Northwest Bancshares, Inc.

données du 30/09/2025

Capitalisation

$ 602.151 M 4.97 %

Période de détention moyenne

20 ans

Performance

$ 301.225 M 74.13 %

Capitalisation

Taille du portefeuille

Performance du portefeuille

Performance du portefeuille %

Performances par rapport au S&P 500 (%)

Entreprise dans Northwest Bancshares, Inc.

Date Symbol Nom Poids Capitalisation Nombre d'action 1er ajout Performance ($) Performance (%)
2025/09/30 FNDX SCHWAB STRATEGIC TR 25.48% 153.424 M $ 5833622 2021/12/31 10.281 M $ 7.17 %
2025/09/30 VCSH VANGUARD SCOTTSDALE FDS 4.82% 29.034 M $ 363243 2020/03/31 157.463 K $ 0.54 %
2025/09/30 TLT ISHARES TR 4.09% 24.639 M $ 275692 2024/12/31 308.775 K $ 1.27 %
2025/09/30 MSFT MICROSOFT CORP 2.82% 16.998 M $ 32818 2017/12/31 693.656 K $ 4.13 %
2025/09/30 IVV ISHARES TR 2.59% 15.580 M $ 23278 2017/12/31 1.163 M $ 7.80 %
2025/09/30 AAPL APPLE INC 2.55% 15.346 M $ 60269 2017/12/31 2.998 M $ 24.11 %
2025/09/30 VCIT VANGUARD SCOTTSDALE FDS 2.19% 13.157 M $ 156428 2025/03/31 92.032 K $ 1.44 %
2025/09/30 JPM JPMORGAN CHASE & CO. 1.51% 9.068 M $ 28748 2017/12/31 768.943 K $ 8.80 %
2025/09/30 LRCX LAM RESEARCH CORP 1.46% 8.808 M $ 65783 2025/06/30 2.591 M $ 37.56 %
2025/09/30 WMT WALMART INC 1.43% 8.633 M $ 83763 2017/12/31 447.902 K $ 5.40 %
2025/09/30 TSM TAIWAN SEMICONDUCTOR MFG LTD 1.33% 8.004 M $ 28657 2017/12/31 1.610 M $ 23.31 %
2025/09/30 XOM EXXON MOBIL CORP 1.23% 7.387 M $ 65515 2017/12/31 319.220 K $ 4.59 %
2025/09/30 GOOGL ALPHABET INC 1.22% 7.332 M $ 30160 2018/09/30 2.167 M $ 37.94 %
2025/09/30 HD HOME DEPOT INC 1.21% 7.297 M $ 18009 2017/12/31 688.618 K $ 10.51 %
2025/09/30 CHKP CHECK POINT SOFTWARE TECH LT 1.20% 7.242 M $ 35003 2018/03/31 -496.049 K $ -6.48 %
2025/09/30 CSCO CISCO SYS INC 1.20% 7.235 M $ 105737 2017/12/31 -104.874 K $ -1.38 %
2025/09/30 AMAT APPLIED MATLS INC 1.14% 6.849 M $ 33451 2022/06/30 708.283 K $ 11.84 %
2025/09/30 LMT LOCKHEED MARTIN CORP 1.12% 6.718 M $ 13458 2017/12/31 454.950 K $ 7.79 %
2025/09/30 BMO BANK MONTREAL QUE 1.11% 6.692 M $ 51381 2023/03/31 1.075 M $ 17.73 %
2025/09/30 PG PROCTER AND GAMBLE CO 1.10% 6.603 M $ 42973 2017/12/31 -235.503 K $ -3.56 %
2025/09/30 CMI CUMMINS INC 1.05% 6.320 M $ 14963 2019/03/31 1.476 M $ 28.97 %
2025/09/30 KO COCA COLA CO 1.04% 6.234 M $ 93992 2017/12/31 -412.162 K $ -6.26 %
2025/09/30 ALL ALLSTATE CORP 1.02% 6.149 M $ 28647 2020/06/30 382.577 K $ 6.63 %
2025/09/30 CVX CHEVRON CORP NEW 0.98% 5.890 M $ 37930 2017/12/31 449.478 K $ 8.45 %
2025/09/30 AZO AUTOZONE INC 0.97% 5.869 M $ 1368 2018/09/30 845.050 K $ 15.57 %
2025/09/30 INCY INCYTE CORP 0.94% 5.645 M $ 66564 2024/06/30 1.130 M $ 24.54 %
2025/09/30 VLO VALERO ENERGY CORP 0.92% 5.549 M $ 32592 2023/03/31 1.225 M $ 26.66 %
2025/09/30 MRK MERCK & CO INC 0.92% 5.531 M $ 65895 2017/12/31 294.838 K $ 6.03 %
2025/09/30 MS MORGAN STANLEY 0.89% 5.367 M $ 33764 2023/09/30 639.346 K $ 12.85 %
2025/09/30 CB CHUBB LIMITED 0.85% 5.134 M $ 18188 2017/12/31 -130.164 K $ -2.58 %
2025/09/30 BAH BOOZ ALLEN HAMILTON HLDG COR 0.81% 4.891 M $ 48939 2021/03/31 -180.952 K $ -4.01 %
2025/09/30 VRTX VERTEX PHARMACEUTICALS INC 0.79% 4.754 M $ 12138 2021/03/31 -600.032 K $ -12.03 %
2025/09/30 PSA PUBLIC STORAGE OPER CO 0.79% 4.753 M $ 16455 2022/12/31 -70.231 K $ -1.56 %
2025/09/30 RIO RIO TINTO PLC 0.78% 4.689 M $ 71042 2024/09/30 529.328 K $ 13.17 %
2025/09/30 RAFE PIMCO EQUITY SER 0.76% 4.578 M $ 112492 2021/09/30 412.008 K $ 6.71 %
2025/09/30 SNY SANOFI SA 0.69% 4.150 M $ 87916 2024/09/30 -90.492 K $ -2.30 %
2025/09/30 CROX CROCS INC 0.67% 4.024 M $ 48158 2023/09/30 -768.896 K $ -17.51 %
2025/09/30 GOOG ALPHABET INC 0.67% 4.017 M $ 16495 2020/06/30 1.106 M $ 37.30 %
2025/09/30 TM TOYOTA MOTOR CORP 0.65% 3.906 M $ 20440 2024/03/31 384.301 K $ 10.93 %
2025/09/30 SPY SPDR S&P 500 ETF TR 0.64% 3.872 M $ 5812 2020/06/30 292.783 K $ 7.82 %
2025/09/30 PEP PEPSICO INC 0.63% 3.811 M $ 27133 2017/12/31 123.102 K $ 6.36 %
2025/09/30 NVDA NVIDIA CORPORATION 0.62% 3.761 M $ 20155 2020/09/30 580.519 K $ 18.10 %
2025/09/30 PYPL PAYPAL HLDGS INC 0.62% 3.707 M $ 55285 2025/06/30 -340.610 K $ -9.77 %
2025/09/30 IBKR INTERACTIVE BROKERS GROUP IN 0.61% 3.657 M $ 53152 2025/06/30 298.485 K $ 24.18 %
2025/09/30 UPS UNITED PARCEL SERVICE INC 0.60% 3.612 M $ 43242 2020/06/30 -625.680 K $ -17.25 %
2025/09/30 HAL HALLIBURTON CO 0.60% 3.601 M $ 146370 2025/06/30 233.733 K $ 20.71 %
2025/09/30 ADBE ADOBE INC 0.56% 3.370 M $ 9553 2017/12/31 -46.143 K $ -8.82 %
2025/09/30 CATH GLOBAL X FDS 0.51% 3.078 M $ 37974 2017/12/31 213.034 K $ 7.44 %
2025/09/30 IVW ISHARES TR 0.49% 2.952 M $ 24454 2017/12/31 268.144 K $ 9.65 %
2025/09/30 NWBI NORTHWEST BANCSHARES INC MD 0.49% 2.942 M $ 237415 2017/12/31 -92.419 K $ -3.05 %
2025/09/30 LLY ELI LILLY & CO 0.47% 2.805 M $ 3676 2017/12/31 -60.764 K $ -2.12 %
2025/09/30 ITOT ISHARES TR 0.47% 2.801 M $ 19229 2017/12/31 210.173 K $ 7.86 %
2025/09/30 BRK-B BERKSHIRE HATHAWAY INC DEL 0.43% 2.604 M $ 5179 2017/12/31 87.887 K $ 3.49 %
2025/09/30 PRF INVESCO EXCHANGE TRADED FD T 0.43% 2.602 M $ 57564 2018/06/30 170.737 K $ 6.96 %
2025/09/30 V VISA INC 0.40% 2.438 M $ 7141 2017/12/31 -98.697 K $ -3.85 %
2025/09/30 LOW LOWES COS INC 0.39% 2.330 M $ 9273 2017/12/31 272.997 K $ 13.27 %
2025/09/30 BSJP INVESCO EXCH TRD SLF IDX FD 0.38% 2.271 M $ 98500 2020/06/30 -1.027 K $ -0.04 %
2025/09/30 BSJQ INVESCO EXCH TRD SLF IDX FD 0.36% 2.154 M $ 92035 2024/03/31 7.514 K $ 0.34 %
2025/09/30 JNJ JOHNSON & JOHNSON 0.34% 2.019 M $ 10890 2017/12/31 365.936 K $ 21.39 %
2025/09/30 KLAC KLA CORP 0.31% 1.895 M $ 1757 2017/12/31 321.285 K $ 20.41 %
2025/09/30 VUG VANGUARD INDEX FDS 0.29% 1.773 M $ 3697 2020/06/30 140.649 K $ 9.40 %
2025/09/30 MDY SPDR S&P MIDCAP 400 ETF TR 0.29% 1.762 M $ 2956 2020/06/30 96.185 K $ 5.22 %
2025/09/30 ETN EATON CORP PLC 0.28% 1.692 M $ 4521 2017/12/31 78.084 K $ 4.83 %
2025/09/30 SCHX SCHWAB STRATEGIC TR 0.28% 1.687 M $ 64053 2025/09/30 0.000 $ 0.00 %
2025/09/30 IBM INTERNATIONAL BUSINESS MACHS 0.27% 1.648 M $ 5842 2017/12/31 -74.268 K $ -4.28 %
2025/09/30 TSLA TESLA INC 0.27% 1.626 M $ 3656 2020/09/30 469.613 K $ 40.00 %
2025/09/30 IEFA ISHARES TR 0.26% 1.590 M $ 18208 2020/06/30 71.283 K $ 4.59 %
2025/09/30 IBDR ISHARES TR 0.25% 1.507 M $ 62006 2024/03/31 3.137 K $ 0.21 %
2025/09/30 DHI D R HORTON INC 0.25% 1.488 M $ 8782 2022/03/31 854.388 K $ 31.45 %
2025/09/30 AVGO BROADCOM INC 0.24% 1.461 M $ 4427 2020/06/30 276.997 K $ 19.68 %
2025/09/30 IBDQ ISHARES TR 0.24% 1.454 M $ 57729 2022/03/31 606.000 $ 0.04 %
2025/09/30 WM WASTE MGMT INC DEL 0.24% 1.448 M $ 6556 2017/12/31 -52.502 K $ -3.49 %
2025/09/30 MU MICRON TECHNOLOGY INC 0.23% 1.377 M $ 8230 2017/12/31 362.696 K $ 35.76 %
2025/09/30 ABBV ABBVIE INC 0.23% 1.363 M $ 5888 2017/12/31 270.376 K $ 24.74 %
2025/09/30 SPSM SPDR SERIES TRUST 0.23% 1.361 M $ 29388 2023/06/30 113.471 K $ 8.73 %
2025/09/30 EMR EMERSON ELEC CO 0.21% 1.290 M $ 9834 2017/12/31 -21.207 K $ -1.61 %
2025/09/30 PFF ISHARES TR 0.21% 1.271 M $ 40207 2020/06/30 39.261 K $ 3.06 %
2025/09/30 AMZN AMAZON COM INC 0.20% 1.209 M $ 5504 2018/06/30 1.011 K $ 0.08 %
2025/09/30 VIG VANGUARD SPECIALIZED FUNDS 0.20% 1.185 M $ 5493 2017/12/31 61.082 K $ 5.43 %
2025/09/30 DG DOLLAR GEN CORP NEW 0.19% 1.124 M $ 10878 2017/12/31 -341.566 K $ -9.64 %
2025/09/30 IEMG ISHARES INC 0.18% 1.074 M $ 16289 2020/06/30 99.381 K $ 9.81 %
2025/09/30 AUB ATLANTIC UN BANKSHARES CORP 0.17% 1.007 M $ 28533 2025/06/30 114.417 K $ 12.82 %
2025/09/30 BSJR INVESCO EXCH TRD SLF IDX FD 0.16% 961.993 K $ 42304 2024/12/31 1.178 K $ 0.13 %
2025/09/30 CLF CLEVELAND-CLIFFS INC NEW 0.16% 960.774 K $ 78752 2023/03/31 1.030 M $ 60.53 %
2025/09/30 VEA VANGUARD TAX-MANAGED FDS 0.16% 944.100 K $ 15756 2025/06/30 12.146 K $ 5.10 %
2025/09/30 PM PHILIP MORRIS INTL INC 0.16% 939.949 K $ 5795 2019/12/31 -120.696 K $ -10.94 %
2025/09/30 HDV ISHARES TR 0.15% 893.273 K $ 7295 2020/06/30 39.737 K $ 4.51 %
2025/09/30 VTV VANGUARD INDEX FDS 0.15% 886.387 K $ 4753 2017/12/31 46.185 K $ 5.52 %
2025/09/30 ABT ABBOTT LABS 0.15% 880.923 K $ 6577 2017/12/31 -13.614 K $ -1.52 %
2025/09/30 BHP BHP GROUP LTD 0.15% 880.404 K $ 15792 2022/03/31 125.593 K $ 15.93 %
2025/09/30 HCA HCA HEALTHCARE INC 0.14% 839.188 K $ 1969 2023/12/31 84.863 K $ 11.25 %
2025/09/30 VTI VANGUARD INDEX FDS 0.14% 814.846 K $ 2483 2020/06/30 60.187 K $ 7.98 %
2025/09/30 PNC PNC FINL SVCS GROUP INC 0.13% 797.692 K $ 3970 2017/12/31 68.603 K $ 7.78 %
2025/09/30 IBDS ISHARES TR 0.13% 776.592 K $ 31906 2025/03/31 1.868 K $ 0.29 %
2025/09/30 DUK DUKE ENERGY CORP NEW 0.13% 761.929 K $ 6157 2017/12/31 35.402 K $ 4.87 %
2025/09/30 PGR PROGRESSIVE CORP 0.12% 732.207 K $ 2965 2017/12/31 -59.033 K $ -7.46 %
2025/09/30 PFE PFIZER INC 0.12% 729.620 K $ 28635 2017/12/31 34.627 K $ 5.12 %
2025/09/30 HON HONEYWELL INTL INC 0.12% 725.594 K $ 3447 2017/12/31 -77.143 K $ -9.61 %
2025/09/30 ERIE ERIE INDTY CO 0.12% 719.996 K $ 2263 2025/03/31 -37.591 K $ -8.26 %
2025/09/30 GS GOLDMAN SACHS GROUP INC 0.12% 710.344 K $ 892 2017/12/31 78.322 K $ 12.52 %