MassMutual Private Wealth & Trust, FSB

Holdings as of 2026-06-30, filed 2026-07-02

This is history, not a current position. These holdings describe 2026-06-30, and the report became public 2 days later. The portfolio has changed since.

Aggregates

computed from the positions below
Positions reported
2,444
Value reported by manager
$3.9B
Sum of our stored positions
$3.9B
should match the line above
Disclosure lag
2 d
quarter end to filing
Top 5 concentration
20.7%
of the positions shown
New positions
0
vs previous quarter
Exited
0
vs previous quarter
Option positions
0
puts and calls

Positions

200 largest shown
IssuerClassValueSharesTypeCUSIP
Apple IncCommon / Ordinary Stock$186M642,937037833100
NVIDIA CorpCommon / Ordinary Stock$184.1M920,09867066G104
Vanguard Mid-Cap ETFExchange Traded Fund$144.3M1,791,507922908629
Microsoft CorpCommon / Ordinary Stock$135.7M363,800594918104
Vanguard FTSE Developed Markets ETFExchange Traded Fund$108.6M1,524,095921943858
Amazon.com IncCommon / Ordinary Stock$102.7M430,794023135106
Alphabet IncCommon / Ordinary Stock$99.8M279,35402079K305
JPMorgan Chase & CoCommon / Ordinary Stock$86.3M263,59146625H100
Broadcom INCCommon / Ordinary Stock$80.6M213,40811135F101
Alphabet IncCommon / Ordinary Stock$75.4M213,48402079K107
Cisco Systems IncCommon / Ordinary Stock$60M510,61817275R102
iShares MSCI EAFE ETFExchange Traded Fund$59.7M574,755464287465
Dimensional US Small Cap ETFExchange Traded Fund$59.2M719,30825434V500
Meta Platforms IncCommon / Ordinary Stock$56.9M101,09830303M102
iShares Core S&P Mid-Cap ETFExchange Traded Fund$50.8M659,401464287507
Visa IncCommon / Ordinary Stock$50M145,64892826C839
Berkshire Hathaway IncCommon / Ordinary Stock$48.1M96,116084670702
Chevron CorpCommon / Ordinary Stock$45.7M275,637166764100
Johnson & JohnsonCommon / Ordinary Stock$45.3M178,349478160104
Caterpillar IncCommon / Ordinary Stock$45.3M42,523149123101
Vanguard Information Technology ETFExchange Traded Fund$42M351,43692204A702
AbbVie INCCommon / Ordinary Stock$41.4M164,34700287Y109
Home Depot Inc/TheCommon / Ordinary Stock$41.2M116,796437076102
Schwab Short-Term U.S. Treasury ETFExchange Traded Fund$41M1,696,406808524862
RTX CorpCommon / Ordinary Stock$39.4M207,92775513E101
iShares Core MSCI EAFE ETFExchange Traded Fund$39.1M405,07146432F842
iShares Core S&P Small-Cap ETFExchange Traded Fund$39M262,909464287804
Walmart IncCommon / Ordinary Stock$38.5M339,523931142103
SPDR S&P MidCap 400 ETF TrustExchange Traded Fund$38.1M54,23678467Y107
Procter & Gamble CO/THECommon / Ordinary Stock$37.4M254,820742718109
Bank of America CorpCommon / Ordinary Stock$35.3M619,974060505104
McDonald's CORPCommon / Ordinary Stock$34.1M126,293580135101
Palo Alto Networks IncCommon / Ordinary Stock$33.8M98,971697435105
Eli Lilly & CoCommon / Ordinary Stock$32.8M27,326532457108
Chubb LtdCommon / Ordinary Stock$31.6M92,607H1467J104
Ameriprise Financial IncCommon / Ordinary Stock$31.4M68,35503076C106
Vanguard Short-Term Treasury ETFExchange Traded Fund$28.7M493,74392206C102
Thermo Fisher Scientific IncCommon / Ordinary Stock$26.1M52,114883556102
NextEra Energy IncCommon / Ordinary Stock$26.1M296,83065339F101
Ecolab IncCommon / Ordinary Stock$26M93,280278865100
Booking Holdings IncCommon / Ordinary Stock$25.8M144,77109857L108
Avantis Emerging Markets Equity ETFExchange Traded Fund$24.9M257,808025072604
O'Reilly Automotive IncCommon / Ordinary Stock$24.3M263,72267103H107
Exxon Mobil CorpCommon / Ordinary Stock$23M167,98930231G102
iShares Core MSCI Emerging Markets ETFExchange Traded Fund$22.9M276,44546434G103
Lincoln Electric Holdings IncCommon / Ordinary Stock$21.9M82,507533900106
Eaton Corp PLCCommon / Ordinary Stock$20.8M48,850G29183103
Stryker CORPCommon / Ordinary Stock$20.8M65,936863667101
PepsiCo IncCommon / Ordinary Stock$19.9M146,901713448108
Verizon Communications IncCommon / Ordinary Stock$19.5M461,41892343V104
Merck & Co IncCommon / Ordinary Stock$19.4M150,77858933Y105
iShares Core S&P 500 ETFExchange Traded Fund$19M25,392464287200
Vanguard Short-Term Corporate Bond ETFExchange Traded Fund$18.6M235,79392206C409
L3Harris Technologies IncCommon / Ordinary Stock$17.8M61,177502431109
Vanguard FTSE Emerging Markets ETFExchange Traded Fund$17.4M291,559922042858
Tesla IncCommon / Ordinary Stock$16.3M38,79488160R101
BlackRock IncCommon / Ordinary Stock$15.9M16,55009290D101
Marvell Technology IncCommon / Ordinary Stock$15.7M52,784573874104
Union Pacific CorpCommon / Ordinary Stock$15.4M56,545907818108
Costco Wholesale CorpCommon / Ordinary Stock$14.9M15,89822160K105
Carlisle Cos IncCommon / Ordinary Stock$14.4M39,680142339100
Vanguard Financials ETFExchange Traded Fund$14.3M108,62492204A405
Vertex Pharmaceuticals IncCommon / Ordinary Stock$14.1M28,38592532F100
A O Smith CorpCommon / Ordinary Stock$14M223,196831865209
Vanguard Intermediate-Term Treasury ETFExchange Traded Fund$13.9M236,21692206C706
Goldman Sachs Group Inc/TheCommon / Ordinary Stock$13.7M13,56838141G104
Morgan StanleyCommon / Ordinary Stock$13.4M64,118617446448
Xylem Inc/NYCommon / Ordinary Stock$12.9M109,33798419M100
ResMed IncCommon / Ordinary Stock$12.7M65,076761152107
VanEck Gold Miners ETF/USAExchange Traded Fund$12M159,11292189F106
Vanguard Health Care ETFExchange Traded Fund$12M40,00792204A504
Vanguard Industrials ETFExchange Traded Fund$11.5M31,94192204A603
Vanguard Intermediate-Term Corporate Bond ETFExchange Traded Fund$11.4M137,54692206C870
Vanguard Consumer Discretionary ETFExchange Traded Fund$11.3M28,47092204A108
NYLI MacKay Muni Intermediate ETFExchange Traded Fund$11.2M459,50245409F827
Advanced Micro Devices IncCommon / Ordinary Stock$10.9M18,713007903107
Lockheed Martin CorpCommon / Ordinary Stock$10.8M21,248539830109
Roper Technologies IncCommon / Ordinary Stock$10.7M31,745776696106
Vanguard Small-Cap Growth ETFExchange Traded Fund$10.7M29,317922908595
Medtronic PLCCommon / Ordinary Stock$10.2M130,393G5960L103
Qualcomm IncCommon / Ordinary Stock$10.1M54,881747525103
Waste Management IncCommon / Ordinary Stock$9.9M44,49594106L109
Vanguard Communication Services ETFExchange Traded Fund$9.8M53,53992204A884
Vanguard Mortgage-Backed Securities ETFExchange Traded Fund$9.5M203,49392206C771
Honeywell International IncCommon / Ordinary Stock$9.5M42,340438516205
Northrop Grumman CorpCommon / Ordinary Stock$9.4M18,388666807102
Honeywell Aerospace IncCommon / Ordinary Stock$9.4M42,32443849R105
State Street SPDR S&P 500 ETF TrustExchange Traded Fund$9.3M12,50678462F103
JPMorgan BetaBuilders US Equity ETFExchange Traded Fund$9.2M68,19546641Q399
Vanguard Mid-Cap Value ETFExchange Traded Fund$9M45,295922908512
Danaher CorpCommon / Ordinary Stock$8.9M46,499235851102
Coca-Cola Co/TheCommon / Ordinary Stock$8.7M106,653191216100
Blackstone IncCommon / Ordinary Stock$8.5M72,61609260D107
PNC Financial Services Group Inc/TheCommon / Ordinary Stock$8.5M34,656693475105
ServiceNow IncCommon / Ordinary Stock$8.2M83,01781762P102
Crowdstrike Holdings IncCommon / Ordinary Stock$8.1M10,59222788C105
Entergy CorpCommon / Ordinary Stock$8M70,01929364G103
Applied Materials IncCommon / Ordinary Stock$7.8M10,723038222105
American Electric Power Co IncCommon / Ordinary Stock$7.7M56,302025537101
Vanguard Mid-Cap Growth ETFExchange Traded Fund$7.6M24,746922908538
TE Connectivity PLCCommon / Ordinary Stock$7.6M37,529G87052109
Valero Energy CorpCommon / Ordinary Stock$7.5M28,82191913Y100
WESCO International IncCommon / Ordinary Stock$7.3M21,06995082P105
Cummins IncCommon / Ordinary Stock$7.2M10,033231021106
Emerson Electric CoCommon / Ordinary Stock$7.1M49,783291011104
Microchip Technology IncCommon / Ordinary Stock$6.9M75,442595017104
Williams Cos Inc/TheCommon / Ordinary Stock$6.8M91,989969457100
Southern Co/TheCommon / Ordinary Stock$6.7M69,971842587107
Vanguard Intermediate-Term Bond ETFExchange Traded Fund$6.7M86,974921937819
Enbridge IncCommon / Ordinary Stock$6.6M121,54529250N105
Vanguard Long-Term Bond ETFExchange Traded Fund$6.6M95,326921937793
ConocoPhillipsCommon / Ordinary Stock$6.5M62,16220825C104
Vanguard Small-Cap Value ETFExchange Traded Fund$6.4M26,279922908611
Altria Group IncCommon / Ordinary Stock$6.4M88,26202209S103
Prudential Financial IncCommon / Ordinary Stock$6.3M58,101744320102
iShares Preferred and Income Securities ETFExchange Traded Fund$6.3M205,596464288687
Air Products and Chemicals IncCommon / Ordinary Stock$6.2M21,060009158106
Regeneron Pharmaceuticals IncCommon / Ordinary Stock$6M9,57675886F107
Cadence Design Systems INCCommon / Ordinary Stock$5.9M15,784127387108
International Business Machines CorpCommon / Ordinary Stock$5.9M20,968459200101
Motorola Solutions IncCommon / Ordinary Stock$5.8M14,047620076307
Corning IncCommon / Ordinary Stock$5.7M22,317219350105
Fifth Third BancorpCommon / Ordinary Stock$5.7M100,848316773100
Salesforce IncCommon / Ordinary Stock$5.7M36,22279466L302
Lam Research CorpCommon / Ordinary Stock$5.6M12,894512807306
US BancorpCommon / Ordinary Stock$5.5M91,131902973304
Philip Morris International IncCommon / Ordinary Stock$5.5M30,310718172109
Vanguard Consumer Staples ETFExchange Traded Fund$5.4M24,09292204A207
Vanguard S&P 500 ETFExchange Traded Fund$5.4M7,856922908363
Intel CorpCommon / Ordinary Stock$5.4M38,552458140100
Mastercard IncCommon / Ordinary Stock$5.2M10,14557636Q104
Waste Connections IncCommon / Ordinary Stock$5.2M31,03694106B101
Micron Technology IncCommon / Ordinary Stock$5.1M4,406595112103
Starbucks CorpCommon / Ordinary Stock$4.9M48,433855244109
Prologis IncClosed-end REIT$4.8M35,16774340W103
Digital Realty Trust INCClosed-end REIT$4.7M26,350253868103
iShares Intermediate Government/Credit Bond ETFExchange Traded Fund$4.6M43,570464288612
Vanguard Total Bond Market ETFExchange Traded Fund$4.6M62,398921937835
Invesco QQQ Trust Series 1Exchange Traded Fund$4.6M6,18946090E103
S&P Global IncCommon / Ordinary Stock$4.6M11,17778409V104
Allstate Corp/TheCommon / Ordinary Stock$4.5M18,834020002101
Deere & CoCommon / Ordinary Stock$4.4M6,911244199105
iShares TIPS Bond ETFExchange Traded Fund$4.4M39,816464287176
Abbott LaboratoriesCommon / Ordinary Stock$4.3M47,669002824100
Paychex IncCommon / Ordinary Stock$4.3M43,520704326107
Quest Diagnostics IncCommon / Ordinary Stock$4.3M20,13574834L100
Vanguard Energy ETFExchange Traded Fund$4.1M27,17192204A306
iShares MSCI ACWI ETFExchange Traded Fund$4M25,751464288257
Palantir Technologies IncCommon / Ordinary Stock$4M33,94469608A108
Marriott International Inc/MDCommon / Ordinary Stock$3.8M10,326571903202
JPMorgan Active Bond ETFExchange Traded Fund$3.8M70,46746654Q716
Bank of New York Mellon Corp/TheCommon / Ordinary Stock$3.6M24,695064058100
CME Group IncCommon / Ordinary Stock$3.5M15,96312572Q105
Adobe IncCommon / Ordinary Stock$3.5M17,16000724F101
JPMorgan Core Plus Bond ETFExchange Traded Fund$3.5M73,94646641Q670
Huntington Bancshares Inc/OHCommon / Ordinary Stock$3.5M195,218446150104
State Street SPDR Portfolio Short Term Corporate Bond ETFExchange Traded Fund$3.4M112,76978464A474
TC Energy CorpCommon / Ordinary Stock$3.4M50,99587807B107
General Dynamics CorpCommon / Ordinary Stock$3.4M9,510369550108
American Tower CorpClosed-end REIT$3.3M20,37903027X100
Oracle CORPCommon / Ordinary Stock$3.3M22,33468389X105
Vanguard Real Estate ETFExchange Traded Fund$3.2M33,009922908553
Sysco CorpCommon / Ordinary Stock$3.2M37,954871829107
iShares MSCI Eurozone ETFExchange Traded Fund$3.1M45,118464286608
Walt Disney Co/TheCommon / Ordinary Stock$3.1M32,302254687106
Schwab US Dividend Equity ETFExchange Traded Fund$3.1M97,360808524797
Target CorpCommon / Ordinary Stock$3.1M23,47487612E106
Netflix IncCommon / Ordinary Stock$3.1M42,91164110L106
iShares MSCI Emerging Markets ETFExchange Traded Fund$3M44,305464287234
Ingredion IncCommon / Ordinary Stock$3M31,966457187102
Duke Energy CorpCommon / Ordinary Stock$3M23,62726441C204
Fortive CorpCommon / Ordinary Stock$2.9M47,70934959J108
Vanguard Total Stock Market ETFExchange Traded Fund$2.9M7,704922908769
Zoetis INCCommon / Ordinary Stock$2.9M39,66898978V103
Pfizer IncCommon / Ordinary Stock$2.8M115,825717081103
Truist Financial CorpCommon / Ordinary Stock$2.8M55,54589832Q109
Vanguard Small-Cap ETFExchange Traded Fund$2.8M9,095922908751
State Street SPDR S&P 500 ESG ETFExchange Traded Fund$2.7M37,48478468R531
JPMorgan International Research Enhanced Equity ETFExchange Traded Fund$2.7M32,41846641Q134
Vanguard Utilities ETFExchange Traded Fund$2.6M13,29292204A876
Principal Spectrum Preferred Securities Active ETFExchange Traded Fund$2.6M134,82574255Y888
T-Mobile US INCCommon / Ordinary Stock$2.5M15,138872590104
Analog Devices IncCommon / Ordinary Stock$2.5M6,379032654105
Intercontinental Exchange IncCommon / Ordinary Stock$2.5M20,19645866F104
American Express CoCommon / Ordinary Stock$2.4M7,149025816109
Amgen IncCommon / Ordinary Stock$2.4M6,567031162100
Rollins IncCommon / Ordinary Stock$2.3M56,268775711104
Invesco S&P 500 High Dividend Low Volatility ETFExchange Traded Fund$2.3M44,72546138E362
Vanguard Materials ETFExchange Traded Fund$2.2M9,69992204A801
GE Aerospace ComCommon / Ordinary Stock$2.1M5,704369604301
iShares Russell 2000 ETFExchange Traded Fund$2.1M7,039464287655
Trimble IncCommon / Ordinary Stock$2.1M40,392896239100
KLA CorpCommon / Ordinary Stock$2M6,755482480100
UnitedHealth Group INCCommon / Ordinary Stock$2M4,90191324P102
Invesco RAFI Emerging Markets ETFExchange Traded Fund$2M72,61046138E727
Technology Select Sector SPDR FundExchange Traded Fund$2M10,51781369Y803
Capital One Financial CorpCommon / Ordinary Stock$1.9M9,64714040H105
Travelers Cos Inc/TheCommon / Ordinary Stock$1.9M5,76289417E109
Wells Fargo & CoCommon / Ordinary Stock$1.9M22,982949746101
Public StorageClosed-end REIT$1.8M5,71574460D109
Values are shown exactly as filed. Before 2023 managers reported in thousands of dollars and afterwards in whole dollars; the reporting unit is not always determinable from the document, so nothing is converted automatically.

Source: U.S. Securities and Exchange Commission, Form 13F · as of 2026-07-02

MassMutual Private Wealth & Trust, FSB — 2444 positions reported for 2026Q2 — Tapewire