Skip to main content
← Institutions

Northern Trust Investments

CIK 0000073124 · SEC 13F-HR filings · 50 holdings · Q1 2026

Holdings detail for selected institution and quarter
Issuer Ticker Shares Value (USD) Δ Shares Δ Value Type
NVIDIA CORPORATIONNVDA175,661,780$30.6B+149.5M$25.8BShares
APPLE INCAAPL108,265,332$27.5B+93.4M$23.4BShares
MICROSOFT CORPMSFT55,245,432$20.5B+46.9M$16.4BShares
AMAZON COM INCAMZN68,181,385$14.2B+58.2M$11.9BShares
ALPHABET INCGOOGL43,469,635$12.5B+36.4M$10.3BShares
BROADCOM INCAVGO34,252,104$10.6B-100K$-1.3BShares
ALPHABET INCGOOG35,081,717$10.1B+27.3M$7.6BShares
META PLATFORMS INCMETA15,890,501$9.1B-186K$-1.5BShares
STATE STR SPDR S&P 500 ETF TSPY12,013,200$7.8B-100K$-448MShares
TESLA INCTSLA19,620,029$7.3B-182K$-1.6BShares
JPMORGAN CHASE & COJPM19,598,693$5.8B+13.3M$3.7BShares
BERKSHIRE HATHAWAY INC DELBRKB11,962,506$5.7B-19K$-290MShares
APPLE INCAAPL22,186,578$5.6B+7.3M$1.6BShares
EXXON MOBIL CORPXOM31,984,351$5.4B-353K$1.5BShares
NVIDIA CORPORATIONNVDA30,400,512$5.3B+4.3M$428MShares
ELI LILLY & COLLY5,724,524$5.3B+37K$-847MShares
ISHARES TRIVV8,040,676$5.3B+116K$-176MShares
NVIDIA CORPORATIONNVDA26,792,867$4.7B+659K$-201MShares
JOHNSON & JOHNSONJNJ17,749,789$4.3B-123K$640MShares
APPLE INCAAPL15,321,306$3.9B+482K$-146MShares
FLEXSHARES TRGUNR69,448,144$3.8B+10.3M$1.1BShares
VISA INCV12,279,080$3.7B-143K$-645MShares
WALMART INCWMT29,095,889$3.6B-262K$345MShares
MICROSOFT CORPMSFT9,452,899$3.5B+1.1M$-518MShares
COSTCO WHOLESALE CORPORATIONCOST3,246,018$3.2B-5K$431MShares
MICROSOFT CORPMSFT8,652,260$3.2B+346K$-814MShares
VANGUARD TAX-MANAGED FDSVEA49,218,479$3.2B+1.7M$183MShares
CHEVRON CORPORATIONCVX14,883,557$3.1B-364K$755MShares
NETFLIX INC.NFLX30,513,432$2.9B-310K$44MShares
ABBVIE INCABBV13,391,699$2.9B-197K$-192MShares
MASTERCARD INCORPORATEDMA5,803,726$2.9B-89K$-464MShares
VANGUARD INDEX FDSVTI8,947,742$2.9B+354$-129MShares
MICRON TECHNOLOGY INCMU7,852,514$2.7B-99K$383MShares
PROCTER & GAMBLE COPG17,036,638$2.5B-347K$-31MShares
ADVANCED MICRO DEVICES INCAMD11,853,417$2.4B-105K$-150MShares
HOME DEPOT INCHD7,201,172$2.4B-46K$-125MShares
CATERPILLAR INCCAT3,299,534$2.3BNew$2.3BNEW POSITIONShares
PALANTIR TECHNOLOGIES INCPLTR15,892,370$2.3B-133K$-524MShares
AMAZON COM INCAMZN10,938,414$2.3B+925K$-33MShares
ALPHABET INCGOOGL7,887,415$2.3B+847K$65MShares
CISCO SYS INCCSCO29,023,609$2.3B-235K$-2MShares
BANK AMERICA CORPBAC45,933,188$2.2B-1.3M$-357MShares
MERCK & CO INCMRK18,582,816$2.2BNew$2.2BNEW POSITIONShares
ALPHABET INCGOOG7,792,089$2.2B-18K$-216MShares
GE AEROSPACEGE7,793,573$2.2B-30K$-198MShares
AMAZON COM INCAMZN10,500,860$2.2B+487K$-124MShares
ISHARES TRIWF5,116,333$2.2B-61K$-269MShares
ISHARES TRIGF32,092,487$2.2BNew$2.2BNEW POSITIONShares
ALPHABET INCGOOGL7,368,760$2.1B+329K$-85MShares
LAM RESEARCH CORPLRCX9,836,487$2.1BNew$2.1BNEW POSITIONShares