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Moody National Bank Trust Division

All holdings · as of Mar 31, 2026

501 positions

CompanyClassValueShares% of portfolio
OPKO HEALTH, INC.OPKCommon Stock$15.5K13,5540.0%
Eightco Holdings Inc.$32.6K35,0000.0%
BIT DIGITAL INC$39.3K30,0000.0%
LLOYDS BANKING GROUP PLC$72.5K14,4050.0%
Mizuho Financial Group, Inc.MFGADR$103.4K13,0200.0%
NEWELL BRANDS INC.$131.4K38,2990.0%
HALEON PLC$134.8K13,4640.0%
MICROCLOUD HOLOGRAM INC$143.5K70,0000.0%
Empire State Realty Trust, Inc.$185.1K35,6020.0%
Arista Networks, Inc.ANETCommon Stock$201.6K1,6420.0%
CSW INDUSTRIALS, INC.$202.2K7760.0%
ARK ETF TR$202.8K3,0000.0%
Penumbra Inc$203.6K6200.0%
COLGATE PALMOLIVE CO$204.3K2,3970.0%
INTERNATIONAL PAPER CO /NEW$204.6K5,7310.0%
KADANT INC$207.0K7080.0%
HUBSPOT INC$207.0K8480.0%
KINROSS GOLD CORP$208.3K6,8260.0%
PETROLEO BRASILEIRO S.A. PETROBRAS$208.5K10,0500.0%
Weyerhaeuser Co$210.1K8,5990.0%
Digital Realty Trust Inc$210.1K1,1660.0%
3M CO$210.4K1,4490.0%
CAMECO CORP$211.6K1,9480.0%
Johnson Controls International plc$212.5K1,6230.0%
United Rentals Inc$213.5K2930.0%
Bunge Global SA$213.9K1,6820.0%
ICL GROUP LTD$215.1K41,5300.0%
Simpson Manufacturing Co., Inc.$215.6K1,2560.0%
PACCAR INC$216.3K1,8730.0%
Solstice Advanced Materials Inc.$219.3K2,8790.0%
Global Payments Inc$219.9K3,2670.0%
StoneX Group Inc.$221.9K2,7520.0%
ANALOG DEVICES INC$222.1K6980.0%
BOSTON SCIENTIFIC CORP$223.7K3,5650.0%
Williams Cos Inc/The$224.6K3,0860.0%
NUCOR CORP$225.6K1,3340.0%
Novanta Inc$225.9K1,9130.0%
J M SMUCKER Co$227.5K2,3590.0%
AMPHENOL CORP /DE$227.8K1,8030.0%
BEST BUY CO INC$228.4K3,5570.0%
COHERENT CORP$229.4K9630.0%
ANGLOGOLD ASHANTI PLC$230.0K2,3620.0%
FIRST CITIZENS BANCSHARES INC /DE$231.8K1230.0%
T Rowe Price Group Inc$232.6K2,5800.0%
PROGRESSIVE CORP/OH$233.3K1,1770.0%
ISHARES TR$238.9K3,4040.0%
Avery Dennison Corp$240.4K1,3920.0%
CF Industries Holdings Inc$240.5K1,8520.0%
Bloom Energy Corp$241.4K1,7820.0%
GENERAL DYNAMICS CORP$241.6K7040.0%
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