Whittier Trust Co Of Nevada Inc Portfolio Stock Holdings

Whittier Trust Co Of Nevada Inc disclosed 1411 stock positions valued at approximately $4.9 billion in its latest SEC 13F filing. The largest holdings include NVIDIA CORP, APPLE COMPUTER, and MICROSOFT CORP. The filing reflects positions held as of March 31, 2026 and was filed on April 28, 2026.

Report Period
March 31, 2026
No. of Stocks
1411
Portfolio Value
$4.9B
Holdings by Sector
Whittier Trust Co Of Nevada Inc Portfolio Holdings in Q1 2026

1377 holdings in the latest reporting period.

Page 1 of 14
CompanySymbolSectorPortfolio %SharesChange (Shares)Change %Value
NVIDIA CORPNVDATechnology7.60%2,085,852+779,049+59.61%$370,530,804
APPLE COMPUTERAAPLTechnology5.55%1,044,044-43,780-4.02%$270,261,306
MICROSOFT CORPMSFTTechnology4.92%642,285+23,838+3.85%$239,495,287
ALPHABET INC.GOOGCommunication Services4.06%664,653-23,501-3.42%$197,840,726
AMAZON.COMAMZNConsumer Cyclical2.99%685,054+28,765+4.38%$145,772,640
SPDR S&P 500SPYOther2.96%218,873-13,769-5.92%$144,221,986
ISHARES S&P 500IVVOther2.32%170,587+10,796+6.76%$112,904,951
BROADCOM INCAVGOTechnology2.17%335,739+16,842+5.28%$105,566,320
JP MORGAN CHASEJPMFinancial Services1.99%328,335+14,535+4.63%$97,006,497
I SHARES S&P MID 400IJHOther1.73%1,228,028+64,147+5.51%$84,070,799
ISHARES EMERG-IEMGIEMGOther1.66%1,153,845+50,697+4.60%$80,930,682
VANGUARD FTSE INTLVEAOther1.48%1,103,762+50,751+4.82%$71,876,984
VISA INCVFinancial Services1.32%212,646+7,434+3.62%$64,501,882
VANG EMERG MKT ETFVWOOther1.29%1,161,279+42,231+3.77%$62,720,679
BERKSHIRE CLBBRK-BFinancial Services1.24%126,575+7,177+6.01%$60,297,798
META PLATFORMS INCMETACommunication Services1.21%103,184+7,780+8.15%$59,126,220
ISHARES EAFE-IEFAIEFAOther1.09%579,092+52,752+10.02%$53,212,764
ALPHABET INCGOOGLCommunication Services1.06%172,308+4,716+2.81%$51,690,677
LILLY ELI & COLLYHealthcare0.94%49,186+2,582+5.54%$45,598,158
RAYTHEON TECHNOLOGIERTXIndustrials0.86%210,849+9,224+4.57%$41,834,531
ISHARES S&PSMCAP 600IJROther0.84%326,376+36,923+12.76%$41,159,252
TJX COMPANIESTJXConsumer Cyclical0.84%253,942+11,380+4.69%$41,092,899
CHEVRONCVXEnergy0.82%201,408-60,063-22.97%$40,051,987
MIDCAP SPDRMDYOther0.81%63,514-4,316-6.36%$39,708,952
ISHR RUSSELL 1000IWBOther0.78%105,492--$38,131,138
INVESCO QQQ TRUSTQQQOther0.77%63,721-121-0.19%$37,499,809
COSTCO WHOLESALECOSTConsumer Defensive0.75%35,719+1,784+5.26%$36,381,500
GOLDMAN SACHSGSFinancial Services0.74%41,726-4,857-10.43%$36,136,729
TESLA MOTORS INCTSLAConsumer Cyclical0.74%101,550+11,789+13.13%$35,828,871
MERCK & COMRKHealthcare0.69%280,055+18,723+7.16%$33,844,647
WAL MART STORESWMTConsumer Defensive0.67%259,004+64,681+33.29%$32,839,156
ISHARES RUSL 2000IWMOther0.63%122,461-572-0.46%$30,904,258
JOHNSON & JOHNSONJNJHealthcare0.63%128,238-122-0.10%$30,901,511
CLOUDFLARE INCNETTechnology0.61%139,644+9,184+7.04%$29,573,806
HONEYWELL INTLHONIndustrials0.60%128,488+5,476+4.45%$29,322,255
VANGUARD S&PVOOOther0.58%46,724-20-0.04%$28,299,325
THERMO FISHER CORPTMOHealthcare0.58%57,900+3,367+6.17%$28,266,201
BERKSHIRE HATHAWAYBRK-AFinancial Services0.57%39--$27,943,500
ISHR RUSSELL MICR IDIWCOther0.55%164,721+94,500+134.58%$26,898,974
DANAHER CORPDHRHealthcare0.53%133,764+7,647+6.06%$25,698,692
PHILIP MORRIS INTLPMConsumer Defensive0.52%159,358-39,640-19.92%$25,551,517
AMPHENOL CORPAPHTechnology0.50%192,519+12,284+6.82%$24,351,729
NORFOLK SOUTHNNSCIndustrials0.50%84,164+4,557+5.72%$24,243,583
CATERPILLAR INCCATIndustrials0.50%33,476-280-0.83%$24,144,230
MONOLITHICMPWRTechnology0.49%20,227-2,637-11.53%$23,868,349
LUMENTUM HOLDINGSLITETechnology0.48%30,243+30,234+335933.33%$23,356,064
PNC FINANCIALPNCFinancial Services0.48%109,193+5,682+5.49%$23,273,347
INTUITIVE SURGICALISRGHealthcare0.47%50,950+2,438+5.03%$23,058,951
EXXON-MOBILXOMEnergy0.46%138,313-12,057-8.02%$22,596,195
ABBVIE INCABBVHealthcare0.46%108,257+4,211+4.05%$22,375,545
TARGA RESOURCES CORPTRGPEnergy0.46%90,944-1,713-1.85%$22,340,394
THE BLACKSTONE GROUPBXFinancial Services0.45%193,186+55,027+39.83%$21,683,180
VANGUARD MID - CAPVOOther0.44%73,752+225+0.31%$21,489,858
ISHARES RUSL2000 VALIWNOther0.44%110,561-3,131-2.75%$21,326,140
ISHARES RUSL MIDCAPIWROther0.43%211,289+8,589+4.24%$20,864,789
NETFLIXNFLXCommunication Services0.42%207,923+182,090+704.87%$20,569,822
CROWDSTRIKE HLDGS INCRWDTechnology0.42%51,577+3,058+6.30%$20,559,108
VERTIV HOLDINGS CO-AVRTIndustrials0.41%77,994+2,561+3.40%$20,179,513
CONOCOPHILLIPCOPEnergy0.40%147,784+10,896+7.96%$19,454,246
MCKESSON HBOC INCMCKHealthcare0.39%22,454+2,665+13.47%$19,238,337
VALERO ENERGYVLOEnergy0.38%76,235-10,241-11.84%$18,721,818
VANG LG-CAPVVOther0.38%60,661-1,211-1.96%$18,365,118
CURTISS-WRIGHTCWIndustrials0.37%26,127-2,311-8.13%$18,265,909
EQT CORP COM.EQTEnergy0.37%302,193+16,051+5.61%$18,252,464
UNITED RENTALSURIIndustrials0.37%24,221-57-0.23%$17,838,627
VANGUARD SMALL - CAPVBOther0.35%63,755-696-1.08%$16,927,590
MCDONALDS CORPMCDConsumer Cyclical0.35%54,442+39+0.07%$16,863,954
SPDR BIOTECH - XBIXBIOther0.33%126,463+4,378+3.59%$16,288,434
RBC BEARINGS INCRBCIndustrials0.32%27,923-3,698-11.69%$15,424,665
O'REILLY AUTOMOTIVEORLYConsumer Cyclical0.31%166,389+9,877+6.31%$15,329,419
DISNEY WALT CODISCommunication Services0.30%154,332+5,328+3.58%$14,859,085
LAM RESEARCH CORPLRCXOther0.30%66,579+45,902+222.00%$14,690,656
CB RICHARDCBREReal Estate0.30%106,056+105,900+67884.62%$14,443,767
ISHARES MSCI EAFEEFAOther0.30%146,409-464-0.32%$14,419,823
PROCTER & GAMBLEPGConsumer Defensive0.29%100,462-37,179-27.01%$14,342,959
ISHARES RUSSELLIWVOther0.29%37,982-11,225-22.81%$14,259,582
PALANTIR TECHNOLOGIEPLTRTechnology0.29%96,199+28,796+42.72%$14,230,718
KKR & CO INC - AKKRFinancial Services0.29%153,399+70,954+86.06%$13,966,961
EAST WEST BANCEWBCFinancial Services0.28%124,474+2,998+2.47%$13,685,910
CISCO SYS INCCSCOTechnology0.28%168,458+7,301+4.53%$13,549,919
ISHARES RUSL2000 GRWIWOOther0.26%40,104--$12,820,848
HOME DEPOTHDConsumer Cyclical0.26%39,036+354+0.92%$12,751,109
CASEY'S GENECASYConsumer Cyclical0.26%16,893+560+3.43%$12,632,340
PEPSICO INCPEPConsumer Defensive0.26%79,936-491-0.61%$12,528,369
SCHWAB MID CAP-SCHMSCHMOther0.26%395,158+38,955+10.94%$12,435,622
MARSH & MCLENNANMMCFinancial Services0.25%70,687+4,479+6.77%$12,357,564
GENERAL ELECTRIC COGEIndustrials0.25%42,526+4,186+10.92%$12,276,831
VANGUARD DIV APP-VIGVIGOther0.25%55,529-994-1.76%$12,039,798
AMERICAN EXPRESSAXPFinancial Services0.25%39,280+1,774+4.73%$12,009,075
S&P GLOBAL INC.SPGIFinancial Services0.25%27,614+864+3.23%$11,987,612
CONSTELLATION ENERGYCEGUtilities0.25%43,432+2,383+5.81%$11,950,763
MICRON TECHMUTechnology0.24%31,465+30,846+4983.20%$11,886,218
SPDR DJIA TRUSTDIAOther0.24%25,044+2+0.01%$11,689,788
SUN CMNTYSSUIReal Estate0.24%90,800-19,615-17.76%$11,607,819
CHARLES SCHWABSCHWFinancial Services0.24%123,472+5,687+4.83%$11,481,636
TELEDYNE TECHTDYTechnology0.23%17,954+1,516+9.22%$11,347,108
ISHARES GOLD TRUSTIAUOther0.23%128,254+5,649+4.61%$11,236,333
VGRD ALL WORLD EX-USVEUOther0.23%144,924-2,479-1.68%$11,011,326
OLD DOMINIONODFLIndustrials0.22%53,417+1,874+3.64%$10,799,904
ABBOTT LABSABTHealthcare0.22%103,617-85,236-45.13%$10,600,019