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National Philanthropic Trust

National Philanthropic Trust · Investor
AUM (13F)
$9.4B
# of Holdings
363
3Y performance ⓘ
vs S&P 500 ⓘ
Updated
Mar 31

National Philanthropic Trust's National Philanthropic Trust holds 363 U.S.-equity positions worth $9.4B (SEC 13F, Q1 2026). Top positions: NVIDIA CORP 18.1%, Alphabet Inc. Class A Common Stock 11.5%, Apollo Global Management, Inc. 10.7%.

Holdings

Stock% of portfolio SharesValue Latest activityAvg buy price Current priceDate
NVDA NVIDIA CORP 18.1% 9.7M $1.7B NEW (+9.7M) $174.40 $208.65 (+20%) 2026-03-31
GOOGL Alphabet Inc. Class A Common Stock 11.5% 3.7M $1.1B NEW (+3.7M) $287.56 $349.68 (+22%) 2026-03-31
APO Apollo Global Management, Inc. 10.7% 9.0M $1.0B NEW (+9.0M) $111.42 $135.21 (+21%) 2026-03-31
IVV Ishares Tr 10.7% 1.5M $1.0B NEW (+1.5M) $653.21 $747.78 (+14%) 2026-03-31
AVGO Broadcom Inc. Common Stock 5.2% 1.6M $483M NEW (+1.6M) $309.51 $392.13 (+27%) 2026-03-31
AMZN Amazon.Com Inc 4.0% 1.8M $375M NEW (+1.8M) $208.27 $232.79 (+12%) 2026-03-31
VOO Vanguard Index Fds 3.3% 516K $308M NEW (+516K) $597.55 $686.10 (+15%) 2026-03-31
GOOG Alphabet Inc. Class C Capital Stock 2.5% 822K $236M NEW (+822K) $286.86 $348.78 (+22%) 2026-03-31
BX Blackstone Inc. 2.4% 2.0M $227M NEW (+2.0M) $114.99 $123.26 (+7%) 2026-03-31
CVNA Carvana Co. 2.2% 657K $207M NEW (+657K) $314.38 $66.67 (−79%) 2026-03-31
AGG Ishares Tr 1.9% 1.8M $179M NEW (+1.8M) $99.27 $98.63 (−1%) 2026-03-31
MSFT MICROSOFT CORP 1.8% 460K $170M NEW (+460K) $370.17 $367.34 (−1%) 2026-03-31
IEFA Ishares Tr 1.7% 1.8M $160M NEW (+1.8M) $90.53 $97.39 (+8%) 2026-03-31
BSV Vanguard Bd Index Fds 1.3% 1.5M $121M NEW (+1.5M) $78.41 $77.68 (−1%) 2026-03-31
SPY State Str Spdr S&p 500 Etf T 1.2% 168K $109M NEW (+168K) $650.34 $744.39 (+14%) 2026-03-31
VO Vanguard Index Fds 1.1% 356K $102M NEW (+356K) $287.18 $80.45 (−72%) 2026-03-31
TSM Taiwan Semiconductor Manufac 1.0% 268K $90M NEW (+268K) $337.95 $467.67 (+38%) 2026-03-31
IWM Ishares Tr 0.9% 327K $81M NEW (+327K) $248.00 $298.18 (+20%) 2026-03-31
IEMG Ishares Inc 0.8% 1.1M $76M NEW (+1.1M) $69.75 $86.00 (+23%) 2026-03-31
IAU Ishares Gold Tr 0.7% 760K $67M NEW (+760K) $88.16 $78.80 (−11%) 2026-03-31
URTH Ishares Inc 0.7% 366K $66M NEW (+366K) $180.02 $202.37 (+12%) 2026-03-31
HYG Ishares Tr 0.7% 793K $63M NEW (+793K) $79.56 $79.94 (+0%) 2026-03-31
ABNB Airbnb, Inc. Class A Common Stock 0.7% 480K $61M NEW (+480K) $126.28 $139.19 (+10%) 2026-03-31
ASML Asml Hldg Nv 0.5% 38K $50M NEW (+38K) $1,320.83 $1,929.25 (+46%) 2026-03-31
VTI Vanguard Index Fds 0.5% 144K $46M NEW (+144K) $320.81 $368.81 (+15%) 2026-03-31
TDG TransDigm Group Incorporated 0.5% 40K $46M NEW (+40K) $1,158.96 $1,295.90 (+12%) 2026-03-31
RBLX Roblox Corporation 0.4% 668K $38M NEW (+668K) $56.56 $47.27 (−16%) 2026-03-31
VOTE Tcw Etf Trust 0.4% 477K $36M NEW (+477K) $76.30 $87.98 (+15%) 2026-03-31
KKR KKR & Co. Inc. 0.4% 386K $36M NEW (+386K) $92.50 $96.90 (+5%) 2026-03-31
NU Nu Holdings Ltd. 0.4% 2.3M $33M NEW (+2.3M) $14.37 $12.79 (−11%) 2026-03-31
OWL Blue Owl Capital Inc. 0.3% 3.5M $32M NEW (+3.5M) $9.13 $9.23 (+1%) 2026-03-31
JIRE J P Morgan Exchange Traded F 0.3% 411K $31M NEW (+411K) $75.74 $82.78 (+9%) 2026-03-31
ICF Ishares Tr 0.3% 451K $28M NEW (+451K) $61.89 $67.73 (+9%) 2026-03-31
HTRB Hartford Fds Exchange Traded 0.3% 800K $27M NEW (+800K) $33.74 $33.71 (−0%) 2026-03-31
UNH UNITEDHEALTH GROUP INCORPORATED (Delaware) 0.3% 99K $27M NEW (+99K) $270.59 $406.68 (+50%) 2026-03-31
MDLN Medline Inc. Class A common stock 0.3% 555K $25M NEW (+555K) $44.50 $34.71 (−22%) 2026-03-31
AAPL Apple Inc. 0.2% 90K $23M NEW (+90K) $253.79 $297.01 (+17%) 2026-03-31
EFA Ishares Tr 0.2% 225K $22M NEW (+225K) $97.13 $104.58 (+8%) 2026-03-31
VEA Vanguard Tax-managed Fds 0.2% 334K $21M NEW (+334K) $64.08 $72.39 (+13%) 2026-03-31
DSI Ishares Tr 0.2% 164K $20M NEW (+164K) $121.19 $141.28 (+17%) 2026-03-31
VXUS Vanguard Star Fds 0.2% 257K $20M NEW (+257K) $77.11 $87.06 (+13%) 2026-03-31
PANW Palo Alto Networks, Inc. Common Stock 0.2% 113K $18M NEW (+113K) $160.32 $286.40 (+79%) 2026-03-31
CPNG Coupang, Inc. 0.2% 890K $17M NEW (+890K) $18.88 $17.31 (−8%) 2026-03-31
KRMN Karman Holdings Inc. 0.2% 200K $16M NEW (+200K) $80.05 $47.70 (−40%) 2026-03-31
BND Vanguard Bd Index Fds 0.2% 215K $16M NEW (+215K) $73.64 $73.14 (−1%) 2026-03-31
GRBK Green Brick Partners, Inc 0.2% 232K $15M NEW (+232K) $64.45 $73.60 (+14%) 2026-03-31
ALLW Ssga Active Tr 0.2% 517K $15M NEW (+517K) $28.85 $29.43 (+2%) 2026-03-31
TLN Talen Energy Corporation Common Stock 0.2% 47K $15M NEW (+47K) $319.23 $438.12 (+37%) 2026-03-31
QQQ Invesco Qqq Tr 0.1% 23K $13M NEW (+23K) $577.18 $737.95 (+28%) 2026-03-31
CALM Cal-Maine Foods Inc 0.1% 168K $13M NEW (+168K) $79.15 $75.97 (−4%) 2026-03-31

Showing top 50 of 363 holdings by value.

Related
NVDA stockGOOGL stockAPO stockIVV stockAll hedge funds
FAQ

What are National Philanthropic Trust's largest holdings?

As of the latest 13F: NVIDIA CORP 18.1%, Alphabet Inc. Class A Common Stock 11.5%, Apollo Global Management, Inc. 10.7%, Ishares Tr 10.7%, Broadcom Inc. Common Stock 5.2%.

How big is National Philanthropic Trust's 13F portfolio?

$9.4B across 363 disclosed U.S.-equity positions.

Where does this data come from?

U.S. SEC Form 13F-HR institutional holdings filings.

Sourced from SEC Form 13F-HR filings · Not investment advice
SEC EDGAR 13F
Data as of 2026-03-31 · Methodology
13F-replication (price return, filing-date based) — not an audited fund return.
Published by WealthFile · Not investment advice.

Latest activity = change vs. the prior 13F. Avg buy price = est. entry over the trailing 3 years (gain = vs. latest price). Returns are 13F-replication, not audited fund returns. Sourced from SEC 13F filings.