SEC 13F Intelligence

Philadelphia Trust Co / PANW

Philadelphia Trust Co’s Palo Alto Networks Inc Position

Does Philadelphia Trust Co own Palo Alto Networks Inc (PANW)? Yes130.6K shares worth $21M (+1.48% of its 13F portfolio) as of Q1 2026, down from 132.5K shares the prior filed quarter.

Position Value
$21M
Q1 2026
Shares
130.6K
% of Portfolio
+1.48%
Quarters Held
27
currently held

Position History PANW

Reported value by quarter
Q2 ’19: $6MQ2 ’19Q3 ’19: $6MQ1 ’20: $820,000Q2 ’20: $7MQ3 ’20: $1MQ3 ’20Q4 ’20: $11MQ1 ’21: $10MQ2 ’21: $12MQ3 ’21: $14MQ3 ’21Q4 ’21: $16MQ1 ’22: $2MQ2 ’22: $2MQ3 ’22: $2MQ3 ’22Q4 ’22: $2MQ1 ’23: $2MQ2 ’23: $3MQ3 ’23: $3MQ3 ’23Q4 ’23: $15MQ1 ’24: $20MQ2 ’24: $26MQ3 ’24: $26MQ3 ’24Q4 ’24: $27MQ1 ’25: $24MQ2 ’25: $28MQ3 ’25: $27MQ3 ’25Q4 ’25: $24MQ1 ’26: $21Mfilingsflow.com
QuarterSharesValue% of Portfolio
Q1 2026130.6K$21M+1.48%
Q4 2025132.5K$24M+1.68%
Q3 2025134.4K$27M+1.93%
Q2 2025138.6K$28M+2.18%
Q1 2025139.8K$24M+2.04%
Q4 2024150.4K$27M+2.01%
Q3 202476.8K$26M+1.90%
Q2 202477.0K$26M+2.03%
Q1 202468.9K$20M+1.57%
Q4 202352.5K$15M+1.45%
Q3 202314.0K$3M+0.34%
Q2 202312.0K$3M+0.29%
Q1 202312.0K$2M+0.24%
Q4 202212.0K$2M+0.18%
Q3 202212.0K$2M+0.22%
Q2 20224.0K$2M+0.20%
Q1 20224.0K$2M+0.20%
Q4 202129.1K$16M+1.17%
Q3 202130.2K$14M+1.07%
Q2 202131.2K$12M+0.80%
Q1 202132.1K$10M+0.79%
Q4 202029.8K$11M+0.86%
Q3 20205.0K$1M+0.12%
Q2 202032.1K$7M+0.78%
Q1 20205.0K$820,000+0.10%
Q3 201929.4K$6M+0.56%
Q2 201931.0K$6M+0.56%

Common-stock position only; options are excluded. Quarters where the fund filed no 13F or reported no position are absent. See Philadelphia Trust Co’s full portfolio or all institutional holders of PANW.