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Northwest Bancshares, Inc.

All holdings · as of Dec 31, 2025

174 positions

CompanyClassValueShares% of portfolio
SCHWAB STRATEGIC TR$111.39M4,093,71321.5%
VANGUARD SCOTTSDALE FDS$18.84M224,9433.6%
VANGUARD SCOTTSDALE FDS$18.39M230,6353.6%
Apple Inc.$14.98M55,1082.9%
ISHARES TR$14.89M21,7432.9%
MICROSOFT CORP$13.95M28,8402.7%
ISHARES TR$10.79M108,0212.1%
LAM RESEARCH CORP$9.18M53,6471.8%
Walmart Inc.$8.43M75,6371.6%
JPMORGAN CHASE & CO$8.10M25,1241.6%
Alphabet Inc.$7.79M24,8981.5%
CISCO SYSTEMS, INC.$7.15M92,8151.4%
APPLIED MATERIALS INC /DE$7.13M27,7471.4%
EXXON MOBIL CORP$7.09M58,8881.4%
TAIWAN SEMICONDUCTOR MANUFACTURING CO LTDTSMADR$6.72M22,1211.3%
CUMMINS INC$6.39M12,5221.2%
Merck & Co., Inc.$6.16M58,4771.2%
COCA COLA CO$5.91M84,5481.1%
LOCKHEED MARTIN CORP$5.75M11,8921.1%
Check Point Software Technologies Ltd$5.75M30,9881.1%
ALLSTATE CORP$5.75M27,6141.1%
PROCTER & GAMBLE Co$5.71M39,8291.1%
BANK MONTREAL QUE$5.56M42,8351.1%
INCYTE CORP$5.48M55,4411.1%
HOME DEPOT, INC.$5.46M15,8671.1%
CHEVRON CORP$5.14M33,7161.0%
Alphabet Inc.$5.04M16,0711.0%
Morgan Stanley$5.04M28,3821.0%
Chubb Ltd$4.98M15,9551.0%
RIO TINTO PLC$4.85M60,6090.9%
VERTEX PHARMACEUTICALS INC / MA$4.82M10,6360.9%
PIMCO EQUITY SER$4.62M109,9920.9%
Valero Energy Corp$4.47M27,4320.9%
SPDR S&P 500 ETF TR$4.18M6,1370.8%
PEPSICO INC$4.02M27,9970.8%
United Parcel Service Inc$4.01M40,4300.8%
HALLIBURTON CO$4.00M141,3780.8%
AUTOZONE INC$3.96M1,1690.8%
Public Storage$3.92M15,1250.8%
NVIDIA Corp$3.92M21,0350.8%
Toyota Motor CorporationTMADR$3.90M18,2050.8%
Crocs, Inc.$3.87M45,2910.7%
SANOFI$3.78M77,9340.7%
ISHARES TR$3.65M14,8290.7%
ADOBE INC.$3.63M10,3810.7%
Interactive Brokers Group Inc$3.47M53,9550.7%
PayPal Holdings, Inc.$3.26M55,8560.6%
GLOBAL X FDS$3.12M37,9740.6%
ISHARES TR$2.99M24,2240.6%
Northwest Bancshares, Inc.$2.85M237,8100.6%
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