13F Filings for ADIRONDACK TRUST CO (CIK: 1054257)

View the most recent portfolio holdings disclosed by ADIRONDACK TRUST CO in their 13F filing.

HoldingSharesValuePortfolio PercentChange StatusChange Amount
SPY - SPDR S P 500 ETF TRUST(Class: EXCHANGE TRADED FUND - EQUITY)58.91K $36.40M 13.22%Increased 2.91K (5.0%, $5.07M)
NVDA - NVIDIA CORP.(Class: INFORMATION TECHNOLOGY)91.40K $14.44M 5.24%Increased 895 (0.0%, $4.63M)
AAPL - APPLE INC(Class: INFORMATION TECHNOLOGY)67.73K $13.90M 5.05%Decreased 2.96K (4.0%, $1.81M)
MSFT - MICROSOFT CORP(Class: INFORMATION TECHNOLOGY)24.53K $12.20M 4.43%Increased 77 (0.0%, $3.02M)
AMZN - AMAZON. COM, INC(Class: CONSUMER DISCRETIONARY)37.47K $8.22M 2.98%Increased 410 (1.0%, $1.17M)
VTHR - ETF VANGUARD RUSSELL 3000(Class: EXCHANGE TRADED FUND - EQUITY)24.67K $6.73M 2.44%Increased 4.17K (20.0%, $1.67M)
JPM - JPMORGAN CHASE CO COM(Class: FINANCIALS)22.17K $6.43M 2.33%Decreased 97 (0.0%, $964.98K)
MDY - S P MIDCAP 400 DEPOSITORY RECEIPTS ETF(Class: EXCHANGE TRADED FUND - EQUITY)10.38K $5.88M 2.13%Decreased 364 (3.0%, $148.35K)
BRK.B - BERKSHIRE HATHAWAY INC. DEL CLASS B(Class: FINANCIALS)9.97K $4.85M 1.76%Increased 927 (10.0%, $26.67K)
PG - PROCTER GAMBLE CO(Class: CONSUMER STAPLES)27.73K $4.42M 1.60%Decreased 1.04K (3.0%, $485.41K)
IWF - ISHARES RUSSELL 1000 GROWTH ETF(Class: EXCHANGE TRADED FUND - EQUITY)10.14K $4.30M 1.56%Increased 634 (6.0%, $872.45K)
META - META PLATFORMS INC(Class: INFORMATION TECHNOLOGY)5.63K $4.16M 1.51%Increased 304 (5.0%, $1.09M)
IJR - ISHARES CORE SP SMALL-CAP ETF(Class: EXCHANGE TRADED FUND - EQUITY)34.58K $3.78M 1.37%Decreased 1.06K (2.0%, $52.59K)
HD - HOME DEPOT INC(Class: CONSUMER DISCRETIONARY)9.54K $3.50M 1.27%Decreased 75 (0.0%, $26.06K)
AGG - ISHARES CORE TOTAL US AGGREGATE BOND ETF(Class: EXCHANGE TRADED FUND-FIXED INC)34.74K $3.45M 1.25%Increased 3.06K (9.0%, $312.72K)
JNJ - JOHNSON JOHNSON(Class: HEALTHCARE)22.55K $3.45M 1.25%Decreased 889 (3.0%, $442.65K)
TIP - ISHARES TIPS BOND ETF(Class: EXCHANGE TRADED FUND-FIXED INC)30.58K $3.36M 1.22%Decreased 2.01K (6.0%, $255.73K)
MCD - MCDONALDS CORP(Class: CONSUMER DISCRETIONARY)11.33K $3.31M 1.20%Decreased 432 (3.0%, $363.86K)
CAT - CATERPILLAR INC(Class: INDUSTRIALS)7.91K $3.07M 1.12%Decreased 41 (0.0%, $448.65K)
ABBV - ABBVIE INC.(Class: HEALTHCARE)15.94K $2.96M 1.07%Decreased 1 (0.0%, $381.09K)
LLY - ELI LILLY CO(Class: HEALTHCARE)3.77K $2.94M 1.07%Decreased 734 (16.0%, $781.02K)
VUG - VANGUARD GROWTH ETF(Class: EXCHANGE TRADED FUND - EQUITY)6.30K $2.76M 1.00%Increased 180 (2.0%, $492.78K)
XOM - EXXON MOBIL CORP(Class: ENERGY)23.61K $2.54M 0.92%Decreased 107 (0.0%, $275.44K)
IBDW - ISHARES IBONDS DEC 2031 TERM CORPORATE ETF(Class: EXCHANGE TRADED FUND-FIXED INC)120.99K $2.54M 0.92%Increased 9.58K (8.0%, $232.62K)
PEP - PEPSICO INC(Class: CONSUMER STAPLES)19.16K $2.53M 0.92%Decreased 1.17K (5.0%, $518.43K)