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NPKNPK
30 quarters

Position history for NORTHERN TRUST CORPNORTHERN TRUST CORP's holdings in NATIONAL PRESTO INDS INC

NORTHERN TRUST CORP holds 52,778 shares of NPK (NATIONAL PRESTO INDS INC), worth $6.6M as of 2026-Q2. The position was increased (+9.6% shares). NPK represents 0.0% of NORTHERN TRUST CORP's portfolio.

Current Value

$6.6M

Current Shares

52,778

Total Value Change

-$275,278

Total Shares Change

-10,538

Quarter-by-Quarter History
QuarterActionSharesChangeValueWeightPriceConviction
2026-Q2
Latest
Increased
52,778
+9.6%
$6.6M0.0%$124.99
30
2026-Q1
Increased
48,141
+4.9%
$6.6M0.0%$136.90
29
2025-Q4
Decreased
45,892
-7.3%
$4.9M0.0%$106.80
0
2025-Q3
Decreased
49,514
-0.2%
$5.6M0.0%$109.74
0
2025-Q2
Decreased
49,593
-4.3%
$4.9M0.0%$97.92
0
2025-Q1
Decreased
51,849
-3.0%
$4.6M0.0%$87.85
0
2024-Q4
Increased
53,470
+3.0%
$5.3M0.0%$96.40
28
2024-Q3
Increased
51,923
+0.1%
$3.9M0.0%$73.68
27
2024-Q2
Decreased
51,879
-2.2%
$3.9M0.0%$74.37
0
2024-Q1
Decreased
53,024
-2.4%
$4.4M0.0%$82.96
0
2023-Q4
Decreased
54,326
-0.8%
$4.4M0.0%$74.97
0
2023-Q3
Increased
54,749
+0.9%
$4M0.0%$67.67
27
2023-Q2
Increased
54,277
+0.2%
$4M0.0%$68.16
27
2023-Q1
Decreased
54,188
-3.3%
$3.9M0.0%$65.66
0
2022-Q4
Increased
56,040
+1.0%
$3.8M0.0%$60.56
27
2022-Q3
Increased
55,500
+2.0%
$3.6M0.0%$57.02
27
2022-Q2
Decreased
54,401
-0.8%
$3.6M0.0%$56.90
0
2022-Q1
Decreased
54,826
-3.8%
$4.2M0.0%$69.14
0
2021-Q4
Decreased
56,960
-0.7%
$4.7M0.0%$68.52
0
2021-Q3
Decreased
57,383
-3.5%
$4.7M0.0%$69.38
0
2021-Q2
Decreased
59,475
-2.0%
$6M0.0%$84.82
0
2021-Q1
Decreased
60,704
-6.3%
$6.2M0.0%$85.30
0
2020-Q4
Decreased
64,805
-4.4%
$5.7M0.0%$69.23
0
2020-Q3
Decreased
67,796
-3.9%
$5.6M0.0%$64.12
0
2020-Q2
Increased
70,563
+5.9%
$6.2M0.0%$67.63
29
2020-Q1
Decreased
66,633
-1.8%
$4.7M0.0%$55.36
0
2019-Q4
Increased
67,833
+1.4%
$6M0.0%$65.19
27
2019-Q3
Increased
66,921
+3.8%
$6M0.0%$65.51
28
2019-Q2
Increased
64,451
+1.8%
$6M0.0%$68.63
28
2019-Q1
New
63,316
-
$6.9M0.0%$79.86
38

Other major holders of NPK: BNP PARIBAS FINANCIAL MARKETS, BlackRock, Inc.

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