CIK 1697274
NVWM, LLC
Institutional 13F holdings & portfolio
Holdings
747
Portfolio Value
$1M+
Latest Report
Dec 31, 2025
Report Periods
3
Holdings
13F filings as of Dec 31, 2025 · Showing 451–500 of 747
| Ticker | Company | Shares | Value | Type |
|---|---|---|---|---|
| NTRS | NORTHERN TR CORP COM | 15 | $1K–$15K | SH |
| THRO | ISHARES U.S. THEMATIC ROTATION ACTIVE ETF | 53 | $1K–$15K | SH |
| WMB | WILLIAMS COS INC COM | 34 | $1K–$15K | SH |
| A | AGILENT TECHNOLOGIES INC COM | 15 | $1K–$15K | SH |
| ABNB | AIRBNB INC COM CL A | 15 | $1K–$15K | SH |
| RKT | ROCKET COS INC COM CL A | 105 | $1K–$15K | SH |
| IQV | IQVIA HLDGS INC COM | 9 | $1K–$15K | SH |
| RPRX | ROYALTY PHARMA PLC SHS CLASS A | 52 | $1K–$15K | SH |
| ACGL | ARCH CAP GROUP LTD ORD | 21 | $1K–$15K | SH |
| PODD | INSULET CORP COM | 7 | $1K–$15K | SH |
| UPS | UNITED PARCEL SERVICE INC CL B | 20 | $1K–$15K | SH |
| MSTR | STRATEGY INC CL A NEW | 13 | $1K–$15K | SH |
| RIVN | RIVIAN AUTOMOTIVE INC COM CL A | 100 | $1K–$15K | SH |
| AMP | AMERIPRISE FINL INC COM | 4 | $1K–$15K | SH |
| KMI | KINDER MORGAN INC DEL COM | 71 | $1K–$15K | SH |
| SAM | BOSTON BEER INC CL A | 10 | $1K–$15K | SH |
| GXO | GXO LOGISTICS INCORPORATED COMMON STOCK | 37 | $1K–$15K | SH |
| RVTY | REVVITY INC COM | 20 | $1K–$15K | SH |
| LMT | LOCKHEED MARTIN CORP COM | 4 | $1K–$15K | SH |
| APA | APA CORPORATION COM | 79 | $1K–$15K | SH |
| KKR | KKR & CO INC COM | 15 | $1K–$15K | SH |
| FOXA | FOX CORP CL A COM | 26 | $1K–$15K | SH |
| UPST | UPSTART HLDGS INC COM | 43 | $1K–$15K | SH |
| BEP | BROOKFIELD RENEWABLE PARTNERS PARTNERSHIP UNIT | 68 | $1K–$15K | SH |
| MNST | MONSTER BEVERAGE CORP NEW COM | 24 | $1K–$15K | SH |
| EA | ELECTRONIC ARTS INC COM | 9 | $1K–$15K | SH |
| ILMN | ILLUMINA INC COM | 14 | $1K–$15K | SH |
| UDR | UDR INC COM | 50 | $1K–$15K | SH |
| LUV | SOUTHWEST AIRLS CO COM | 44 | $1K–$15K | SH |
| HUM | HUMANA INC COM | 7 | $1K–$15K | SH |
| ED | CONSOLIDATED EDISON INC COM | 18 | $1K–$15K | SH |
| AMPX | AMPRIUS TECHNOLOGIES INC COMMON STOCK | 224 | $1K–$15K | SH |
| PFG | PRINCIPAL FINANCIAL GROUP INC COM | 20 | $1K–$15K | SH |
| TECH | BIO-TECHNE CORP COM | 30 | $1K–$15K | SH |
| PCAR | PACCAR INC COM | 16 | $1K–$15K | SH |
| BTC | GRAYSCALE BITCOIN MINI TRUST ETF | 45 | $1K–$15K | SH |
| NXPI | NXP SEMICONDUCTORS N V COM | 8 | $1K–$15K | SH |
| TXN | TEXAS INSTRS INC COM | 10 | $1K–$15K | SH |
| FDX | FEDEX CORP COM | 6 | $1K–$15K | SH |
| OEF | ISHARES S&P 100 ETF | 5 | $1K–$15K | SH |
| EXPE | EXPEDIA GROUP INC COM NEW | 6 | $1K–$15K | SH |
| NDSN | NORDSON CORP COM | 7 | $1K–$15K | SH |
| VTRS | VIATRIS INC COM | 134 | $1K–$15K | SH |
| CTSH | COGNIZANT TECHNOLOGY SOLUTIONS CL A | 20 | $1K–$15K | SH |
| CNC | CENTENE CORP DEL COM | 40 | $1K–$15K | SH |
| FAST | FASTENAL CO COM | 41 | $1K–$15K | SH |
| GRMN | GARMIN LTD SHS | 8 | $1K–$15K | SH |
| NVO | NOVO-NORDISK A S ADR | 32 | $1K–$15K | SH |
| CTVA | CORTEVA INC COM | 24 | $1K–$15K | SH |
| NTAP | NETAPP INC COM | 15 | $1K–$15K | SH |