Universe · entity

Norway Savings Bank

Institutional manager (13F) · CIK 1692227
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $179M
#IssuerValueShares
1Alphabet Inc-CL A$11M36,865
2Apple Inc.$10M40,641
3NVIDIA Corp$8M45,486
4Microsoft Corp.$7M19,829
5Amazon.com Inc$7M32,769
6J.P. Morgan Chase & Co$7M22,803
7iShares MSCI Emerging Markets Ex China ETF$6M80,202
8Amphenol Corp$6M47,271
9Palo Alto Networks Inc$5M29,222
10Lilly Eli & Co$5M5,086
11STATE ST SPDR Portfolio Dev World ex-US ETF$5M101,508
12Analog Devices Inc.$4M13,508
13Chevron Corp$4M20,743
14Costco Wholesale Corp$4M4,280
15Exxon Mobil Corp$4M24,778
16Oracle Corp.$4M27,616
17Berkshire Hathaway Inc Cl B$4M8,355
18Meta Platforms Inc.$4M6,278
19Johnson & Johnson$4M14,682
20Ishares Core Dividend Growth ETF$4M50,497
21Caterpillar Inc$3M4,786
22Abbott Labs$3M31,082
23Advanced Micro Devices Inc$3M15,663
24Goldman Sachs Group$3M3,449
25Procter & Gamble$3M20,044
26BlackRock Inc$3M2,863
27Idexx Labs$3M4,656
28Intercontinental Exchange Inc$3M16,585
29Conocophillips Inc.$3M19,103
30Lowes Cos Inc.$2M10,376
31KLA-Tencor Corp.$2M1,621
32Honeywell Intl Inc$2M10,433
33Boeing Co.$2M11,780
34NextEra Energy Inc$2M24,840
35Salesforce.com Inc.$2M11,986
36HCA Healthcare Inc$2M4,656
37Digital Realty Trust$2M12,099
38T J X Companies$2M13,252
39Microchip Technology$2M31,984
40Blackstone Inc$2M16,839
41Johnson Controls International$2M14,699
42Pepsico Inc$2M10,867
43Tyler Technologies$2M4,898
44Amgen Inc$2M4,734
45Duke Energy Corp$2M12,381
46Marvell Technology Inc$2M16,249
47Albemarle Corp$2M8,580
48Coca Cola Company$2M19,903
49EOG Resources Inc.$2M10,391
50Intuitive Surgical Inc$1M3,175
All filings on EDGAR ↗

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