HoldingsChannel.com
All Stocks Held By Farmers & Merchants Trust Co of Chambersburg PA
As of  12/31/2023, we find all stocks held by Farmers & Merchants Trust Co of Chambersburg PA to be as follows, presented in the table below with each row detailing each Farmers & Merchants Trust Co of Chambersburg PA position, ordered by largest to smallest position size. The all-stocks-held-by-Farmers & Merchants Trust Co of Chambersburg PA table shows the entity held in the first column (click any entity to explore other funds holding positions), the share amount held, the share count change between the last two reporting periods, and finally the position size for all stocks held by Farmers & Merchants Trust Co of Chambersburg PA as of the latest filing.

   EntityAmountChange
 09/30/2023 to 12/31/2023
Position Size
($ in 1000's)
Microsoft Corp 17,084 -1,209 $6,424
     MSFT17,084-1,209$6,424
Vanguard Index Fds (VBR) 26,370 +25,252 $4,746
     VBR26,370+25,252$4,746
Vanguard Index Fds (VBK) 19,467 +19,037 $4,707
     VBK19,467+19,037$4,707
Vanguard Index Fds (VOE) 32,299 +30,410 $4,684
     VOE32,299+30,410$4,684
Chevron Corp New 30,006 -79 $4,476
     CVX30,006-79$4,476
Ishares Tr (EFV) 84,077 +82,440 $4,380
     EFV84,077+82,440$4,380
Vanguard Index Fds (VOT) 19,727 +19,727 $4,331
     VOT19,727+19,727$4,331
Apple Inc 22,248 -918 $4,283
     AAPL22,248-918$4,283
Johnson & Johnson 26,515 +668 $4,156
     JNJ26,515+668$4,156
JPMorgan Chase & Co 23,985 -533 $4,080
     JPM23,985-533$4,080
Pepsico Inc 23,135 +196 $3,929
     PEP23,135+196$3,929
Vanguard Bd Index Fds (BIV) 50,410 +49,524 $3,850
     BIV50,410+49,524$3,850
SPDR Gold Tr (GLD) 19,259 -591 $3,682
     GLD19,259-591$3,682
Nvidia Corporation 7,310 -1,960 $3,620
     NVDA7,310-1,960$3,620
Visa Inc 13,698 -584 $3,566
     V13,698-584$3,566
Walmart Inc 22,393 -1,806 $3,530
     WMT22,393-1,806$3,530
Qualcomm Inc 23,505 +1,389 $3,400
     QCOM23,505+1,389$3,400
Broadcom Inc 2,991 +71 $3,339
     AVGO2,991+71$3,339
Dicks Sporting Goods Inc 20,562 -2,672 $3,022
     DKS20,562-2,672$3,022
United Parcel Service Inc 19,003 +746 $2,988
     UPS19,003+746$2,988
Alphabet Inc 21,232 -1,667 $2,966
     GOOGL21,232-1,667$2,966
Nucor Corp 16,901 +142 $2,941
     NUE16,901+142$2,941
Select Sector SPDR Tr (XLF) 76,286 +3,037 $2,868
     XLF76,286+3,037$2,868
Select Sector SPDR Tr (XLE) 33,952 +3,335 $2,847
     XLE33,952+3,335$2,847
Select Sector SPDR Tr (XLRE) 70,116 +9,810 $2,809
     XLRE70,116+9,810$2,809
Amazon Com Inc 17,129 -1,598 $2,603
     AMZN17,129-1,598$2,603
Select Sector SPDR Tr (XLI) 22,601 +2,671 $2,576
     XLI22,601+2,671$2,576
J PMorgan Exchange Traded F (JEPI) 45,595 +20,530 $2,507
     JEPI45,595+20,530$2,507
Select Sector SPDR Tr (XLK) 12,550 +614 $2,416
     XLK12,550+614$2,416
Air Products & Chems Inc 8,804 -178 $2,411
     APD8,804-178$2,411
Travelers Companies Inc 12,365 +31 $2,355
     TRV12,365+31$2,355
Select Sector SPDR Tr (XLV) 17,055 +3,355 $2,326
     XLV17,055+3,355$2,326
Eaton Corp PLC 9,525 +62 $2,294
     ETN9,525+62$2,294
Select Sector SPDR Tr (XLU) 35,186 +1,500 $2,228
     XLU35,186+1,500$2,228
CVS Health Corp 27,847 +9,435 $2,199
     CVS27,847+9,435$2,199
Select Sector SPDR Tr (XLY) 12,070 +128 $2,158
     XLY12,070+128$2,158
Procter And Gamble Co 14,397 -80 $2,110
     PG14,397-80$2,110
Oracle Corp 18,999 -4,205 $2,003
     ORCL18,999-4,205$2,003
Abbvie Inc 12,682 +184 $1,965
     ABBV12,682+184$1,965
WisdomTree tr 42,340 +16,155 $1,935
     DON42,340+16,155$1,935
SPDR S&P 500 ETF TR (SPY) 3,916 -315 $1,861
     SPY3,916-315$1,861
Elevance Health Inc 3,846 -103 $1,814
     ELV3,846-103$1,814
MetLife Inc 26,707 +191 $1,766
     MET26,707+191$1,766
Northrop Grumman Corp 3,733 -247 $1,748
     NOC3,733-247$1,748
Intercontinental Exchange In (ICE) 13,084 -851 $1,680
     ICE13,084-851$1,680
Valero Energy Corp 12,619 +315 $1,640
     VLO12,619+315$1,640
PPL Corp 59,699 +1,377 $1,618
     PPL59,699+1,377$1,618
Select Sector SPDR Tr (XLP) 21,614 -1,085 $1,557
     XLP21,614-1,085$1,557
iShares Tr (EFA) 19,329 +6,930 $1,456
     EFA19,329+6,930$1,456
SPDR Ser Tr (XTL) 17,056 -11,010 $1,364
     XTL17,056-11,010$1,364
Costco Whsl Corp New 2,050 +1,971 $1,353
     COST2,050+1,971$1,353
Franklin Finl Svcs Corp 41,689 +39,862 $1,315
     FRAF41,689+39,862$1,315
Archer Daniels Midland Co 18,161 +1,783 $1,312
     ADM18,161+1,783$1,312
NextEra Energy Inc 20,896 -862 $1,269
     NEE20,896-862$1,269
Select Sector SPDR Tr (XLC) 17,429 +16,029 $1,266
     XLC17,429+16,029$1,266
Blackrock Inc 1,552 +4 $1,260
     BLK1,552+4$1,260
General Mls Inc 18,562 -771 $1,209
     GIS18,562-771$1,209
Bristol Myers Squibb Co 21,978 +1,633 $1,128
     BMY21,978+1,633$1,128
Johnson Ctls Intl PLC 19,178 +1,119 $1,105
     JCI19,178+1,119$1,105
Exxon Mobil Corp 11,001 -41 $1,100
     XOM11,001-41$1,100
Crown Castle Inc 9,416 -9,308 $1,085
     CCI9,416-9,308$1,085
Public Svc Enterprise Grp In 17,632 -250 $1,078
     PEG17,632-250$1,078
Vanguard Index Fds (VO) 4,336 -1,176 $1,009
     VO4,336-1,176$1,009
Southern Co 13,966 +685 $979
     SO13,966+685$979
WisdomTree tr 19,075 +7,515 $952
     DGS19,075+7,515$952
Pfizer Inc 32,685 -1,598 $941
     PFE32,685-1,598$941
Phillips 66 6,694 -582 $891
     PSX6,694-582$891
Medtronic PLC 10,285 +483 $847
     MDT10,285+483$847
Home Depot Inc 2,369 +150 $821
     HD2,369+150$821
Merck & Co Inc 7,449 +12 $812
     MRK7,449+12$812
Select Sector SPDR Tr (XLB) 9,384 +8,884 $803
     XLB9,384+8,884$803
Coca Cola Co 13,428 UNCH $791
     KO13,428UNCH$791
Applied Matls Inc 4,715 -10 $764
     AMAT4,715-10$764
FMC Corp 10,819 -3,503 $682
     FMC10,819-3,503$682
Norfolk Southn Corp 2,488 +76 $588
     NSC2,488+76$588
Mastercard Incorporated 1,371 +71 $585
     MA1,371+71$585
Abbott Labs 5,179 +250 $570
     ABT5,179+250$570
iShares Tr (IWR) 6,396 -1,360 $497
     IWR6,396-1,360$497
SPDR Ser Tr (SPYV) 10,286 +3,506 $480
     SPYV10,286+3,506$480
Waste Mgmt Inc Del 2,456 -125 $440
     WM2,456-125$440
CSX Corp 11,841 UNCH $411
     CSX11,841UNCH$411
Lowes Cos Inc 1,804 -235 $401
     LOW1,804-235$401
Qorvo Inc 3,347 UNCH $377
     QRVO3,347UNCH$377
Eli Lilly & Co 627 +15 $365
     LLY627+15$365
iShares Tr (ITOT) 3,340 -193 $351
     ITOT3,340-193$351
UnitedHealth Group Inc 627 -55 $330
     UNH627-55$330
Meta Platforms Inc 908 -75 $321
     META908-75$321
Equinix Inc 390 -110 $314
     EQIX390-110$314
ConocoPhillips 2,640 UNCH $306
     COP2,640UNCH$306
iShares Tr (IVV) 635 -50 $303
     IVV635-50$303
Marathon Pete Corp 2,014 -76 $299
     MPC2,014-76$299
Philip Morris Intl Inc 3,165 +150 $298
     PM3,165+150$298
Lockheed Martin Corp 630 UNCH $286
     LMT630UNCH$286
Kimberly Clark Corp 2,229 -42 $271
     KMB2,229-42$271
Exelon Corp 7,235 -667 $260
     EXC7,235-667$260
Steel Dynamics Inc 2,150 +630 $254
     STLD2,150+630$254
Chubb Limited 1,100 UNCH $249
     CB1,100UNCH$249
International Business Machs 1,468 +14 $240
     IBM1,468+14$240
Union Pac Corp 962 -65 $236
     UNP962-65$236
Prudential Finl Inc 2,259 +75 $234
     PRU2,259+75$234
Accenture Plc Ireland 633 +138 $222
     ACN633+138$222
SPDR Ser Tr (SPYG) 3,402 +821 $221
     SPYG3,402+821$221
Duke Energy Corp New 2,257 -125 $219
     DUK2,257-125$219
BHP Group LTD 3,134 UNCH $214
     BHP3,134UNCH$214
Orrstown Finl Svcs Inc 7,242 UNCH $214
     ORRF7,242UNCH$214
iShares Tr (IJR) 1,972 UNCH $213
     IJR1,972UNCH$213
Bank New York Mellon Corp 4,059 +94 $211
     BK4,059+94$211
Constellation Energy Corp 1,801 -166 $211
     CEG1,801-166$211
Blackrock Tax Municipal Bd Tr 12,882 UNCH $209
     BBN12,882UNCH$209
Digital Rlty Tr Inc 1,550 UNCH $209
     DLR1,550UNCH$209
Sysco Corp 2,841 -31 $208
     SYY2,841-31$208
McDonalds Corp 690 +25 $205
     MCD690+25$205
Carrier Global Corporation 3,534 UNCH $203
     CARR3,534UNCH$203
Alphabet Inc 1,421 +121 $200
     GOOG1,421+121$200
Skyworks Solutions Inc 1,774 -28 $199
     SWKS1,774-28$199
Danaher Corporation 844 UNCH $195
     DHR844UNCH$195
WEC Energy Group Inc 2,300 -139 $194
     WEC2,300-139$194
iShares Tr (IWP) 1,808 +245 $189
     IWP1,808+245$189
Gaming & Leisure Pptys Inc 3,799 UNCH $188
     GLPI3,799UNCH$188
Reliance Steel & Aluminum Co 670 UNCH $187
     RS670UNCH$187
Aflac Inc 2,200 UNCH $182
     AFL2,200UNCH$182
Illinois Tool Wks Inc 685 UNCH $179
     ITW685UNCH$179
Cisco Sys Inc 3,512 +1,480 $177
     CSCO3,512+1,480$177
Berkshire Hathaway Inc Del      $170
     BRK.B477UNCH$170
Vanguard World Fds (VGT) 350 UNCH $169
     VGT350UNCH$169
M & T Bk Corp 1,196 -64 $164
     MTB1,196-64$164
RTX Corporation 1,915 -100 $161
     RTX1,915-100$161
Verizon Communications Inc 4,186 +575 $158
     VZ4,186+575$158
Amgen Inc 534 +146 $154
     AMGN534+146$154
Comcast Corp New 3,521 -286 $154
     CMCSA3,521-286$154
SPDR Ser Tr (SDY) 1,202 UNCH $150
     SDY1,202UNCH$150
Disney Walt Co 1,585 -248 $143
     DIS1,585-248$143
Altria Group Inc 3,550 +300 $143
     MO3,550+300$143
American Express Co 758 UNCH $142
     AXP758UNCH$142
Hershey Co 754 +54 $141
     HSY754+54$141
Mondelez Intl Inc 1,945 UNCH $141
     MDLZ1,945UNCH$141
Otis Worldwide Corp 1,538 UNCH $138
     OTIS1,538UNCH$138
Enterprise Prods Partners L 5,000 UNCH $132
     EPD5,000UNCH$132
Vertex Pharmaceutials Inc 313 +313 $127
     VRTX313+313$127
Boeing Co 471 UNCH $123
     BA471UNCH$123
Ishares Tr (EFG) 1,260 +505 $122
     EFG1,260+505$122
Sunoco LP Sunoco Fin Corp 2,000 UNCH $120
     SUN2,000UNCH$120
Arista Networks Inc 500 UNCH $118
     ANET500UNCH$118
Starbucks Corp 1,183 +850 $114
     SBUX1,183+850$114
Vulcan Matls Co 483 UNCH $110
     VMC483UNCH$110
Dominion Energy Inc 2,294 UNCH $108
     D2,294UNCH$108
Fastenal Co 1,670 UNCH $108
     FAST1,670UNCH$108
Penn Entertainment Inc 4,100 UNCH $107
     PENN4,100UNCH$107
Schlumberger Ltd 1,998 +189 $104
     SLB1,998+189$104
Xcel Energy Inc 1,685 UNCH $104
     XEL1,685UNCH$104
Cummins Inc 427 UNCH $102
     CMI427UNCH$102
Intuit 162 UNCH $101
     INTU162UNCH$101
GSK PLC 2,692 -120 $100
     GSK2,692-120$100
Ollies Bargain Outlet Hldgs 1,300 -200 $99
     OLLI1,300-200$99
Constellation Brands Inc 406 -200 $98
     STZ406-200$98
Allstate Corp 683 UNCH $96
     ALL683UNCH$96
Invesco QQQ Tr 223 +123 $91
     QQQ223+123$91
Analog Devices Inc 454 +209 $90
     ADI454+209$90
Suburban Propane Partners L 5,000 UNCH $89
     SPH5,000UNCH$89
Becton Dickinson & Co 359 +104 $88
     BDX359+104$88
Deere & Co 220 UNCH $88
     DE220UNCH$88
Marathon Oil Corp 3,631 UNCH $88
     MRO3,631UNCH$88
Campbell Soup Co 2,000 UNCH $86
     CPB2,000UNCH$86
Thermo Fisher Scientific Inc 154 +47 $82
     TMO154+47$82
Target Corp 570 -8,580 $81
     TGT570-8,580$81
Vanguard World Fds (VHT) 325 UNCH $81
     VHT325UNCH$81
Wells Fargo Co New 1,595 +19 $79
     WFC1,595+19$79
Shopify Inc 1,000 UNCH $78
     SHOP1,000UNCH$78
Flex Ltd 2,515 +2,515 $77
     FLEX2,515+2,515$77
Honeywell Intl Inc 364 +94 $76
     HON364+94$76
Vanguard World Fds (VFH) 825 UNCH $76
     VFH825UNCH$76
Ameriprise Finl Inc 198 UNCH $75
     AMP198UNCH$75
General Dynamics Corp 284 UNCH $74
     GD284UNCH$74
Bank America Corp 2,153 +772 $72
     BAC2,153+772$72
iShares Tr (FLOT) 1,407 +550 $71
     FLOT1,407+550$71
Paychex Inc 595 +332 $71
     PAYX595+332$71
Automatic Data Processing In 299 UNCH $70
     ADP299UNCH$70
Edison Intl 965 UNCH $69
     EIX965UNCH$69
Pembina Pipeline Corp 2,000 UNCH $69
     PBA2,000UNCH$69
Ross Stores Inc 500 UNCH $69
     ROST500UNCH$69
Shell PLC 1,048 +200 $69
     SHEL1,048+200$69
Nuveen Pfd & Income Opportun 10,089 +10,089 $68
     JPC10,089+10,089$68
Nike Inc 630 -145 $68
     NKE630-145$68
Nuveen Taxable Municpal Inm 4,113 UNCH $65
     NBB4,113UNCH$65
Southwest Airls Co 2,115 +415 $61
     LUV2,115+415$61
TJX Cos Inc New 648 +248 $61
     TJX648+248$61
Vanguard Scottsdale Fds (VCSH) 771 UNCH $60
     VCSH771UNCH$60
Ferrari N V 175 UNCH $59
     RACE175UNCH$59
Alibaba Group Hldg Ltd 750 UNCH $58
     BABA750UNCH$58
WisdomTree tr 880 -200 $58
     DLN880-200$58
Nuveen Pennsylvania Qlt Mun 5,000 UNCH $58
     NQP5,000UNCH$58
Palo Alto Networks Inc 195 UNCH $58
     PANW195UNCH$58
Adobe Inc 95 UNCH $57
     ADBE95UNCH$57
National Beverage Corp 1,132 UNCH $56
     FIZZ1,132UNCH$56
Emerson Elec Co 560 +102 $55
     EMR560+102$55
FirstEnergy Corp 1,506 -166 $55
     FE1,506-166$55
Intel Corp 1,095 +640 $55
     INTC1,095+640$55
Salesforce Inc 207 +79 $54
     CRM207+79$54
Colgate Palmolive Co 670 UNCH $53
     CL670UNCH$53
iShares Tr (IWM) 264 -682 $53
     IWM264-682$53
iShares Tr (IWO) 211 UNCH $53
     IWO211UNCH$53
American Wtr Wks Co Inc New 389 +19 $51
     AWK389+19$51
Lam Research Corp 65 UNCH $51
     LRCX65UNCH$51
Ishares Tr (MXI) 584 UNCH $51
     MXI584UNCH$51
iShares Tr (IWF) 166 UNCH $50
     IWF166UNCH$50
AES Corp 2,525 UNCH $49
     AES2,525UNCH$49
iShares Tr (DVY) 418 -250 $49
     DVY418-250$49
PNC Finl Svcs Group Inc 319 UNCH $49
     PNC319UNCH$49
Truist Finl Corp 1,333 +323 $49
     TFC1,333+323$49
Vishay Intertechonology Inc 2,017 +2,017 $48
     VSH2,017+2,017$48
Darden Restaurants Inc 288 +83 $47
     DRI288+83$47
International Paper Co 1,300 UNCH $47
     IP1,300UNCH$47
Totalenergies SE 656 UNCH $44
     TTE656UNCH$44
Corning Inc 1,422 +1,422 $43
     GLW1,422+1,422$43
T Mobile US Inc 269 UNCH $43
     TMUS269UNCH$43
Tyson Foods Inc 800 UNCH $43
     TSN800UNCH$43
iShares Tr (REET) 1,700 -300 $41
     REET1,700-300$41
Stmicroelectronics N V 800 +800 $40
     STM800+800$40
Annaly Capital Management In 2,000 UNCH $39
     NLY2,000UNCH$39
PPG Inds Inc 260 +60 $39
     PPG260+60$39
AT&T Inc 2,322 +606 $39
     T2,322+606$39
iShares Tr (IWB) 145 UNCH $38
     IWB145UNCH$38
iShares Tr (AGG) 368 -1,940 $37
     AGG368-1,940$37
Dell Technologies Inc 488 +400 $37
     DELL488+400$37
Ishares Tr (HYG) 477 +187 $37
     HYG477+187$37
Sanofi 746 +400 $37
     SNY746+400$37
Tapestry Inc 1,000 UNCH $37
     TPR1,000UNCH$37
Vanguard Bd Index Fds (BND) 475 UNCH $35
     BND475UNCH$35
Kinder Morgan Inc Del 2,000 UNCH $35
     KMI2,000UNCH$35
HP Inc 1,126 +1,126 $34
     HPQ1,126+1,126$34
Texas Instrs Inc 200 +200 $34
     TXN200+200$34
United Rentals Inc 55 UNCH $32
     URI55UNCH$32
Fortive Corp 419 UNCH $31
     FTV419UNCH$31
Uber Technologies Inc 500 UNCH $31
     UBER500UNCH$31
Vanguard Intl Equity Index F (VWO) 750 -590 $31
     VWO750-590$31
CBOE Global Mkts Inc 166 +166 $30
     CBOE166+166$30
Omnicom Group Inc 343 UNCH $30
     OMC343UNCH$30
Prospect Cap Corp 5,000 UNCH $30
     PSEC5,000UNCH$30
Trane Technologies PLC 125 UNCH $30
     TT125UNCH$30
CBRE Group Inc 300 UNCH $28
     CBRE300UNCH$28
Haleon PLC 3,366 -150 $28
     HLN3,366-150$28
Leidos Holdings Inc 263 +263 $28
     LDOS263+263$28
Taiwan Semiconductor Mfg Ltd 270 -200 $28
     TSM270-200$28
Blackrock Res & Commodities 3,000 UNCH $27
     BCX3,000UNCH$27
Occidental Pete Corp 444 UNCH $27
     OXY444UNCH$27
Stryker Corporation 91 +61 $27
     SYK91+61$27
Uranium Energy Corp 4,221 +4,221 $27
     UEC4,221+4,221$27
Autozone Inc 10 UNCH $26
     AZO10UNCH$26
Seagate Technology Hldngs PL 301 +301 $26
     STX301+301$26
Standex Intl Corp 162 +162 $26
     SXI162+162$26
iShares Tr (TLT) 258 +105 $26
     TLT258+105$26
Vanguard Tax Managed Fds (VEA) 539 -881 $26
     VEA539-881$26
Vanguard Index Fds (VTV) 175 UNCH $26
     VTV175UNCH$26
Ashland Inc 300 UNCH $25
     ASH300UNCH$25
Paypal Hldgs Inc 400 +400 $25
     PYPL400+400$25
Astrazeneca PLC 348 UNCH $23
     AZN348UNCH$23
Chemours Co 732 UNCH $23
     CC732UNCH$23
Goldman Sachs ETF Tr (GSEW) 350 -550 $23
     GSEW350-550$23
Vanguard Mun Bd Fds (VTEB) 453 UNCH $23
     VTEB453UNCH$23
ASML Holding N V 29 UNCH $22
     ASML29UNCH$22
CACI Intl Inc 68 +68 $22
     CACI68+68$22
Caterpillar Inc 75 -275 $22
     CAT75-275$22
Emcor Group Inc 100 +100 $22
     EME100+100$22
The Trade Desk Inc 300 UNCH $22
     TTD300UNCH$22
UFP Industries Inc 174 +174 $22
     UFPI174+174$22
Nuveen Amt Free Qlty Mun Inc 1,885 +1,885 $21
     NEA1,885+1,885$21
Ford Mtr Co Del 1,654 +663 $20
     F1,654+663$20
Huntsman Corp 783 +783 $20
     HUN783+783$20
Morgan Stanley 210 -550 $20
     MS210-550$20
Zimmer Biomet Holdings Inc 165 UNCH $20
     ZBH165UNCH$20
BP PLC 545 +250 $19
     BP545+250$19
DuPont de Nemours Inc 250 +137 $19
     DD250+137$19
iShares Tr (IEMG) 375 -530 $19
     IEMG375-530$19
Raymond James Finl Inc 174 +174 $19
     RJF174+174$19
Schwab Charles Corp 273 +158 $19
     SCHW273+158$19
Badger Meter Inc 119 +119 $18
     BMI119+119$18
Ebay Inc. 405 +405 $18
     EBAY405+405$18
Merit Med Sys Inc 231 +231 $18
     MMSI231+231$18
iShares Tr (IYZ) 750 UNCH $17
     IYZ750UNCH$17
iShares Tr (LQD) 150 UNCH $17
     LQD150UNCH$17
Maximus Inc 206 +206 $17
     MMS206+206$17
Nordson Corp 65 +65 $17
     NDSN65+65$17
PTC Inc 99 +99 $17
     PTC99+99$17
TE Connectivity Ltd 118 UNCH $17
     TEL118UNCH$17
Toyota Motor Corp 94 UNCH $17
     TM94UNCH$17
Brady Corp 269 +269 $16
     BRC269+269$16
Citigroup Inc 316 UNCH $16
     C316UNCH$16
Chesapeake Utils Corp 150 +150 $16
     CPK150+150$16
Fifth Third Bancorp 475 UNCH $16
     FITB475UNCH$16
Keycorp 1,126 UNCH $16
     KEY1,126UNCH$16
Keysight Technologies Inc 100 +100 $16
     KEYS100+100$16
KLA Corp 27 +27 $16
     KLAC27+27$16
Steris PLC 74 +74 $16
     STE74+74$16
Agilent Technologies Inc 107 +107 $15
     A107+107$15
Blackstone Inc 117 -125 $15
     BX117-125$15
Church & Dwight Co Inc 158 +158 $15
     CHD158+158$15
Vanguard Index Fds (VNQ) 175 UNCH $15
     VNQ175UNCH$15
ABM Inds Inc 319 +319 $14
     ABM319+319$14
Dow Inc 261 UNCH $14
     DOW261UNCH$14
Consolidated Edison Inc 150 +150 $14
     ED150+150$14
Edwards Lifesciences Corp 186 UNCH $14
     EW186UNCH$14
Freeport McMoran Inc 327 UNCH $14
     FCX327UNCH$14
Fiserv Inc 103 +103 $14
     FI103+103$14
Putnam Master Inter Income T 4,500 +1,500 $14
     PIM4,500+1,500$14
Science Applications Intl Co 109 +109 $14
     SAIC109+109$14
State Str Corp 180 UNCH $14
     STT180UNCH$14
Williams Cos Inc 397 UNCH $14
     WMB397UNCH$14
Xylem Inc 121 UNCH $14
     XYL121UNCH$14
Camden Natl Corp 356 +356 $13
     CAC356+356$13
Infosys LTD 700 UNCH $13
     INFY700UNCH$13
Laboratory Corp Amer Hldgs 55 +55 $13
     LH55+55$13
Sony Group Corp 138 +100 $13
     SONY138+100$13
Brunswick Corp 125 +125 $12
     BC125+125$12
Bank Montreal Que 117 UNCH $12
     BMO117UNCH$12
Cirrus Logic Inc 139 +139 $12
     CRUS139+139$12
Dycom Inds Inc 100 +100 $12
     DY100+100$12
Quaker Houghton 56 +56 $12
     KWR56+56$12
Tilray Brands Inc 5,250 UNCH $12
     TLRY5,250UNCH$12
Price T Rowe Group Inc 112 UNCH $12
     TROW112UNCH$12
Vanguard World Fds (VDE) 100 UNCH $12
     VDE100UNCH$12
Veralto Corp 142 +142 $12
     VLTO142+142$12
Dollar Tree Inc 76 +57 $11
     DLTR76+57$11
Micron Technology Inc 130 +130 $11
     MU130+130$11
Rio Tinto Plc 152 UNCH $11
     RIO152UNCH$11
Sensient Technologies Corp 160 +160 $11
     SXT160+160$11
Tractor Supply Co 50 +50 $11
     TSCO50+50$11
United Bankshares Inc West V (UBSI) 295 UNCH $11
     UBSI295UNCH$11
Unilever PLC 234 UNCH $11
     UL234UNCH$11
Amedisys Inc 100 +100 $10
     AMED100+100$10
Aptiv PLC 108 +108 $10
     APTV108+108$10
Carlyle Group Inc 238 +238 $10
     CG238+238$10
Fidelity Covington Trust 70 UNCH $10
     FTEC70UNCH$10
Global Pmts Inc 78 +78 $10
     GPN78+78$10
Hess Corp 67 UNCH $10
     HES67UNCH$10
Masimo Corp 89 +89 $10
     MASI89+89$10
Novartis A G 101 UNCH $10
     NVS101UNCH$10
Nvent Electric PLC 170 UNCH $10
     NVT170UNCH$10
Vodafone Group PLC New 1,105 -1,017 $10
     VOD1,105-1,017$10
Vanguard Star Fds (VXUS) 165 UNCH $10
     VXUS165UNCH$10
Cameco Corp 203 +203 $9
     CCJ203+203$9
Diageo PLC 65 UNCH $9
     DEO65UNCH$9
Novo Nordisk A S 90 +90 $9
     NVO90+90$9
Royal Bk Cda 87 UNCH $9
     RY87UNCH$9
Sonos Inc 500 UNCH $9
     SONO500UNCH$9
Teleflex Incorporated 38 +38 $9
     TFX38+38$9
Toro Co 89 +89 $9
     TTC89+89$9
iShares Tr (EWJ) 129 +129 $8
     EWJ129+129$8
Newmont Corp 200 +200 $8
     NEM200+200$8
Old Rep Intl Corp 267 UNCH $8
     ORI267UNCH$8
American Intl Group Inc 97 UNCH $7
     AIG97UNCH$7
Advanced Micro Devices Inc 50 UNCH $7
     AMD50UNCH$7
Banco Bilbao Vizcaya Argenta 776 UNCH $7
     BBVA776UNCH$7
EOG Res Inc 61 +55 $7
     EOG61+55$7
ING Groep N. V. 441 UNCH $7
     ING441UNCH$7
Las Vegas Sands Corp 134 UNCH $7
     LVS134UNCH$7
Toronto Dominion Bk Ont 102 UNCH $7
     TD102UNCH$7
Tesla Inc 30 UNCH $7
     TSLA30UNCH$7
U S Physical Therapy 75 +75 $7
     USPH75+75$7
American Elec Pwr Co Inc 76 UNCH $6
     AEP76UNCH$6
Goldman Sachs Group Inc 15 UNCH $6
     GS15UNCH$6
Globalstar Inc 3,002 +3,002 $6
     GSAT3,002+3,002$6
Hewlett Packard Enterprise C 372 +372 $6
     HPE372+372$6
Hexcel Corp New 79 +79 $6
     HXL79+79$6
US Bancorp Del 147 UNCH $6
     USB147UNCH$6
VICI Pptys Inc 196 UNCH $6
     VICI196UNCH$6
Wheaton Precious Metals Corp 130 +130 $6
     WPM130+130$6
Bank Nova Scotia Halifax 100 UNCH $5
     BNS100UNCH$5
WisdomTree tr 97 UNCH $5
     DOL97UNCH$5
General Mtrs C 150 -1,000 $5
     GM150-1,000$5
Intuitive Surgical Inc 15 UNCH $5
     ISRG15UNCH$5
Lithium Americas Argentina C 788 +788 $5
     LAAC788+788$5
Lithium Amers Corp New 788 UNCH $5
     LAC788UNCH$5
Lamb Weston Hldgs Inc 50 +50 $5
     LW50+50$5
McCormick & Co Inc 79 +79 $5
     MKC79+79$5
National Grid Plc 76 UNCH $5
     NGG76UNCH$5
NRG Energy Inc 100 UNCH $5
     NRG100UNCH$5
Nutrien LTD 96 UNCH $5
     NTR96UNCH$5
Rogers Communications Inc 108 UNCH $5
     RCI108UNCH$5
V F Corp 250 +150 $5
     VFC250+150$5
Warner Bros Discovery Inc 476 +73 $5
     WBD476+73$5
Astec Inds Inc 119 +119 $4
     ASTE119+119$4
Baker Hughes Company 120 -52 $4
     BKR120-52$4
BRC Inc 1,000 UNCH $4
     BRCC1,000UNCH$4
Anheuser Busch Inbev SA NV 62 UNCH $4
     BUD62UNCH$4
Conagra Brands Inc 150 +150 $4
     CAG150+150$4
ChargePoint Holdings Inc 1,609 UNCH $4
     CHPT1,609UNCH$4
Enbridge Inc 100 +100 $4
     ENB100+100$4
Halliburton Co 100 +100 $4
     HAL100+100$4
Mosaic Co New 119 +119 $4
     MOS119+119$4
Invesco Exch Traded Fd Tr II (SPHD) 100 +100 $4
     SPHD100+100$4
Biocryst Pharmaceuticals Inc 500 UNCH $3
     BCRX500UNCH$3
British Amern Tob PLC 100 UNCH $3
     BTI100UNCH$3
EA Series Trust 100 UNCH $3
     DRLL100UNCH$3
Exchange Traded Concepts Tr (EMQQ) 100 -600 $3
     EMQQ100-600$3
Fidelity Covington Trust 60 UNCH $3
     FCOM60UNCH$3
Fidelity Covington Trust 50 UNCH $3
     FIDU50UNCH$3
Fidelity Covington Trust 60 UNCH $3
     FNCL60UNCH$3
General Electric Co 25 UNCH $3
     GE25UNCH$3
OReilly Automotive Inc 3 UNCH $3
     ORLY3UNCH$3
Pentair PLC 44 -3 $3
     PNR44-3$3
iShares Silver Trust (SLV) 155 UNCH $3
     SLV155UNCH$3
WPP PLC New 56 UNCH $3
     WPP56UNCH$3
Cencora Inc 12 UNCH $2
     ABC12UNCH$2
Carnival Corp 100 -100 $2
     CCL100-100$2
Canopy Growth Corp 445 -4,005 $2
     CGC445-4,005$2
Cognizant Technolgy Solutio 20 UNCH $2
     CTSH20UNCH$2
Discover Finl Svcs 15 UNCH $2
     DFS15UNCH$2
Fidelity Covington Trust 25 UNCH $2
     FDIS25UNCH$2
Fidelity Covington Trust 35 UNCH $2
     FMAT35UNCH$2
Fidelity Covington Trust 40 UNCH $2
     FSTA40UNCH$2
NIO Inc 200 UNCH $2
     NIO200UNCH$2
Plains All Amern Pipeline L 125 +125 $2
     PAA125+125$2
Paccar Inc 24 UNCH $2
     PCAR24UNCH$2
Cohen & Steers Quality Incom 133 -1,066 $2
     RQI133-1,066$2
Sherwin Williams Co 6 UNCH $2
     SHW6UNCH$2
iShares Tr (TIP) 21 UNCH $2
     TIP21UNCH$2
Aurora Cannabis Inc 2,449 UNCH $1
     ACB2,449UNCH$1
Fedex Corp 4 UNCH $1
     FDX4UNCH$1
Fidelity Covington Trust 25 UNCH $1
     FUTY25UNCH$1
GE Healthcare Technologies I 8 UNCH $1
     GEHC8UNCH$1
Barrick Gold Corp 50 UNCH $1
     GOLD50UNCH$1
Goodyear Tire & Rubr Co 100 +100 $1
     GT100+100$1
Aurora Mobile LTD 200 -3,800 $1
     JG200-3,800$1
L3Harris Technologies Inc 5 UNCH $1
     LHX5UNCH$1
Monster Beverage Corp New 18 UNCH $1
     MNST18UNCH$1
Nu Hldgs Ltd 160 +160 $1
     NU160+160$1
PSQ Holdings Inc 265 UNCH $1
     PSQH265UNCH$1
Take Two Interactive Softwar 4 UNCH $1
     TTWO4UNCH$1
Vontier Corporation 43 -42 $1
     VNT43-42$1
Viatris Inc 83 +19 $1
     VTRS83+19$1
Wyndham Hotels & Resorts Inc 8 +0 $1
     WH8UNCH$1
DataDog Inc $0 (exited)
     DDOG0-200$0
DigitalOcean Hldgs Inc $0 (exited)
     DOCN0-980$0
iShares Tr $0 (exited)
     EMB0-420$0
First Tr Morningstar Divid L $0 (exited)
     FDL0-250$0
Goldman Sachs ETF Tr $0 (exited)
     GSLC0-390$0
iShares Tr $0 (exited)
     IDV0-250$0
iShares Tr $0 (exited)
     IJH0-798$0
iShares Tr $0 (exited)
     IJJ0-494$0
iShares Tr $0 (exited)
     IUSB0-1,940$0
iShares Tr $0 (exited)
     IWS0-100$0
Nuveen Pfd & Income Sec Fd $0 (exited)
     JPS0-8,628$0
Lamar Advertising Co New $0 (exited)
     LAMR0-250$0
Medical Pptys Trust Inc $0 (exited)
     MPW0-1,500$0
Invesco Actvely Mngd Etc Fd $0 (exited)
     PDBC0-2,445$0
Sinclair Inc $0 (exited)
     SBGI0-500$0
Snowflake Inc $0 (exited)
     SNOW0-385$0
S&P Global Inc $0 (exited)
     SPGI0-66$0
Spirit Aerosystems Hldgs Inc $0 (exited)
     SPR0-1,000$0
First Tr Exchange Traded Fd $0 (exited)
     TDIV0-150$0
Vanguard Specialized Funds $0 (exited)
     VIG0-567$0
VMware Inc $0 (exited)
     VMW0-38$0
Vanguard Whitehall Fds $0 (exited)
     VWOB0-560$0
Walgreens Boots Alliance Inc $0 (exited)
     WBA0-164$0
Woodside Energy Group LTD 0 -48 $0 (exited)
     WDS0-48$0

See Summary: Farmers & Merchants Trust Co of Chambersburg PA Top Holdings
See Details: Top 10 Stocks Held By Farmers & Merchants Trust Co of Chambersburg PA

EntityShares/Amount
Change
Position Value
Change
VOT +19,727+$4,331
VRTX +313+$127
FLEX +2,515+$77
JPC +10,089+$68
VSH +2,017+$48
GLW +1,422+$43
STM +800+$40
HPQ +1,126+$34
TXN +200+$34
CBOE +166+$30
EntityShares/Amount
Change
Position Value
Change
IJH -798-$199
VIG -567-$88
IUSB -1,940-$85
SNOW -385-$59
JPS -8,628-$53
IJJ -494-$50
PDBC -2,445-$37
EMB -420-$35
VWOB -560-$33
GSLC -390-$33
EntityShares/Amount
Change
Position Value
Change
EFV +82,440+$4,300
BIV +49,524+$3,786
FRAF +39,862+$1,263
VOE +30,410+$4,437
VBR +25,252+$4,568
JEPI +20,530+$1,165
VBK +19,037+$4,615
DON +16,155+$862
XLC +16,029+$1,174
XLRE +9,810+$754
EntityShares/Amount
Change
Position Value
Change
XTL -11,010-$627
CCI -9,308-$638
TGT -8,580-$931
ORCL -4,205-$455
CGC -4,005-$1
JG -3,800$UNCH
FMC -3,503-$277
DKS -2,672+$499
NVDA -1,960-$412
Size ($ in 1000's)
At 12/31/2023: $195,859
At 09/30/2023: $152,866

Farmers & Merchants Trust Co of Chambersburg PA holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Farmers & Merchants Trust Co of Chambersburg PA 13F filings. Link to 13F filings: SEC filings

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