Hudock Inc Investment Activity Analysis: Q2 2026 Portfolio Changes

Hudock, Inc. managed a substantial portfolio valued at $778 million as of June 30th, 2026. This period saw notable shifts including significant increases in positions like CZFS and CHMG.

By Insiderset.Aug 3, 2026, 12:36 PM
Hudock Inc Investment Activity Analysis: Q2 2026 Portfolio Changes

As of Hudock, Inc.'s reporting date on June 30th, 2026, the investment firm's portfolio reflected observable changes in holdings compared to the previous quarter. The total portfolio value stood at $778 million (approximated from 777508766), showcasing a dynamic approach to asset management.

Among the most significant activities this quarter were substantial purchases. CZFS, Citizens Finl Svcs Inc, saw its position increase dramatically by 91.46%, indicating a major new investment or allocation shift for the firm.

Similarly, CHMG, Chemung Finl Corp, represented an entirely new position in Hudock's portfolio as it experienced a 100% change from the prior period.

Other notable buys included VCIT, Vanguard Scottsdale Fds, which increased by 2.75%, and NVO, NOVO-NORDISK A S, also with a 100% change.

Additionally, Hudock added or increased positions in several other stocks including JPST, ADX, CZNC, and DFIV (though the latter's increase percentage was lower at 1.54%). These actions suggest a continued focus on diversification or specific sector opportunities.

Conversely, Hudock also demonstrated activity in exiting positions during this quarter. The most significant sell involved HYD, Vaneck ETF Trust, which decreased by 60.51% from the prior period.

Furthermore, based on the classification of large sells (has_large_sells: true), MU, Microstrategy Inc, was a significant exit despite not being explicitly listed in 'changed_holdings' as an exit with percentage change data.

In summary, Hudock's portfolio saw both inflows and outflows during Q2 2026. The firm significantly boosted its exposure to CZFS and initiated a position in CHMG. While specific data for other large holdings like GLW, SNDK, VGT is not detailed here due to missing information from the 'changed_holdings' list, their inclusion as significant buys confirms substantial capital deployment. On the sell side, HYD and MU stand out as major exits.