EASTERN BANK

Holdings as of 2026-06-30, filed 2026-07-01

This is history, not a current position. These holdings describe 2026-06-30, and the report became public 1 days later. The portfolio has changed since.

Aggregates

computed from the positions below
Positions reported
1,466
Value reported by manager
$6.5B
Sum of our stored positions
$6.5B
should match the line above
Disclosure lag
1 d
quarter end to filing
Top 5 concentration
19.0%
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 INCCOM$291.2M1,006,315037833100
NVIDIA CORPORATIONCOM$282.6M1,412,50067066G104
ALPHABET INCCAP STK CL A$241.9M676,87402079K305
MICROSOFT CORPCOM$188.9M506,522594918104
J P MORGAN EXCHANGE TRADED FINTRNL RES EQT$184.5M2,237,08946641Q134
BROADCOM INCCOM$178.8M473,31911135F101
VANGUARD TAX-MANAGED FDSVAN FTSE DEV MKT$177.6M2,492,886921943858
ISHARES TRINTRM GOV CR ETF$166.1M1,566,040464288612
ISHARES TRCORE S&P500 ETF$162M216,379464287200
INVESCO EXCHANGE TRADED FD TS&P500 EQL WGT$149.6M703,16346137V357
AMAZON COM INCCOM$146.7M615,397023135106
ELI LILLY & COCOM$131.9M110,003532457108
JPMORGAN CHASE & COCOM$118.6M362,42846625H100
ISHARES INCMSCI EMRG CHN$114.7M1,121,13146434G764
STATE STR SPDR S&P 500 ETF TTR UNIT$110.6M148,08978462F103
VISA INCCOM CL A$98.9M288,13592826C839
WALMART INCCOM$92.9M820,390931142103
ADVANCED MICRO DEVICES INCCOM$83M142,941007903107
BANK OF AMER CORPCOM$81.4M1,427,800060505104
KLA CORPCOM NEW$78.1M258,741482480100
EXXON MOBIL CORPCOM$78M570,85530231G102
META PLATFORMS INCCL A$75.8M134,64830303M102
ABBVIE INCCOM$71.9M285,63300287Y109
EATON CORP PLCSHS$70.7M165,910G29183103
BLACKROCK ETF TRUSTISHARES US EQUIT$69.1M1,015,39309290C103
ANALOG DEVICES INCCOM$66.8M168,120032654105
SEAGATE TECHNOLOGY HLDNGS PLORD SHS$65.2M67,540G7997R103
PALO ALTO NETWORKS INCCOM$63M184,814697435105
NEXTERA ENERGY INCCOM$61.2M697,81365339F101
LEVI STRAUSS & CO NEWCL A COM STK$60.9M2,450,80652736R102
ARISTA NETWORKS INCCOM SHS$56.1M330,157040413205
PNC FINL SVCS GROUP INCCOM$55.6M225,767693475105
PROCTER & GAMBLE COCOM$55.1M375,676742718109
AMERICAN ELEC PWR CO INCCOM$55.1M402,400025537101
ISHARES TR7-10 YR TRSY BD$52.5M554,918464287440
APPLIED MATLS INCCOM$51.9M71,739038222105
UNION PAC CORPCOM$50.8M186,852907818108
EMERSON ELEC COCOM$49.5M345,807291011104
PROLOGIS INC.COM$49.1M362,66874340W103
LINDE PLCSHS$48M92,451G54950103
APPLE INCCOM$46M159,122037833100
BERKSHIRE HATHAWAY INC DELCL A$41.2M55084670108
BLACKROCK INCCOM$40.5M42,16909290D101
AMERICAN EXPRESS COCOM$39.8M117,700025816109
QUEST DIAGNOSTICS INCCOM$38.8M182,85874834L100
ORACLE CORPCOM$38.7M264,40368389X105
PARKER-HANNIFIN CORPCOM$38M38,854701094104
ROYALTY PHARMA PLCSHS CLASS A$37.4M667,175G7709Q104
DICKS SPORTING GOODS INCCOM$36.5M160,880253393102
ECOLAB INCCOM$35.8M128,462278865100
MCDONALDS CORPCOM$34.6M127,904580135101
AMPHENOL CORPCL A$33.4M189,267032095101
WASTE MGMT INC DELCOM$33.4M149,64794106L109
MICROSOFT CORPCOM$32.8M88,034594918104
NVIDIA CORPORATIONCOM$32.5M162,32267066G104
DANAHER CORP DELCOM$31.9M167,448235851102
SYSCO CORPCOM$29.2M349,339871829107
JOHNSON & JOHNSONCOM$29M114,094478160104
ISHARES TRESG AW MSCI EAFE$28.8M280,07446435G516
T ROWE PRICE EXCHANGE-TRADEDCAP APPRECIATION$28M680,61387283Q867
LOWES COS INCCOM$26.6M120,536548661107
MARRIOTT INTL INC NEWCL A$26.5M71,449571903202
ALPHABET INCCAP STK CL A$25.8M72,19202079K305
AMERICAN TOWER CORPCOM$25.3M154,62803027X100
DISNEY WALT COCOM$24.1M250,676254687106
NETFLIX INC.COM$23.8M333,76864110L106
OREILLY AUTOMOTIVE INCCOM$23.8M257,95967103H107
KINDER MORGAN INC DELCOM$23.7M740,64849456B101
MOTOROLA SOLUTIONS INCCOM NEW$22.6M54,400620076307
HOME DEPOT INCCOM$22.1M62,791437076102
MICRON TECHNOLOGY INCCOM$21.3M18,442595112103
S&P GLOBAL INCCOM$21.2M52,11778409V104
FLOWSERVE CORPCOM$20.9M282,35534354P105
CONSTELLATION ENERGY CORPCOM$20.3M81,75021037T109
EXXON MOBIL CORPCOM$20.1M147,33330231G102
BERKSHIRE HATHAWAY INC DELCL A$19.5M26084670108
HARTFORD INSURANCE GROUP INCCOM$19.3M146,005416515104
INVESCO EXCH TRADED FD TR IIESG S&P 500 EQL$19.2M566,25846138G516
EASTERN BANKSHARES INCCOM$19.2M863,17327627N105
UNITED RENTALS INCCOM$18.8M16,603911363109
MERCK & CO INCCOM$18.7M145,26358933Y105
ISHARES INCESG AWR MSCI EM$18.5M339,09446434G863
CABOT CORPCOM$18.4M202,300127055101
ISHARES TRRUSSELL 2000 ETF$18.1M60,293464287655
VANGUARD WHITEHALL FDSINTL DVD ETF$17.7M189,048921946810
JPMORGAN CHASE & COCOM$15.2M46,32846625H100
NUSHARES ETF TRNUVEEN ESG LRGVL$14.4M287,84067092P300
ISHARES TRCORE MSCI EAFE$14.3M147,96946432F842
ALPHABET INCCAP STK CL C$14M39,65602079K107
SELECT SECTOR SPDR TRSTATE STREET IND$14M75,32081369Y704
TJX COS INC NEWCOM$13.8M91,345872540109
MORGAN STANLEYCOM NEW$13.8M65,859617446448
EASTERN BANKSHARES INCCOM$13.5M608,94927627N105
AMAZON COM INCCOM$13.2M55,460023135106
COCA COLA COCOM$12.9M158,118191216100
RTX CORPORATIONCOM$12.8M67,60575513E101
BROADCOM INCCOM$12.3M32,45811135F101
BERKSHIRE HATHAWAY INC DELCL B NEW$11.9M23,864084670702
VANGUARD INDEX FDSTOTAL STK MKT$11.7M31,635922908769
INVESCO ACTVELY MNGD ETC FDAGRI CMDTY STRA$11.2M315,53246090F308
AUTOMATIC DATA PROCESSING INCOM$11M49,080053015103
FEDERATED HERMES ETF TRUSTMDT LARGE CAP$10.9M305,32431423L701
INTERCONTINENTAL EXCHANGE INCOM$10.8M87,79345866F104
VIKING HOLDINGS LTDORD SHS$10.1M96,743G93A5A101
COSTCO WHOLESALE CORPORATIONCOM$10.1M10,78322160K105
ISHARES INCCORE MSCI EMKT$9.9M119,07946434G103
CATERPILLAR INCCOM$9.6M9,025149123101
ISHARES TRCORE S&P MCP ETF$9.6M124,082464287507
INVESCO QQQ TRUNIT SER 1$9.3M12,66646090E103
WISDOMTREE TRUS LARGECAP FUND$9.1M117,10497717W588
J P MORGAN EXCHANGE TRADED FEQUITY PREMIUM$8.7M154,45146641Q332
WALMART INCCOM$8.6M76,243931142103
ISHARES TRMSCI INTL QUALTY$8.6M173,08846434V456
HOME DEPOT INCCOM$8.3M23,601437076102
ABBVIE INCCOM$8.3M33,02200287Y109
GOLDMAN SACHS GROUP INCCOM$8.3M8,21138141G104
US BANCORPCOM NEW$8.3M137,061902973304
ISHARES TRMSCI ACWI EX US$8.1M106,718464288240
VISA INCCOM CL A$8.1M23,59892826C839
ALPHABET INCCAP STK CL C$8.1M22,90302079K107
ISHARES TRRUS 1000 VAL ETF$7.9M32,775464287598
JOHNSON & JOHNSONCOM$7.9M31,274478160104
ATMOS ENERGY CORPCOM$7.9M45,852049560105
ELI LILLY & COCOM$7.6M6,333532457108
PROCTER & GAMBLE COCOM$7.5M51,430742718109
COSTCO WHOLESALE CORPORATIONCOM$7.4M7,88422160K105
BERKSHIRE HATHAWAY INC DELCL B NEW$7.2M14,373084670702
CRANE COMPANYCOMMON STOCK$7.1M31,660224408104
ADVANCED MICRO DEVICES INCCOM$6.7M11,610007903107
VANGUARD INDEX FDSS&P 500 ETF SHS$6.4M9,368922908363
EATON CORP PLCSHS$6.2M14,589G29183103
UNION PAC CORPCOM$6.1M22,335907818108
INVESCO EXCHANGE TRADED FD TS&P500 EQL WGT$6M28,09946137V357
MERCK & CO INCCOM$6M46,49758933Y105
FRANKLIN TEMPLETON HOLDINGSRESPBLY SRCD GLD$5.9M110,43735473M105
NOVO-NORDISK A SADR$5.8M121,795670100205
INTERNATIONAL BUSINESS MACHSCOM$5.7M20,406459200101
NEXTERA ENERGY INCCOM$5.7M64,96865339F101
STATE STR SPDR S&P 500 ETF TTR UNIT$5.5M7,38878462F103
BANK OF AMER CORPCOM$5.4M95,563060505104
CATERPILLAR INCCOM$5.4M5,099149123101
MASTERCARD INCORPORATEDCL A$5.3M10,37857636Q104
META PLATFORMS INCCL A$5.2M9,27230303M102
CHEVRON CORPORATIONCOM$5M29,919166764100
MCDONALDS CORPCOM$4.9M18,085580135101
SOUTHERN COCOM$4.7M49,485842587107
J P MORGAN EXCHANGE TRADED FINTRNL RES EQT$4.7M56,39046641Q134
ISHARES TRINTRM GOV CR ETF$4.5M42,378464288612
STANLEY BLACK & DECKER INCCOM$4.4M46,664854502101
VANGUARD TAX-MANAGED FDSVAN FTSE DEV MKT$4.4M61,625921943858
ANALOG DEVICES INCCOM$4.4M10,983032654105
STATE STR CORPCOM$4.3M25,631857477103
AMERICAN EXPRESS COCOM$4.2M12,540025816109
ISHARES TRMSCI USA QLT FCT$4.2M19,28846432F339
EMERSON ELEC COCOM$4.1M28,568291011104
VERALTO CORPCOM SHS$3.8M43,09792338C103
APPLIED MATLS INCCOM$3.8M5,230038222105
STATE STR SPDR S&P MIDCAP 40UTSER1 S&PDCRP$3.7M5,29678467Y107
ABBOTT LABORATORIESCOM$3.7M40,977002824100
VANGUARD BD INDEX FDSSHORT TRM BOND$3.6M46,489921937827
VANGUARD INDEX FDSS&P 500 ETF SHS$3.6M5,188922908363
PROLOGIS INC.COM$3.6M26,25474340W103
CHEVRON CORPORATIONCOM$3.5M21,211166764100
AIR PRODUCTS AND CHEMICALS ICOM$3.5M11,884009158106
ISHARES TRS&P 500 GRWT ETF$3.5M25,194464287309
INTERNATIONAL BUSINESS MACHSCOM$3.4M12,173459200101
LINDE PLCSHS$3.4M6,481G54950103
AUTOMATIC DATA PROCESSING INCOM$3.3M14,926053015103
PNC FINL SVCS GROUP INCCOM$3.3M13,404693475105
PALO ALTO NETWORKS INCCOM$3.2M9,530697435105
PEPSICO INCCOM$3.2M23,338713448108
COCA COLA COCOM$3.1M38,086191216100
GE VERNOVA INCCOM$3.1M2,61836828A101
FIRST TR EXCHANGE-TRADED FDENERGY INM PARTN$3.1M98,21733739Q804
RTX CORPORATIONCOM$3M16,06275513E101
ISHARES GOLD TRISHARES NEW$3M39,969464285204
GE AEROSPACECOM NEW$3M8,028369604301
AMERICAN ELEC PWR CO INCCOM$3M21,812025537101
DISNEY WALT COCOM$3M30,888254687106
ISHARES TRMSCI EAFE ETF$2.8M27,103464287465
DEVON ENERGY CORP NEWCOM$2.8M67,87325179M103
BOSTON SCIENTIFIC CORPCOM$2.8M64,929101137107
ISHARES INCMSCI EMRG CHN$2.7M26,07946434G764
TJX COS INC NEWCOM$2.7M17,531872540109
ARISTA NETWORKS INCCOM SHS$2.6M15,136040413205
ISHARES TRCORE S&P SCP ETF$2.5M17,140464287804
VANGUARD INTL EQUITY INDEX FFTSE EMR MKT ETF$2.5M41,713922042858
ORACLE CORPCOM$2.5M16,85868389X105
UNITEDHEALTH GROUP INCCOM$2.4M5,84591324P102
SELECT SECTOR SPDR TRSTATE STREET TEC$2.4M12,71181369Y803
INTEL CORPCOM$2.4M17,228458140100
VERA THERAPEUTICS INCCL A$2.4M56,05092337R101
NETFLIX INC.COM$2.4M33,50964110L106
INTEL CORPCOM$2.4M17,009458140100
BLACKROCK INCCOM$2.4M2,46109290D101
TAIWAN SEMICONDUCTOR MANUFACSPONSORED ADS$2.3M4,886874039100
SCHWAB STRATEGIC TRUS DIVIDEND EQ$2.3M73,328808524797
SEAGATE TECHNOLOGY HLDNGS PLORD SHS$2.3M2,392G7997R103
ABBOTT LABORATORIESCOM$2.3M24,854002824100
SPDR GOLD TRGOLD SHS$2.3M6,11078463V107
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 2026-07-01