Bank of New Hampshire

Holdings as of 2026-06-30, filed 2026-07-14

This is history, not a current position. These holdings describe 2026-06-30, and the report became public 14 days later. The portfolio has changed since.

Aggregates

computed from the positions below
Positions reported
537
Value reported by manager
$479.2M
Sum of our stored positions
$479.2M
should match the line above
Disclosure lag
14 d
quarter end to filing
Top 5 concentration
18.2%
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
iShares Core S&P 500 ETFCORE S&P500 ETF$23.3M31,088464287200
Apple IncCOM$19.8M68,349037833100
SPDR Gold Shares ETFGOLD SHS$15M40,84178463V107
Alphabet Inc CL ACAP STK CL A$14.5M40,68402079K305
Vanguard Mid Cap ETFMID CAP ETF$11.6M143,545922908629
Vanguard S&P 500 ETFS&P 500 ETF SHS$11M16,078922908363
Microsoft CorpCOM$10.9M29,122594918104
Vanguard Information Technology ETFINF TECH ETF$8.6M71,87292204A702
iShares Intermediate Government/Credit Bond ETFINTRM GOV CR ETF$8.5M80,321464288612
JPMorgan Chase & CoCOM$8.3M25,43146625H100
Dimensional International Value ETFINTERNATNAL VAL$8.2M152,51025434V807
Nvidia CorpCOM$7.8M39,08467066G104
State Street SPDR S&P 500 ETF TrustTR UNIT$7.6M10,17378462F103
Vanguard Ftse Developed Markets ETFVAN FTSE DEV MKT$7.3M102,290921943858
TJX Cos Inc NewCOM$7.2M47,388872540109
Micron Technology IncCOM$7.2M6,202595112103
Amazon Com IncCOM$6.9M29,026023135106
Berkshire Hathaway Inc DelCL B NEW$6.1M12,157084670702
Avantis US Small Cap Value ETFUS SML CP VALU$5.6M45,053025072877
Schwab 5 -10 Year Corporate Bond ETF5 10YR CORP BD$5.6M247,289808524698
Vanguard Ftse Emerging Markets ETFFTSE EMR MKT ETF$5.3M88,537922042858
State Street SPDR S&P Midcap 400 ETF TrustUTSER1 S&PDCRP$5.2M7,46078467Y107
Costco Whsl Corp NewCOM$5.1M5,43522160K105
Caseys Gen Stores IncCOM$5.1M6,379147528103
Alphabet Inc CL CCAP STK CL C$5.1M14,33602079K107
Walmart IncCOM$4.9M43,703931142103
Broadcom IncCOM$4.8M12,71011135F101
JP Morgan Active Bond ETFACTIVE BOND ETF$4.6M86,41146654Q716
Stryker CorpCOM$4.6M14,593863667101
Cardinal Health IncCOM$4.5M18,95114149Y108
Advanced Micro Devices IncCOM$4.4M7,644007903107
Applied Matls IncCOM$4.4M6,018038222105
O Reilly Automotive Inc NewCOM$4.2M45,98567103H107
General Electric AerospaceCOM NEW$4.2M11,157369604301
Invesco Nasdaq 100 ETFNASDAQ 100 ETF$3.8M12,60046138G649
Johnson & JohnsonCOM$3.7M14,724478160104
Abbvie IncCOM$3.7M14,81300287Y109
United Parcel Service IncCL B$3.7M34,492911312106
Jones Lang Lasalle IncCOM$3.6M11,65848020Q107
United Rentals IncCOM$3.6M3,181911363109
Ralph Lauren CorpCL A$3.6M8,900751212101
iShares Core S&P Midcap ETFCORE S&P MCP ETF$3.6M46,050464287507
Eaton Corp PLC ADRSHS$3.5M8,231G29183103
Exxon Mobil CorpCOM$3.4M25,14030231G102
Live Nation Entertainment IncCOM$3.3M18,163538034109
Automatic Data Processing IncCOM$3.1M13,977053015103
State Street Doubleline Total Return Tactical ETFST STR TOTAL ETF$3.1M77,59078467V848
Bank Amer CorpCOM$3.1M53,625060505104
International Business MachinesCOM$3M10,572459200101
Vanguard Ftse All World EX US ETFALLWRLD EX US$3M35,261922042775
Lowes Cos IncCOM$2.8M12,725548661107
VanEck Morningstar SMID Moat ETFMORN SMID MO ETF$2.8M71,64292189H730
American Express CoCOM$2.8M8,175025816109
Koninklijke Philips N.V. ADRNY REGIS SHS NEW$2.8M101,200500472303
Trane Technologies PLC ADRSHS$2.7M5,457G8994E103
Palantir Technologies Inc CL ACL A$2.6M22,29069608A108
Corning IncCOM$2.6M10,138219350105
State Street Energy Select Sector SPDR ETFST STR ENERG ETF$2.6M48,28381369Y506
State StreetTechnology Select Sector SPDR ETFST STR TECHN ETF$2.6M13,45081369Y803
Meta Platforms IncCL A$2.5M4,48830303M102
ASML Holding NV ADRN Y REGISTRY SHS$2.4M1,219N07059210
Fabrinet ADRSHS$2.4M4,278G3323L100
Procter and Gamble CoCOM$2.3M15,653742718109
Berkshire Hathaway Inc Ord Shs CL ACL A$2.2M3084670108
Cisco Sys IncCOM$2.2M18,95017275R102
Constellation Energy CorpCOM$2.2M8,95921037T109
MGIC Investment CorpCOM$2.2M78,342552848103
JPMorgan Ultra-Short Income ETFULTRA SHRT ETF$2.2M42,63546641Q837
Arista Networks IncCOM SHS$2.1M12,229040413205
iShares MSCI EAFE ETFMSCI EAFE ETF$2.1M19,760464287465
AFLAC IncCOM$2M16,678001055102
Travelers Companies IncCOM$1.9M5,78389417E109
NetApp IncCOM$1.9M12,23864110D104
Vanguard S&P Small-Cap 600 Growth ETFSMLCP 600 GRTH$1.7M11,395921932794
Raymond James Financial IncCOM$1.7M11,213754730109
Shopify Inc ADRCL A SUB VTG SHS$1.7M14,47582509L107
State Street Materials Select Sector SPDR ETFST STR MATER ETF$1.6M31,86881369Y100
Oracle CorpCOM$1.6M10,69268389X105
Ares Capital CorpCOM$1.6M84,12804010L103
RTX CorpCOM$1.5M8,04575513E101
Waste Mgmt Inc DelCOM$1.5M6,57394106L109
State Street SPDR S&P Biotech ETFST STR SP BIOT$1.4M8,68078464A870
Cintas CorpCOM$1.3M7,747172908105
Everpure Inc.CL A$1.3M16,62074624M102
Philip Morris Intl IncCOM$1.3M7,125718172109
Jabil IncCOM$1.3M3,331466313103
iShares iBonds Dec 2031 Term Corporate ETFIBONDS DEC 2031$1.3M61,42046436E486
Intercontinental Exchange IncCOM$1.3M10,20345866F104
General Electric Vernova IncCOM$1.2M1,05836828A101
Servicenow IncCOM$1.2M12,50981762P102
Texas Instrs IncCOM$1.2M4,141882508104
iShares Russell 1000 Growth ETFRUS 1000 GRW ETF$1.2M9,866464287614
iShares iBonds Dec 2030 Term Corporate ETFIBONDS DEC 2030$1.2M53,43046436E726
McDonalds CorpCOM$1.2M4,308580135101
Cirrus Logic, Inc.COM$1.1M7,458172755100
Vanguard Growth ETFGROWTH ETF$1.1M12,806922908736
Merck & Co IncCOM$1.1M8,47858933Y105
Stifel Financial Corp.COM$1.1M15,212860630102
Morgan StanleyCOM NEW$1.1M5,046617446448
Vanguard Total Stk Mkt ETFTOTAL STK MKT$1M2,835922908769
Goldman Sachs Group IncCOM$1M1,02338141G104
Home Depot IncCOM$1M2,852437076102
VISA IncCOM CL A$980.2K2,85792826C839
Schwab US Dividend Equity ETFUS DIVIDEND EQ$976.8K30,805808524797
Thermo Fisher Scientific IncCOM$976.1K1,947883556102
iShares iBonds Dec 2029 Term Corporate ETFIBONDS DEC 29$957.4K41,34046436E205
Illinois Tool WKS IncCOM$950.7K3,515452308109
Coca Cola CoCOM$940.3K11,570191216100
iShares MSCI Emerging Markets ETFMSCI EMG MKT ETF$934.5K13,660464287234
iShares S&P 500 Growth ETFS&P 500 GRWT ETF$933.7K6,789464287309
Cameco Corp ADRCOM$898.9K8,82513321L108
iShares ESG Optimized MSCI USA ETFESG OPTIMIZED$893.4K5,790464288802
iShares Russell 2000 ETFRUSSELL 2000 ETF$877.3K2,920464287655
Chevron Corp NewCOM$856.5K5,167166764100
PepsiCo IncCOM$853.8K6,306713448108
Abbott LabsCOM$834.5K9,197002824100
Duke Energy Corp NewCOM NEW$782.1K6,17926441C204
Lincoln Elec Hldgs IncCOM$753.5K2,838533900106
Qualcomm IncCOM$747.5K4,045747525103
Vanguard S&P 500 Growth ETF500 GRTH IDX F$740.1K8,958921932505
Vanguard Small Cap ETFSMALL CP ETF$727.5K2,400922908751
Lilly Eli & CoCOM$725.7K605532457108
CME Group IncCOM$701.6K3,17712572Q105
Vanguard Total Bond Market ETFTOTAL BND MRKT$690K9,399921937835
Vanguard Short Term Corporate Bond ETFSHRT TRM CORP BD$683.8K8,65292206C409
Caterpillar Inc DelCOM$663.4K623149123101
Danaher Corp DelCOM$643.1K3,376235851102
iShares iBonds Dec 2027 Term Corporate ETFIBONDS 27 ETF$594.7K24,55546435UAA9
Invesco S&P 500 Garp ETFS&P 500 GARP ETF$580.3K4,74546137V431
Microchip Technology IncCOM$567.3K6,220595017104
Nextera Energy IncCOM$562.8K6,41265339F101
Chubb Limited ADRCOM$557.8K1,637H1467J104
Vanguard Intermediate-Term Bond ETFINTERMED TERM$557.7K7,271921937819
iShares Select Dividend ETFSELECT DIVID ETF$547.1K3,500464287168
Union Pac CorpCOM$528.5K1,943907818108
Grainger W W IncCOM$527.8K388384802104
Verizon Communications IncCOM$523.4K12,36192343V104
Avantis Core Fixed Income ETFAVANTIS CORE FI$515.3K12,445025072562
Allstate CorpCOM$498.5K2,095020002101
Invesco QQQ Trust Series 1UNIT SER 1$497.8K67646090E103
General Dynamics CorpCOM$486.4K1,373369550108
Amgen IncCOM$483.4K1,335031162100
Crowdstrike Holdings Inc Ordinary Shares - Class ACL A$481.5K63122788C105
Intel CorpCOM$469.9K3,365458140100
Norfolk Southern CorpCOM$468.7K1,490655844108
Arthur Gallagher CoCOM$459.1K2,000363576109
Invesco S&P 500 Equal Weight ETFS&P500 EQL WGT$439.6K2,06646137V357
Dell Technologies Inc CL CCL C$436.6K1,01224703L202
Jazz Pharmaceuticals PLC ADRSHS USD$432.3K1,794G50871105
Southern CoCOM$430.9K4,502842587107
ConocoPhillipsCOM$426.1K4,09920825C104
iShares Expanded Tech Sector ETFEXPND TEC SC ETF$422K2,580464287549
Nvent Electric PLC ADRSHS$413.8K2,440G6700G107
Bristol Myers Squibb CoCOM$405.8K7,042110122108
Lockheed Martin CorpCOM$397.4K780539830109
Williams Cos Inc DelCOM$394.4K5,305969457100
The Cigna GroupCOM$369.7K1,341125523100
Affiliated Managers GroupCOM$367.5K1,086008252108
Toronto Dominion BK Ont ADRCOM NEW$363.8K2,996891160509
State Street SPDR S&P Semiconductor ETFST STR SP SEMI$363.6K58378464A862
United Airlines Holdings IncCOM$363.4K2,672910047109
Energy Transfer LPCOM UT LTD PTN$359.1K18,78329273V100
iShares S&P 500 Value ETFS&P 500 VAL ETF$350.8K1,545464287408
Vanguard Value ETFVALUE ETF$344.8K1,582922908744
Ishares Trust Core Dividend EtfCORE DIVID ETF$344.1K5,58646435U861
iShares iBonds Dec 2028 Term Corporate ETFIBDS DEC28 ETF$338.4K13,40046435U515
iShares Core S&P Small Cap ETFCORE S&P SCP ETF$337.9K2,278464287804
iShares Biotechnology ETFISHARES BIOTECH$336.1K1,767464287556
Enterprise Prods Partners L PCOM$332.1K9,035293792107
J.P. Morgan Equity Premium Income ETFEQUITY PREMIUM$331K5,86046641Q332
Blackrock FDG IncCOM$330.8K34409290D101
iShares iBoxx $ Investment Grade Corporate Bond ETFIBOXX INV CP ETF$320.4K2,938464287242
iShares iBonds Dec 2032 Term Corporate ETFIBONDS DEC 2032$313.1K12,43046436E312
The Hartford Insurance Group IncCOM$305.9K2,308416515104
State Street Health Care Select Sector SPDR ETFST STR CARE ETF$304.6K1,92081369Y209
Ingredion IncCOM$300.4K3,172457187102
Invesco S&P 500 Top 50 ETFS&P 500 TOP 50$300K4,90046137V233
Emerson Elec CoCOM$298.2K2,083291011104
Colgate Palmolive CoCOM$297.2K3,242194162103
Quanta Svcs IncCOM$292.3K40674762E102
United Therapeutics Corp DelCOM$285K52691307C102
Baker Hughes CompanyCL A$283.8K5,11405722G100
Marvell Technology IncCOM$278.2K934573874104
Exelon CorpCOM$272.6K5,84830161N101
Bunge Global SA ADRCOM SHS$259K2,427H11356104
Phillips 66COM$256.4K1,517718546104
Vertiv Holdings CoCOM CL A$255.5K76392537N108
Tesla IncCOM$254.9K60688160R101
Valero Energy Corp NewCOM$251.1K96491913Y100
BHP Group LTD ADRSPONSORED ADS$249.9K3,000088606108
HCA Healthcare IncCOM$243.7K62540412C101
MarshCOM$228.3K1,370571748102
Adobe Sys IncCOM$225.3K1,09900724F101
Altria Group IncCOM$210.8K2,93002209S103
iShares MSCI Emerging Markets EX China ETFMSCI EMRG CHN$210.2K2,05546434G764
First Trust Dow Jones Internet Index Fund ETFDJ INTERNT IDX$209.1K79033733E302
Honeywell International IncCOM$199.8K893438516205
Honeywell Aerospace IncCOM$197.3K89343849R105
Western Alliance BancorpCOM$195.8K2,382957638109
iShares Fallen Angels USD Bond ETFFALN ANGLS USD$192.9K7,08146435G474
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 2026-07-14

Bank of New Hampshire — 537 positions reported for 2026Q2 — Tapewire