Laird Norton Trust Company, LLC Holdings & Portfolio - 13F Filings Analysis - Stocknear

Laird Norton Trust Company, LLC

CIK Number: 0000723204

727.85M
Market Value
65
# of Holdings
11 months
Avg. Holding Period
Win Rate
Peformance 3-Years

Filing Date: May 15, 2025

Rank Symbol Name Price % Change Shares % Change Shares Market Value Avg. Price Paid % Weight Asset Type
1 MSFT Microsoft Corpo...
505.35
+0.05% 667.22K -2.1% 250.47M 274.88 40.29% Share
2 VEU Vanguard FTSE A...
69.03
+0.22% 1.06M -21.01% 64.5M 57.94 10.38% Share
3 VTI Vanguard Total ...
317.38
+0.44% 156.15K -29.46% 42.92M 210.44 6.90% Share
4 VWO Vanguard Emergi...
51.59
+0.24% 511.64K -18.06% 23.16M 46.81 3.73% Share
5 VEA Vanguard Develo...
58.31
+0.21% 405.14K +14.07% 20.59M 44.74 3.31% Share
6 AAPL Apple Inc.
238.47
+3.81% 83.99K -18.17% 18.66M 185.07 3.00% Share
7 IVW iShares S&P 500...
115.07
+1.05% 164.49K 0.00% 15.27M 91.36 2.46% Share
8 AMZN Amazon.com, Inc...
225.99
+0.29% 76.87K -21.33% 14.62M 122.9 2.35% Share
9 IBM International B...
244.17
+1.11% 39.5K 0.00% 9.82M 163.55 1.58% Share
10 MUB iShares Nationa...
104.25
+0.26% 91.75K +6.48% 9.67M 106.68 1.56% Share
11 EFA iShares MSCI EA...
90.73
+0.17% 114.83K 0.00% 9.38M 78.04 1.51% Share
12 ABT Abbott Laborato...
132.19
+0.56% 65.85K 0.00% 8.74M 110.07 1.41% Share
13 GETY Getty Images Ho...
1.77
+0.56% 4.85M 0.00% 8.39M 4.09 1.35% Share
14 VT Vanguard Total ...
133.31
+0.38% 69.88K -0.14% 8.1M 93.45 1.30% Share
15 IWB iShares Russell...
353.83
+0.49% 22.7K -34.8% 6.96M 212.11 1.12% Share
16 VXUS Vanguard Total ...
71.02
+0.21% 102.37K -10.9% 6.36M 54.51 1.02% Share
17 BND Vanguard Total ...
73.64
+0.33% 84.21K -20.84% 6.19M 72.83 0.99% Share
18 GS The Goldman Sac...
730.30
-0.08% 11K 0.00% 6.01M 385.77 0.97% Share
19 NVDA NVIDIA Corporat...
170.63
-0.09% 54.68K -33.8% 5.93M 124.25 0.95% Share
20 JPM JPMorgan Chase ...
299.47
-0.08% 23.89K 0.00% 5.86M 158.47 0.94% Share
21 PG The Procter & G...
158.17
+0.11% 33.37K 0.00% 5.69M 147.3 0.91% Share
22 SPY SPDR S&P 500 ET...
643.65
+0.53% 10K 0.00% 5.61M 445.49 0.90% Share
23 XOM Exxon Mobil Cor...
111.95
-2.39% 45.9K 0.00% 5.46M 99.2 0.88% Share
24 CVX Chevron Corpora...
157.97
-2.39% 28.32K 0.00% 4.74M 146.91 0.76% Share
25 MMM 3M Company
152.00
-1.47% 29.85K 0.00% 4.38M 91.4 0.71% Share
26 HD The Home Depot,...
407.52
+0.30% 11.31K 0.00% 4.15M 346.55 0.67% Share
27 IJH iShares Core S&...
64.79
-0.18% 64.83K 0.00% 3.78M 62.32 0.61% Share
28 SUSA iShares MSCI US...
131.31
+0.57% 27.06K 0.00% 3.11M 100.51 0.50% Share
29 NEE NextEra Energy,...
71.64
-1.39% 41.17K 0.00% 2.92M 62.96 0.47% Share
30 IWR iShares Russell...
95.21
-0.18% 29.85K 0.00% 2.54M 88.14 0.41% Share
31 GOOG Alphabet Inc.
231.10
+9.01% 16K 0.00% 2.5M 131.17 0.40% Share
32 VTEB Vanguard Tax-Ex...
48.93
+0.27% 48.2K 0.00% 2.39M 50.76 0.38% Share
33 USB U.S. Bancorp
48.53
+0.03% 52.3K 0.00% 2.23M 41.99 0.36% Share
34 RELY Remitly Global,...
19.45
+2.80% 105.29K 0.00% 2.19M 12.16 0.35% Share
35 SBUX Starbucks Corpo...
87.25
-2.82% 18.28K 0.00% 1.79M 100.98 0.29% Share
36 ANIX Anixa Bioscienc...
2.95
-4.53% 622.24K 0.00% 1.78M 3.66 0.29% Share
37 AMAT Applied Materia...
156.25
-0.84% 12.23K 0.00% 1.78M 162.63 0.29% Share
38 BIL SPDR Bloomberg ...
91.47
+0.01% 19.07K +100.00% 1.75M 91.73 0.28% Share
39 BRP BRP Group, Inc.
32.66
+0.46% 30.78K 0.00% 1.38M 33.32 0.22% Share
40 PCAR PACCAR Inc
96.22
-2.67% 11.13K -49% 1.08M 92.25 0.17% Share
41 PLTR Palantir Techno...
154.86
-1.42% 12.57K 0.00% 1.06M 17.17 0.17% Share
42 FCX Freeport-McMoRa...
46.22
+2.84% 25K -28.68% 946.5K 49.92 0.15% Share
43 BNDX Vanguard Total ...
49.14
+0.29% 16.16K -2.04% 788.93K 49.05 0.13% Share
44 FLR Fluor Corporati...
42.86
+2.68% 21.5K 0.00% 770.13K 47.71 0.12% Share
45 IGF iShares Global ...
59.63
-0.2% 13.79K +11.43% 754.17K 52.52 0.12% Share
46 SOFI SoFi Technologi...
24.49
-1.69% 64.5K 0.00% 750.08K 7.54 0.12% Share
47 BAC Bank of America...
50.09
-0.65% 17.83K 0.00% 744.13K 41.52 0.12% Share
48 IEMG iShares Core MS...
62.23
+0.39% 13.03K -58.41% 702.96K 54.38 0.11% Share
49 WIT Wipro Limited
2.77
+0.54% 226.08K -8.98% 691.81K 3.1 0.11% Share
50 VGSH Vanguard Short-...
58.68
+0.07% 10K +100.00% 586.9K 58.69 0.09% Share
51 AFRM Affirm Holdings...
85.31
+3.76% 12.72K 0.00% 574.86K 49.14 0.09% Share
52 RDFN Redfin Corporat...
11.19
-0.36% 56.25K -1.32% 518.06K 4.24 0.08% Share
53 FITB Fifth Third Ban...
45.58
+0.02% 11.79K 0.00% 466.73K 34.52 0.08% Share
54 DBC Invesco DB Comm...
22.36
-0.91% 20.71K 0.00% 466.06K 16.32 0.07% Share
55 DBX Dropbox, Inc.
28.97
+1.72% 14.34K 0.00% 382.92K 22.38 0.06% Share
56 HLN Haleon plc
9.88
+1.28% 30.1K +37.91% 309.76K 8.8 0.05% Share
57 INMB INmune Bio, Inc...
1.97
-0.25% 36.6K +7.33% 285.85K 10.58 0.05% Share
58 IX ORIX Corporatio...
25.93
-0.95% 13.4K +100.00% 279.93K 20.89 0.04% Share
59 JMIA Jumia Technolog...
7.82
-2.92% 116.33K 0.00% 250.1K 2.94 0.04% Share
60 LPL LG Display Co.,...
4.42
+3.39% 54.29K +28.73% 168.84K 3.08 0.03% Share
61 PL Planet Labs PBC
6.44
-3.16% 40.15K 0.00% 135.7K 3.74 0.02% Share
62 F Ford Motor Comp...
11.61
-0.94% 10K -58.33% 100.3K 10.83 0.02% Share
63 SAN Banco Santander...
9.46
+0.16% 13.08K -61.11% 87.65K 4.14 0.01% Share
64 GWH ESS Tech, Inc.
1.38
-1.43% 21.18K 0.00% 69.06K 6.32 0.01% Share
65 NVNO enVVeno Medical...
0.78
-3.79% 25K 0.00% 65.75K 5.23 0.01% Share