HoldingsChannel.com
All Stocks Held By Fort Pitt Capital Group LLC
As of  09/30/2022, we find all stocks held by Fort Pitt Capital Group LLC to be as follows, presented in the table below with each row detailing each Fort Pitt Capital Group LLC position, ordered by largest to smallest position size. The all-stocks-held-by-Fort Pitt Capital Group LLC 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 Fort Pitt Capital Group LLC as of the latest filing.

   EntityAmountChange
 06/30/2022 to 09/30/2022
Position Size
($ in 1000's)
SCHWAB STRATEGIC TR 2,259,229 +61,290 $126,088
     SCHG2,259,229+61,290$126,088
GALLAGHER ARTHUR J & CO 520,306 -10,199 $89,087
     AJG520,306-10,199$89,087
MICROSOFT CORP 342,042 -16,304 $79,662
     MSFT342,042-16,304$79,662
APPLE INC 487,677 +2,544 $67,397
     AAPL487,677+2,544$67,397
ABBOTT LABS 696,051 -6,387 $67,350
     ABT696,051-6,387$67,350
ADVANCED MICRO DEVICES INC 1,003,273 -6,999 $63,567
     AMD1,003,273-6,999$63,567
LOWES COS INC 320,094 +1,942 $60,117
     LOW320,094+1,942$60,117
BLACKSTONE INC 698,314 +24,331 $58,449
     BX698,314+24,331$58,449
PARKER HANNIFIN CORP 239,055 -3,187 $57,925
     PH239,055-3,187$57,925
STARBUCKS CORP 679,176 -16,872 $57,227
     SBUX679,176-16,872$57,227
BRISTOL MYERS SQUIBB CO 799,543 +28,016 $56,840
     BMY799,543+28,016$56,840
ROCKWELL AUTOMATION INC 262,134 -6,444 $56,388
     ROK262,134-6,444$56,388
SCHWAB CHARLES CORP 778,607 -14,253 $55,959
     SCHW778,607-14,253$55,959
CONSTELLATION BRANDS INC 231,193 -5,113 $53,100
     STZ231,193-5,113$53,100
PNC FINL SVCS GROUP INC 350,244 -12,023 $52,333
     PNC350,244-12,023$52,333
APOLLO GLOBAL MGMT INC 1,115,842 +12,534 $51,887
     APO1,115,842+12,534$51,887
MEDTRONIC PLC 639,823 +8,760 $51,666
     MDT639,823+8,760$51,666
HONEYWELL INTL INC 308,706 +12,953 $51,545
     HON308,706+12,953$51,545
KIMBERLY CLARK CORP 454,752 +2,257 $51,178
     KMB454,752+2,257$51,178
LULULEMON ATHLETICA INC 178,855 -6,069 $50,001
     LULU178,855-6,069$50,001
THERMO FISHER SCIENTIFIC INC 98,387 +242 $49,901
     TMO98,387+242$49,901
COHERENT CORP 1,384,952 +1,384,952 $48,266
     COHR1,384,952+1,384,952$48,266
TARGET CORP 323,751 +12,697 $48,041
     TGT323,751+12,697$48,041
CIENA CORP 1,181,998 +32,695 $47,788
     CIEN1,181,998+32,695$47,788
VERIZON COMMUNICATIONS INC 1,247,869 +19,532 $47,382
     VZ1,247,869+19,532$47,382
DEERE & CO 136,152 +110,063 $45,460
     DE136,152+110,063$45,460
RAYTHEON TECHNOLOGIES CORP 542,002 +38,551 $44,368
     RTX542,002+38,551$44,368
DIGITAL RLTY TR INC 438,515 +7,500 $43,492
     DLR438,515+7,500$43,492
DANAHER CORPORATION 162,111 +161,029 $41,872
     DHR162,111+161,029$41,872
MERCK & CO INC 464,280 +47,871 $39,984
     MRK464,280+47,871$39,984
ALPHABET INC 395,783 +378,224 $37,857
     GOOGL395,783+378,224$37,857
ISHARES TR (GNMA) 850,982 -62,588 $36,601
     GNMA850,982-62,588$36,601
BLACKROCK ENHANCD CAP & INM 2,199,381 +58,539 $36,180
     CII2,199,381+58,539$36,180
GXO LOGISTICS INCORPORATED 1,004,252 +102,717 $35,209
     GXO1,004,252+102,717$35,209
KINDER MORGAN INC DEL 1,950,085 +167,514 $32,449
     KMI1,950,085+167,514$32,449
BROADCOM INC 64,839 +61,076 $28,789
     AVGO64,839+61,076$28,789
ANSYS INC 124,055 +16,652 $27,503
     ANSS124,055+16,652$27,503
VANGUARD SCOTTSDALE FDS (VCSH) 355,778 -22,434 $26,427
     VCSH355,778-22,434$26,427
MARSH & MCLENNAN COS INC 136,120 -6,862 $20,321
     MMC136,120-6,862$20,321
TEXAS INSTRS INC 129,991 -41,408 $20,120
     TXN129,991-41,408$20,120
JPMORGAN CHASE & CO 170,514 +18,373 $17,819
     JPM170,514+18,373$17,819
LAM RESEARCH CORP 46,878 +46,878 $17,157
     LRCX46,878+46,878$17,157
CHEVRON CORP NEW 79,248 +4,465 $11,386
     CVX79,248+4,465$11,386
WESTLAKE CORPORATION 130,983 -269,586 $11,380
     WLK130,983-269,586$11,380
ORACLE CORP 145,174 +13,980 $8,866
     ORCL145,174+13,980$8,866
BK OF AMERICA CORP 266,210 +30,546 $8,040
     BAC266,210+30,546$8,040
EATON VANCE ENHANCED EQUITY 557,793 +157 $7,865
     EOI557,793+157$7,865
SCHWAB STRATEGIC TR 148,259 -16,026 $6,225
     SCHB148,259-16,026$6,225
VANGUARD INDEX FDS (VTI) 32,804 +251 $5,887
     VTI32,804+251$5,887
PPG INDS INC 40,358 -184,831 $4,467
     PPG40,358-184,831$4,467
SCHWAB STRATEGIC TR 89,750 +89,750 $4,067
     SCHZ89,750+89,750$4,067
PFIZER INC 75,504 -22,055 $3,304
     PFE75,504-22,055$3,304
RPM INTL INC 35,880 -5,539 $2,989
     RPM35,880-5,539$2,989
PEPSICO INC 16,681 +1,065 $2,723
     PEP16,681+1,065$2,723
CROWN CASTLE INC 15,458 +1,466 $2,234
     CCI15,458+1,466$2,234
NORFOLK SOUTHN CORP 10,026 -264 $2,102
     NSC10,026-264$2,102
GAMING & LEISURE PPTYS INC 47,305 +7,794 $2,093
     GLPI47,305+7,794$2,093
CISCO SYS INC 50,293 -4,049 $2,012
     CSCO50,293-4,049$2,012
HOME DEPOT INC 6,658 -901 $1,837
     HD6,658-901$1,837
EXXON MOBIL CORP 20,877 -813 $1,823
     XOM20,877-813$1,823
ISHARES TR (IVV) 4,945 +1,370 $1,774
     IVV4,945+1,370$1,774
AMAZON COM INC 15,033 -484 $1,699
     AMZN15,033-484$1,699
ARES CAPITAL CORP 99,564 +17,323 $1,681
     ARCC99,564+17,323$1,681
LOEWS CORP 32,392 -397 $1,614
     L32,392-397$1,614
LOCKHEED MARTIN CORP 4,145 +632 $1,601
     LMT4,145+632$1,601
JOHNSON & JOHNSON 9,250 -941 $1,511
     JNJ9,250-941$1,511
NOVARTIS AG 19,217 +2,716 $1,461
     NVS19,217+2,716$1,461
UNION PAC CORP 7,490 +1,349 $1,459
     UNP7,490+1,349$1,459
ALPHABET INC 13,540 +12,860 $1,302
     GOOG13,540+12,860$1,302
ISHARES TR (ITOT) 16,228 -421 $1,291
     ITOT16,228-421$1,291
BERKSHIRE HATHAWAY INC DEL      $1,282
     BRK.B4,800+1,228$1,282
ABBVIE INC 8,696 -39 $1,167
     ABBV8,696-39$1,167
ISHARES TR (AGG) 11,984 +11,984 $1,155
     AGG11,984+11,984$1,155
CANADIAN PAC RY LTD 15,964 -9,173 $1,065
     CP15,964-9,173$1,065
PROCTER AND GAMBLE CO 8,360 -977 $1,055
     PG8,360-977$1,055
SCHWAB STRATEGIC TR 24,248 +9,956 $1,027
     SCHX24,248+9,956$1,027
VANGUARD INDEX FDS (VOO) 2,923 -44 $960
     VOO2,923-44$960
BANK NEW YORK MELLON CORP 23,606 -32,266 $909
     BK23,606-32,266$909
NVIDIA CORPORATION 7,180 -454 $872
     NVDA7,180-454$872
VANGUARD INDEX FDS (VUG) 3,841 -29 $822
     VUG3,841-29$822
CATERPILLAR INC 4,790 -1,891 $786
     CAT4,790-1,891$786
VISA INC 3,656 -155 $649
     V3,656-155$649
INTUIT 1,633 -125 $633
     INTU1,633-125$633
DOMINION ENERGY INC 9,110 -967 $630
     D9,110-967$630
COLGATE PALMOLIVE CO 8,907 -389 $626
     CL8,907-389$626
ISHARES TR (IJH) 2,767 +708 $607
     IJH2,767+708$607
SPDR S&P 500 ETF TR (SPY) 1,680 -147 $600
     SPY1,680-147$600
INTEL CORP 21,851 -68,839 $563
     INTC21,851-68,839$563
WALMART INC 4,121 -967 $535
     WMT4,121-967$535
KKR & CO INC 12,304 UNCH $529
     KKR12,304UNCH$529
3M CO 4,764 -306 $526
     MMM4,764-306$526
VANGUARD INDEX FDS (VTV) 4,049 -711 $500
     VTV4,049-711$500
PAYCOM SOFTWARE INC 1,500 UNCH $495
     PAYC1,500UNCH$495
AMERICAN EXPRESS CO 3,527 UNCH $476
     AXP3,527UNCH$476
SYNCHRONY FINANCIAL 16,593 -41,801 $468
     SYF16,593-41,801$468
INTERNATIONAL BUSINESS MACHS 3,768 +13 $448
     IBM3,768+13$448
ISHARES TR (IWD) 3,198 UNCH $435
     IWD3,198UNCH$435
CSX CORP 15,381 -3,719 $410
     CSX15,381-3,719$410
ISHARES TR (IWB) 1,915 +2 $378
     IWB1,915+2$378
COCA COLA CO 6,722 -155 $377
     KO6,722-155$377
COCA COLA CONS INC 900 UNCH $371
     COKE900UNCH$371
ISHARES TR (IWF) 1,707 +47 $359
     IWF1,707+47$359
MASTERCARD INCORPORATED 1,221 UNCH $347
     MA1,221UNCH$347
XYLEM INC 3,975 +3,975 $347
     XYL3,975+3,975$347
DISNEY WALT CO 3,522 -7,255 $332
     DIS3,522-7,255$332
AGILENT TECHNOLOGIES INC 2,701 UNCH $328
     A2,701UNCH$328
MCDONALDS CORP 1,366 UNCH $315
     MCD1,366UNCH$315
SPDR DOW JONES INDL AVERAGE (DIA) 1,000 UNCH $287
     DIA1,000UNCH$287
MARRIOTT INTL INC NEW 1,944 +1,944 $272
     MAR1,944+1,944$272
INVESCO QQQ TR 1,011 -137 $270
     QQQ1,011-137$270
VANGUARD INDEX FDS (VO) 1,375 UNCH $258
     VO1,375UNCH$258
HARTFORD FINL SVCS GROUP INC 4,117 +4,117 $255
     HIG4,117+4,117$255
VANGUARD INDEX FDS (VOE) 1,934 UNCH $236
     VOE1,934UNCH$236
VANGUARD INDEX FDS (VV) 1,383 UNCH $226
     VV1,383UNCH$226
AUTODESK INC 1,184 -40 $221
     ADSK1,184-40$221
ISHARES TR (IWR) 3,534 -216 $220
     IWR3,534-216$220
CROWDSTRIKE HLDGS INC 1,284 -127 $212
     CRWD1,284-127$212
BROADCOM INC $0 (exited)
     AVGOP0-5,619$0
BAXTER INTL INC $0 (exited)
     BAX0-562,283$0
COGNEX CORP $0 (exited)
     CGNX0-518,988$0
SALESFORCE INC $0 (exited)
     CRM0-1,256$0
DUKE ENERGY CORP NEW $0 (exited)
     DUK0-15,187$0
II VI INC $0 (exited)
     IIVI0-1,324,131$0
ISHARES TR $0 (exited)
     IVE0-1,484$0
ISHARES TR $0 (exited)
     LQD0-1,965$0
MONDELEZ INTL INC $0 (exited)
     MDLZ0-7,611$0
PHILIP MORRIS INTL INC $0 (exited)
     PM0-23,414$0
SITEONE LANDSCAPE SUPPLY INC $0 (exited)
     SITE0-1,824$0
SPLUNK INC $0 (exited)
     SPLK0-2,267$0
AT&T INC $0 (exited)
     T0-10,207$0
TESLA INC $0 (exited)
     TSLA0-335$0
V F CORP $0 (exited)
     VFC0-6,895$0
VANGUARD INDEX FDS $0 (exited)
     VNQ0-2,571$0
WELLS FARGO CO NEW 0 -5,146 $0 (exited)
     WFC0-5,146$0

See Summary: Fort Pitt Capital Group LLC Top Holdings
See Details: Top 10 Stocks Held By Fort Pitt Capital Group LLC

EntityShares/Amount
Change
Position Value
Change
COHR +1,384,952+$48,266
LRCX +46,878+$17,157
SCHZ +89,750+$4,067
AGG +11,984+$1,155
XYL +3,975+$347
MAR +1,944+$272
HIG +4,117+$255
EntityShares/Amount
Change
Position Value
Change
IIVI -1,324,131-$67,464
BAX -562,283-$36,115
CGNX -518,988-$22,067
AVGOP -5,619-$8,446
PM -23,414-$2,312
DUK -15,187-$1,628
MDLZ -7,611-$473
VFC -6,895-$305
VNQ -2,571-$234
TSLA -335-$226
EntityShares/Amount
Change
Position Value
Change
GOOGL +378,224-$409
KMI +167,514+$2,573
DHR +161,029+$41,598
DE +110,063+$37,647
GXO +102,717-$3,800
SCHG +61,290-$1,370
AVGO +61,076+$26,961
CII +58,539-$1,456
MRK +47,871+$2,020
RTX +38,551-$4,019
EntityShares/Amount
Change
Position Value
Change
WLK -269,586-$27,884
PPG -184,831-$21,281
INTC -68,839-$2,830
GNMA -62,588-$5,003
SYF -41,801-$1,145
TXN -41,408-$6,215
BK -32,266-$1,421
VCSH -22,434-$2,415
PFE -22,055-$1,811
Size ($ in 1000's)
At 09/30/2022: $2,181,286
At 06/30/2022: $2,301,313

Fort Pitt Capital Group LLC holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Fort Pitt Capital Group LLC 13F filings. Link to 13F filings: SEC filings

All Stocks Held By Fort Pitt Capital Group LLC | www.HoldingsChannel.com

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