FIRST COMMONWEALTH FINANCIAL CORP /PA/ Q3 2025 Filing
Filed November 14, 2025
Portfolio Value
$206.4M
Holdings
147
Report Date
Q3 2025
Filing Type
13F-HR
All Holdings (147 positions)
| Stock | Value |
|---|---|
AAPLApple Inc | $18.6M |
FCFFirst Commonwealth Financial C | $17.3M |
MSFTMicrosoft Corp | $11.8M |
NVDANvidia Corp | $8.3M |
STBAS & T Bancorp Inc | $7.0M |
GOOGLAlphabet Inc - Cl A | $6.7M |
JPMJPMorgan Chase & CO | $5.5M |
AMZNAmazon Com Inc Com | $5.1M |
AVGOBroadcom Inc | $4.3M |
METAMeta Platforms Inc Class A | $4.2M |
ORCLOracle Corp | $4.0M |
HDHome Depot Inc | $2.6M |
WMTWal-Mart Stores Inc | $2.2M |
NSCNorfolk Southern Corp | $2.2M |
GOOGAlphabet Inc - Cl C | $2.2M |
JNJJohnson & Johnson | $2.1M |
GSGoldman Sachs Group Inc | $2.1M |
VVisa Inc | $2.1M |
LRCXLam Research Corp | $2.1M |
BRK/BBerkshire Hathaway Inc-Cl B | $2.1M |
TJXTJX Companies Inc | $2.0M |
MCDMcDonalds Corp | $2.0M |
ABTAbbott Laboratories | $1.8M |
ABBVAbbvie Inc | $1.7M |
QCOMQualcomm Inc | $1.7M |
HWMHowmet Aerospace Inc | $1.7M |
RTXRaytheon Tech Corp | $1.6M |
LLYEli Lilly & CO | $1.5M |
XOMExxon Mobil Corp | $1.5M |
SCHWCharles Schwab Corp | $1.5M |
PGProcter & Gamble CO | $1.5M |
EIXEdison Intl | $1.5M |
PNCPNC Bank Corp | $1.5M |
CVXChevron Corporation | $1.4M |
UNHUnitedhealth Group Inc | $1.4M |
METMetlife Inc | $1.4M |
BLKBlackrock Inc | $1.4M |
TRVCCitigroup Inc | $1.3M |
4I1Philip Morris International, I | $1.3M |
AMLPAlerian MLP ETF | $1.3M |
PWRQuanta Services Inc | $1.3M |
ROKRockwell Automation Inc | $1.2M |
AMATApplied Materials Inc | $1.2M |
BACVerizon Communications | $1.2M |
MAMastercard Inc Class A | $1.1M |
DELLDell Technologies C | $1.1M |
MSIMotorola Solutions Inc | $1.1M |
DHRDanaher Corp | $1.1M |
EWBCEast West Bancorp Inc | $1.1M |
KLACKla-Tencor Corp | $1.1M |
LHXL3 Harris Technologies Inc | $1.1M |
COSTCostco Whsl Corp New | $1.1M |
IBMInt'l Business Machines Corp | $1.1M |
NFLXNetflix Inc | $1.1M |
APHAmphenol Corporation Cl A | $1.1M |
GQ9SPDR Gold Trust | $1.0M |
KOCoca Cola CO | $1.0M |
ABGCencora Inc | $1.0M |
TAT&T Inc | $1.0M |
WMBWilliams Cos Inc Del Com | $1.0M |
EMREmerson Electric CO | $992K |
SYKStryker Corporation | $988K |
ZTSZoetis Inc | $988K |
CATCaterpillar Inc | $986K |
A4SAmeriprise Finl Inc | $982K |
RBARb Global Inc | $944K |
CSCOCisco Systems | $925K |
LMTLockheed Martin | $923K |
DPZDominos Pizza Inc. | $923K |
RSGRepublic Services Inc | $875K |
AXONAxon Enterprise Inc | $839K |
MDTMedtronic PLC | $814K |
XLKSPDR Technology Sector ETF | $794K |
XLESPDR Energy Sector ETF | $792K |
MAAMid-America Apartment Comm REI | $783K |
GLWCorning Inc Com | $781K |
UBERUber Technologies Inc | $772K |
FQIDigital Realty Trust Inc REIT | $749K |
RGLDRoyal Gold, Inc | $704K |
COHRCoherent Corp | $702K |
TSMTaiwan Semiconductor-Sp ADR | $691K |
VPUVanguard Utilities ETF | $650K |
BSXBoston Scientific Corp | $633K |
DOVDover Corp Com | $625K |
HIIHuntington Ingalls Industries, | $621K |
TOLToll Brothers Inc | $587K |
TMOThermo Fisher Scientific Inc | $586K |
ETNEaton Corp PLC | $578K |
FNBF N B Corp PA | $563K |
BKNGBooking Holdings Inc | $539K |
CMICummins Engine Inc | $520K |
HBANHuntington Bancshare | $518K |
GEGeneral Electric CO | $508K |
ACGLArch Capital Group Ltd | $465K |
DISWalt Disney CO | $459K |
VRTXVertex Pharmaceuticals Inc | $444K |
VHTVanguard Health Care ETF | $430K |
NEENextera Energy, Inc | $427K |
PEPPepsico Incorporated | $419K |
BCSBarclays PLC ADR | $408K |
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