Laird Norton Wetherby Trust Company
Seattle, WAfiles as Laird Norton Wetherby Trust Company, LLC
$5.2bn in 1,017 US stocks at the end of 30 June 2026. The top 10 are 33.6% of the money. It changed about 7.3% of the portfolio this quarter.
Value
$5.2bn
Stocks
1,017
Top 10 share
33.6%
Turnover
7.3%
What changed this quarter
New
Bought for the first time this quarter.
- Dimensional ETF TrustDFSE<0.1% of the fund
- Honeywell InternationalHON<0.1% of the fund
- Honeywell AerospaceHONA<0.1% of the fund
- Dimensional ETF TrustDFSI<0.1% of the fund
- EtsyETSY<0.1% of the fund
- Vanguard Instl Index FDVBIL<0.1% of the fund
- Dimensional ETF TrustDFCA<0.1% of the fund
- Thomson Reuters Corp /canTRI<0.1% of the fund
- Grayscale Bitcoin Trust ETFGBTC<0.1% of the fund
- Dimensional ETF TrustDFSU<0.1% of the fund
- DuPont de NemoursDD<0.1% of the fund
- FedEx Freight Holding CompanyFDXF<0.1% of the fund
- Tower SemiconductorTSEM<0.1% of the fund
- Ishares TRDSI<0.1% of the fund
- CarnivalCCL<0.1% of the fund
- Credo Technology Group HoldingCRDO<0.1% of the fund
- LandBridgeLB<0.1% of the fund
- Iridium CommunicationsIRDM<0.1% of the fund
- Sterling InfrastructureSTRL<0.1% of the fund
- RedditRDDT<0.1% of the fund
- Vanguard Index FDSVOE<0.1% of the fund
- Latam Airlines Group SALTM<0.1% of the fund
- Legend BiotechLEGN<0.1% of the fund
- AvnetAVT<0.1% of the fund
- AtlassianTEAM<0.1% of the fund
Added
Bought more of a stock they already held.
- Vanguard Intl Equity Index FVT1.2% of the fund+9%
- Micron TechnologyMU1.0% of the fund+8%
- Ishares TRIGF0.8% of the fund+12%
- Vanguard Index FDSVOO0.7% of the fund+5%
- Goldman Sachs GroupGS0.5% of the fund+2%
- Vanguard BD Index FDSBND0.5% of the fund+10%
- CaterpillarCAT0.4% of the fund+2%
- IntelINTC0.4% of the fund+11%
- OracleORCL0.3% of the fund+3%
- UnitedHealth GroupUNH0.3% of the fund+6%
- ASE Technology HldgASX0.3% of the fund+2%
- Ishares TRIJH0.3% of the fund+60%
- United MicroelectronicsUMC0.2% of the fund+3%
- Ishares TRAGG0.2% of the fund+6%
- Ishares TRIWF0.2% of the fund+46%
- Texas InstrumentsTXN0.2% of the fund+2%
- CorningGLW0.2% of the fund+10%
- KB Financial GroupKB0.2% of the fund+15%
- UBS Group AGUBS0.2% of the fund+3%
- Banco SantanderSAN0.1% of the fund+5%
- Trane TechnologiesTT0.1% of the fund+5%
- Woori Finl GroupWF0.1% of the fund+24%
- Marvell TechnologyMRVL0.1% of the fund+6%
- Vanguard Index FDSVUG0.1% of the fund+38%
- Icici BankIBN0.1% of the fund+5%
Cut
Sold some of their stake.
- AlphabetGOOG1.3% of the fund-2%
- TeslaTSLA0.8% of the fund-3%
- Berkshire HathawayBRK-B0.8% of the fund-7%
- Vanguard Index FDSVB0.6% of the fund-3%
- Ishares TRIWV0.5% of the fund-6%
- Johnson & JohnsonJNJ0.5% of the fund-3%
- Home DepotHD0.5% of the fund-3%
- Costco WholesaleCOST0.4% of the fund-2%
- MastercardMA0.4% of the fund-5%
- Sprott Asset Management LPPHYS0.3% of the fund-8%
- Procter & GamblePG0.3% of the fund-6%
- Palo Alto NetworksPANW0.3% of the fund-3%
- Abbott LaboratoriesABT0.2% of the fund-17%
- Novartis AGNVS0.2% of the fund-3%
- Arista NetworksANET0.2% of the fund-5%
- Analog DevicesADI0.2% of the fund-2%
- Dell TechnologiesDELL0.2% of the fund-4%
- Seagate Technology HoldingsSTX0.2% of the fund-3%
- TE ConnectivityTEL0.2% of the fund-4%
- McDonald'sMCD0.2% of the fund-6%
- NextEra EnergyNEE0.2% of the fund-2%
- Bank of New York MellonBNY0.2% of the fund-5%
- QualcommQCOM0.2% of the fund-8%
- Booking HoldingsBKNG0.2% of the fund-4%
- Western DigitalWDC0.1% of the fund-3%
Sold out
Sold their entire stake.
- Honeywell InternationalHON-100%
- Coterra EnergyCTRA-100%
- Thomson Reuters-100%
- Nextdoor HoldingsNXDR-100%
- DuPont de NemoursDD-100%
- Hologic-100%
- FMCFMC-100%
- StantecSTN-100%
- Carnival-100%
- TrimbleTRMB-100%
- Procore TechnologiesPCOR-100%
- Suzano S ASUZ-100%
- Conagra BrandsCAG-100%
- Air Lease-100%
- Ishares Bitcoin Trust ETFIBIT-100%
- Enphase EnergyENPH-100%
- Dolby LaboratoriesDLB-100%
- Vanguard Intl Equity Index FVNQI-100%
- GameStopGME-100%
- Sibanye StillwaterSBSW-100%
- WafdWAFD-100%
- Vanguard Scottsdale FDSVCSH-100%
- UbiquitiUI-100%
- Dominos PizzaDPZ-100%
- AECOMACM-100%
Holdings
- Vanguard Index FDSVTI
- Share
- 5.6%
- Value
- $291m
- Shares
- 785,489
Held
- Vanguard Tax-Managed FDSVEA
- Share
- 2.6%
- Value
- $137m
- Shares
- 1,920,532
Held
- Vanguard Intl Equity Index FVEU
- Share
- 2.4%
- Value
- $124m
- Shares
- 1,483,276
Held
- Berkshire Hathaway INC DELBRK-A
- Share
- 2.2%
- Value
- $114m
- Shares
- 152
Held
- Vanguard Intl Equity Index FVWO
- Share
- 2.2%
- Value
- $112m
- Shares
- 1,882,546
Held
- Vanguard Index FDSVV
- Share
- 1.3%
- Value
- $68m
- Shares
- 197,038
Held
- Vanguard Intl Equity Index FVT
- Share
- 1.2%
- Value
- $63m
- Shares
- 399,362
+9%
- State STR Spdr S&P 500 ETF TSPY
- Share
- 1.2%
- Value
- $61m
- Shares
- 81,364
Held
- Ishares TRIWB
- Share
- 0.9%
- Value
- $48m
- Shares
- 116,034
Held
- Ishares TRIGF
- Share
- 0.8%
- Value
- $43m
- Shares
- 647,638
+12%
- Ishares TRIVW
- Share
- 0.7%
- Value
- $38m
- Shares
- 275,850
Held
- Vanguard Index FDSVOO
- Share
- 0.7%
- Value
- $37m
- Shares
- 54,420
+5%
- Ishares TREFA
- Share
- 0.7%
- Value
- $34m
- Shares
- 328,250
Held
- Ishares TRMUB
- Share
- 0.6%
- Value
- $30m
- Shares
- 276,304
Held
- Vanguard Index FDSVB
- Share
- 0.6%
- Value
- $29m
- Shares
- 95,164
-3%
- Ishares TRIWV
- Share
- 0.5%
- Value
- $29m
- Shares
- 66,920
-6%
- Vanguard Star FDSVXUS
- Share
- 0.5%
- Value
- $26m
- Shares
- 300,174
Held
- Vanguard BD Index FDSBND
- Share
- 0.5%
- Value
- $24m
- Shares
- 320,418
+10%
- Ishares TRIVV
- Share
- 0.3%
- Value
- $16m
- Shares
- 21,572
Held
- Sprott Asset Management LPPHYS
- Share
- 0.3%
- Value
- $15m
- Shares
- 496,231
-8%
- Ishares TRIVE
- Share
- 0.3%
- Value
- $14m
- Shares
- 63,100
Held
- ASE Technology HldgASX
- Share
- 0.3%
- Value
- $14m
- Shares
- 301,761
+2%
- Ishares TRIJH
- Share
- 0.3%
- Value
- $13m
- Shares
- 174,910
+60%
- Ishares TRAGG
- Share
- 0.2%
- Value
- $12m
- Shares
- 126,022
+6%
- Ishares TRIWF
- Share
- 0.2%
- Value
- $12m
- Shares
- 98,815
+46%
- Ishares TRIWM
- Share
- 0.2%
- Value
- $12m
- Shares
- 39,764
Held
- Royal Bank of CanadaRY
- Share
- 0.2%
- Value
- $8m
- Shares
- 40,824
Held
- IsharesIEMG
- Share
- 0.2%
- Value
- $8m
- Shares
- 97,621
Held
| Company | Share of fund | Value | Shares | Change |
|---|---|---|---|---|
| Vanguard Index FDSVTI | 5.6% | $291m | 785,489 | Held |
| AppleAAPL | 5.2% | $270m | 932,790 | Held |
| MicrosoftMSFT | 5.2% | $269m | 722,087 | Held |
| NvidiaNVDA | 4.1% | $213m | 1,064,152 | Held |
| Vanguard Tax-Managed FDSVEA | 2.6% | $137m | 1,920,532 | Held |
| Vanguard Intl Equity Index FVEU | 2.4% | $124m | 1,483,276 | Held |
| Berkshire Hathaway INC DELBRK-A | 2.2% | $114m | 152 | Held |
| AlphabetGOOGL | 2.2% | $113m | 316,925 | Held |
| Vanguard Intl Equity Index FVWO | 2.2% | $112m | 1,882,546 | Held |
| Amazon.comAMZN | 2.1% | $107m | 449,181 | Held |
| BroadcomAVGO | 1.4% | $70m | 186,421 | Held |
| Taiwan Semiconductor ManufacturingTSM | 1.3% | $70m | 146,102 | Held |
| Vanguard Index FDSVV | 1.3% | $68m | 197,038 | Held |
| AlphabetGOOG | 1.3% | $66m | 187,408 | -2% |
| Vanguard Intl Equity Index FVT | 1.2% | $63m | 399,362 | +9% |
| State STR Spdr S&P 500 ETF TSPY | 1.2% | $61m | 81,364 | Held |
| JPMorgan ChaseJPM | 1.1% | $55m | 167,828 | Held |
| Micron TechnologyMU | 1.0% | $54m | 46,558 | +8% |
| Ishares TRIWB | 0.9% | $48m | 116,034 | Held |
| Eli LillyLLY | 0.9% | $47m | 38,934 | Held |
| Meta PlatformsMETA | 0.9% | $45m | 80,141 | Held |
| Ishares TRIGF | 0.8% | $43m | 647,638 | +12% |
| Advanced Micro DevicesAMD | 0.8% | $43m | 73,749 | Held |
| Applied MaterialsAMAT | 0.8% | $43m | 58,978 | Held |
| TeslaTSLA | 0.8% | $42m | 100,569 | -3% |
| Berkshire HathawayBRK-B | 0.8% | $40m | 80,917 | -7% |
| Ishares TRIVW | 0.7% | $38m | 275,850 | Held |
| Vanguard Index FDSVOO | 0.7% | $37m | 54,420 | +5% |
| Ishares TREFA | 0.7% | $34m | 328,250 | Held |
| VisaV | 0.6% | $31m | 91,532 | Held |
| ASML Holding NVASML | 0.6% | $30m | 15,139 | Held |
| Ishares TRMUB | 0.6% | $30m | 276,304 | Held |
| Vanguard Index FDSVB | 0.6% | $29m | 95,164 | -3% |
| Ishares TRIWV | 0.5% | $29m | 66,920 | -6% |
| Goldman Sachs GroupGS | 0.5% | $28m | 27,679 | +2% |
| Lam ResearchLRCX | 0.5% | $28m | 64,446 | Held |
| Vanguard Star FDSVXUS | 0.5% | $26m | 300,174 | Held |
| Johnson & JohnsonJNJ | 0.5% | $26m | 100,512 | -3% |
| Home DepotHD | 0.5% | $24m | 68,450 | -3% |
| Vanguard BD Index FDSBND | 0.5% | $24m | 320,418 | +10% |
| Costco WholesaleCOST | 0.4% | $23m | 24,306 | -2% |
| CaterpillarCAT | 0.4% | $23m | 21,249 | +2% |
| Cisco SystemsCSCO | 0.4% | $22m | 191,053 | Held |
| ExxonMobil HoldingsXOM | 0.4% | $19m | 141,456 | Held |
| IntelINTC | 0.4% | $19m | 135,391 | +11% |
| MastercardMA | 0.4% | $19m | 36,650 | -5% |
| WalmartWMT | 0.4% | $18m | 162,214 | Held |
| AbbVieABBV | 0.3% | $18m | 71,949 | Held |
| International Business MachinesIBM | 0.3% | $18m | 62,891 | Held |
| Bank of AmericaBAC | 0.3% | $17m | 305,799 | Held |
| General ElectricGE | 0.3% | $17m | 46,478 | Held |
| Commercial MetalsCMC | 0.3% | $17m | 273,167 | Held |
| KLAKLAC | 0.3% | $17m | 54,730 | Held |
| Ishares TRIVV | 0.3% | $16m | 21,572 | Held |
| GE VernovaGEV | 0.3% | $16m | 13,288 | Held |
| Sprott Asset Management LPPHYS | 0.3% | $15m | 496,231 | -8% |
| NetflixNFLX | 0.3% | $14m | 202,278 | Held |
| OracleORCL | 0.3% | $14m | 98,020 | +3% |
| Ishares TRIVE | 0.3% | $14m | 63,100 | Held |
| Procter & GamblePG | 0.3% | $14m | 95,354 | -6% |
| UnitedHealth GroupUNH | 0.3% | $14m | 33,445 | +6% |
| ASE Technology HldgASX | 0.3% | $14m | 301,761 | +2% |
| Ishares TRIJH | 0.3% | $13m | 174,910 | +60% |
| MerckMRK | 0.3% | $13m | 102,602 | Held |
| Palo Alto NetworksPANW | 0.3% | $13m | 38,195 | -3% |
| United MicroelectronicsUMC | 0.2% | $13m | 476,903 | +3% |
| Morgan StanleyMS | 0.2% | $13m | 60,596 | Held |
| ChevronCVX | 0.2% | $12m | 75,351 | Held |
| Ishares TRAGG | 0.2% | $12m | 126,022 | +6% |
| Ishares TRIWF | 0.2% | $12m | 98,815 | +46% |
| Ishares TRIWM | 0.2% | $12m | 39,764 | Held |
| Abbott LaboratoriesABT | 0.2% | $11m | 123,809 | -17% |
| EatonETN | 0.2% | $11m | 25,930 | Held |
| Texas InstrumentsTXN | 0.2% | $11m | 36,997 | +2% |
| American ExpressAXP | 0.2% | $11m | 32,545 | Held |
| Coca-ColaKO | 0.2% | $11m | 132,594 | Held |
| TJX CompaniesTJX | 0.2% | $11m | 70,913 | Held |
| Novartis AGNVS | 0.2% | $11m | 67,193 | -3% |
| CorningGLW | 0.2% | $10m | 39,295 | +10% |
| Arista NetworksANET | 0.2% | $10m | 58,334 | -5% |
| AmphenolAPH | 0.2% | $10m | 54,992 | Held |
| KB Financial GroupKB | 0.2% | $10m | 92,433 | +15% |
| Analog DevicesADI | 0.2% | $10m | 24,252 | -2% |
| AmgenAMGN | 0.2% | $10m | 26,513 | Held |
| Dell TechnologiesDELL | 0.2% | $9m | 22,003 | -4% |
| AstrazenecaAZN | 0.2% | $9m | 49,857 | Held |
| Seagate Technology HoldingsSTX | 0.2% | $9m | 9,735 | -3% |
| HSBC HoldingsHSBC | 0.2% | $9m | 98,141 | Held |
| TE ConnectivityTEL | 0.2% | $9m | 43,623 | -4% |
| McDonald'sMCD | 0.2% | $9m | 31,793 | -6% |
| CumminsCMI | 0.2% | $8m | 11,917 | Held |
| UBS Group AGUBS | 0.2% | $8m | 170,971 | +3% |
| Royal Bank of CanadaRY | 0.2% | $8m | 40,824 | Held |
| NextEra EnergyNEE | 0.2% | $8m | 96,188 | -2% |
| Bank of New York MellonBNY | 0.2% | $8m | 57,725 | -5% |
| RTXRTX | 0.2% | $8m | 43,397 | Held |
| QualcommQCOM | 0.2% | $8m | 43,949 | -8% |
| IsharesIEMG | 0.2% | $8m | 97,621 | Held |
| Booking HoldingsBKNG | 0.2% | $8m | 45,316 | -4% |
| Philip Morris InternationalPM | 0.2% | $8m | 44,002 | Held |
Showing the largest 100 of 1,017.
Over time and by industry
Value over time
Jun '25
Dec '25
Jun '26
Value is up 615.2% since 30 June 2025.
Where the money is
Technology27.7%
Financial services9.4%
Industrials6.4%
Retail & consumer5.7%
Media & telecom5.6%
Health care5.5%
Everyday goods2.4%
Energy1.9%
Materials1.8%
Utilities1.0%
Real estate0.3%
Other32.2%
From the fund's 13F filings. They list US stocks and options only, 45 days after each quarter, and leave out cash, bonds, shorts and foreign shares.