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Pitcairn Wealth Advisors LLC
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Pitcairn Wealth Advisors LLC
All holdings · as of Dec 31, 2025
267 positions
All types
Company
▲
▼
Class
Value
▲
▼
Shares
▲
▼
% of portfolio
▲
▼
ISHARES TR
—
$937.2K
7,798
0.1%
iShares MSCI UAE ETF
—
$922.0K
15,026
0.1%
DIMENSIONAL ETF TRUST
—
$894.8K
22,603
0.1%
BROWN FORMAN CORP
—
$891.9K
34,226
0.1%
NEXTERA ENERGY INC
—
$885.2K
11,027
0.1%
SPDR SERIES TRUST
—
$866.9K
18,501
0.1%
Philip Morris International Inc.
—
$865.7K
5,397
0.1%
Element Solutions Inc
—
$863.5K
34,553
0.1%
FOSTER L B CO
—
$856.2K
31,770
0.1%
COSTCO WHOLESALE CORP /NEW
—
$854.6K
991
0.1%
REGENERON PHARMACEUTICALS, INC.
—
$850.6K
1,102
0.1%
VANGUARD WHITEHALL FDS
—
$845.3K
5,890
0.1%
ANALOG DEVICES INC
—
$842.1K
3,105
0.1%
Intuitive Surgical Inc
—
$838.2K
1,480
0.1%
SYNOPSYS INC
—
$835.2K
1,778
0.1%
Warner Bros. Discovery, Inc.
—
$816.1K
28,317
0.1%
AMERICAN EXPRESS CO
—
$809.8K
2,189
0.1%
Interactive Brokers Group Inc
—
$798.0K
12,408
0.1%
Eaton Corp plc
—
$788.6K
2,476
0.1%
Intercontinental Exchange, Inc.
—
$784.0K
4,841
0.1%
CSX CORP
—
$783.0K
21,600
0.1%
Marvell Technology, Inc.
—
$775.3K
9,123
0.1%
SLB LIMITED/NV
—
$772.7K
20,132
0.1%
CAPITAL ONE FINANCIAL CORP
—
$772.4K
3,187
0.1%
THERMO FISHER SCIENTIFIC INC.
—
$762.6K
1,316
0.1%
NORFOLK SOUTHERN CORP
—
$751.2K
2,602
0.1%
VANGUARD INTL EQUITY INDEX F
—
$747.5K
10,162
0.1%
ISHARES TR
—
$744.4K
3,539
0.1%
AMGEN INC
—
$738.4K
2,256
0.1%
BJ's Wholesale Club Holdings, Inc.
—
$725.6K
8,060
0.1%
SHELL PLC
—
$702.5K
9,560
0.1%
ADOBE INC.
—
$702.4K
2,007
0.1%
ALLSTATE CORP
—
$698.3K
3,355
0.1%
Crane Co
—
$697.3K
3,781
0.1%
VANGUARD SPECIALIZED FUNDS
—
$690.3K
3,141
0.1%
Western Digital Corp
—
$682.2K
3,960
0.1%
HORTON D R INC /DE
—
$681.8K
4,734
0.1%
ISHARES TR
—
$674.1K
6,293
0.1%
STRYKER CORP
—
$671.3K
1,910
0.1%
ROBLOX Corp
—
$669.0K
8,256
0.1%
SELECT SECTOR SPDR TR
—
$661.5K
4,273
0.1%
Restaurant Brands International Inc.
QSR
Common Stock
$659.9K
9,672
0.1%
KROGER CO
—
$657.5K
10,524
0.1%
Jefferies Financial Group Inc.
—
$650.6K
10,499
0.1%
SPDR SERIES TRUST
—
$648.1K
10,000
0.1%
PayPal Holdings, Inc.
—
$643.6K
11,024
0.1%
Hilton Worldwide Holdings Inc.
—
$641.1K
2,232
0.1%
INTUIT INC.
—
$637.2K
962
0.1%
Vertiv Holdings Co
—
$636.7K
3,930
0.1%
T-Mobile US, Inc.
TMUS
Common Stock
$631.9K
3,112
0.1%
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