650160 Ventas IncCOM92276F1003395206SHSOLENONE520600 Verizon Communications IncCOM92343V10496419471SHOTRNONE1947100 Verizon Communications IncCOM92343V104355771881SHSOLENONE7188100 Versum Materials IncCOM92532W1035125SHSOLENONE12500 Viacom IncCL B92553P20112434SHSOLENONE43400 Visa IncCOM CL A92826C8396716376SHOTRNONE637600 Visa IncCOM CL A92826C839404238403SHSOLENONE378480555 Vodafone Group PLCSPONSORED ADR92857W30821726SHOTRNONE72600 Vodafone Group PLCSPONSORED ADR92857W308109238364SHSOLENONE3836400 Vulcan Materials CoCOM9291601093402843SHOTRNONE284300 Vulcan Materials CoCOM929160109227018981SHSOLENONE18900081 WEC Energy Group IncCOM92939U10635564SHSOLENONE56400 WP Carey IncCOM92936U109941400SHSOLENONE140000 Wal-Mart Stores IncCOM931142103212427180SHOTRNONE269800200 Wal-Mart Stores IncCOM9311421036688546SHSOLENONE854600 Walgreens Boots Alliance IncCOM93142710813170SHOTRNONE17000 Walgreens Boots Alliance IncCOM93142710857744SHSOLENONE74400 Walt Disney Co/TheCOM DISNEY2546871065065134SHOTRNONE513400 Walt Disney Co/TheCOM DISNEY254687106286229037SHSOLENONE2903700 Washington Trust Bancorp IncCOM940610108801400SHSOLENONE140000 Waste Management IncCOM94106L10934440SHOTRNONE44000 Watsco IncCOM9426222002971846SHSOLENONE1749097 Webster Financial CorpCOM947890109871662SHOTRNONE001662 Webster Financial CorpCOM947890109201438323SHSOLENONE0038323 Wells Fargo & CoCOM9497461012354255SHOTRNONE425500 Wells Fargo & CoCOM949746101140225423SHSOLENONE249280495 Welltower IncCOM95040Q1043374800SHSOLENONE480000 Western Digital CorpCOM9581021051041200SHOTRNONE120000 Western Union Co/TheCOM9598021094200SHSOLENONE20000 Weyerhaeuser CoCOM962166104341000SHOTRNONE100000 Weyerhaeuser CoCOM962166104130038215SHSOLENONE3821500 Whirlpool CorpCOM96332010629155SHOTRNONE15500 Whirlpool CorpCOM96332010641220SHSOLENONE22000 Williams Cos Inc/TheCOM96945710018600SHSOLENONE60000 WisdomTree Asset Management IncINTL LRGCAP DV97717W79437745SHSOLENONE74500 WisdomTree Asset Management IncITL HIGH DIV FD97717W802441006SHSOLENONE100600 WisdomTree Asset Management IncJAPN HEDGE EQT97717W851123SHSOLENONE2300 WisdomTree Asset Management IncEUROPE HEDGED EQ97717X701981508SHOTRNONE150800 WisdomTree Asset Management IncEUROPE HEDGED EQ97717X70118271SHSOLENONE27100 WisdomTree Asset Management IncEM LCL DEBT FD97717X8674100SHSOLENONE10000 WisdomTree ETFs/USAEMG MKTS SMCAP97717W281731490SHSOLENONE149000 WisdomTree ETFs/USAEMER MKT HIGH FD97717W31540930SHSOLENONE93000 WisdomTree ETFs/USAINDIA ERNGS FD97717W422763000SHSOLENONE300000 XEROX CORPCOM NEW984121608249SHSOLENONE4900 XL Group LtdCOMG9829410432800SHSOLENONE80000 XPO Logistics IncCOM983793100163424101SHSOLENONE2410100 Xcel Energy IncCOM98389B10031650SHOTRNONE65000 Xcel Energy IncCOM98389B10037774SHSOLENONE77400 Xylem Inc/NYCOM98419M10012187SHOTRNONE18700 Yum China Holdings IncCOM98850P10930740SHOTRNONE74000 Yum China Holdings IncCOM98850P109701750SHSOLENONE175000 Yum! Brands IncCOM98849810152700SHOTRNONE70000 Yum! Brands IncCOM98849810165885SHSOLENONE88500 Zimmer Biomet Holdings IncCOM98956P10270600SHOTRNONE60000 Zimmer Biomet Holdings IncCOM98956P10299847SHSOLENONE84700 eBay IncCOM27864210312300SHSOLENONE30000 iShares ETFs/USAMIN VOL EMRG MKT4642865331332290SHOTRNONE229000 iShares ETFs/USAMIN VOL EMRG MKT464286533373864344SHSOLENONE6434400 iShares ETFs/USAMSCI MEX CAP ETF464286822751375SHOTRNONE137500 iShares ETFs/USAMSCI INDIA ETF46429B598391180SHSOLENONE118000 iShares ETFs/USAUSA MOMENTUM FCT46432F3963153295SHSOLENONE329500 iShares ETFs/USACORE MSCI EMKT46434G1032214085SHOTRNONE408500 iShares ETFs/USACORE MSCI EMKT46434G103276151118SHSOLENONE5111800 iShares ETFs/USAMSCI TAIWAN ETF46434G77232880SHSOLENONE88000 iShares ETFs/USAMSCI JPN ETF NEW46434G82254975SHOTRNONE97500 iShares ETFs/USAMSCI JPN ETF NEW46434G82226473SHSOLENONE47300 iShares/USARUS MID CAP ETF4642874991365SHOTRNONE6500 iShares/USARUS MID CAP ETF464287499301315285SHSOLENONE147500535 salesforce.com IncCOM79466L3022492670SHOTRNONE267000 salesforce.com IncCOM79466L302213622865SHSOLENONE2286500