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Bank Of New Hampshire - Q4 2025 13F Filings

BA

Bank Of New Hampshire

CIK: 0001870761
Address: New Hampshire Laconia 62 Pleasant Street
$444.7 M
Portfolio Value
462
Assets Held
Reporting Period: Q4 2025
Filing Status:
Active
Last Updated: 03/16/2026

Portfolio Summary (Q4 2025)

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Asset Allocation

Stocks/ETFs
+2.46%
$444.67 M 99.99%
Options
$0 0.00%
Debt
$0 0.00%
Other
-80.30%
$29,131 0.01%

Sector Allocation (Stocks)

Bank Of New Hampshire Q4 2025 Filing Summary

Bank Of New Hampshire filed its 13F report for Q4 2025 on March 16, 2026. The portfolio totaled 444.7 M reflecting a +2.43% change from the prior quarter, spanning 462 assets. The top 10 holdings comprised 30.3% of the portfolio, with Financials as the largest sector allocation. Quarterly activity included 18 new positions and 11 complete exits.

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Issuer Name Class Value Shares Option Type

FAQs for Bank Of New Hampshire’s Q4 2025 Filing

Bank Of New Hampshire submitted their Form 13F-HR for the Q4 2025 period on 03/16/2026. This was the only submission for the quarter.

In the Q4 2025 filing, Bank Of New Hampshire reported a managed portfolio value of 444.7 M, consisting of 462 individual positions.

This page displays the raw filing documents. To see which stocks Bank Of New Hampshire bought or sold during Q4 2025, please visit Bank Of New Hampshire's Portfolio Analysis page.