Holdings Channel
EntityShares/Amount
Change
Position Value
Change
FENI +226,635+$6,470
VCIT +42,773+$3,444
SJNK +136,488+$3,442
BIL +36,902+$3,388
IEF +18,018+$1,706
BBAX +592+$29
NXT +438+$25
FLGB +712+$19
EZU +251+$13
FLJP +369+$11
EntityShares/Amount
Change
Position Value
Change
AFL -2,200-$182
ITW -685-$179
EIX -965-$69
JPC -10,089-$68
NBB -4,113-$65
CRM -207-$54
AES -2,525-$49
URI -55-$32
PSEC -5,000-$30
CBOE -166-$30
EntityShares/Amount
Change
Position Value
Change
BIV +164,964+$12,389
TLT +73,226+$6,927
WMT +41,653+$324
VCSH +23,976+$1,853
NVO +18,510+$2,379
XLP +14,564+$1,206
EFV +14,158+$964
VOE +4,587+$1,067
SPYG +3,197+$262
VBR +3,139+$916
EntityShares/Amount
Change
Position Value
Change
FRAF -32,494-$1,074
PFE -32,341-$931
BMY -18,878-$960
ADM -17,796-$1,289
CSX -9,141-$311
XLF -7,166+$43
JEPI -5,617-$194
AAPL -4,680-$1,270
DKS -4,560+$576
Size ($ in 1000's)
At 03/31/2024: $243,833
At 12/31/2023: $195,859

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

All Stocks Held By Farmers & Merchants Trust Co of Chambersburg PA
As of  03/31/2024, 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
 12/31/2023 to 03/31/2024
Position Size
($ in 1000's)
Vanguard BD Index FDS (BIV) 215,374 +164,964 $16,239
     BIV215,374+164,964$16,239
IShares TR (TLT) 73,484 +73,226 $6,953
     TLT73,484+73,226$6,953
Fidelity Covington Trust 226,635 +226,635 $6,470
     FENI226,635+226,635$6,470
Microsoft Corp 13,730 -3,354 $5,776
     MSFT13,730-3,354$5,776
Vanguard Index FDS (VOE) 36,886 +4,587 $5,751
     VOE36,886+4,587$5,751
Vanguard Index FDS (VBR) 29,509 +3,139 $5,662
     VBR29,509+3,139$5,662
Vanguard Index FDS (VBK) 21,236 +1,769 $5,537
     VBK21,236+1,769$5,537
iShares TR (EFV) 98,235 +14,158 $5,344
     EFV98,235+14,158$5,344
Vanguard Index FDS (VOT) 22,286 +2,559 $5,255
     VOT22,286+2,559$5,255
Nvidia Corporation 5,808 -1,502 $5,248
     NVDA5,808-1,502$5,248
Chevron Corp New 29,809 -197 $4,702
     CVX29,809-197$4,702
JPMorgan Chase & Co 20,975 -3,010 $4,201
     JPM20,975-3,010$4,201
Pepsico Inc 23,764 +629 $4,159
     PEP23,764+629$4,159
Johnson & Johnson 26,133 -382 $4,134
     JNJ26,133-382$4,134
SPDR Gold TR (GLD) 19,441 +182 $3,999
     GLD19,441+182$3,999
Walmart Inc 64,046 +41,653 $3,854
     WMT64,046+41,653$3,854
Visa Inc 13,259 -439 $3,700
     V13,259-439$3,700
Dicks Sporting Goods Inc 16,002 -4,560 $3,598
     DKS16,002-4,560$3,598
Qualcomm Inc 20,898 -2,607 $3,538
     QCOM20,898-2,607$3,538
Vanguard Scottsdale FDS (VCIT) 42,773 +42,773 $3,444
     VCIT42,773+42,773$3,444
SPDR SER TR (SJNK) 136,488 +136,488 $3,442
     SJNK136,488+136,488$3,442
SPDR SER TR (BIL) 36,902 +36,902 $3,388
     BIL36,902+36,902$3,388
Select Sector SPDR TR (XLE) 35,550 +1,598 $3,356
     XLE35,550+1,598$3,356
Broadcom Inc 2,402 -589 $3,184
     AVGO2,402-589$3,184
Alphabet Inc 20,239 -993 $3,055
     GOOGL20,239-993$3,055
Apple Inc 17,568 -4,680 $3,013
     AAPL17,568-4,680$3,013
United Parcel Service Inc 20,201 +1,198 $3,002
     UPS20,201+1,198$3,002
Nucor Corp 15,062 -1,839 $2,981
     NUE15,062-1,839$2,981
Select Sector SPDR TR (XLF) 69,120 -7,166 $2,911
     XLF69,120-7,166$2,911
Select Sector SPDR TR (XLP) 36,178 +14,564 $2,763
     XLP36,178+14,564$2,763
Select Sector SPDR TR (XLRE) 69,580 -536 $2,750
     XLRE69,580-536$2,750
Amazon Com Inc 15,126 -2,003 $2,728
     AMZN15,126-2,003$2,728
Select Sector SPDR TR (XLI) 21,575 -1,026 $2,718
     XLI21,575-1,026$2,718
Eaton Corp PLC 8,408 -1,117 $2,629
     ETN8,408-1,117$2,629
Travelers Companies Inc 11,087 -1,278 $2,552
     TRV11,087-1,278$2,552
Select Sector SPDR TR (XLV) 17,056 +1 $2,520
     XLV17,056+1$2,520
Select Sector SPDR TR (XLU) 36,467 +1,281 $2,394
     XLU36,467+1,281$2,394
CVS Health Corp 29,944 +2,097 $2,388
     CVS29,944+2,097$2,388
Novo Nordisk A S 18,600 +18,510 $2,388
     NVO18,600+18,510$2,388
Select Sector SPDR TR (XLK) 11,330 -1,220 $2,360
     XLK11,330-1,220$2,360
Air Products & Chems Inc 9,705 +901 $2,351
     APD9,705+901$2,351
Oracle Corp 18,542 -457 $2,329
     ORCL18,542-457$2,329
J P Morgan Exchange Traded F (JEPI) 39,978 -5,617 $2,313
     JEPI39,978-5,617$2,313
Abbvie Inc 12,128 -554 $2,209
     ABBV12,128-554$2,209
Procter And Gamble Co 13,145 -1,252 $2,133
     PG13,145-1,252$2,133
Select Sector SPDR TR (XLY) 11,565 -505 $2,127
     XLY11,565-505$2,127
Elevance Health Inc 3,952 +106 $2,049
     ELV3,952+106$2,049
Valero Energy Corp 11,820 -799 $2,018
     VLO11,820-799$2,018
SPDR S&P 500 ETF TR (SPY) 3,746 -170 $1,959
     SPY3,746-170$1,959
Vanguard Scottsdale FDS (VCSH) 24,747 +23,976 $1,913
     VCSH24,747+23,976$1,913
MetLife Inc 25,710 -997 $1,905
     MET25,710-997$1,905
Northrop Grumman Corp 3,888 +155 $1,861
     NOC3,888+155$1,861
WisdomTree TR 37,878 -4,462 $1,847
     DON37,878-4,462$1,847
IShares TR (IEF) 18,018 +18,018 $1,706
     IEF18,018+18,018$1,706
PPL Corp 60,059 +360 $1,653
     PPL60,059+360$1,653
Intercontinental Exchange In (ICE) 12,016 -1,068 $1,651
     ICE12,016-1,068$1,651
Costco Whsl Corp New 2,174 +124 $1,593
     COST2,174+124$1,593
Select Sector SPDR TR (XLC) 19,353 +1,924 $1,580
     XLC19,353+1,924$1,580
iShares TR (EFA) 16,960 -2,369 $1,354
     EFA16,960-2,369$1,354
NextEra Energy Inc 21,188 +292 $1,354
     NEE21,188+292$1,354
General Mls Inc 17,989 -573 $1,259
     GIS17,989-573$1,259
Johnson Ctls Intl PLC 18,959 -219 $1,238
     JCI18,959-219$1,238
Southern Co 16,858 +2,892 $1,209
     SO16,858+2,892$1,209
Blackrock Inc 1,418 -134 $1,182
     BLK1,418-134$1,182
Exxon Mobil Corp 10,151 -850 $1,180
     XOM10,151-850$1,180
Public Svc Enterprise Grp In 17,476 -156 $1,167
     PEG17,476-156$1,167
SPDR SER TR (XTL) 15,279 -1,777 $1,135
     XTL15,279-1,777$1,135
Select Sector SPDR TR (XLB) 11,715 +2,331 $1,088
     XLB11,715+2,331$1,088
Applied Matls Inc 4,715 UNCH $972
     AMAT4,715UNCH$972
Phillips 66 5,829 -865 $952
     PSX5,829-865$952
WisdomTree TR 17,417 -1,658 $886
     DGS17,417-1,658$886
Crown Castle Inc 8,354 -1,062 $884
     CCI8,354-1,062$884
Merck & Co Inc 6,401 -1,048 $845
     MRK6,401-1,048$845
Medtronic PLC 9,534 -751 $831
     MDT9,534-751$831
FMC Corp 11,836 +1,017 $754
     FMC11,836+1,017$754
Coca Cola Co 11,946 -1,482 $731
     KO11,946-1,482$731
SPDR SER TR (SPYV) 12,731 +2,445 $638
     SPYV12,731+2,445$638
Vanguard Index FDS (VO) 2,545 -1,791 $636
     VO2,545-1,791$636
iShares TR (IWR) 6,396 UNCH $538
     IWR6,396UNCH$538
Home Depot Inc 1,396 -973 $536
     HD1,396-973$536
Waste Mgmt Inc Del 2,388 -68 $509
     WM2,388-68$509
Abbott Labs 4,368 -811 $496
     ABT4,368-811$496
SPDR SER TR (SPYG) 6,599 +3,197 $483
     SPYG6,599+3,197$483
Eli Lilly & Co 601 -26 $468
     LLY601-26$468
Meta Platforms Inc 910 +2 $442
     META910+2$442
Lowes Cos Inc 1,727 -77 $440
     LOW1,727-77$440
Marathon Pete Corp 2,014 UNCH $406
     MPC2,014UNCH$406
Qorvo Inc 3,347 UNCH $384
     QRVO3,347UNCH$384
Norfolk Southern Corp 1,412 -1,076 $360
     NSC1,412-1,076$360
iShares TR (IVV) 635 UNCH $334
     IVV635UNCH$334
Constellation Energy Corp 1,801 UNCH $333
     CEG1,801UNCH$333
ConocoPhillips 2,567 -73 $327
     COP2,567-73$327
Steel Dynamics Inc 2,150 UNCH $319
     STLD2,150UNCH$319
iShares TR (IWP) 2,727 +919 $311
     IWP2,727+919$311
iShares TR (ITOT) 2,540 -800 $293
     ITOT2,540-800$293
Philip Morris Intl Inc 3,183 +18 $292
     PM3,183+18$292
International Business Machs 1,487 +19 $284
     IBM1,487+19$284
Kimberly Clark Corp 2,198 -31 $284
     KMB2,198-31$284
Prudential Finl Inc 2,384 +125 $280
     PRU2,384+125$280
UnitedHealth Group Inc 563 -64 $279
     UNH563-64$279
Lockheed Martin Corp 611 -19 $278
     LMT611-19$278
Exelon Corp 7,007 -228 $263
     EXC7,007-228$263
Franklin Finl Svcs Corp 9,195 -32,494 $241
     FRAF9,195-32,494$241
Bank New York Mellon Corp 3,965 -94 $228
     BK3,965-94$228
Reliance Inc 670 UNCH $224
     RS670UNCH$224
Digital Rlty Tr Inc 1,550 UNCH $223
     DLR1,550UNCH$223
Union Pac Corp 904 -58 $222
     UNP904-58$222
Duke Energy Corp New 2,264 +7 $219
     DUK2,264+7$219
iShares TR (IJR) 1,972 UNCH $218
     IJR1,972UNCH$218
Sysco Corp 2,672 -169 $217
     SYY2,672-169$217
Danaher Corporation 852 +8 $213
     DHR852+8$213
Accenture Plc Ireland 612 -21 $212
     ACN612-21$212
Equinix Inc 256 -134 $211
     EQIX256-134$211
Blackrock Tax Municipal Bd Tr 12,882 UNCH $210
     BBN12,882UNCH$210
Carrier Global Corporation 3,467 -67 $202
     CARR3,467-67$202
Berkshire Hathaway Inc Del      $201
     BRK.B477UNCH$201
McDonalds Corp 708 +18 $200
     MCD708+18$200
WEC Energy Group Inc 2,374 +74 $195
     WEC2,374+74$195
Orrstown Finl Svcs Inc 7,242 UNCH $194
     ORRF7,242UNCH$194
Skyworks Solutions Inc 1,702 -72 $184
     SWKS1,702-72$184
Vanguard World FD (VGT) 350 UNCH $184
     VGT350UNCH$184
IShares TR (EFG) 1,744 +484 $181
     EFG1,744+484$181
iShares TR (FLOT) 3,548 +2,141 $181
     FLOT3,548+2,141$181
Verizon Communications Inc 4,323 +137 $181
     VZ4,323+137$181
RTX Corporation 1,849 -66 $180
     RTX1,849-66$180
Amgen Inc 623 +89 $177
     AMGN623+89$177
Cisco Sys Inc 3,541 +29 $177
     CSCO3,541+29$177
Gaming & Leisure Pptys Inc 3,799 UNCH $175
     GLPI3,799UNCH$175
Disney Walt Co 1,420 -165 $174
     DIS1,420-165$174
M & T Bk Corp 1,196 UNCH $174
     MTB1,196UNCH$174
BHP Group Ltd 3,000 -134 $173
     BHP3,000-134$173
Bristol Myers Squibb Co 3,100 -18,878 $168
     BMY3,100-18,878$168
Alphabet Inc 1,089 -332 $166
     GOOG1,089-332$166
Alibaba Group Hldg Ltd 2,250 +1,500 $163
     BABA2,250+1,500$163
Mastercard Incorporated 332 -1,039 $160
     MA332-1,039$160
SPDR SER TR (SDY) 1,202 UNCH $158
     SDY1,202UNCH$158
American Express Co 688 -70 $157
     AXP688-70$157
Altria Group Inc 3,550 UNCH $155
     MO3,550UNCH$155
Comcast Corp New 3,549 +28 $154
     CMCSA3,549+28$154
Otis Worldwide Corp 1,505 -33 $149
     OTIS1,505-33$149
Enterprise Prods Partners L 5,000 UNCH $146
     EPD5,000UNCH$146
Arista Networks Inc 500 UNCH $145
     ANET500UNCH$145
Hershey Co 700 -54 $136
     HSY700-54$136
Vertex Pharmaceutials Inc 320 +7 $134
     VRTX320+7$134
Vulcan Matls Co 483 UNCH $132
     VMC483UNCH$132
Mondelez Intl Inc 1,871 -74 $131
     MDLZ1,871-74$131
Fastenal Co 1,670 UNCH $129
     FAST1,670UNCH$129
Sunoco LP Sunoco Fin Corp 2,000 UNCH $121
     SUN2,000UNCH$121
Cummins Inc 407 -20 $120
     CMI407-20$120
Allstate Corp 683 UNCH $118
     ALL683UNCH$118
Constellation Brands Inc 406 UNCH $110
     STZ406UNCH$110
Starbucks Corp 1,114 -69 $102
     SBUX1,114-69$102
Suburban Propane Partners L 5,000 UNCH $102
     SPH5,000UNCH$102
GSK PLC 2,365 -327 $101
     GSK2,365-327$101
CSX Corp 2,700 -9,141 $100
     CSX2,700-9,141$100
Intuit 150 -12 $98
     INTU150-12$98
Deere & Co 233 +13 $96
     DE233+13$96
Schlumberger Ltd 1,751 -247 $96
     SLB1,751-247$96
Ollies Bargain Outlt Hldgs 1,200 -100 $95
     OLLI1,200-100$95
Paychex Inc 770 +175 $95
     PAYX770+175$95
Xcel Energy Inc 1,685 UNCH $91
     XEL1,685UNCH$91
Campbell Soup Co 2,000 UNCH $89
     CPB2,000UNCH$89
Vanguard World FD (VHT) 325 UNCH $88
     VHT325UNCH$88
Ameriprise Finl Inc 198 UNCH $87
     AMP198UNCH$87
Wells Fargo Co New 1,495 -100 $87
     WFC1,495-100$87
Boeing Co 438 -33 $85
     BA438-33$85
Vanguard World FD (VFH) 825 UNCH $84
     VFH825UNCH$84
Analog Devices Inc 412 -42 $81
     ADI412-42$81
General Dynamics Corp 288 +4 $81
     GD288+4$81
Shopify Inc 1,000 UNCH $77
     SHOP1,000UNCH$77
Ferrari N V 175 UNCH $76
     RACE175UNCH$76
Automatic Data Processing In 299 UNCH $75
     ADP299UNCH$75
Penn Entertainment Inc 4,100 UNCH $75
     PENN4,100UNCH$75
Ross Stores Inc 500 UNCH $73
     ROST500UNCH$73
Flex Ltd 2,515 UNCH $72
     FLEX2,515UNCH$72
Pembina Pipeline Corporation 2,000 UNCH $71
     PBA2,000UNCH$71
Bank America Corp 1,853 -300 $70
     BAC1,853-300$70
Target Corp 396 -174 $70
     TGT396-174$70
Darden Restaurants Inc 405 +117 $68
     DRI405+117$68
Corning Inc 2,035 +613 $67
     GLW2,035+613$67
Wisdomtree TR 880 UNCH $64
     DLN880UNCH$64
Honeywell Intl Inc 313 -51 $64
     HON313-51$64
Becton Dickinson & Co 255 -104 $63
     BDX255-104$63
PNC Finl Svcs Group Inc 390 +71 $63
     PNC390+71$63
Southwest Airls Co 2,115 UNCH $62
     LUV2,115UNCH$62
Colgate Palmolive Co 670 UNCH $60
     CL670UNCH$60
Shell PLC 893 -155 $60
     SHEL893-155$60
Nuveen Pennsylvania Qlt Mun 5,000 UNCH $59
     NQP5,000UNCH$59
Truist Finl Corp 1,520 +187 $59
     TFC1,520+187$59
iShares TR (DVY) 468 +50 $58
     DVY468+50$58
Emerson Elec Co 511 -49 $58
     EMR511-49$58
FirstEnergy Corp 1,506 UNCH $58
     FE1,506UNCH$58
Dell Technologies Inc 503 +15 $57
     DELL503+15$57
iShares TR (IWO) 211 UNCH $57
     IWO211UNCH$57
iShares TR (IWF) 166 UNCH $56
     IWF166UNCH$56
iShares TR (IWM) 264 UNCH $56
     IWM264UNCH$56
National Beverage Corp 1,132 UNCH $54
     FIZZ1,132UNCH$54
Marathon Oil Corp 1,881 -1,750 $53
     MRO1,881-1,750$53
iShares TR (MXI) 584 UNCH $52
     MXI584UNCH$52
iShares TR (HYG) 638 +161 $50
     HYG638+161$50
Texas Instrs Inc 287 +87 $50
     TXN287+87$50
Nike Inc 517 -113 $49
     NKE517-113$49
T Mobile US Inc 300 +31 $49
     TMUS300+31$49
Intel Corp 1,095 UNCH $48
     INTC1,095UNCH$48
Thermo Fisher Scientific Inc 81 -73 $47
     TMO81-73$47
Tapestry Inc 1,000 UNCH $47
     TPR1,000UNCH$47
Tyson Foods Inc 800 UNCH $47
     TSN800UNCH$47
Vishay Intertechnology Inc 2,017 UNCH $46
     VSH2,017UNCH$46
Lam Research Corp 46 -19 $45
     LRCX46-19$45
TJX Cos Inc New 445 -203 $45
     TJX445-203$45
iShares TR (IWB) 145 UNCH $42
     IWB145UNCH$42
AT&T Inc 2,368 +46 $42
     T2,368+46$42
Fortive Corp 479 +60 $41
     FTV479+60$41
iShares TR (REET) 1,700 UNCH $40
     REET1,700UNCH$40
Annaly Capital Management In 2,000 UNCH $39
     NLY2,000UNCH$39
Taiwan Semiconductor Mfg LTD 286 +16 $39
     TSM286+16$39
Trane Technologies PLC 125 UNCH $38
     TT125UNCH$38
Uber Technologies Inc 500 UNCH $38
     UBER500UNCH$38
American Wtr Wks Co Inc New 300 -89 $37
     AWK300-89$37
Kinder Morgan Inc Del 2,000 UNCH $37
     KMI2,000UNCH$37
iShares TR (AGG) 368 UNCH $36
     AGG368UNCH$36
Emcor Group Inc 100 UNCH $35
     EME100UNCH$35
Stmicroelectronics N V 800 UNCH $35
     STM800UNCH$35
Vanguard BD Index FDS (BND) 475 UNCH $34
     BND475UNCH$34
HP Inc 1,126 UNCH $34
     HPQ1,126UNCH$34
Leidos Holdings Inc 263 UNCH $34
     LDOS263UNCH$34
Omnicom Group Inc 353 +10 $34
     OMC353+10$34
Palo Alto Networks Inc 120 -75 $34
     PANW120-75$34
PPG Inds Inc 233 -27 $34
     PPG233-27$34
Invesco QQQ Tr 75 -148 $33
     QQQ75-148$33
Vanguard Intl Equity Index F (VWO) 750 UNCH $31
     VWO750UNCH$31
Adobe Inc 58 -37 $29
     ADBE58-37$29
Ashland Inc 300 UNCH $29
     ASH300UNCH$29
J P Morgan Exchange Traded F (BBAX) 592 +592 $29
     BBAX592+592$29
CBRE Group Inc 300 UNCH $29
     CBRE300UNCH$29
Occidental Pete Corp 444 UNCH $29
     OXY444UNCH$29
Vanguard Index FDS (VTV) 175 UNCH $29
     VTV175UNCH$29
Seagate Technology Hldngs Pl 301 UNCH $28
     STX301UNCH$28
Uranium Energy Corp 4,221 UNCH $28
     UEC4,221UNCH$28
Blackrock Res & Commodities 3,000 UNCH $27
     BCX3,000UNCH$27
Paypal Hldgs Inc 400 UNCH $27
     PYPL400UNCH$27
Sanofi 556 -190 $27
     SNY556-190$27
Vanguard Tax Managed FDS (VEA) 539 UNCH $27
     VEA539UNCH$27
Chubb Limited 100 -1,000 $26
     CB100-1,000$26
The Trade Desk Inc 300 UNCH $26
     TTD300UNCH$26
Astrazeneca PLC 365 +17 $25
     AZN365+17$25
Haleon PLC 2,935 -431 $25
     HLN2,935-431$25
iShares Inc (IEMG) 477 +102 $25
     IEMG477+102$25
Nextracker Inc 438 +438 $25
     NXT438+438$25
TE Connectivity Ltd 174 +56 $25
     TEL174+56$25
Archer Daniels Midland Co 365 -17,796 $23
     ADM365-17,796$23
Camden Natl Corp 700 +344 $23
     CAC700+344$23
Vanguard Mun BD FDS (VTEB) 453 UNCH $23
     VTEB453UNCH$23
Ford Mtr Co Del 1,654 UNCH $22
     F1,654UNCH$22
Zimmer Biomet Holdings Inc 165 UNCH $22
     ZBH165UNCH$22
Ebay Inc. 405 UNCH $21
     EBAY405UNCH$21
Huntsman Corp 783 UNCH $20
     HUN783UNCH$20
Morgan Stanley 210 UNCH $20
     MS210UNCH$20
Chemours Co 732 UNCH $19
     CC732UNCH$19
Franklin Templeton ETF Tr (FLGB) 712 +712 $19
     FLGB712+712$19
Fifth Third Bancorp 475 UNCH $18
     FITB475UNCH$18
Keycorp 1,126 UNCH $18
     KEY1,126UNCH$18
Agilent Technologies Inc 107 UNCH $16
     A107UNCH$16
BP PLC 424 -121 $16
     BP424-121$16
Chesapeake Utils Corp 150 UNCH $16
     CPK150UNCH$16
Dow Inc 277 +16 $16
     DOW277+16$16
Fiserv Inc 103 UNCH $16
     FI103UNCH$16
iShares TR (IYZ) 750 UNCH $16
     IYZ750UNCH$16
Keysight Technologies Inc 100 UNCH $16
     KEYS100UNCH$16
iShares TR (LQD) 150 UNCH $16
     LQD150UNCH$16
Xylem Inc 121 UNCH $16
     XYL121UNCH$16
Micron Technology Inc 130 UNCH $15
     MU130UNCH$15
Nuveen Amt Free Qlty Mun Inc 1,347 -538 $15
     NEA1,347-538$15
Vanguard Index FDS (VNQ) 175 UNCH $15
     VNQ175UNCH$15
Dominion Energy Inc 294 -2,000 $14
     D294-2,000$14
Dycom Inds Inc 100 UNCH $14
     DY100UNCH$14
Edwards Lifesciences Corp 150 -36 $14
     EW150-36$14
Science Applications Intl Co 109 UNCH $14
     SAIC109UNCH$14
State Str Corp 180 UNCH $14
     STT180UNCH$14
Price T Rowe Group Inc 112 UNCH $14
     TROW112UNCH$14
Advanced Micro Devices Inc 72 +22 $13
     AMD72+22$13
IShares Inc (EZU) 251 +251 $13
     EZU251+251$13
Infosys LTD 700 UNCH $13
     INFY700UNCH$13
Nvent Electric PLC 170 UNCH $13
     NVT170UNCH$13
Tilray Brands Inc 5,250 UNCH $13
     TLRY5,250UNCH$13
Tractor Supply Co 50 UNCH $13
     TSCO50UNCH$13
Vanguard World FD (VDE) 100 UNCH $13
     VDE100UNCH$13
International Paper Co 300 -1,000 $12
     IP300-1,000$12
Novartis AG 123 +22 $12
     NVS123+22$12
Unilever PLC 247 +13 $12
     UL247+13$12
Veralto Corp 137 -5 $12
     VLTO137-5$12
Bank Montreal Que 117 UNCH $11
     BMO117UNCH$11
Carlyle Group Inc 238 UNCH $11
     CG238UNCH$11
Franklin Templeton ETF Tr (FLJP) 369 +369 $11
     FLJP369+369$11
Goldman Sachs Group Inc 27 +12 $11
     GS27+12$11
Toyota Motor Corp 45 -49 $11
     TM45-49$11
Totalenergies SE 160 -496 $11
     TTE160-496$11
United Bankshares Inc West V (UBSI) 295 UNCH $11
     UBSI295UNCH$11
Diageo PLC 65 UNCH $10
     DEO65UNCH$10
Fedex Corp 35 +31 $10
     FDX35+31$10
Motorola Solutions Inc 27 +27 $10
     MSI27+27$10
Pfizer Inc 344 -32,341 $10
     PFE344-32,341$10
Rio Tinto Plc 152 UNCH $10
     RIO152UNCH$10
Sonos Inc 500 UNCH $10
     SONO500UNCH$10
Vodafone Group PLC New 1,105 UNCH $10
     VOD1,105UNCH$10
Vanguard Star FDS (VXUS) 165 UNCH $10
     VXUS165UNCH$10
Amedisys Inc 100 UNCH $9
     AMED100UNCH$9
American Tower Corp New 47 +47 $9
     AMT47+47$9
Citigroup Inc 150 -166 $9
     C150-166$9
Caterpillar Inc 25 -50 $9
     CAT25-50$9
Cameco Corp 203 UNCH $9
     CCJ203UNCH$9
DuPont de Nemours Inc 113 -137 $9
     DD113-137$9
iShares Inc (EWJ) 129 UNCH $9
     EWJ129UNCH$9
Franklin Templeton ETF Tr (FLCA) 257 +257 $9
     FLCA257+257$9
Royal Bk CDA 87 UNCH $9
     RY87UNCH$9
VanEck ETF Trust (SMH) 39 +39 $9
     SMH39+39$9
Sony Group Corp 100 -38 $9
     SONY100-38$9
Workday Inc 34 +34 $9
     WDAY34+34$9
American Elec Pwr Co Inc 91 +15 $8
     AEP91+15$8
American Intl Group Inc 97 UNCH $8
     AIG97UNCH$8
ASML Holding N V 8 -21 $8
     ASML8-21$8
Old Rep Intl Corp 267 UNCH $8
     ORI267UNCH$8
Global X FDS 189 +189 $8
     PAVE189+189$8
Prologis Inc 61 +61 $8
     PLD61+61$8
US Bancorp Del 171 +24 $8
     USB171+24$8
Hilton Worldwide Hldgs Inc 34 +34 $7
     HLT34+34$7
Hewlett Packard Enterprise C 419 +47 $7
     HPE419+47$7
Howmet Aerospace Inc 99 +99 $7
     HWM99+99$7
Iron Mtn Inc Del 87 +87 $7
     IRM87+87$7
Linde Plc 16 +16 $7
     LIN16+16$7
Newmont Corp 200 UNCH $7
     NEM200UNCH$7
NRG Energy Inc 100 UNCH $7
     NRG100UNCH$7
VICI Pptys Inc 227 +31 $7
     VICI227+31$7
Williams Cos Inc 173 -224 $7
     WMB173-224$7
Coinbase Global Inc 21 +21 $6
     COIN21+21$6
Costar Group Inc 64 +64 $6
     CSGP64+64$6
Eastman Chem Co 59 +59 $6
     EMN59+59$6
IES Hldgs Inc 51 +51 $6
     IESC51+51$6
Nutrien LTD 111 +15 $6
     NTR111+15$6
Progressive Corp 28 +28 $6
     PGR28+28$6
Toronto Dominion Bk Ont 102 UNCH $6
     TD102UNCH$6
Vertiv Holdings Co 79 +79 $6
     VRT79+79$6
Wheaton Precious Metals Corp 130 UNCH $6
     WPM130UNCH$6
Brookfield Infrast Partners 161 +161 $5
     BIP161+161$5
Bank Nova Scotia Halifax 100 UNCH $5
     BNS100UNCH$5
WisdomTree TR 97 UNCH $5
     DOL97UNCH$5
Lithium Amers Corp New 788 UNCH $5
     LAC788UNCH$5
Lamb Weston Hldgs Inc 50 UNCH $5
     LW50UNCH$5
National Grid Plc 76 UNCH $5
     NGG76UNCH$5
Rogers Communications Inc 127 +19 $5
     RCI127+19$5
SS&C Technologies Hldgs Inc 78 +78 $5
     SSNC78+78$5
Baker Hughes Company 120 UNCH $4
     BKR120UNCH$4
BRC Inc 1,000 UNCH $4
     BRCC1,000UNCH$4
British Amern Tob Plc 134 +34 $4
     BTI134+34$4
Blackstone Inc 34 -83 $4
     BX34-83$4
Conagra Brands Inc 150 UNCH $4
     CAG150UNCH$4
Canopy Growth Corp 445 UNCH $4
     CGC445UNCH$4
IShares Inc (EEMV) 63 +63 $4
     EEMV63+63$4
Enbridge Inc 100 UNCH $4
     ENB100UNCH$4
Globalstar Inc 3,002 UNCH $4
     GSAT3,002UNCH$4
Goldman Sachs ETF FR (GSEW) 50 -300 $4
     GSEW50-300$4
Halliburton Co 100 UNCH $4
     HAL100UNCH$4
Lithium Americas Argentina C 788 UNCH $4
     LAAC788UNCH$4
Marvell Technology Inc 59 +59 $4
     MRVL59+59$4
UiPath Inc 192 +192 $4
     PATH192+192$4
Pentair PLC 44 UNCH $4
     PNR44UNCH$4
iShares Silver TR (SLV) 155 UNCH $4
     SLV155UNCH$4
Invesco Exch Traded FD TR II (SPHD) 100 UNCH $4
     SPHD100UNCH$4
Block Inc 50 +50 $4
     SQ50+50$4
Tesla Inc 25 -5 $4
     TSLA25-5$4
Warner Bros Discovery Inc 476 UNCH $4
     WBD476UNCH$4
Biocryst Pharmaceuticals Inc 500 UNCH $3
     BCRX500UNCH$3
Coca Cola Europacific Partne 37 +37 $3
     CCEP37+37$3
Cadence Design System Inc 10 +10 $3
     CDNS10+10$3
ChargePoint Holdings Inc 1,609 UNCH $3
     CHPT1,609UNCH$3
Cencora Inc 12 +12 $3
     COR12+12$3
Dollar Tree Inc 19 -57 $3
     DLTR19-57$3
EA Series Trust 100 UNCH $3
     DRLL100UNCH$3
Exchange Traded Concepts Tru (EMQQ) 100 UNCH $3
     EMQQ100UNCH$3
IShares Inc (EWL) 67 +67 $3
     EWL67+67$3
Freeport McMoran Inc 56 -271 $3
     FCX56-271$3
KLA Corp 4 -23 $3
     KLAC4-23$3
OReilly Automotive Inc 3 UNCH $3
     ORLY3UNCH$3
Paccar Inc 24 UNCH $3
     PCAR24UNCH$3
WPP PLC New 56 UNCH $3
     WPP56UNCH$3
Carnival Corp 100 UNCH $2
     CCL100UNCH$2
Caesars Entertainment Inc Ne 41 +41 $2
     CZR41+41$2
Discover Finl Svcs 15 UNCH $2
     DFS15UNCH$2
Franklin Templeton ETF Tr (FLLA) 68 +68 $2
     FLLA68+68$2
Amplify ETF Tr (HACK) 25 +25 $2
     HACK25+25$2
Marathon Digital Holdings In 100 +100 $2
     MARA100+100$2
Madrigal Pharmaceuticals Inc 8 +8 $2
     MDGL8+8$2
Manulife Finl Corp 70 +70 $2
     MFC70+70$2
MSC Indl Direct Inc 16 +16 $2
     MSM16+16$2
Nu Hldgs Ltd 160 UNCH $2
     NU160UNCH$2
Plains All Amern Pipeline L 125 UNCH $2
     PAA125UNCH$2
Palantir Technologies Inc 100 +100 $2
     PLTR100+100$2
Restaurant Brands Intl Inc 31 +31 $2
     QSR31+31$2
Sherwin Williams Co 6 UNCH $2
     SHW6UNCH$2
iShares TR (TIP) 21 UNCH $2
     TIP21UNCH$2
V F Corp 100 -150 $2
     VFC100-150$2
Vontier Corporation 43 UNCH $2
     VNT43UNCH$2
Aurora Cannabis Inc 242 -2,207 $1
     ACB242-2,207$1
Best Buy Inc 10 +10 $1
     BBY10+10$1
BCE Inc 18 +18 $1
     BCE18+18$1
Columbia Bkg Sys Inc 38 +38 $1
     COLB38+38$1
Cognizant Technolgy Solutio 20 UNCH $1
     CTSH20UNCH$1
EOG Res Inc 6 -55 $1
     EOG6-55$1
Entergy Corp New 9 +9 $1
     ETR9+9$1
Evergy Inc 16 +16 $1
     EVRG16+16$1
Garmin LTD 7 +7 $1
     GRMN7+7$1
Goodyear Tire & Rubr Co 100 UNCH $1
     GT100UNCH$1
Hasbro Inc 18 +18 $1
     HAS18+18$1
Aurora Mobile LTD 200 UNCH $1
     JG200UNCH$1
Lazard Inc 24 +24 $1
     LAZ24+24$1
L3Harris Technologies Inc 5 UNCH $1
     LHX5UNCH$1
Lyondellbasell Industries N 10 +10 $1
     LYB10+10$1
Monster Beverage Corp New 18 UNCH $1
     MNST18UNCH$1
Vail Resorts Inc 5 +5 $1
     MTN5+5$1
Nisource Inc 32 +32 $1
     NI32+32$1
NIO Inc 200 UNCH $1
     NIO200UNCH$1
NetApp Inc 14 +14 $1
     NTAP14+14$1
Realty Income Corp 19 +19 $1
     O19+19$1
Orange 89 +89 $1
     ORAN89+89$1
Pinnacle West Cap Corp 10 +10 $1
     PNW10+10$1
Regions Financial Corp New 43 +43 $1
     RF43+43$1
Riot Platforms INC 100 +100 $1
     RIOT100+100$1
Rivian Automotive Inc 55 +55 $1
     RIVN55+55$1
SK Telecom LTD 47 +47 $1
     SKM47+47$1
Telus Corporation 42 +42 $1
     TU42+42$1
Wyndham Hotels & Resorts Inc 8 UNCH $1
     WH8UNCH$1
Trump Media & Technology Gro 10 +10 $0
     DWAC10+10$0
Cencora Inc $0 (exited)
     ABC0-12$0
ABM Inds Inc $0 (exited)
     ABM0-319$0
AES Corp $0 (exited)
     AES0-2,525$0
Aflac Inc $0 (exited)
     AFL0-2,200$0
Aptiv PLC $0 (exited)
     APTV0-108$0
Astec Inds Inc $0 (exited)
     ASTE0-119$0
Autozone Inc $0 (exited)
     AZO0-10$0
Banco Bilbao Vizcaya Argenta $0 (exited)
     BBVA0-776$0
Brunswick Corp $0 (exited)
     BC0-125$0
Badger Meter Inc $0 (exited)
     BMI0-119$0
Brady Corp $0 (exited)
     BRC0-269$0
Anheuser Busch Inbev SA NV $0 (exited)
     BUD0-62$0
CACI Intl Inc $0 (exited)
     CACI0-68$0
CBOE Global Mkts Inc $0 (exited)
     CBOE0-166$0
Church & Dwight Co Inc $0 (exited)
     CHD0-158$0
Salesforce Inc $0 (exited)
     CRM0-207$0
Cirrus Logic Inc $0 (exited)
     CRUS0-139$0
Consolidated Edison Inc $0 (exited)
     ED0-150$0
Edison Intl $0 (exited)
     EIX0-965$0
Fidelity Covington Trust $0 (exited)
     FCOM0-60$0
Fidelity Covington Trust $0 (exited)
     FDIS0-25$0
Fidelity Covington Trust $0 (exited)
     FIDU0-50$0
Fidelity Covington Trust $0 (exited)
     FMAT0-35$0
Fidelity Covington Trust $0 (exited)
     FNCL0-60$0
Fidelity Covington Trust $0 (exited)
     FSTA0-40$0
Fidelity Covington Trust $0 (exited)
     FTEC0-70$0
Fidelity Covington Trust $0 (exited)
     FUTY0-25$0
General Electric Co $0 (exited)
     GE0-25$0
GE Healthcare Technologies I $0 (exited)
     GEHC0-8$0
General Mtrs C $0 (exited)
     GM0-150$0
Barrick Gold Corp $0 (exited)
     GOLD0-50$0
Global Pmts Inc $0 (exited)
     GPN0-78$0
Hess Corp $0 (exited)
     HES0-67$0
Hexcel Corp New $0 (exited)
     HXL0-79$0
ING Groep N. V. $0 (exited)
     ING0-441$0
Intuitive Surgical Inc $0 (exited)
     ISRG0-15$0
Illinois Tool Wks Inc $0 (exited)
     ITW0-685$0
Nuveen Pfd & Income Opportun $0 (exited)
     JPC0-10,089$0
Quaker Houghton $0 (exited)
     KWR0-56$0
Laboratory Corp Amer Hldgs $0 (exited)
     LH0-55$0
Las Vegas Sands Corp $0 (exited)
     LVS0-134$0
Masimo Corp $0 (exited)
     MASI0-89$0
McCormick & Co Inc $0 (exited)
     MKC0-79$0
Maximus Inc $0 (exited)
     MMS0-206$0
Merit Med Sys Inc $0 (exited)
     MMSI0-231$0
Mosaic Co New $0 (exited)
     MOS0-119$0
Nuveen Taxable Municpal Inm $0 (exited)
     NBB0-4,113$0
Nordson Corp $0 (exited)
     NDSN0-65$0
Putnam Master Inter Income T $0 (exited)
     PIM0-4,500$0
Prospect Cap Corp $0 (exited)
     PSEC0-5,000$0
PSQ Holdings Inc $0 (exited)
     PSQH0-265$0
PTC Inc $0 (exited)
     PTC0-99$0
Raymond James Finl Inc $0 (exited)
     RJF0-174$0
Cohen & Steers Quality Incom $0 (exited)
     RQI0-133$0
Schwab Charles Corp $0 (exited)
     SCHW0-273$0
Steris PLC $0 (exited)
     STE0-74$0
Standex Intl Corp $0 (exited)
     SXI0-162$0
Sensient Technologies Corp $0 (exited)
     SXT0-160$0
Stryker Corporation $0 (exited)
     SYK0-91$0
Teleflex Incorporated $0 (exited)
     TFX0-38$0
Toro Co $0 (exited)
     TTC0-89$0
Take Two Interactive Softwar $0 (exited)
     TTWO0-4$0
UFP Industries Inc $0 (exited)
     UFPI0-174$0
United Rentals Inc $0 (exited)
     URI0-55$0
U S Physical Therapy $0 (exited)
     USPH0-75$0
Viatris Inc 0 -83 $0 (exited)
     VTRS0-83$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

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