Institutions / Mitchell Sinkler & STARR/PA

Mitchell Sinkler & STARR/PA

CIK 1048921 ยท Institution ยท as of Mar 31, 2026
Portfolio value
$216.62M
Positions
143
As of
Mar 31, 2026

Portfolio trend

Portfolio value

$216.62M-2.1%
$221.35M$218.98M$216.62MQ4 '25Q1 '26

Positions

143+2.9%
143141139Q4 '25Q1 '26

Top holdings

CompanyClassValueShares% of portfolio
Apple Inc.โ€”$11.69M46,0725.4%
NVIDIA Corpโ€”$9.90M56,7484.6%
Vanguard Index Fdsโ€”$9.85M16,4784.5%
Microsoft Corpโ€”$9.50M25,6554.4%
Schwab Strategic Trโ€”$8.12M323,5033.7%
PROCTER & GAMBLE Coโ€”$7.57M52,4053.5%
Alphabet Inc.โ€”$7.18M24,9683.3%
Vanguard Index Fdsโ€”$5.55M17,3152.6%
Johnson & Johnsonโ€”$5.20M21,2932.4%
Merck & Co., Inc.โ€”$5.09M42,2972.3%
Exxon Mobil Corpโ€”$3.59M21,1511.7%
iShares Trโ€”$3.52M9,8751.6%
Amazon.com Incโ€”$3.49M16,7721.6%
JPMorgan Chase & Coโ€”$3.35M11,3881.5%
State Str SPDR S&P 500 ETF Tโ€”$3.35M5,1451.5%
RTX Corpโ€”$3.12M16,1751.4%
Home Depot, Inc.โ€”$3.06M9,2951.4%
Vanguard World Fdโ€”$3.03M4,3381.4%
AbbVie Inc.โ€”$2.97M13,6671.4%
Schwab Strategic Trโ€”$2.97M96,8791.4%
Meta Platforms Incโ€”$2.69M4,7101.2%
Chevron Corpโ€”$2.69M13,0131.2%
Mastercard Incโ€”$2.64M5,2861.2%
Pepsico Incโ€”$2.63M16,9521.2%
Vanguard Index Fdsโ€”$2.39M9,1241.1%

Activity

InsidersInstitutions
This fund's 13F position changes โ€” what it's buying and selling.
DateActionCompanyValueShares ฮ”Position afterImpact
Q1 2026
as of
NewMarsh & McLennan Companies, Inc.
Common stock
$1.53M+9K
8,811
0.71% of portfolio
low
Q1 2026
as of
NewTradeweb Markets Inc.
Common stock
$327.4K+3K
2,783
0.15% of portfolio
low
Q1 2026
as of
NewHewlett Packard Enterprise Co
Common stock
$267.1K+11K
11,220
0.12% of portfolio
low
Q1 2026
as of
AddApple Inc.
Common stock
$246.2K+970
+2.15%
46,072
5.40% of portfolio
low
Q1 2026
as of
NewMueller Industries Inc
Common stock
$231.5K+2K
2,089
0.11% of portfolio
low
Q1 2026
as of
Add808524797
Common stock
$217.0K+7K
+7.87%
96,879
1.37% of portfolio
low
Q1 2026
as of
Exit81369Y407
Common stock
$-214.9K-2K
-100.00%
0
low
Q1 2026
as of
Add922908363
Common stock
$212.1K+355
+2.20%
16,478
4.55% of portfolio
low
Q1 2026
as of
Trim78462F103
Common stock
$-208.1K-320
-5.86%
5,145
1.54% of portfolio
low
Q1 2026
as of
NewConocoPhillips
Common stock
$207.9K+2K
1,575
0.10% of portfolio
low