Fund HoldingsWHITTIER TRUST CO OF NEVADA INC

Total Portfolio Value
$4.87B
Total Bought
$605.66M
Total Sold
$266.94M
Net Transaction
+$338.73M
Filing Period:
Securities
SharesValue ($K)
Q4 2025
Q1 2026
Change
Q4 2025
Q1 2026
Weight (%)
Change
NVIDIA CORP(NVDA)02,085,852+2,085,8520370,5317.60%+370,531
LUMENTUM HOLDINGS(LITE)030,243+30,243023,3560.48%+23,356
NETFLIX(NFLX)25,833207,923+182,0902,34220,5700.42%+18,228
ISHR RUSSELL MICR ID70,221164,721+94,50011,41426,8990.55%+15,485
CB RICHARD(CBRE)0106,056+106,056014,4440.30%+14,444
MICRON TECH(MU)031,465+31,465011,8860.24%+11,886
WAL MART STORES(WMT)194,323259,004+64,68122,21932,8390.67%+10,620
LAM RESEARCH CORP(LRCX)20,67766,579+45,9024,27914,6910.30%+10,411
UBER TECHNOLOGIES(UBER)0122,903+122,90308,8700.18%+8,870
BOSTON SCIENTIFIC(BSX)0130,931+130,93108,1950.17%+8,195
MONSTER BEVERAGE(MNST)095,576+95,57607,0880.15%+7,088
VERTIV HOLDINGS CO-A(VRT)75,43377,994+2,56113,19720,1800.41%+6,983
COSTCO WHOLESALE(COST)035,719+35,719036,3820.75%+36,382
COMFORT SYS(FIX)04,308+4,30806,1780.13%+6,178
CONOCOPHILLIP(COP)0147,784+147,784019,4540.40%+19,454
TARGA RESOURCES CORP(TRGP)92,65790,944-1,71316,48522,3400.46%+5,856
MERCK & CO(MRK)261,332280,055+18,72328,45133,8450.69%+5,393
ISHARES S&PSMCAP 6000326,376+326,376041,1590.84%+41,159
ISHARES EAFE-IEFA
CORE MSCI EAFE
526,340579,092+52,75248,19253,2131.09%+5,021
BLOOM ENERGY CORP A036,110+36,11004,8750.10%+4,875
JOHNSON & JOHNSON(JNJ)128,360128,238-12226,28730,9020.63%+4,615
MONGODB INC(MDB)018,054+18,05404,6040.09%+4,604
EXXON-MOBIL0138,313+138,313022,5960.46%+22,596
VANGUARD FTSE INTL1,053,0111,103,762+50,75167,54071,8771.48%+4,337
HONEYWELL INTL(HON)0128,488+128,488029,3220.60%+29,322
I SHARES S&P MID 4001,163,8811,228,028+64,14780,02884,0711.73%+4,042
ARES MANAGEMENT CORP(ARES)037,693+37,69303,8760.08%+3,876
TJX COMPANIES(TJX)242,562253,942+11,38037,33541,0930.84%+3,758
CLOUDFLARE INC(NET)130,460139,644+9,18425,83129,5740.61%+3,743
Arm Holdings PLC024,126+24,12603,5890.07%+3,589
ISHARES EMERG-IEMG
CORE MSCI EMKT
1,103,1481,153,845+50,69777,47480,9311.66%+3,457
RAYTHEON TECHNOLOGIE(RTX)201,625210,849+9,22438,38941,8350.86%+3,445
CASEY'S GENE(CASY)016,893+16,893012,6320.26%+12,632
Toll Brothers Inc.(TOL)024,829+24,82903,4220.07%+3,422
VALERO ENERGY(VLO)86,47676,235-10,24115,41618,7220.38%+3,306
CATERPILLAR INC(CAT)33,75633,476-28021,03324,1440.50%+3,111
Everus Construction Group Inc.(ECG)025,317+25,31703,0540.06%+3,054
EQT CORP COM.(EQT)0302,193+302,193018,2520.37%+18,252
MCKESSON HBOC INC(MCK)19,78922,454+2,66516,35619,2380.39%+2,883
SPDR GOLD(GLD)13,83620,090+6,2545,7178,5910.18%+2,875
KKR & CO INC - A(KKR)82,445153,399+70,95411,19813,9670.29%+2,769
PERMIAN RESOURCES(PR)0315,450+315,45006,6650.14%+6,665
TELEDYNE TECH(TDY)017,954+17,954011,3470.23%+11,347
TAPESTRY INC(TPR)016,009+16,00902,3010.05%+2,301
DOXIMITY INC(DOCS)097,843+97,84302,2560.05%+2,256
PALANTIR TECHNOLOGIE(PLTR)67,40396,199+28,79612,11314,2310.29%+2,118
OLD DOMINION(ODFL)51,54353,417+1,8748,70510,8000.22%+2,095
MARATHON PETE CORP(MPC)023,143+23,14305,5870.11%+5,587
GE VERNOVA INC(GEV)8,7048,819+1155,9747,9140.16%+1,940
ISHARES S KOREA20,73032,858+12,1282,2314,1380.08%+1,907
ISHARES S&P 500159,791170,587+10,796111,037112,9052.32%+1,868
NEXTERA ENERGY INC(NEE)0108,334+108,334010,0460.21%+10,046
EVERCORE PARTNERS(EVR)05,825+5,82501,7750.04%+1,775
HF SINCLAIR CORP(DINO)0114,395+114,39506,9990.14%+6,999
INTEL CORP(INTC)0139,163+139,16307,0670.15%+7,067
CISCO SYS INC(CSCO)161,157168,458+7,30112,12413,5500.28%+1,426
ALTRIA GROUP(MO)092,497+92,49706,1560.13%+6,156
CURTISS-WRIGHT(CW)28,43826,127-2,31116,86918,2660.37%+1,397
SPDR BIOTECH - XBI
ST STR SP BIOT
122,085126,463+4,37814,90516,2880.33%+1,383
PEPSICO INC(PEP)079,936+79,936012,5280.26%+12,528
KEURIG DR PEPPER INC(KDP)050,738+50,73801,3040.03%+1,304
SCHWAB MID CAP-SCHM0395,158+395,158012,4360.26%+12,436
Figure Technology Solutions Inc.(FGRS)037,701+37,70101,2180.02%+1,218
O'REILLY AUTOMOTIVE(ORLY)0166,389+166,389015,3290.31%+15,329
Karman Holdings Inc.(KRMN)013,082+13,08201,1260.02%+1,126
UNION PACIFIC(UNP)026,207+26,20706,4350.13%+6,435
NORFOLK SOUTHN(NSC)084,164+84,164024,2440.50%+24,244
MURPHY USA INC(MUSA)08,045+8,04504,0830.08%+4,083
MONOLITHIC(MPWR)22,86420,227-2,63722,98723,8680.49%+881
ISHARES GOLD TRUST(IAU)122,605128,254+5,64910,37511,2360.23%+861
Sunbelt Rentals Holdings Inc.(SUNB)013,112+13,11208290.02%+829
AMERICAN ELECT POWER034,163+34,16304,5220.09%+4,522
CME GROUP INC.(CME)07,183+7,18302,2160.05%+2,216
LOCKHEED MARTIN CORP(LMT)5,9866,105+1193,1253,8940.08%+769
Victory Portfolios II
SHS FR CA FL ETF
018,836+18,83607530.02%+753
DEERE & CO(DE)010,028+10,02805,7670.12%+5,767
AMGEN INC(AMGN)022,943+22,94307,8600.16%+7,860
BERKSHIRE CLB119,398126,575+7,17759,58660,2981.24%+712
D.R. HORTON(DHI)06,116+6,11608670.02%+867
PNC FINANCIAL(PNC)103,511109,193+5,68222,57023,2730.48%+704
WASTE MANAGEMENT NEW(WM)09,617+9,61702,2480.05%+2,248
ABERDEEN STANDARD048,531+48,53101,2000.02%+1,200
COCA COLA CO(KO)091,566+91,56607,0710.15%+7,071
ENERGY TRANSFER(ET)0257,479+257,47904,8820.10%+4,882
JEFFERIES FINANCIAL(JEF)025,315+25,31501,0630.02%+1,063
WELLS FARGO CO 7.5(WFC)01,134+1,13401,3260.03%+1,326
OLIN CORP(OLN)022,351+22,35106530.01%+653
VERIZON COMM(VZ)075,882+75,88203,7300.08%+3,730
ISHARES RUSL MIDCAP202,700211,289+8,58920,23820,8650.43%+627
ALASKA AIR GROUP INC015,991+15,99106070.01%+607
SUNOCO LP(SUN)050,730+50,73003,2700.07%+3,270
KINDER MORGAN / DELA(KMI)098,871+98,87103,2820.07%+3,282
ECOLAB INC(ECL)034,470+34,47009,2050.19%+9,205
DECKERS OUTDOOR(DECK)05,780+5,78005870.01%+587
AMERICAN WTR WORKS021,091+21,09102,9090.06%+2,909
GILEAD SCIENCES(GILD)033,271+33,27104,6620.10%+4,662
FEDERATED INVESTORS(FHI)09,000+9,00005180.01%+518
VANG EMERG MKT ETF01,161,279+1,161,279062,7211.29%+62,721
iShares Trust010,000+10,00004850.01%+485
PSHS WTR RES-PHO
WATER RES ETF
013,250+13,25008980.02%+898
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