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13F Holdings
13F Holdings
13F Filings for WHITTIER TRUST CO (CIK: 1137881)
View the most recent portfolio holdings disclosed by WHITTIER TRUST CO in their 13F filing.
Quarter:
Q1 2025
Holding
Shares
Value
Portfolio Percent
Change Status
Change Amount
AAPL - APPLE COMPUTER INC COM
(Class: US LARGE-CAP EQUITIES)
1.79M
$397.82M
-
Decreased
4.73K (0.0%, $51.85M)
MSFT - MICROSOFT CORP COM
(Class: US LARGE-CAP EQUITIES)
911.50K
$342.16M
-
Increased
2.44K (0.0%, $41.01M)
NVDA - NVIDIA CORP COM
(Class: US LARGE-CAP EQUITIES)
3.13M
$339.38M
-
Decreased
578.57K (15.0%, $158.83M)
SPY - SPDR TR SP 500
(Class: ETF EQUITY)
423.29K
$236.79M
-
Decreased
10.41K (2.0%, $17.40M)
IVV - ISHARES SP 500 INDEX
(Class: ETF EQUITY)
418.01K
$234.88M
-
Increased
20.93K (5.0%, $1.13M)
GOOG - ALPHABET INC CL C
(Class: US LARGE-CAP EQUITIES)
1.42M
$221.74M
-
Increased
9.81K (0.0%, $46.69M)
AMZN - AMAZON COM INC COM
(Class: US LARGE-CAP EQUITIES)
1.12M
$212.35M
-
Increased
8.58K (0.0%, $30.63M)
JPM - J P MORGAN CHASE CO COM
(Class: US LARGE-CAP EQUITIES)
613.90K
$150.59M
-
Increased
4.41K (0.0%, $4.49M)
V - VISA INC COM CL A
(Class: US LARGE-CAP EQUITIES)
392.23K
$137.46M
-
Decreased
41.95K (9.0%, $244.02K)
META - META PLATFORMS INC CL A
(Class: US LARGE-CAP EQUITIES)
214.66K
$123.72M
-
Increased
23.80K (12.0%, $11.97M)
AVGO - BROADCOM INC
(Class: US LARGE-CAP EQUITIES)
706.87K
$118.35M
-
Increased
189 (0.0%, $45.49M)
BRK.B - BERKSHIRE HATHAWAY INC DEL CL B NEW
(Class: US LARGE-CAP EQUITIES)
208.66K
$111.13M
-
Decreased
2.31K (1.0%, $15.50M)
IJH - ISHARES SP MIDCAP 400 INDEX
(Class: ETF EQUITY)
1.74M
$101.45M
-
Increased
28.68K (1.0%, $5.12M)
LLY - LILLY ELI CO COM
(Class: US LARGE-CAP EQUITIES)
116.75K
$96.42M
-
Increased
23.19K (24.0%, $24.19M)
NOW - SERVICENOW INC COM
(Class: US LARGE-CAP EQUITIES)
91.94K
$73.20M
-
Increased
15.71K (20.0%, $7.61M)
MDY - MIDCAP SPDR TR UNIT SER 1
(Class: ETF EQUITY)
135.60K
$72.34M
-
Decreased
2.40K (1.0%, $6.26M)
TJX - TJX COS INC NEW COM
(Class: US LARGE-CAP EQUITIES)
574.62K
$69.99M
-
Increased
2.98K (0.0%, $929.48K)
VEA - VANGUARD FTSE DEVELOPED MARKETS
(Class: ETF EQUITY)
1.37M
$69.81M
-
Decreased
9.86K (0.0%, $3.68M)
ETN - EATON CORP PLC SHS
(Class: US LARGE-CAP EQUITIES)
256.64K
$69.76M
-
Increased
2.90K (1.0%, $14.44M)
IJR - ISHARES SP SMALL CAP 600
(Class: ETF EQUITY)
636.88K
$66.60M
-
Increased
11.67K (1.0%, $5.44M)
CVX - CHEVRON CORP COM
(Class: US LARGE-CAP EQUITIES)
383.84K
$64.21M
-
Increased
5.66K (1.0%, $9.44M)
COST - COSTCO WHSL CORP NEW COM
(Class: US LARGE-CAP EQUITIES)
60.08K
$56.82M
-
Decreased
331 (0.0%, $1.47M)
HON - HONEYWELL INTL INC COM
(Class: US LARGE-CAP EQUITIES)
268K
$56.75M
-
Increased
1.34K (0.0%, $3.49M)
PM - PHILIP MORRIS INTL INC COM
(Class: US LARGE-CAP EQUITIES)
340.01K
$53.97M
-
Increased
2.21K (0.0%, $13.32M)
LIN - LINDE PLC SHS
(Class: NON-US EQUITY (DEVELOPED))
113.54K
$52.87M
-
Increased
14 (0.0%, $5.34M)
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