Current Holdings (13F, 13D)

This page shows a list of all the current holdings of MITCHELL SINKLER & STARR/PA


This data is sourced from 13D/13G, and 13F filings. Green rows indicate new positions. Red rows indicate closed positions.

Note: Our system uses CUSIPs in the fund filings to identify securities. When a security gets a new CUSIP, it will appear as a sell/buy transaction.

Reporting PeriodFormSecurity Imputed
Share Price
Prev SharesCurrent SharesChange
(Percent)
Prev Value ($K)Current Value ($K)Change
(Percent)
2016‑12‑31 13F‑HR TWX / Time Warner 96.64 3,725 3,725 0.00 297 360 21.21
2016‑12‑31 13F‑HR ABT / Abbott Laboratories 38.42 25,357 22,722 -10.39 1,072 873 -18.56
2016‑12‑31 13F‑HR ABBV / AbbVie 62.62 26,224 23,444 -10.60 1,654 1,468 -11.25
2016‑12‑31 13F‑HR AAPL / Apple 115.82 5,051 5,051 0.00 571 585 2.45
2016‑12‑31 13F‑HR CLX / Clorox Company 120.08 1,957 1,957 0.00 245 235 -4.08
2016‑12‑31 13F‑HR GLW / Corning 24.29 19,500 20,500 5.13 461 498 8.03
2016‑12‑31 13F‑HR ADP / Automatic Data Processing 102.77 10,752 10,752 0.00 948 1,105 16.56
2016‑12‑31 13F‑HR COP / ConocoPhillips 50.15 19,263 18,965 -1.55 837 951 13.62
2016‑12‑31 13F‑HR CINF / Cincinnati Financial 75.77 16,079 15,929 -0.93 1,213 1,207 -0.49
2016‑12‑31 13F‑HR SCHW.PRD / Schwab (CHARLES) 39.44 11,120 11,890 6.92 351 469 33.62
2016‑12‑31 13F‑HR CL / Colgate-Palmolive 65.46 10,840 10,815 -0.23 804 708 -11.94
2016‑12‑31 13F‑HR T / AT & T 42.52 54,347 51,997 -4.32 2,207 2,211 0.18
2016‑12‑31 13F‑HR CSCO / Cisco Systems 30.25 16,601 16,101 -3.01 527 487 -7.59
2016‑12‑31 13F‑HR FTR / Frontier Communications 3.42 15,427 10,527 -31.76 64 36 -43.75
2016‑12‑31 13F‑HR FB / Facebook 115.06 2,112 2,112 0.00 271 243 -10.33
2016‑12‑31 13F‑HR DRUA / Dominion Resources 76.57 6,504 6,504 0.00 483 498 3.11
2016‑12‑31 13F‑HR DD / Du Pont (E.I.) De Nemours 73.36 8,411 8,411 0.00 563 617 9.59
2016‑12‑31 13F‑HR DIS / Walt Disney 104.20 6,814 6,814 0.00 633 710 12.16
2016‑12‑31 13F‑HR XOM / Exxon Mobil 90.25 35,941 35,691 -0.70 3,137 3,221 2.68
2016‑12‑31 13F‑HR HON / Honeywell International 115.88 16,679 16,379 -1.80 1,945 1,898 -2.42
2016‑12‑31 13F‑HR HD / Home Depot 134.14 8,976 8,976 0.00 1,155 1,204 4.24
2016‑12‑31 13F‑HR JNJ / Johnson & Johnson 115.19 27,592 26,477 -4.04 3,259 3,050 -6.41
2016‑12‑31 13F‑HR MA / MasterCard 103.28 5,151 5,151 0.00 524 532 1.53
2016‑12‑31 13F‑HR NKE / Nike 50.86 0 11,993 0.00 0 610
2016‑12‑31 13F‑HR PFE / Pfizer 32.47 20,402 19,402 -4.90 691 630 -8.83
2016‑12‑31 13F‑HR PG / Procter & Gamble Co. 84.11 17,798 17,383 -2.33 1,597 1,462 -8.45
2016‑12‑31 13F‑HR SO / Southern Co. 49.19 25,235 24,235 -3.96 1,295 1,192 -7.95
2016‑12‑31 13F‑HR RTN / Raytheon 142.04 8,700 8,955 2.93 1,184 1,272 7.43
2016‑12‑31 13F‑HR SPGI / S&P Global 107.55 5,244 5,244 0.00 664 564 -15.06
2016‑12‑31 13F‑HR UPS / United Parcel Service 114.59 7,575 7,575 0.00 828 868 4.83
2016‑12‑31 13F‑HR MMM / 3M 178.61 7,954 7,844 -1.38 1,402 1,401 -0.07
2016‑12‑31 13F‑HR NVS / Novartis 72.97 0 3,056 0.00 0 223
2016‑12‑31 13F‑HR NGG / National Grid 58.27 5,063 5,063 0.00 360 295 -18.06
2016‑12‑31 13F‑HR GSK / GlaxoSmithKline 38.50 11,533 10,623 -7.89 497 409 -17.71
2016‑12‑31 13F‑HR IYC / iShares U.S. Consumer Services ETF 150.71 0 1,400 0.00 0 211
2016‑12‑31 13F‑HR MDT / Medtronic 71.24 4,442 4,562 2.70 384 325 -15.36
2016‑12‑31 13F‑HR O / Realty Income 57.53 3,546 3,546 0.00 237 204 -13.92
2016‑12‑31 13F‑HR VO / Vanguard Index Funds 131.69 5,070 5,270 3.94 656 694 5.79
2016‑12‑31 13F‑HR SLB / Schlumberger 84.00 5,595 5,595 0.00 440 470 6.82
2016‑12‑31 13F‑HR WRE / Washington Real Estate Investment Trust 32.73 8,065 8,065 0.00 251 264 5.18
2016‑12‑31 13F‑HR TYG / Tortoise Energy Infrastructure 30.70 31,034 28,534 -8.06 954 876 -8.18
2016‑12‑31 13F‑HR VB / Vanguard Small-Cap ETF 128.95 0 10,430 0.00 0 1,345
2016‑12‑31 13F‑HR IYF / iShares U.S. Financial ETF 101.43 0 3,145 0.00 0 319
2016‑12‑31 13F‑HR GIS / General Mills 3,525 0 -100.00 225 0 -100.00
2016‑12‑31 13F‑HR EMR / Emerson Electric 55.75 23,473 22,673 -3.41 1,280 1,264 -1.25
2016‑12‑31 13F‑HR DEO / Diageo 103.99 6,414 6,414 0.00 744 667 -10.35
2016‑12‑31 13F‑HR GOOGL / Alphabet Inc. Class A 792.86 560 560 0.00 450 444 -1.33
2016‑12‑31 13F‑HR RYN / Rayonier, Inc. (REIT) 26.58 14,749 14,749 0.00 391 392 0.26
2016‑12‑31 13F‑HR KMB / Kimberly-Clark 114.14 12,775 12,125 -5.09 1,611 1,384 -14.09
2016‑12‑31 13F‑HR SYY / SYSCO 55.41 0 3,700 0.00 0 205
2016‑12‑31 13F‑HR WTR / Aqua America 30.03 54,779 52,279 -4.56 1,670 1,570 -5.99
2016‑12‑31 13F‑HR INTC / Intel 36.28 41,853 42,453 1.43 1,580 1,540 -2.53
2016‑12‑31 13F‑HR ADM / Archer-Daniels-Midland 45.68 8,800 8,800 0.00 371 402 8.36
2016‑12‑31 13F‑HR UTX / United Technologies 109.64 14,761 14,621 -0.95 1,500 1,603 6.87
2016‑12‑31 13F‑HR VZ / Verizon Communications 53.39 37,973 36,973 -2.63 1,974 1,974 0.00
2016‑12‑31 13F‑HR MDLZ / Mondelez International 44.30 8,420 8,420 0.00 370 373 0.81
2016‑12‑31 13F‑HR CVX / Chevron 117.72 20,776 19,656 -5.39 2,138 2,314 8.23
2016‑12‑31 13F‑HR PX / Praxair 117.26 3,309 3,309 0.00 400 388 -3.00
2016‑12‑31 13F‑HR AJG / Gallagher (ARTHUR J.) 51.93 10,900 10,900 0.00 554 566 2.17
2016‑12‑31 13F‑HR VEU / Vanguard International Equity Index Funds 44.18 0 23,539 0.00 0 1,040
2016‑12‑31 13F‑HR DUK / Duke Energy (Holding Co.) 77.59 14,520 13,920 -4.13 1,162 1,080 -7.06
2016‑12‑31 13F‑HR MO / Altria Group 67.70 6,544 6,544 0.00 414 443 7.00
2016‑12‑31 13F‑HR MRK / Merck 58.86 26,337 25,537 -3.04 1,644 1,503 -8.58
2016‑12‑31 13F‑HR BSV / Vanguard Short-Term Bond ETF 79.46 0 24,000 0.00 0 1,907
2016‑12‑31 13F‑HR RPM / RPM International 53.83 0 43,770 0.00 0 2,356
2016‑12‑31 13F‑HR BMYMP / Bristol-Myers Squibb 58.42 23,697 22,080 -6.82 1,278 1,290 0.94
2016‑12‑31 13F‑HR PEP / PepsiCo 104.61 18,314 18,364 0.27 1,992 1,921 -3.56
2016‑12‑31 13F‑HR VCLT / Vanguard Scottsdale Funds 79.39 5,990 5,240 -12.52 482 416 -13.69
2016‑12‑31 13F‑HR SE / Spectra Energy 41.10 22,870 22,820 -0.22 978 938 -4.09
2016‑12‑31 13F‑HR SYK / Stryker 119.91 2,610 2,310 -11.49 304 277 -8.88
2016‑12‑31 13F‑HR PWOD / Penns Woods Bancorp 50.58 0 4,251 0.00 0 215
2016‑12‑31 13F‑HR IBM / International Business Machines 166.02 1,336 1,536 14.97 212 255 20.28
2016‑12‑31 13F‑HR GE / General Electric 31.59 52,330 49,155 -6.07 1,550 1,553 0.19
2016‑12‑31 13F‑HR CASY / Casey's General Stores 118.71 1,710 1,710 0.00 205 203 -0.98
2016‑12‑31 13F‑HR PM / Philip Morris International 91.44 7,994 7,994 0.00 777 731 -5.92
2016‑12‑31 13F‑HR WPC / W.P. Carey 59.16 6,300 4,750 -24.60 407 281 -30.96
2016‑12‑31 13F‑HR WM / Waste Management 70.90 7,475 7,475 0.00 477 530 11.11
2016‑12‑31 13F‑HR VTI / Vanguard Total Stock Market Index Fund 115.38 0 7,150 0.00 0 825
2016‑12‑31 13F‑HR WY / Weyerhaeuser 30.09 42,103 38,553 -8.43 1,345 1,160 -13.75
2016‑12‑31 13F‑HR USB.PRM / U.S. Bancorp 51.33 9,745 9,800 0.56 418 503 20.33
2016‑12‑31 13F‑HR UNLYF / Unilever 5,377 0 -100.00 255 0 -100.00