MTS
All funds

Passive index

Vanguard NTC.

Vanguard National Trust Co. CIK 0001984256.

Latest 13F book
$1.6B
Q1 2026
AI / DC exposure
$74M
4.7% of book
Holdings count
751
positions

Book over time

Total 13F value

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AI / datacenter dollars

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Sector exposure (AI / DC only)

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This quarter's moves· Q1 2026

TickerPrevLatestΔAction
AAPL$22M+$22MNew
MSFT$11M+$11MNew
NVDA$10M+$10MNew
GOOG$10M+$10MNew
AMZN$8M+$8MNew
AVGO$4M+$4MNew
CSCO$2M+$2MNew
TSM$1M+$1MNew
ORCL$1M+$1MNew
META$1M+$1MNew
AMD$1M+$1MNew
QCOM$437K+$437KNew
KLAC$374K+$374KNew
ETN$282K+$282KNew
TSLA$271K+$271KNew
INTC$254K+$254KNew
AMAT$169K+$169KNew
CEG$159K+$159KNew
EQIX$110K+$110KNew
LITE$89K+$89KNew
ASML$83K+$83KNew
EQT$21K+$21KNew
COHR$19K+$19KNew
PLTR$11K+$11KNew
SNDK$5K+$5KNew
DELL$3K+$3KNew
MRVL$2K+$2KNew
DLR$721+$721New

Top 15 positions (latest quarter)

IssuerTickerValue
AppleAAPL$22M
MicrosoftMSFT$11M
NvidiaNVDA$10M
AlphabetGOOG$10M
Amazon ComAMZN$8M
BroadcomAVGO$4M
Cisco SysCSCO$2M
Taiwan Semiconductor ManufacTSM$1M
OracleORCL$1M
Meta PlatformsMETA$1M
Advanced Micro DevicesAMD$1M
QualcommQCOM$437K
KlaKLAC$374K
EatonETN$282K
TeslaTSLA$271K
IntelINTC$254K
Applied MatlsAMAT$169K
Constellation EnergyCEG$159K
EquinixEQIX$110K
LumentumLITE$89K
Asml HldgASML$83K
EqtEQT$21K
CoherentCOHR$19K
PalantirPLTR$11K
SandiskSNDK$5K
DellDELL$3K
Marvell TechnologyMRVL$2K
Digital Rlty TrDLR$721