Ancora Advisors 13F holdings, Q2 2025
Holdings as of June 30, 2025 · filings on SEC EDGAR · latest filing →
Ancora Advisors disclosed 1947 US equity positions worth $6.8bn in its Q2 2025 13F filing. The largest position was NSC at 12.7% of the reported book, followed by LKQ and RBA. Against the Q1 2025 filing, it opened 2 new positions, added to 30 and reduced 10 among the top 50 holdings.
What did Ancora Advisors own in Q2 2025? Top 50 positions
| # | Stock | Sector | Weight | Value | Shares | Δ shares | vs Q1 2025 |
|---|---|---|---|---|---|---|---|
| 1 | NSC NORFOLK SOUTHN CORP | Industrials | 12.7% | $870.0m | 1,144,140 | 19% | added |
| 2 | LKQ LKQ CORP | Consumer Cyclical | 5.9% | $406.4m | 5,516,535 | 1% | added |
| 3 | RBA RB GLOBAL INC | Industrials | 3.7% | $256.2m | 850,790 | -18% | reduced |
| 4 | JPST JP MORGAN ULTRA SHORT INCOME E | 2.3% | $160.3m | 1,635,175 | 1% | added | |
| 5 | AVGO BROADCOM LTD SHS | Technology | 2.3% | $158.4m | 486,962 | -8% | reduced |
| 6 | VEEV VEEVA SYS INC | Healthcare | 2.2% | $147.1m | 174,428 | -14% | reduced |
| 7 | CSX CSX CORP | Industrials | 1.9% | $128.9m | 2,022,044 | 4746% | added |
| 8 | ISHARES TR | 1.5% | $100.6m | 660,503 | 2% | added | |
| 9 | META META PLATFORMS INC CLASS A COM | Communication Services | 1.4% | $95.5m | 61,784 | 232% | added |
| 10 | IVV ISHARES TR | 1.4% | $95.2m | 88,178 | 4% | added | |
| 11 | AMZN AMAZON COM INC | Consumer Cyclical | 1.3% | $91.1m | 298,364 | 78% | added |
| 12 | VOO VANGUARD INDEX FDS | 1.3% | $90.3m | 218,751 | -1% | reduced | |
| 13 | JPM JP MORGAN CHASE & CO | Financial Services | 1.3% | $85.7m | 305,757 | -0% | held |
| 14 | BRK/B BERKSHIRE HATHAWAY INC DEL | 1.2% | $85.5m | 97,400 | -3% | reduced | |
| 15 | AMCOR PLC | 1.2% | $83.2m | 4,411,638 | 441064% | added | |
| 16 | NEXTNAV INC COMMON STOCK | 1.1% | $77.7m | 1,875,361 | -16% | reduced | |
| 17 | ETN EATON CORP PLC | Industrials | 1.0% | $70.0m | 197,704 | 1% | added |
| 18 | AAPL APPLE INC | Technology | 1.0% | $69.6m | 560,496 | -1% | reduced |
| 19 | FWRD FORWARD AIR CORP COM | 1.0% | $66.5m | 1,359,043 | – | new | |
| 20 | BSV VANGUARD BD INDEX FDS | 0.9% | $62.8m | 399,764 | -2% | reduced | |
| 21 | SEALED AIR CORP NEW COM | 0.9% | $58.9m | 1,898,485 | – | new | |
| 22 | ABBV ABBVIE INC | Healthcare | 0.8% | $56.0m | 345,755 | 1% | added |
| 23 | VANECK VECTORS MORNINGSTAR WID | 0.8% | $54.9m | 318,291 | 6% | added | |
| 24 | JAAA JANUS HENDERSON AAA CLO ETF | 0.8% | $54.8m | 546,613 | 12% | added | |
| 25 | GOOG ALPHABET INC | Communication Services | 0.8% | $54.6m | 175,171 | 6% | added |
| 26 | NVDA NVIDIA CORP COM | Technology | 0.8% | $53.8m | 182,703 | 4% | added |
| 27 | GPRE GREEN PLAINS INC | Basic Materials | 0.8% | $52.4m | 4,353,413 | 0% | held |
| 28 | MAGN MAGNERA | 0.8% | $51.6m | 1,927,343 | 15% | added | |
| 29 | HONEYWELL INTL INC | 0.7% | $50.1m | 214,998 | 2% | added | |
| 30 | SCHWAB STRATEGIC TR | 0.7% | $45.7m | 935,361 | 10% | added | |
| 31 | JNJ JOHNSON & JOHNSON | Healthcare | 0.6% | $42.0m | 263,541 | 1% | added |
| 32 | CVX CHEVRON CORP NEW | Energy | 0.6% | $41.5m | 250,213 | 2% | added |
| 33 | EOG EOG RES INC COM | Energy | 0.6% | $39.3m | 380,147 | 1% | added |
| 34 | UGI UGI CORP NEW | Utilities | 0.5% | $37.5m | 522,382 | 3% | added |
| 35 | PG PROCTER AND GAMBLE CO | Consumer Defensive | 0.5% | $36.7m | 220,917 | -0% | held |
| 36 | HD HOME DEPOT INC | Consumer Cyclical | 0.5% | $36.2m | 118,624 | -0% | held |
| 37 | SIM ST TREAS FUT STRAT ETF | 0.5% | $36.0m | 821,290 | 0% | held | |
| 38 | CXT CRANE NXT CO | Industrials | 0.5% | $34.5m | 322,393 | 10% | added |
| 39 | GD GENERAL DYNAMICS CORP | Industrials | 0.5% | $34.4m | 143,116 | 1% | added |
| 40 | STIP ISHARES TR | 0.5% | $31.9m | 165,717 | -0% | held | |
| 41 | EVERUS CONSTR GROUP | 0.5% | $31.2m | 252,185 | 1% | added | |
| 42 | GOOGL ALPHABET INC | Communication Services | 0.5% | $31.1m | 94,701 | 1% | added |
| 43 | COST COSTCO WHSL CORP NEW | Consumer Defensive | 0.4% | $30.7m | 17,317 | -3% | reduced |
| 44 | KD KYNDRYL HLDGS INC COM | Technology | 0.4% | $30.5m | 366,881 | 0% | held |
| 45 | MA MASTERCARD INCORPORATED | Financial Services | 0.4% | $30.2m | 30,536 | 1% | added |
| 46 | ACCENTURE PLC | 0.4% | $29.9m | 114,814 | 8% | added | |
| 47 | ARMK ARAMARK HLDGS CORP COM | Industrials | 0.4% | $29.8m | 360,040 | 1% | added |
| 48 | RTX RAYTHEON TECHNOLOGIES CORPORAT | Industrials | 0.4% | $28.6m | 106,607 | -2% | reduced |
| 49 | ISHARES TR | 0.4% | $28.0m | 48,090 | -0% | held | |
| 50 | CR CRANE COMPANY | Industrials | 0.4% | $28.0m | 75,530 | 2% | added |
Weights are shares of the reported long US equity book (options excluded). Values are as filed, normalised to whole dollars. Share changes compare against the immediately preceding filing only.