Farmers & Merchants Trust Co of Chambersburg PA - Stock Holdings in 13F Filings (SEC)

Updated on March 15, 2026.

Based on 13F Filings filed with the SEC on February 2, 2026, for the 2025 Q4 period, Farmers & Merchants Trust Co of Chambersburg PA held in its portfolio 324 assets valued at $357,233 (i.e. $357.23K).

The most valuable assets in the portfolio included: Vanguard Bd Index Fds ($35.54K), SRDR Series Trust ($27.86K), and iShares Tr ($17.87K).

The chart below shows the top 10 valuable assets, and the table below shows the top 324 valuable assets.

You can see similar for other investment managers.

Related Topics: SEC Topic List.
Data Source: SEC.
Top Valuable Stocks in Farmers & Merchants Trust Co of Chambersburg PA Portfolio
Vanguard Bd Index Fds
SRDR Series Trust
iShares Tr
iShares Tr
Vanguard Index Fds
Vanguard Index Fds
Fidelity Covington Trust
Vanguard Index Fds
Nvidia Corporation
Vanguard Scottsdale Fds
Farmers & Merchants Trust Co of Chambersburg PA - Stock Holdings in 13F Filings (SEC)
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Name of Issuer No. of Shares Value ($) Class
Vanguard Bd Index Fds 456340 35540 INTERMED TERM
SRDR Series Trust 538785 27862 STATE STREET SPD
iShares Tr 205050 17872 20 YR TR BD ETF
iShares Tr 143955 10280 EAFE VALUE ETF
Vanguard Index Fds 46437 9835 SM CP VAL ETF
Vanguard Index Fds 54855 9730 MCAP VL IDXVIP
Fidelity Covington Trust 255873 9360 ENHANCED INTL
Vanguard Index Fds 30498 9214 SML CP GRW ETF
Nvidia Corporation 44173 8238 COM
Vanguard Scottsdale Fds 96145 8052 INT-TERM CORP
SPDR Gold Tr 19434 7702 GOLD SHS
Vanguard Index Fds 25971 7250 MCAP GR IDXVIP
Select Sector SPDR Tr 78440 7007 STATE STREET CON
Microsoft Corp 13750 6650 COM
Select Sector SPDR Tr 43265 6229 STATE STREET TEC
Alphabet Inc 18878 5909 CAP STK CL A
JPMorgan Chase & Co. 18285 5892 COM
Broadcom Inc 16458 5696 COM
Walmart Inc 50501 5626 COM
Select Sector SPDR Tr 130596 5575 STATE STREET UTI
Johnson & Johnson 21896 4531 COM
Apple Inc 16310 4434 COM
Abbvie Inc 19250 4398 COM
Visa Inc 12355 4333 COM CL A
Select Sector SPDR Tr 78886 4321 STATE STREET FIN
Select Sector SPDR Tr 35766 4210 STATE STREET COM
RTX Corporation 22287 4087 COM
Vanguard Scottsdale Fds 50873 4056 SHRT TRM CORP BD
iShares Tr 39960 3843 7-10 YR TRSY BD
Chevron Corp New 24770 3775 COM
Qualcomm Inc 21267 3638 COM
Amazon Com Inc 15732 3631 COM
International Business Machs 11889 3522 COM
Goldman Sachs Group Inc 3939 3462 COM
Select Sector SPDR Tr 22081 3425 STATE STREET IND
Oracle Corp 17417 3395 COM
Select Sector SPDR Tr 21768 3370 STATE STREET HEA
iShares Tr 64123 3261 FLTG RATE NT ETF
Dicks Sporting Goods Inc 15895 3147 COM
Select Sector SPDR Tr 75302 3038 STATE STREET REA
Travelers Companies Inc 10436 3027 COM
Select Sector SPDR Tr 61587 2754 STATE STREET ENE
Costco Whsl Corp New 2998 2585 COM
J P Morgan Exchange Traded F 44770 2563 EQUITY PREMIUM
Southern Co 28332 2471 COM
MetLife Inc 29950 2364 COM
iShares Tr 16244 2224 RUS MD CP GR ETF
Eaton Corp PLC 6842 2179 SHS
iShares Tr 17947 2045 EAFE GRWTH ETF
Select Sector SPDR Tr 45004 2041 STATE STREET MAT
Nucor Corp 12253 1999 COM
WisdomTree Tr 38406 1982 US MIDCAP DIVID
Exxon Mobil Corp 14630 1761 COM
PPL Corp 49609 1737 COM
Johnson Ctls Intl PLC 14080 1686 SHS
iShares Tr 17373 1668 MSCI EAFE ETF
SPDR S&P 500 ETF TR 2437 1662 TR UNIT
Procter And Gamble Co 9920 1422 COM
Blackrock Inc 1310 1402 COM
NextEra Energy Inc 14829 1190 COM
Applied Matls Inc 4540 1167 COM
Public Svc Enterprise Grp In 13823 1110 COM
WisdomTree Tr 18107 1036 EMG MKTS SMCAP
Valero Energy Corp 6333 1031 COM
Franklin Finl Svcs Corp 19713 990 COM
Air Prods & Chems Inc 3623 895 COM
iShares Tr 1621 767 RUS 1000 GRW ETF
Coca Cola Co 10800 755 COM
iShares Tr 9179 740 IBOXX HI YD ETF
Medtronic PLC 7028 675 SHS
Pepsico Inc 3910 561 COM
Constellation Energy Corp 1500 530 COM
Meta Platforms Inc 765 505 CL A
Abbott Labs 3932 493 COM
Merck & Co Inc 4600 484 COM
Bank New York Mellon Corp 3965 460 COM
iShares Tr 4696 452 RUS MID CAP ETF
Waste Mgmt Inc Del 1968 432 COM
Advanced Micro Devices Inc 1922 412 COM
Norfolk Southn Corp 1350 390 COM
Philip Morris Intl Inc 2365 379 COM
Eli Lilly & Co 338 363 COM
iShares Tr 1664 350 RUS 1000 VAL ETF
Alphabet Inc 1047 329 CAP STK CL C
Home Depot Inc 886 305 COM
Vanguard Index Fds 1048 304 MID CAP ETF
Phillips 66 2314 299 COM
Lockheed Martin Corp 609 295 COM
iShares Tr 415 284 CORE S&P500 ETF
Prudential Finl Inc 2505 283 COM
Lowes Cos Inc 1152 278 COM
Qorvo Inc 3247 274 COM
Marathon Pete Corp 1617 263 COM
Arista Networks Inc 2000 262 COM SHS
Steel Dynamics Inc 1520 258 COM
Alibaba Group Hldg Ltd 1750 257 SPONSORED ADS
American Express Co 688 255 COM
Elevance Health Inc Formerly 725 254 COM
Duke Energy Corp New 2164 254 COM NEW
iShares Tr 1693 252 CORE S&P TTL STK
Digital Rlty Tr Inc 1550 240 COM
iShares Tr 1972 237 CORE S&P SCP ETF
Exelon Corp 5196 226 COM
Kimberly -Clark Corp 2192 221 COM
WEC Energy Group Inc 2000 211 COM
Blackrock Tax Municipal Bd Tr 12882 210 SHS
Cummins Inc 400 204 COM
ConocoPhillips 2094 196 COM
Reliance Inc 670 194 COM
Sysco Corp 2545 188 COM
Altria Group Inc 3250 187 COM
BHP Group Ltd 3000 181 SPONSORED ADS
Bristol-Myers Squibb Co 3200 173 COM
Gaming & Leisure Pptys Inc 3752 168 COM
Verizon Communications Inc 4068 166 COM
Orrstown Finl Svcs Inc 4652 165 COM
Invesco QQQ Tr 264 162 UNIT SER 1
Shopify Inc 1000 161 CL A SUB VTG SHS
Enterprise Prods Partners L 5000 160 COM
Carrier Global Corporation 3015 159 COM
Disney Walt Co 1375 156 COM
iShares Tr 1495 149 CORE US AGGBD ET
Union Pac Corp 635 147 COM
McDonalds Corp 470 144 COM
WisdomTree Tr 1560 137 US LARGECAP DIVD
Amgen Inc 415 136 COM
Cisco Sys Inc 1749 135 COM
Danaher Corporation 589 135 COM
Fastenal Co 3340 134 COM
Accenture Plc Ireland 495 133 SHS CLASS A
Vanguard Tax-Managed Fds 2097 131 VAN FTSE DEV MKT
United Parcel Service Inc 1296 129 CL B
Allstate Corp 619 129 COM
Tapestry Inc 1000 128 COM
Otis Worldwide Corp 1407 123 COM
Northrop Grumman Corp 210 120 COM
Equinix Inc 150 115 COM
Wells Fargo Co New 1210 113 COM
Hershey Co 600 109 COM
Deere & Co 233 108 COM
Sunoco LP/Sunoco Fin Corp 2000 105 COM UT REP LP
iShares Tr 325 105 RUS 2000 GRW ETF
General Mls Inc 2158 100 COM
GSK PLC 2020 99 SPONSORED ADR
Intuit 150 99 COM
Berkshire Hathaway Inc Del 191 96 CL B NEW
General Dynamics Corp 280 94 COM
Suburban Propane Partners L 5000 93 UNIT LTD PARTN
Mastercard Incorporated 162 92 CL A
Xcel Energy Inc 1225 90 COM
Mondelez Intl Inc 1650 89 CL A
Skyworks Solutions Inc 1277 81 COM
Taiwan Semiconductor Mfg Ltd 266 81 SPONSORED ADS
Corning Inc 925 81 COM
Vanguard Bd Index Fds 1019 80 SHORT TRM BOND
iShares Tr 1201 79 CORE S&P MCP ETF
Lam Research Corp 460 79 COM NEW
Pembina Pipeline Corp 2000 76 COM
Colgate Palmolive Co 920 73 COM
Ameriprise Finl Inc 138 68 COM
Intel Corp 1855 68 COM
Darden Restaurants Inc 355 65 COM
T-Mobile US Inc 300 61 COM
Bank America Corp 1100 61 COM
Penn Entertainment Inc 4100 60 COM
Nuveen Pennsylvania Qlt Mun 5000 59 COM
Tesla Inc 130 58 COM
iShares Tr 398 56 SELECT DIVID ETF
Paychex Inc 500 56 COM
Kinder Morgan Inc Del 2000 55 COM
Palo Alto Networks Inc 300 55 COM
CSX Corp 1500 54 COM
iShares Tr 145 54 RUS 1000 ETF
Crown Castle Inc 574 51 COM
iShares Tr 209 51 RUSSELL 2000 ETF
iShares Tr 276 50 RUS 2000 VAL ETF
Vanguard Index Fds 189 49 SMALL CP ETF
Becton Dickinson & Co 250 49 COM
Novo-Nordisk A S 955 49 ADR
CBRE Group Inc 300 48 CL A
Tyson Foods Inc 800 47 CL A
Annaly Capital Management In Com New 2000 45 COM NEW
Automatic Data Processing In 175 45 COM
iShares Tr 442 43 GLOBAL MATER ETF
Uber Technologies Inc 500 41 COM
Shell PLC 564 41 SPON ADS
American Wtr Wks Co Inc New 300 39 COM
Comcast Corp New 1300 39 CL A
M & T Bk Corp 196 39 COM
Goldman Sachs ETF Tr 281 37 ACTIVEBETA US LG
iShares Silver Trust 580 37 ISHARES
iShares Tr 419 37 CORE MSCI EAFE
Morgan Stanley 210 37 COM NEW
TE Connectivity PLC 157 36 ORD SHS
National Beverage Corp 1132 36 COM
SLB Limited 940 36 COM STK
Vanguard Bd Index Fds 475 35 TOTAL BND MRKT
Vanguard Index Fds 175 33 VALUE ETF
Blackrock Res & Commodities 3000 33 SHS
J P Morgan Exchange Traded F 592 33 BETABUILDERS DEV
Chubb Limited 100 31 COM
Truist Finl Corp 594 29 COM
iShares Tr 648 29 MSCI INTL QUALTY
CVS Health Corp 350 28 COM
Haleon PLC 2725 28 SPON ADS
FirstEnergy Corp 601 27 COM
iShares Tr 374 26 CORE DIV GRWTH
Target Corp 260 25 COM
Kinross Gold Corp 875 25 COM
Schwab Strategic Tr 822 25 INTERNL DIVID
Franklin Templeton ETF Tr 712 24 FTSE UNTD KGDM
State Str Corp 180 23 COM
Vanguard Mun Bd Fds 453 23 TAX EXEMPT BD
Fulton Finl Corp PA 1200 23 COM
Nike Inc 360 23 CL B
Boeing Co 100 22 COM
Fifth Third Bancorp 475 22 COM
Ollies Bargain Outlet Hldgs 200 22 COM
Omnicom Group Inc 260 21 COM
Howmet Aerospace Inc 99 20 COM
IES Hldgs Inc 51 20 COM
PPG Inds Inc 200 20 COM
Citigroup Inc 150 18 COM NEW
Evergy Inc 250 18 COM
Starbucks Corp 200 17 COM
Fortive Corp 312 17 COM
Occidental Pete Corp 406 17 COM
Vanguard Index Fds 25 16 S&P 500 ETF SHS
Xylem Inc 121 16 COM
Astrazeneca PLC 169 16 SPONSORED ADR
iShares Inc 251 16 MSCI EURZONE ETF
NRG Energy Inc 100 16 COM NEW
Texas Instrs Inc 87 15 COM
Vanguard Index Fds 175 15 REAL ESTATE ETF
ASML Holding N V 14 15 N Y REGISTRY SHS
Analog Devices Inc 57 15 COM
Dominion Energy Inc 260 15 COM
PNC Finl Svcs Group Inc 71 15 COM
Tractor Supply Co 250 13 COM
Vanguard World Fd 100 13 ENERGY ETF
Vanguard World Fd 100 13 FINANCIALS ETF
Vertiv Holdings Co 79 13 COM CL A
Dell Technologies Inc 103 13 CL C
Franklin Templeton ETF Tr 369 13 FTSE JAPAN ETF
SPDR Index Shs Fds 298 13 DJ GLB RL ES ETF
Vanguard Specialized Funds 55 12 DIV APP ETF
Franklin Templeton ETF Tr 257 12 FTSE CANADA
Infosys LTD 700 12 SPONSORED ADR
AT&T Inc 425 11 COM
Williams Cos Inc 173 10 COM
Applied Digital Corp 400 10 COM NEW
Hilton Worldwide Hldgs Inc 34 10 COM
iShares Tr 269 10 BROAD USD HIGH
iShares Bitcoin Trust ETF 193 10 SHS BEN INT
Motorola Solutions Inc 27 10 COM NEW
Price T Rowe Group Inc 100 10 COM
Sonos Inc 500 9 COM
L3Harris Technologies Inc 30 9 COM
PalantirTechnologies Inc 50 9 CL A
UnitedHealth Group Inc 25 8 COM
Vanguard Scottsdale Fds 78 8 VNG RUS2000IDX
American Intl Group Inc 97 8 COM NEW
Argan Inc 27 8 COM
Corteva Inc 116 8 COM
First Solar Inc 30 8 COM
Honeywell Intl Inc 43 8 COM
Prologis Inc. 61 8 COM
Sofi Technologies Inc 250 7 COM
TJX Cos Inc New 45 7 COM
United Bankshares Inc West V 186 7 COM
Vodafone Group PLC New 517 7 SPONSORED ADR
Volatility Shs Tr 646 7 XRP ETF
Willdan Group Inc 65 7 COM
Zimmer Biomet Holdings Inc 81 7 COM
Linde Plc 16 7 SHS
BP PLC 213 7 SPONSORED ADR
Regal Rexnord Corporation 50 7 COM
SS&C Technologies Hldgs Inc 78 7 COM
Victory Cap Hldgs Inc 100 6 COM CL A
Chemours Co 500 6 COM
FMC Corp 455 6 COM NEW
Invesco Exch Traded Fd Tr II 200 6 NASDAQ BIOTECH
Pfizer Inc 255 6 COM
Progressive Corp 28 6 COM
Vaneck Etf Trust 240 5 INTERNATIONAL HI
Vanguard Whitehall Fds 50 5 INTL HIGH ETF
Warner Bros Discovery Inc 162 5 COM SER A
Pentair PLC 44 5 SHS
Baker Hughes Company 120 5 CL A
DuPont de Nemours Inc 116 5 COM
Iron Mtn Inc Del 58 5 COM
iShares Tr 150 5 US TELECOM ETF
KLA Corp 4 5 COM NEW
Kratos Defense & Sec Solutio 60 5 COM NEW
Qnity Electronics Inc 57 5 COMMON STOCK
Vistra Corp 25 4 COM
Gorilla Technology Group Inc 400 4 SHS NEW
Biocryst Pharmaceuticals Inc 500 4 COM
Commvault Sys Inc 30 4 COM
Costar Group Inc 64 4 COM
iShares Inc 100 4 MSCI GERMANY ETF
Ralliant Corp 70 4 COM
Tutor Perini Corp 40 3 COM
Veralto Corp 34 3 COM SHS
EA Series Trust 100 3 STRIVE US ENERGY
Amphenol Corp New 20 3 CL A
Carnival Corp 100 3 UNIT 99/99/9999
Dow Inc 116 3 COM
Novartis A G 22 3 SPONSORED ADR
GeneDx Holdings Corp 20 3 COM CL A
V F Corp 100 2 COM
Vontier Corporation 43 2 COM
TotalEnergies SE 36 2 ACT
American Elec Pwr Co Inc 15 2 COM
Dollar Tree Inc 19 2 COM
Flotek Inds Inc Del 100 2 COM NEW
iShares Tr 62 2 CHINA LG-CAP ETF
Pacer Fds Tr 35 2 US CASH COWS 100
Toyota Motor Corp 5 1 ADS
Wyndham Hotels & Resorts Inc 8 1 COM
Aurora Mobile LTD 200 1 SPON ADS
BRC Inc 1000 1 COM CL A
F N B Corp PA 65 1 COM
NIO Inc 200 1 SPON ADS