Glenview Trust Co Portfolio

Auto-discovered 13F filer (Top-2000 by latest reported value).

MidHigh Turnover how tags are computed

Q2 2026

Q2 2026 · 500 positions · Total reported value $6.37B · Top-10 concentration 34.0%

Turnover: 100.0% · 500 new · 0 cut · 0 exited

Active Share (vs S&P 500): 48.2% · vs QQQ: 66.0% — share of the book that differs from index weights (higher = more active) · ranking

In its Q2 2026 13F filing, Glenview Trust Co disclosed 500 equity positions with a combined reported value of $6.37B. The filing implies a moderately concentrated portfolio: its ten largest positions account for 34.0% of reported value. HoldingsHub classifies the profile as Mid / High Turnover.

The largest disclosed positions as of Q2 2026 were NVDA ($545.35M), AAPL ($279.49M), IVV ($199.80M). By sector, the heaviest allocations are Technology 28.3%, Consumer Discretionary 12.7%.

Versus the prior quarter, Glenview Trust Co opened 500 new positions, trimmed 0 and fully exited 0, a turnover rate of 100.0% of positions.

Figures come from the fund's SEC Form 13F filing. 13F reports are filed within 45 days of quarter end and cover long positions of $100,000 or more; they exclude short positions and non-13F asset classes, so treat this page as a quarter-end snapshot rather than the fund's live book.

Sector Allocation

Technology 28.3%
Financials 7.1%
Energy 2.1%
Utilities 1.2%
Other 33.4%
Sort by: Value Shares Weight Sector Change · CSV
# Symbol Company Shares Value Weight Change
1 NVDA NVIDIA CORPORATION History 3.13M $545.35M 8.56% New
2 AAPL APPLE INC History 1.10M $279.49M 4.39% New
3 IVV ISHARES TR History 305.88K $199.80M 3.14% New
4 GOOGL Alphabet Inc. Class C History 670.53K $192.82M 3.03% New
5 MSFT Microsoft Corporation History 497.81K $184.28M 2.89% New
6 LLY ELI LILLY & CO History 188.37K $173.26M 2.72% New
7 FLOT ISHARES FLOATING RATE BOND ETF History 3.13M $159.48M 2.50% New
8 AVGO Broadcom Inc. History 477.19K $147.70M 2.32% New
9 GSLC GOLDMAN SACHS ETF TR History 1.15M $144.49M 2.27% New
10 AMZN Amazon.com, Inc. History 673.76K $140.32M 2.20% New
11 IWR ISHARES TR History 1.35M $131.32M 2.06% New
12 JPM JPMorgan Chase & Co. History 394.14K $115.94M 1.82% New
13 META Meta Platforms, Inc. History 200.35K $114.63M 1.80% New
14 WMT Walmart Inc. History 880.27K $109.40M 1.72% New
15 EMLP FIRST TR EXCHANGE-TRADED FD History 2.47M $108.06M 1.70% New
16 SPY STATE STR SPDR S&P 500 ETF T History 161.42K $104.98M 1.65% New
17 JFLX J P MORGAN EXCHANGE TRADED F History 2.09M $104.05M 1.63% New
18 ABBV AbbVie Inc. History 421.26K $91.62M 1.44% New
19 TCHP T ROWE PRICE EXCHANGE-TRADED History 2.06M $91.07M 1.43% New
20 MA MASTERCARD INCORPORATED History 180.14K $90.01M 1.41% New
21 IJR ISHARES TR History 695.13K $86.41M 1.36% New
22 GS GOLDMAN SACHS GROUP INC History 99.45K $84.14M 1.32% New
23 PG PROCTER & GAMBLE CO History 460.48K $66.51M 1.04% New
24 BRKB BERKSHIRE HATHAWAY INC DEL History 127.79K $61.24M 0.96% New
25 ISRG INTUITIVE SURGICAL INC History 123.23K $56.81M 0.89% New
26 AVLV AMERICAN CENTY ETF TR History 700.09K $56.43M 0.89% New
27 LOW LOWES COS INC History 219.65K $51.90M 0.81% New
28 CVX CHEVRON CORPORATION History 246.57K $51.02M 0.80% New
29 XOM EXXONMOBIL HOLDINGS CORP History 290.69K $49.32M 0.77% New
30 BA BOEING CO COM History 243.40K $48.44M 0.76% New
31 VNQ VANGUARD INDEX FDS History 544.56K $48.30M 0.76% New
32 CAT CATERPILLAR INC History 67.91K $48.11M 0.76% New
33 MRK Merck & Co., Inc. History 376.89K $45.34M 0.71% New
34 ORCL ORACLE CORP History 293.37K $43.16M 0.68% New
35 HON HONEYWELL INTL INC History 176.86K $39.98M 0.63% New
36 AVUS AMERICAN CENTY ETF TR History 350.33K $38.95M 0.61% New
37 IBM INTERNATIONAL BUSINESS MACHS History 156.22K $37.87M 0.59% New
38 JNJ Johnson & Johnson History 152.56K $37.29M 0.58% New
39 CSMD CONGRESS SMID GROWTH ETF History 1.21M $37.23M 0.58% New
40 AVUV AMERICAN CENTY ETF TR History 332.82K $36.77M 0.58% New
41 CSCO Cisco Systems, Inc. History 470.40K $36.50M 0.57% New
42 LMT LOCKHEED MARTIN CORP History 58.93K $35.62M 0.56% New
43 KO COCA COLA CO History 458.43K $34.86M 0.55% New
44 GOOG ALPHABET INC History 119.21K $34.20M 0.54% New
45 MCD MCDONALDS CORP History 109.60K $34.06M 0.54% New
46 ECL Ecolab Inc. History 126.27K $33.59M 0.53% New
47 UNP UNION PAC CORP History 136.27K $33.06M 0.52% New
48 ALL ALLSTATE CORP History 142.76K $29.60M 0.47% New
49 C CITIGROUP INC History 259.10K $29.38M 0.46% New
50 NEE Nextera Energy, Inc. History 302.90K $28.13M 0.44% New