
PRIVATE TRUST CO NA
Latest 13F filing data - Q3 2025
Holdings (Top positions)
| Stock | Ticker | ||
|---|---|---|---|
![]() | HCA | 943 | $401.91K |
![]() | COO | 941 | $64.52K |
![]() | QBTS | 927 | $22.91K |
![]() | TAK | 924 | $13.53K |
![]() | RIG | 922 | $2.88K |
![]() | CC | 922 | $14.60K |
![]() | SLG | 905 | $54.13K |
![]() | CHWY | 904 | $36.57K |
![]() | TTEK | 902 | $30.11K |
![]() | NUE | 900 | $121.83K |
![]() | DRI | 886 | $168.66K |
![]() | TT | 883 | $372.59K |
![]() | ADPT | 880 | $13.16K |
![]() | RMD | 878 | $240.34K |
![]() | VLTO | 878 | $93.60K |
![]() | INTU | 874 | $596.97K |
![]() | AXS | 871 | $83.48K |
![]() | UBSI | 857 | $31.89K |
![]() | APO | 855 | $113.95K |
![]() | UBS | 853 | $34.83K |

HCA Healthcare, Inc.
HCA
Shares Held
943
Value
$401.91K

The Cooper Companies, Inc.
COO
Shares Held
941
Value
$64.52K

D-Wave Quantum Inc.
QBTS
Shares Held
927
Value
$22.91K

Takeda Pharmaceutical Company Limited
TAK
Shares Held
924
Value
$13.53K

Transocean Ltd.
RIG
Shares Held
922
Value
$2.88K

The Chemours Company
CC
Shares Held
922
Value
$14.60K

SL Green Realty Corp.
SLG
Shares Held
905
Value
$54.13K

Chewy, Inc.
CHWY
Shares Held
904
Value
$36.57K

Tetra Tech, Inc.
TTEK
Shares Held
902
Value
$30.11K

Nucor Corporation
NUE
Shares Held
900
Value
$121.83K

Darden Restaurants, Inc.
DRI
Shares Held
886
Value
$168.66K

Trane Technologies plc
TT
Shares Held
883
Value
$372.59K

Adaptive Biotechnologies Corporation
ADPT
Shares Held
880
Value
$13.16K

ResMed Inc.
RMD
Shares Held
878
Value
$240.34K

Veralto Corporation
VLTO
Shares Held
878
Value
$93.60K

Intuit Inc.
INTU
Shares Held
874
Value
$596.97K

AXIS Capital Holdings Limited
AXS
Shares Held
871
Value
$83.48K

United Bankshares, Inc.
UBSI
Shares Held
857
Value
$31.89K

Apollo Global Management, Inc.
APO
Shares Held
855
Value
$113.95K

UBS Group AG
UBS
Shares Held
853
Value
$34.83K
