13F Filings for Ancora Advisors LLC (CIK: 1446114)
View the most recent portfolio holdings disclosed by Ancora Advisors LLC in their 13F filing.
Holding | Shares | Value | Portfolio Percent | Change Status | Change Amount |
---|---|---|---|---|---|
NSC - NORFOLK SOUTHN CORP(Class: COM) | 1.14M | $292.87M | 6.07% | Increased | 180.64K (18.0%, $64.66M) |
LKQ - LKQ CORP(Class: COM) | 5.52M | $204.17M | 4.23% | Increased | 39.07K (0.0%, $28.84M) |
N/A - BROADCOM LTD SHS(Class: COM) | 486.96K | $134.23M | 2.78% | Decreased | 44.67K (8.0%, $45.22M) |
VOO - VANGUARD INDEX FDS(Class: INDX FD) | 218.75K | $124.26M | 2.58% | Decreased | 1.76K (0.0%, $10.94M) |
MSFT - MICROSOFT CORP(Class: COM) | 244.81K | $121.77M | 2.53% | Increased | 37 (0.0%, $29.89M) |
AAPL - APPLE INC(Class: COM) | 560.50K | $115M | 2.39% | Decreased | 7.33K (1.0%, $11.13M) |
N/A - RB GLOBAL INC(Class: COM) | 850.79K | $90.35M | 1.87% | Decreased | 189.82K (18.0%, $14.03M) |
ITOT - ISHARES TR(Class: INDX FD) | 660.50K | $89.19M | 1.85% | Increased | 10.08K (1.0%, $9.84M) |
N/A - JP MORGAN CHASE CO(Class: COM) | 305.76K | $88.64M | 1.84% | Decreased | 895 (0.0%, $13.42M) |
N/A - JP MORGAN ULTRA SHORT INCOME E(Class: INDX FD) | 1.64M | $82.87M | 1.72% | Increased | 8.88K (0.0%, $531.22K) |
N/A - EATON CORP PLC(Class: COM) | 197.70K | $70.58M | 1.46% | Increased | 2.41K (1.0%, $17.49M) |
CSX - CSX CORP(Class: COM) | 2.02M | $65.98M | 1.37% | Increased | 1.98M (4746.0%, $64.75M) |
AMZN - AMAZON COM INC(Class: COM) | 298.36K | $65.46M | 1.36% | Increased | 130.55K (77.0%, $33.53M) |
N/A - ABBVIE INC(Class: COM) | 345.75K | $64.18M | 1.33% | Increased | 1.73K (0.0%, $7.90M) |
N/A - SEALED AIR CORP NEW COM(Class: COM) | 1.90M | $58.91M | 1.22% | New | 1.90M ($58.91M) |
IVV - ISHARES TR(Class: INDX FD) | 88.18K | $54.75M | 1.14% | Increased | 3.75K (4.0%, $7.31M) |
HLI - HOULIHAN LOKEY INC(Class: COM) | 281.22K | $50.61M | 1.05% | Increased | 850 (0.0%, $5.33M) |
VEEV - VEEVA SYS INC(Class: COM) | 174.43K | $50.23M | 1.04% | Decreased | 27.42K (13.0%, $3.48M) |
HON - HONEYWELL INTL INC(Class: COM) | 215K | $50.07M | 1.04% | Increased | 5.11K (2.0%, $5.63M) |
BRK.B - BERKSHIRE HATHAWAY INC DEL(Class: COM) | 97.40K | $47.31M | 0.98% | Decreased | 2.62K (2.0%, $5.95M) |
N/A - META PLATFORMS INC CLASS A COM(Class: COM) | 61.78K | $45.60M | 0.95% | Increased | 43.15K (231.0%, $34.86M) |
N/A - EOG RES INC COM(Class: COM) | 380.15K | $45.47M | 0.94% | Increased | 2.72K (0.0%, $2.93M) |
HD - HOME DEPOT INC(Class: COM) | 118.62K | $43.49M | 0.90% | Decreased | 147 (0.0%, $36.22K) |
GD - GENERAL DYNAMICS CORP(Class: COM) | 143.12K | $41.74M | 0.87% | Increased | 1.26K (0.0%, $3.07M) |
N/A - AMCOR PLC(Class: COM) | 4.41M | $40.54M | 0.84% | Increased | 4.41M (441063.0%, $40.53M) |