Farmers & Merchants Trust Co Of Chambersburg Pa Portfolio Stock Holdings

Farmers & Merchants Trust Co Of Chambersburg Pa disclosed 333 stock positions valued at approximately $357,233 in its latest SEC 13F filing. The largest holdings include Vanguard BD Index Fds, iShares Tr, and iShares Tr. The filing reflects positions held as of March 31, 2026 and was filed on April 23, 2026.

Report Period
March 31, 2026
No. of Stocks
333
Portfolio Value
$357.2K
Holdings by Sector
Farmers & Merchants Trust Co Of Chambersburg Pa Portfolio Holdings in Q1 2026

328 holdings in the latest reporting period.

Page 1 of 4
CompanySymbolSectorPortfolio %SharesChange (Shares)Change %Value
Vanguard BD Index FdsBIVOther9.95%456,340--$35,540
iShares TrTLTOther5.00%205,050--$17,872
iShares TrEFVOther2.88%143,955--$10,280
Vanguard Index FdsVBROther2.75%46,437--$9,835
Vanguard Index FdsVOEOther2.72%54,855--$9,730
Fidelity Covington TrustFENIOther2.62%255,873--$9,360
Vanguard Index FdsVBKOther2.58%30,498--$9,214
Nvidia CorporationNVDATechnology2.31%44,173--$8,238
Vanguard Scottsdale FdsVCITOther2.25%96,145--$8,052
SPDR Series TrustBILOther2.18%85,234--$7,789
SPDR Gold TrGLDOther2.16%19,434--$7,702
SPDR Series TrustSJNKOther2.11%296,984--$7,520
Vanguard Index FdsVOTOther2.03%25,971--$7,250
Microsoft Corp MSFTTechnology1.86%13,750--$6,650
Select Sector SPDR TrXLKOther1.74%43,265--$6,229
Alphabet Inc GOOGLCommunication Services1.65%18,878--$5,909
JPMorgan Chase & Co JPMFinancial Services1.65%18,285--$5,892
Broadcom IncAVGOTechnology1.59%16,458--$5,696
Walmart Inc WMTConsumer Defensive1.57%50,501--$5,626
Select Sector SPDR TrXLUOther1.56%130,596--$5,575
SPDR Series TrustSPYGOther1.52%50,947--$5,436
SPDR Series TrustSPYVOther1.48%93,105--$5,289
Johnson & Johnson JNJHealthcare1.27%21,896--$4,531
Apple IncAAPLTechnology1.24%16,310--$4,434
Abbvie IncABBVHealthcare1.23%19,250--$4,398
Select Sector SPDR TrXLPOther1.23%56,547--$4,393
Visa IncVFinancial Services1.21%12,355--$4,333
Select Sector SPDR TrXLFOther1.21%78,886--$4,321
Select Sector SPDR TrXLCOther1.18%35,766--$4,210
RTX CorporationRTXIndustrials1.14%22,287--$4,087
Vanguard Scottsdale FdsVCSHOther1.14%50,873--$4,056
iShares TrIEFOther1.08%39,960--$3,843
Chevron CorporationCVXEnergy1.06%24,770--$3,775
Qualcomm IncQCOMTechnology1.02%21,267--$3,638
Amazon Com IncAMZNConsumer Cyclical1.02%15,732--$3,631
International Business Machs IBMTechnology0.99%11,889--$3,522
Goldman Sachs Group IncGSFinancial Services0.97%3,939--$3,462
Select Sector SPDR TrXLIOther0.96%22,081--$3,425
Oracle CorpORCLTechnology0.95%17,417--$3,395
Select Sector SPDR TrXLVOther0.94%21,768--$3,370
iShares TrFLOTOther0.91%64,123--$3,261
Dicks Sporting Goods IncDKSConsumer Cyclical0.88%15,895--$3,147
Select Sector SPDR TrXLREOther0.85%75,302--$3,038
Travelers Companies IncTRVFinancial Services0.85%10,436--$3,027
Select Sector SPDR TrXLEOther0.77%61,587--$2,754
Select Sector SPDR TrXLYOther0.73%21,893--$2,614
Costco Wholesale CorporationCOSTConsumer Defensive0.72%2,998--$2,585
J P Morgan Exchange Traded FJEPIOther0.72%44,770--$2,563
Southern CoSOUtilities0.69%28,332--$2,471
MetLife IncMETFinancial Services0.66%29,950--$2,364
iShares TrIWPOther0.62%16,244--$2,224
Eaton Corp PLCETNOther0.61%6,842--$2,179
iShares TrEFGOther0.57%17,947--$2,045
Select Sector SPDR TrXLBOther0.57%45,004--$2,041
Nucor CorpNUEBasic Materials0.56%12,253--$1,999
WisdomTree TrDONOther0.55%38,406--$1,982
Exxon Mobil Corp XOMEnergy0.49%14,630--$1,761
PPL CorpPPLUtilities0.49%49,609--$1,737
Johnson Controls InternationJCIIndustrials0.47%14,080--$1,686
iShares TrEFAOther0.47%17,373--$1,668
State Str SPDR S&P 500 ETF TrSPYOther0.47%2,437--$1,662
SPDR Series TrustXTLOther0.45%10,524--$1,612
Procter & Gamble Co PGConsumer Defensive0.40%9,920--$1,422
Blackrock IncBLKOther0.39%1,310--$1,402
NextEra Energy IncNEEUtilities0.33%14,829--$1,190
Applied Matls IncAMATTechnology0.33%4,540--$1,167
Public Svc Enterprise Group PEGUtilities0.31%13,823--$1,110
WisdomTree TrDGSOther0.29%18,107--$1,036
Valero Energy Corp VLOEnergy0.29%6,333--$1,031
Franklin Finl Svcs CorpFRAFFinancial Services0.28%19,713--$990
Air Products and Chemicals IAPDBasic Materials0.25%3,623--$895
iShares TrIWFOther0.21%1,621--$767
Coca Cola Co KOConsumer Defensive0.21%10,800--$755
iShares TrHYGOther0.21%9,179--$740
Medtronic PLCMDTOther0.19%7,028--$675
Pepsico Inc PEPConsumer Defensive0.16%3,910--$561
Constellation Energy CorpCEGUtilities0.15%1,500--$530
Meta Platforms IncMETACommunication Services0.14%765--$505
Abbott LaboratoriesABTHealthcare0.14%3,932--$493
Merck & Co Inc MRKHealthcare0.14%4,600--$484
Bank New York Mellon CorpBKFinancial Services0.13%3,965--$460
iShares TrIWROther0.13%4,696--$452
Waste Mgmt Inc DelWMIndustrials0.12%1,968--$432
Advanced Micro Devices IncAMDTechnology0.12%1,922--$412
Norfolk Southn CorpNSCIndustrials0.11%1,350--$390
Philip Morris Intl IncPMConsumer Defensive0.11%2,365--$379
Eli Lilly & CoLLYHealthcare0.10%338--$363
iShares TrIWDOther0.10%1,664--$350
Alphabet Inc GOOGCommunication Services0.09%1,047--$329
Home Depot Inc HDConsumer Cyclical0.09%886--$305
Vanguard Index FdsVOOther0.09%1,048--$304
Phillips 66PSXEnergy0.08%2,314--$299
Lockheed Martin CorpLMTIndustrials0.08%609--$295
iShares TrIVVOther0.08%415--$284
Prudential Finl Inc PRUFinancial Services0.08%2,505--$283
Lowes Cos Inc LOWConsumer Cyclical0.08%1,152--$278
Qorvo IncQRVOTechnology0.08%3,247--$274
Marathon Pete CorpMPCEnergy0.07%1,617--$263
Arista Networks IncANETOther0.07%2,000--$262
Steel Dynamics IncSTLDBasic Materials0.07%1,520--$258