Hunter Associates Investment Management 13F annual report

Hunter Associates Investment Management is an investment fund managing more than $595 million ran by Patrick Clark. There are currently 252 companies in Mr. Clark’s portfolio. The largest investments include Microsoft Corp Com and Apple Inc, together worth $75.2 million.

Limited to 30 biggest holdings

$595 million Assets Under Management (AUM)

As of 25th July 2024, Hunter Associates Investment Management’s top holding is 90,098 shares of Microsoft Corp Com currently worth over $40.3 million and making up 6.8% of the portfolio value. In addition, the fund holds 166,007 shares of Apple Inc worth $35 million, whose value grew 18.8% in the past six months. The third-largest holding is Goldman Sachs Etf Tr Activebeta U S Large Cap Equity Etf worth $27.1 million and the next is Wisdomtree Tr Intl Hedged Quality Divid Growth Fd worth $21.5 million, with 471,035 shares owned.

Currently, Hunter Associates Investment Management's portfolio is worth at least $595 million. The total portfolio value may be much higher due to cash assets that are not publicly disclosed such as fixed income, real estate, or cash equivalents.

Careers at Hunter Associates Investment Management

The Hunter Associates Investment Management office and employees reside in Pittsburgh, Pennsylvania. According to the last 13-F report filed with the SEC, Patrick Clark serves as the CCO at Hunter Associates Investment Management.

Recent trades

In the most recent 13F filing, Hunter Associates Investment Management revealed that it had opened a new position in Labcorp Hldgs Inc Com and bought 19,945 shares worth $4.06 million.

The investment fund also strengthened its position in Wisdomtree Tr Intl Hedged Quality Divid Growth Fd by buying 65,553 additional shares. This makes their stake in Wisdomtree Tr Intl Hedged Quality Divid Growth Fd total 471,035 shares worth $21.5 million.

On the other hand, there are companies that Hunter Associates Investment Management is getting rid of from its portfolio. Hunter Associates Investment Management closed its position in J P Morgan Exchange-traded Fd Tr Inflation Managed Bd Etf on 1st August 2024. It sold the previously owned 98,533 shares for $4.62 million. Patrick Clark also disclosed a decreased stake in Microsoft Corp Com by approximately 0.1%. This leaves the value of the investment at $40.3 million and 90,098 shares.

One of the smallest hedge funds

The two most similar investment funds to Hunter Associates Investment Management are Cfs Investment Advisory Services and Tpi Fund Managers Ltd. They manage $593 million and $597 million respectively.


Patrick Clark investment strategy

Hunter Associates Investment Management’s portfolio is diversified across 12 sectors. Currently, their heaviest sector is Health Care — making up 8.8% of the total portfolio value. The fund focuses on investments in the United States as 27.0% of the portfolio companies are based in the United States.

The majority of the companies in the fund’s portfolio are large-cap stocks. Stocks with a size of more than $10 billion in market cap make up 23% of the total holdings value. On the other hand, small-cap stocks make up only 0.8% of the portfolio. The average market cap of the portfolio companies is close to $133 billion.

The complete list of Hunter Associates Investment Management trades based on 13F SEC filings

These positions were updated on August 1st based on the fund’s latest 13F filing. Quickly find out what the most recently closed or increased positions are.

Security Shares Owned Value Allocation
Microsoft Corp Com
0.47%
90,098
$40,258,000 6.77%
Apple Inc
0.07%
166,007
$34,965,000 5.88%
Goldman Sachs Etf Tr Activebeta U S Large Cap Equity Etf
0.95%
253,461
$27,100,000 4.56%
Wisdomtree Tr Intl Hedged Quality Divid Growth Fd
16.17%
471,035
$21,464,000 3.61%
AMGEN Inc.
1.38%
54,186
$16,924,000 2.85%
Schwab Strategic Tr Us Dividend Equity Etf
28.45%
190,415
$14,786,000 2.49%
Ishares Tr Core 1-5 Yr Usd Bd Etf
22.67%
279,115
$13,218,000 2.22%
Fiserv, Inc.
2.44%
85,873
$12,800,000 2.15%
Fidelity Merrimack Str Tr Total Bd Etf
26.13%
272,371
$12,230,000 2.06%
Price T Rowe Group Inc Com
1.86%
103,381
$11,923,000 2.00%
Invesco Exchanged Traded Fd Tr Ii Nasdaq 100 Etf
18.22%
49,101
$9,695,000 1.63%
Resmed Inc.
0.79%
50,295
$9,628,000 1.62%
Broadcom Inc
9.69%
5,794
$9,287,000 1.56%
Procter Gamble Co Com
0.02%
54,197
$8,935,000 1.50%
Lilly Eli Co Com
11.27%
8,896
$8,054,000 1.35%
Pepsico Inc Com
0.81%
48,447
$7,984,000 1.34%
Accenture Plc Ireland Class Shs
0.00%
25,795
$7,828,000 1.32%
Thermo Fisher Scientific Inc.
1.14%
13,720
$7,588,000 1.28%
Johnson Johnson Com
0.63%
51,250
$7,491,000 1.26%
Invesco Exchange-traded Fd Tr Sp Midcap Quality Etf
3.93%
70,402
$6,835,000 1.15%
J P Morgan Exchange- Traded Fd Tr Equity Premium Income Etf
10.09%
107,250
$6,077,000 1.02%
Cisco Systems, Inc.
0.54%
125,696
$5,978,000 1.00%
Exxon Mobil Corp Com
0.04%
51,057
$5,884,000 0.99%
Spdr Ser Tr Nuveen Bloomberg Barclays Short Term Mun Bd Etf
No change
123,607
$5,835,000 0.98%
Nxp Semiconductors Nv Com
No change
20,098
$5,406,000 0.91%
Vanguard Mun Bd Fds Tax-exempt Bd Index Fd Etf
2.90%
102,554
$5,139,000 0.86%
Shift4 Pmts Inc Cl A
44.92%
69,790
$5,125,000 0.86%
Visa Inc
0.20%
19,554
$5,121,000 0.86%
DMC Global Inc
1.30%
346,708
$4,989,000 0.84%
J P Morgan Exchange-traded Fd Tr Inflation Managed Bd Etf
Closed
98,533
$4,619,000
Laboratory Corp Amer Hldgs Com New
Closed
20,145
$4,401,000
Fidelity Natl Finl Inc New Fnf Group
1.62%
84,775
$4,196,000 0.71%
Abbvie Inc
2.54%
24,270
$4,161,000 0.70%
Texas Pac Ld Corp Com
8.09%
5,644
$4,144,000 0.70%
Labcorp Hldgs Inc Com
Opened
19,945
$4,060,000 0.68%
Fedex Corp Com
11.36%
13,501
$4,043,000 0.68%
Omega Flex Inc
No change
78,682
$4,032,000 0.68%
Pfizer Inc.
0.54%
136,399
$3,818,000 0.64%
Ansys Inc.
No change
10,459
$3,360,000 0.56%
Philip Morris Intl Inc Com
31.07%
33,130
$3,351,000 0.56%
Ishares Tr Ishares 0-3 Mnth Treas Bd Etf
2.96%
32,793
$3,303,000 0.56%
Novo Nordisk A.s. Adr Formerly Novo Industrie A.s. Adr
15.86%
21,790
$3,113,000 0.52%
Alphabet Inc Cap Stk Cl C
0.60%
16,539
$3,031,000 0.51%
Ppg Inds Inc Com
0.00%
23,869
$3,003,000 0.50%
Watsco, Inc.
9.17%
6,440
$2,980,000 0.50%
Chevron Corp New Com
0.78%
19,005
$2,973,000 0.50%
Expedia Group Inc Com New
13.17%
23,591
$2,973,000 0.50%
Abbott Labs Com
0.00%
27,508
$2,860,000 0.48%
Hyster-yale Matls Handling Inc Cl A
21.98%
40,650
$2,838,000 0.48%
Churchill Downs, Inc.
4.89%
20,392
$2,838,000 0.48%
Stryker Corp.
No change
8,200
$2,790,000 0.47%
Ishares Tr Short-term Corp Bd Etf
1.94%
54,172
$2,774,000 0.47%
Bellring Brands Inc New Com
6.38%
47,750
$2,732,000 0.46%
Saia Inc.
5.96%
5,747
$2,719,000 0.46%
Trimble Inc
3.29%
47,947
$2,677,000 0.45%
Hyatt Hotels Corp Com Cl A
2.58%
16,982
$2,580,000 0.43%
Aptiv Plc Shs Com
2.63%
36,623
$2,574,000 0.43%
Corning, Inc.
4.51%
65,368
$2,543,000 0.43%
Mcdonalds Corp
0.34%
9,710
$2,472,000 0.42%
Morgan Stanley Com New
0.49%
25,402
$2,471,000 0.42%
Waste Mgmt Inc Del Com
0.40%
11,205
$2,392,000 0.40%
Autozone Inc.
9.64%
796
$2,380,000 0.40%
Hologic, Inc.
1.09%
30,744
$2,284,000 0.38%
Lindblad Expeditions Hldgs Inc Com
5.76%
234,890
$2,263,000 0.38%
Jpmorgan Chase
6.18%
10,977
$2,216,000 0.37%
Applied Digital Corp Com New
12.99%
371,334
$2,215,000 0.37%
First Amern Finl Corp Com
26.65%
40,033
$2,169,000 0.36%
Williams-Sonoma, Inc.
15.09%
7,563
$2,141,000 0.36%
Altria Group Inc.
6.39%
46,848
$2,139,000 0.36%
Digital Rlty Tr Inc Com
No change
14,077
$2,136,000 0.36%
Mondelez International Inc.
8.59%
32,132
$2,108,000 0.35%
Intel Corp Com
5.24%
67,203
$2,081,000 0.35%
Comfort Sys Usa Inc Com
14.64%
6,790
$2,065,000 0.35%
Genuine Parts Co Com
5.77%
14,315
$1,977,000 0.33%
Amazon.com Inc.
0.10%
10,111
$1,960,000 0.33%
Take Two Interactive Software Inc Cdt Com
5.49%
12,494
$1,943,000 0.33%
Automatic Data Processing Inc.
2.11%
8,125
$1,940,000 0.33%
International Business Machs Corp Com
3.26%
10,895
$1,882,000 0.32%
Pnc Finl Svcs Group Inc Com
No change
11,921
$1,857,000 0.31%
General Mills, Inc.
0.23%
29,353
$1,853,000 0.31%
Smucker J M Co Com New
17.79%
16,804
$1,838,000 0.31%
Reliance Stl Alum Co Com
4.37%
6,330
$1,809,000 0.30%
Vanguard Scottsdale Fds Vanguard Short-term Corporate Bd Index Fd
8.64%
23,307
$1,800,000 0.30%
Unitedhealth Group Inc
No change
3,372
$1,717,000 0.29%
Global X Fds Nasdaq 100 Covered Call Etf
10.73%
96,687
$1,708,000 0.29%
Symbotic Inc Cl A
23.13%
48,606
$1,704,000 0.29%
Berkshire Hathaway Inc Del Cl B New
2.35%
4,164
$1,694,000 0.28%
Snap-on, Inc.
7.64%
6,451
$1,686,000 0.28%
United Parcel Svc Inc Cl B
4.33%
12,268
$1,678,000 0.28%
Jones Lang Lasalle Inc.
7.44%
8,162
$1,668,000 0.28%
Old Dominion Freight Line, Inc.
7.98%
9,205
$1,624,000 0.27%
Vanguard Index Fds Vanguard Small-cap Etf
14.42%
7,355
$1,596,000 0.27%
Ishares Tr Morningstar Mid Cap Growth Etf
6.04%
23,381
$1,587,000 0.27%
Southern Copper Corp Del Com
9.05%
13,961
$1,504,000 0.25%
Jabil Inc
5.56%
13,563
$1,480,000 0.25%
Fidelity Natl Information Svcs Inc Com
No change
19,283
$1,448,000 0.24%
Vanguard Index Fds Vanguard Extended Mkt Etf
8.53%
8,469
$1,429,000 0.24%
Brown Brown Inc
5.40%
15,755
$1,412,000 0.24%
Merck Co Inc New Com
0.50%
11,343
$1,403,000 0.24%
The Scotts Miracle Gro Co Hldg Co
6.45%
21,383
$1,380,000 0.23%
Texas Instruments Inc.
1.08%
7,038
$1,376,000 0.23%
Summit Matls Inc Cl A
Opened
37,655
$1,374,000 0.23%
Electromed Inc.
5.80%
91,200
$1,372,000 0.23%
Carrier Global Corp Com
6.38%
21,353
$1,349,000 0.23%
Amphenol Corp.
65.65%
19,755
$1,332,000 0.22%
Oracle Corp Com
0.04%
9,419
$1,329,000 0.22%
Tetra Tech Inc New Com
5.40%
6,461
$1,316,000 0.22%
United Parks Resorts Inc Com
6.07%
24,028
$1,300,000 0.22%
Nvidia Corp Com
962.82%
10,320
$1,275,000 0.21%
Herc Hldgs Inc Com
4.25%
9,327
$1,252,000 0.21%
General Elec Co Com New
No change
7,841
$1,250,000 0.21%
Shell Plc Sponsored Adr Repstg Ord Sh
0.58%
17,217
$1,241,000 0.21%
Constellation Brands Inc
5.05%
4,805
$1,240,000 0.21%
Gilead Sciences, Inc.
2.74%
17,725
$1,219,000 0.20%
Palomar Hldgs Inc Com
22.42%
14,854
$1,209,000 0.20%
CBRE Group Inc
40.98%
13,169
$1,172,000 0.20%
Honeywell Intl Inc Com
3.49%
5,443
$1,163,000 0.20%
Markel Corp Com
161.35%
737
$1,163,000 0.20%
Brunswick Corp Com
0.98%
15,596
$1,138,000 0.19%
Capital Group Fixed Income Etf Tr Core Plus Income Etf
Opened
51,091
$1,135,000 0.19%
Weyerhaeuser Co Com
0.81%
39,295
$1,121,000 0.19%
Meta Platforms Inc
2.39%
2,143
$1,079,000 0.18%
TREX Co., Inc.
7.91%
14,413
$1,068,000 0.18%
Ishares Tr Natl Mun Bd Etf Fd
No change
10,000
$1,066,000 0.18%
Kenvue Inc Com
Closed
47,186
$1,015,000
NextEra Energy Inc
1.45%
14,106
$998,000 0.17%
Willis Towers Watson Pub Ltd Co Shs
No change
3,810
$997,000 0.17%
Phillips 66 Com
1.42%
6,963
$981,000 0.16%
Kimberly Clark Corp Com
27.43%
7,015
$973,000 0.16%
Republic Svcs Inc Com
3.85%
5,000
$970,000 0.16%
Colgate Palmolive Co Com
No change
9,994
$969,000 0.16%
Alphabet Inc
No change
5,315
$966,000 0.16%
Hershey Co Com
96.19%
5,099
$939,000 0.16%
Lockheed Martin Corp Com
No change
2,006
$936,000 0.16%
Matthews Intl Corp Cl A Com
12.89%
36,356
$914,000 0.15%
Nasdaq Inc
No change
14,997
$902,000 0.15%
Ishares Tr Core Intl Aggregate Bd Etf
17.24%
17,743
$887,000 0.15%
Vanguard Scottsdale Fds Vanguard Inter-term Treas Index Fd
18.36%
15,210
$886,000 0.15%
Mccormick Co Inc Com Non Vtg
2.34%
12,380
$876,000 0.15%
Costco Wholesale Corp New Com
0.29%
1,023
$871,000 0.15%
Iron Mtn Inc New Com
Closed
10,700
$858,000
Aflac Inc.
No change
9,260
$828,000 0.14%
Bank Of New York Mellon Corp Com
2.82%
13,800
$828,000 0.14%
Caterpillar Inc.
0.04%
2,428
$811,000 0.14%
Coca-Cola Co
No change
12,633
$800,000 0.13%
Home Depot, Inc.
2.85%
2,313
$797,000 0.13%
Crh Plc Shs
4.53%
10,540
$786,000 0.13%
Bristol Myers Squibb Co Com
73.90%
18,311
$759,000 0.13%
Wal-mart
5.60%
11,120
$753,000 0.13%
Citigroup Inc Com New
0.86%
11,540
$731,000 0.12%
Trinity Biotech Plc Spons Adr New Feb 2024
5.00%
333,710
$714,000 0.12%
Boeing Co Com
10.14%
3,748
$683,000 0.11%
Vanguard Specialized Funds Vanguard Dividend Appreciation Etf
5.10%
3,725
$681,000 0.11%
Rio Tinto Plc Sponsored Adr
No change
10,300
$680,000 0.11%
Deere Co
0.06%
1,817
$678,000 0.11%
Union Pac Corp Com
4.76%
2,940
$667,000 0.11%
Dollar Gen Corp New Com
7.77%
4,853
$637,000 0.11%
Ishares Tr Russell Mid-cap Etf
3.69%
7,794
$632,000 0.11%
Disney Walt Co Disney Com
1.56%
6,295
$626,000 0.11%
Eqt Corporation Com
2.30%
16,753
$620,000 0.10%
Biogen Idec Inc Com
Opened
2,600
$603,000 0.10%
State Str Corp Com
No change
8,001
$592,000 0.10%
Sysco Corp Com
No change
8,275
$589,000 0.10%
American Express Co.
No change
2,524
$585,000 0.10%
Capital Group Growth Etf Shs Creation Unit
No change
17,600
$579,000 0.10%
Raytheon Technologies Corp Com
3.61%
5,739
$573,000 0.10%
Medtronic Plc Shs
7.10%
7,259
$571,000 0.10%
Huntington Bancshares, Inc.
19.07%
43,227
$569,000 0.10%
Capital Group Divid Value Etf Shs Creation Unit
No change
17,100
$564,000 0.09%
F N B Corp Pa Com
No change
40,600
$555,000 0.09%
First Tr Exchange-traded Fd Nasdaq Clean Edge Green Energy Index
1.36%
16,073
$540,000 0.09%
Ishares Tr Select Divid Etf Fd
8.84%
4,476
$538,000 0.09%
Ishares Tr Core Sp 500 Etf
1.63%
968
$530,000 0.09%
Capital Group Core Equity Etf Shs Creation Unit
No change
16,300
$527,000 0.09%
Compass Diversified Hldgs Sh Ben Int
7.72%
23,900
$525,000 0.09%
Ishares Tr Short-term Natl Mun Bd Etf Fd
No change
5,000
$523,000 0.09%
L3Harris Technologies Inc
No change
2,189
$491,000 0.08%
3m Co Com
10.23%
4,802
$491,000 0.08%
Illinois Tool Works, Inc.
No change
2,065
$490,000 0.08%
Danaher Corp Com
No change
1,941
$486,000 0.08%
Paccar Inc.
No change
4,725
$486,000 0.08%
Dell Technologies Inc
1.28%
3,461
$478,000 0.08%
Kellogg Co Com
5.93%
8,252
$476,000 0.08%
Marathon Pete Corp Com
7.30%
2,718
$471,000 0.08%
Thermon Group Hldgs Inc Com
20.87%
15,350
$470,000 0.08%
Rockwell Automation Inc Com Formerly Rockwell Intl Corp
No change
1,680
$462,000 0.08%
Unilever Plc Spon Adr New
No change
8,250
$453,000 0.08%
Verizon Communications Inc
1.12%
10,990
$453,000 0.08%
Eaton Corporation Plc Shs
110.91%
1,430
$449,000 0.08%
Fortrea Hldgs Inc Com
No change
18,822
$445,000 0.07%
Fortune Brands Innovations Inc Com
5.63%
6,699
$435,000 0.07%
Quest Diagnostics, Inc.
No change
3,175
$434,000 0.07%
Fifth Third Bancorp Com
No change
11,840
$432,000 0.07%
Qualcomm, Inc.
3.39%
2,137
$426,000 0.07%
Ball Corp Com
No change
6,900
$414,000 0.07%
Mckesson Corp Com
No change
701
$410,000 0.07%
Equitrans Midstream Corp Com
Closed
31,184
$389,000
Canadian Pacific Kansas City Ltd Isin# Ca13646k1084
4.23%
4,927
$389,000 0.07%
Adobe Sys Inc Com
No change
691
$384,000 0.06%
Comcast Corp Cl A
2.81%
9,802
$381,000 0.06%
Discover Finl Svcs Com Inc
No change
2,800
$367,000 0.06%
Tjx Cos Inc New Com
0.03%
3,307
$364,000 0.06%
Cigna Corp New Com
No change
1,087
$361,000 0.06%
Amerisource Bergen Corp Com
No change
1,600
$360,000 0.06%
Att Inc Com
12.95%
18,480
$352,000 0.06%
Flex Ltd Ord Shs
No change
11,850
$351,000 0.06%
Conocophillips Com
29.11%
2,976
$340,000 0.06%
Blackrock Floating Rate Income Tr Com
No change
26,011
$332,000 0.06%
Ge Vernova Inc Com
Opened
1,892
$327,000 0.05%
Zoetis Inc
18.36%
1,863
$323,000 0.05%
Air Prods Chems Inc Com
34.87%
1,233
$317,000 0.05%
Ishares Tr Core Divid Growth Etf
No change
5,400
$311,000 0.05%
Ishares Tr 0-5 Yr High Yield Corp Bd Etf
2.30%
7,289
$307,000 0.05%
American Wtr Wks Co Inc New Com
No change
2,335
$304,000 0.05%
Crown Castle Intl Corp New Com
3.44%
3,118
$304,000 0.05%
Mannkind Corp Com New
No change
56,870
$296,000 0.05%
Wisdomtree Tr Intl Quality Divid Growth Fd
No change
7,900
$294,000 0.05%
Lyondellbasell Industries N V Ord Shs Cl A
8.99%
2,993
$287,000 0.05%
Darling Ingredients Inc
Opened
7,750
$285,000 0.05%
RPM International, Inc.
No change
2,558
$277,000 0.05%
Franco Nev Corp Com
69.58%
2,325
$276,000 0.05%
Kinder Morgan Inc Del Com
No change
13,711
$273,000 0.05%
Target Corp Com
No change
1,850
$273,000 0.05%
Sherwin Williams Co Com
No change
910
$272,000 0.05%
Elbit Systems Ltd.
4.62%
1,550
$269,000 0.05%
Yum Brands Inc.
No change
2,012
$268,000 0.05%
Spdr Portfolio Short Term Corporate Bd Etf
No change
9,050
$268,000 0.05%
Thornburg Income Bldr Opportunities Tr Com
5.76%
16,525
$267,000 0.04%
Lamb Weston Hldgs Inc Com
1.64%
3,182
$267,000 0.04%
Micron Technology Inc.
9.78%
2,020
$266,000 0.04%
Ishares Tr Core Sp Small-cap Etf
42.16%
2,465
$262,000 0.04%
Bank Of America Corporation Com
No change
6,538
$260,000 0.04%
Ethan Allen Interiors Inc Com
11.88%
8,900
$249,000 0.04%
Dexcom Inc
Closed
1,760
$244,000
Ishares Tr Core Sp Mid-cap Etf
6.67%
4,144
$242,000 0.04%
Astronics Corp Com
No change
12,000
$240,000 0.04%
Elanco Animal Health Inc
No change
16,600
$239,000 0.04%
Paychex Inc.
Opened
2,005
$239,000 0.04%
Netflix Inc.
4.55%
345
$232,000 0.04%
Paypal Hldgs Inc Com
Closed
3,435
$230,000
Spdr Ser Tr Portfolio Sp 1500 Composite Stk Mkt Etf
Closed
3,554
$229,000
Lowes Cos Inc Com
Closed
890
$227,000
General Dynamics Corp Com
3.16%
766
$222,000 0.04%
Tenable Hldgs Inc Com
Closed
4,457
$221,000
Keysight Technologies Inc
Closed
1,370
$215,000
Zimmer Biomet Hldgs Inc Com
No change
1,971
$214,000 0.04%
Veeva Sys Inc Cl A Com
1.72%
1,143
$213,000 0.04%
Flexshares Tr Quality Divid Index Fd
No change
3,163
$211,000 0.04%
Ipg Photonics Corp Com
Closed
2,322
$209,000
Ge Healthcare Technologies Inc Com
No change
2,681
$208,000 0.03%
Dominion Energy Inc
2.16%
4,222
$208,000 0.03%
Principal Finl Group Inc Com
Closed
2,411
$208,000
Steel Dynamics Inc.
42.86%
1,600
$207,000 0.03%
Pimco Etf Tr Active Bd Etf
No change
2,250
$206,000 0.03%
CME Group Inc
No change
1,029
$203,000 0.03%
Avery Dennison Corp Com
No change
923
$202,000 0.03%
Pentair Plc Shs
Closed
2,361
$201,000
Cleveland-cliffs Inc New Com
No change
12,900
$199,000 0.03%
Western Un Co Com
No change
13,690
$167,000 0.03%
Keycorp New Com
0.07%
11,523
$163,000 0.03%
Farmers Natl Banc Corp Com
14.18%
12,301
$152,000 0.03%
Viatris Inc.
4.85%
10,862
$115,000 0.02%
Matterport Inc Com Cl A
No change
11,700
$51,000 0.01%
Sifco Inds Inc
No change
10,000
$31,000 0.01%
Ampco-Pittsburgh Corp.
40.63%
38,000
$29,000 0.00%
Adaptimmune Therapeutics Plc Sponsored Adr
No change
23,000
$22,000 0.00%
No transactions found
Showing first 500 out of 266 holdings