Ancora Advisors Llc Portfolio Stock Holdings

Ancora Advisors Llc disclosed 2457 stock positions valued at approximately $4.7 billion in its latest SEC 13F filing. The largest holdings include LKQ CORP COM, APPLE INC COM, and VANGUARD S&P 500 ETF. The filing reflects positions held as of March 31, 2026 and was filed on May 15, 2026.

Report Period
March 31, 2026
No. of Stocks
2457
Portfolio Value
$4.7B
Holdings by Sector
Ancora Advisors Llc Portfolio Holdings in Q1 2026

1117 holdings in the latest reporting period.

Page 1 of 12
CompanySymbolSectorPortfolio %SharesChange (Shares)Change %Value
LKQ CORP COMLKQConsumer Cyclical5.04%8,046,484+44,532+0.56%$236,325,221
APPLE INC COMAAPLTechnology2.88%533,204-19,720-3.57%$135,321,912
VANGUARD S&P 500 ETFVOOOther2.57%201,763+12+0.01%$120,563,227
ISHARES TR CORE S&P TOTAL U SITOTOther2.14%704,573+33,278+4.96%$100,352,297
MICROSOFT CORPMSFTTechnology1.89%239,267+2,723+1.15%$88,569,493
JOHNSON & JOHNSONJNJHealthcare1.31%251,294-25,693-9.28%$61,426,277
ISHARES TR CORE S&P500 ETFIVVOther1.22%87,628-3,822-4.18%$57,239,561
CHEVRON CORP NEW COMCVXEnergy1.08%244,451-11,664-4.55%$50,576,974
HONEYWELL INTERNATIONAL INCHONIndustrials1.06%220,271+1,927+0.88%$49,787,886
WARNER BROS DISCOVERY INCWBDCommunication Services1.03%1,768,357+1,763,667+37604.84%$48,559,084
GENERAL DYNAMICS CORPGDIndustrials1.01%137,977-10,687-7.19%$47,356,400
ALPHABET INC CAP STK CL CGOOGCommunication Services1.00%163,957-6,262-3.68%$47,032,737
BERKSHIRE HATHAWAY INC DEL CLBRK-BFinancial Services0.99%97,321-1,212-1.23%$46,636,016
GREEN PLAINS INC COMGPREBasic Materials0.96%2,734,926+1,016,270+59.13%$44,989,532
BANK OF AMERICA CORPORATION COBACFinancial Services0.81%775,619-53,830-6.49%$37,811,434
HOME DEPOT INCHDConsumer Cyclical0.77%110,049-5,702-4.93%$36,194,282
AMAZON COM INC COMAMZNConsumer Cyclical0.76%172,375+557+0.32%$35,900,606
PROCTER & GAMBLE COPGConsumer Defensive0.75%244,627-12,793-4.97%$35,333,826
RAYONIER INC COMRYNReal Estate0.69%1,571,226+1,271,787+424.72%$32,398,680
HOULIHAN LOKEY INCHLIFinancial Services0.68%223,357-56,904-20.30%$32,078,489
MARRIOTT INTERNATIONAL INC NEWMARConsumer Cyclical0.66%95,074-7,252-7.09%$31,095,823
MCDONALDS CORPMCDConsumer Cyclical0.65%98,126-11,246-10.28%$30,496,765
VANGUARD BD INDEX FD INC SHORTBSVOther0.64%381,909-31,394-7.60%$29,945,511
ALPHABET INC CAP STK CL AGOOGLCommunication Services0.56%91,827-3,069-3.23%$26,405,885
MASTERCARD INC CL AMAFinancial Services0.50%46,729+16,736+55.80%$23,348,495
SCHWAB STRATEGIC TR US LARGE CSCHXOther0.48%885,800-18,276-2.02%$22,711,921
UNION PAC CORP COMUNPIndustrials0.46%89,136+59,479+200.56%$21,626,086
STIFEL FINL CORP COMSFFinancial Services0.43%271,103+67,036+32.85%$20,039,922
WALT DISNEY CODISCommunication Services0.42%205,151-19,394-8.64%$19,772,480
ISHARES TR BRC 0-5 YR TIPSTIPOther0.40%181,566+735+0.41%$18,779,422
AMENTUM HOLDINGSAMTMOther0.39%703,119+300,773+74.75%$18,337,343
GILEAD SCIENCES INC COMGILDHealthcare0.39%130,537+126,263+2954.21%$18,192,949
ISHARES TR S&P SMLCAP 600IJROther0.37%141,069+3,543+2.58%$17,536,247
COSTCO WHSL CORP NEW COMCOSTConsumer Defensive0.37%17,446-261-1.47%$17,383,911
PACCAR INC COMPCARIndustrials0.37%150,379-8,927-5.60%$17,368,811
MIDDLEBY CORP COMMIDDIndustrials0.36%126,586+31,159+32.65%$16,782,772
SHERWIN WILLIAMS COSHWBasic Materials0.35%50,844-18-0.04%$16,298,174
QUALCOMM INC COMQCOMTechnology0.35%126,067-15,547-10.98%$16,234,981
ISHARES TR CORE S&P MCP ETFIJHOther0.34%236,827-2,433-1.02%$15,992,957
VANGUARD SPECIALIZED PORTFOLIOVIGOther0.33%72,581-1,056-1.43%$15,609,245
VANGUARD INDEX FDS VALUE ETFVTVOther0.33%78,966+38,317+94.26%$15,493,139
CRANE NXT COCXTIndustrials0.33%378,741+117,550+45.01%$15,373,097
WAL-MART STORES INC COMWMTConsumer Defensive0.33%123,601-3,672-2.89%$15,361,187
ISHARES TR S&P 100 IDX FDOEFOther0.33%48,017+2,379+5.21%$15,272,683
UGI CORP NEW COMUGIUtilities0.31%395,359-6,950-1.73%$14,398,975
ISHARES TR EAFE VALUE ETFEFVOther0.30%191,831+16,202+9.23%$14,262,598
VANGUARD INDEX FDS SM CP VAL EVBROther0.30%65,433+1,881+2.96%$14,215,247
EXXON MOBIL CORP COMXOMEnergy0.28%78,534-3,622-4.41%$13,324,091
VISA INC COM CL AVFinancial Services0.28%43,700+2,506+6.08%$13,207,776
SPDR S&P 500 ETF TR TR UNITSPYOther0.28%20,051-9-0.04%$13,040,190
AMRIZEAMRZOther0.28%230,763-17,417-7.02%$12,927,343
ISHARES TR S&P500 GRWIVWOther0.27%113,698+9,527+9.15%$12,860,394
ASML HOLDING N V N Y REGISTRYASMLOther0.27%9,728-702-6.73%$12,849,401
AMGEN INC COMAMGNHealthcare0.27%36,123-70-0.19%$12,709,873
API GROUP CORP COM 144AAPGIndustrials0.26%306,887-505-0.16%$12,435,061
SPROTT PHYSICAL GOLD TRUST UNIPHYSOther0.26%347,932-606-0.17%$12,330,710
VANGUARD MID-CAP ETFVOOther0.26%42,005+127+0.30%$12,062,889
AMERICAN CENTY ETF TR AVANTISAVUVOther0.26%108,968-600-0.55%$12,037,708
ISHARES TR MBS ETFMBBOther0.25%122,724+15,066+13.99%$11,652,620
MILLROSE PROPERTIESMRPOther0.24%410,189+66,680+19.41%$11,485,292
APPLIED MATERIALS INCAMATTechnology0.24%33,602-3,709-9.94%$11,484,670
VEEVA SYS INCVEEVHealthcare0.24%64,913-66,946-50.77%$11,402,617
L3HARRIS TECHNOLOGIES INC COMLHXIndustrials0.23%31,487-148-0.47%$10,867,838
FORTUNE BRANDS INNOVATIONS INCFBINIndustrials0.23%278,296-95,456-25.54%$10,845,205
NPK INTERNATIONAL INCNREnergy0.22%727,350-231,210-24.12%$10,539,302
VANGUARD REIT ETFVNQOther0.22%116,248+14,229+13.95%$10,311,206
ISHARES TR USA MIN VOL IDUSMVOther0.22%110,591-2,143-1.90%$10,256,234
ISHARES TR S&P 500 VALUEIVEOther0.22%48,517+4,400+9.97%$10,244,351
VONTIER CORPVNTTechnology0.21%282,526+968+0.34%$10,021,197
VANGUARD FTSE DEV MKTS ETFVEAOther0.21%155,416+19,977+14.75%$9,959,049
PARKER HANNIFIN CORP COMPHIndustrials0.21%11,045-182-1.62%$9,888,152
PEPSICO INCPEPConsumer Defensive0.20%61,533-3,563-5.47%$9,555,405
VANGUARD FTSE EMERGING MKTS ETVWOOther0.20%176,352+5,500+3.22%$9,531,802
BLACKROCK ETF TRUST II FLEXIBLBINCOther0.20%181,079+20,439+12.72%$9,403,426
ARCOSA INCACAIndustrials0.19%85,105-350-0.41%$9,033,045
CISCO SYS INCCSCOOther0.19%114,044-1,931-1.67%$8,848,648
REPUBLIC SVCS INC COMRSGIndustrials0.19%39,953-173-0.43%$8,750,579
VANGUARD INDEX FDS TOTAL STK MVTIOther0.18%26,884-1,120-4.00%$8,624,614
VANGUARD INDEX EXTENDED MKTVXFOther0.18%41,063-456-1.10%$8,450,865
MCKESSON CORP COMMCKHealthcare0.18%9,756-494-4.82%$8,442,632
ENOVIS CORPENOVIndustrials0.17%357,246+199,941+127.10%$8,127,346
VANGUARD SMALL-CAP ETFVBOther0.17%30,510-126-0.41%$7,991,175
AIR PRODS & CHEMS INC COMAPDBasic Materials0.17%27,450-99-0.36%$7,973,868
CRANE HOLDINGSCRIndustrials0.17%46,488-18,870-28.87%$7,949,448
ISHARES TR MSCI EAFE GROWTHEFGOther0.17%70,459+5,875+9.10%$7,847,005
ISHARES TR RUSSELL1000GRWIWFOther0.17%18,352-10-0.05%$7,825,495
MARRIOTT VACATIONS WRLDWDE CPVACConsumer Cyclical0.16%117,999+85,894+267.54%$7,684,095
NORDSON CORP COMNDSNIndustrials0.16%27,881-230-0.82%$7,418,117
NEXTERA ENERGY INC COMNEEUtilities0.16%79,766-1,006-1.25%$7,408,680
ISHARES TR BARCLYS 1-3 YRSHYOther0.16%89,686-4,154-4.43%$7,405,403
TRANSDIGM GROUP INCTDGIndustrials0.15%6,268+177+2.91%$7,264,461
DECKERS OUTDOOR CORP COMDECKConsumer Cyclical0.15%70,442-1,740-2.41%$7,050,540
EZCORP INCEZPWFinancial Services0.14%266,550-2,570-0.95%$6,765,039
ATLANTA BRAVES HOLDINGS INCBATRKCommunication Services0.14%156,818-18,690-10.65%$6,696,129
ENTERPRISE PRODUCTS PARTNERSEPDEnergy0.14%176,607-1,152-0.65%$6,682,816
PHILLIPS 66 COMPSXEnergy0.14%36,331-341-0.93%$6,618,846
NORTHWESTERN CORP COM NEWNWEUtilities0.14%98,225-31,180-24.09%$6,476,956
RAYMOND JAMES FINANCIAL INC CORJFFinancial Services0.13%43,581-540-1.22%$6,310,093
MARTIN MARIETTA MATERIALS INCMLMBasic Materials0.13%10,430+1+0.01%$6,139,688
COGNIZANT TECHNOLOGY SOLUTIONSCTSHTechnology0.13%98,409+4,005+4.24%$6,037,406