Universe · entity

PHILADELPHIA TRUST CO

Institutional manager (13F) · CIK 1110806
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $1M
#IssuerValueShares
1NVIDIA CORP$169k967,517
2APPLE INC$65k255,554
3ALPHABET INC CL A$57k199,138
4COHERENT CORP$55k229,698
5MICROSOFT CORP$44k117,837
6BERKSHIRE HATHAWAY INC-CL B$42k88,678
7RTX CORPORATION$42k215,721
8GOLDMAN SACHS GROUP INC$41k47,972
9L3 HARRIS TECHNOLOGIES INC$40k117,197
10ABBVIE INC$39k180,065
11BWX TECHNOLOGIES INC$35k170,769
12BROADCOM INC$34k111,396
13IBM CORPORATION$31k127,850
14ROCKWELL AUTOMATION INC$26k72,496
15ABBOTT LABS INC$26k251,113
16HONEYWELL INTERNATIONAL INC$25k110,144
17PEAPACK-GLADSTONE FINL CORP$24k671,779
18LEONARDO DRS INC$22k497,821
19PALO ALTO NETWORKS INC.$21k130,609
20SOLSTICE ADVANCED MATLS INC$21k269,865
21AMAZON COM INC$20k96,552
22IQVIA HOLDINGS INC$19k113,186
23UBER TECHNOLOGIES INC$19k258,455
24MARATHON PETROLEUM CORPORATION$18k75,610
25META PLATFORMS INC$17k29,695
26NEWMONT CORP$17k156,299
27ALPHABET INC CL C$16k54,656
28VANGUARD INDEX FDS$13k21,188
29VANGUARD WORLD FD$12k32,500
30VANGUARD TOTAL STOCK MARKET ETF$12k36,765
31SPROTT PHYSICAL GOLD TR$11k304,569
32DIAMONDBACK ENERGY INC$11k54,157
33AMGEN INC$11k29,844
34EXXON MOBIL CORPORATION$10k61,586
35VERIZON COMMUNICATIONS$10k202,338
36FREEPORT MCMORAN INC$10k167,511
37D R HORTON INC$10k71,426
38JP MORGAN CHASE & CO$10k33,199
39COTERRA ENERGY INC$10k277,268
40BANK OF AMERICA CORP$9k191,826
41TJX COMPANIES$8k52,728
42APPLIED MATLS INC$8k23,000
43AT&T INC$8k269,980
44JOHNSON & JOHNSON$8k30,853
45INTUITIVE SURGICAL INC$7k15,124
46DUKE ENERGY CORP$6k48,523
47MERCK & CO INC$6k52,416
48EMBASSY BANCORP INC$6k295,906
49GABELLI EQUITY TR INC$6k1,023,419
50GRAHAM CORP$6k69,974
All filings on EDGAR ↗

Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.