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)

#StockSharesValue% PortfolioType
1
AAPLApple Inc
73,188$18.6M9.03%
2
FCFFirst Commonwealth Financial C
1,012,241$17.3M8.36%
3
MSFTMicrosoft Corp
22,731$11.8M5.70%
4
NVDANvidia Corp
44,556$8.3M4.03%
5
STBAS & T Bancorp Inc
186,127$7.0M3.39%
6
GOOGLAlphabet Inc - Cl A
27,553$6.7M3.25%
7
JPMJPMorgan Chase & CO
17,582$5.5M2.69%
8
AMZNAmazon Com Inc Com
23,069$5.1M2.45%
9
AVGOBroadcom Inc
13,117$4.3M2.10%
10
METAMeta Platforms Inc Class A
5,700$4.2M2.03%
11
ORCLOracle Corp
14,199$4.0M1.93%
12
HDHome Depot Inc
6,454$2.6M1.27%
13
WMTWal-Mart Stores Inc
21,794$2.2M1.09%
14
NSCNorfolk Southern Corp
7,449$2.2M1.08%
15
GOOGAlphabet Inc - Cl C
8,974$2.2M1.06%
16
JNJJohnson & Johnson
11,549$2.1M1.04%
17
GSGoldman Sachs Group Inc
2,665$2.1M1.03%
18
VVisa Inc
6,149$2.1M1.02%
19
LRCXLam Research Corp
15,628$2.1M1.01%
20
BRK/BBerkshire Hathaway Inc-Cl B
4,125$2.1M1.00%
21
TJXTJX Companies Inc
14,073$2.0M0.99%
22
MCDMcDonalds Corp
6,683$2.0M0.98%
23
ABTAbbott Laboratories
13,649$1.8M0.89%
24
ABBVAbbvie Inc
7,430$1.7M0.83%
25
QCOMQualcomm Inc
10,141$1.7M0.82%
26
HWMHowmet Aerospace Inc
8,551$1.7M0.81%
27
RTXRaytheon Tech Corp
9,372$1.6M0.76%
28
LLYEli Lilly & CO
2,016$1.5M0.74%
29
XOMExxon Mobil Corp
13,594$1.5M0.74%
30
SCHWCharles Schwab Corp
15,825$1.5M0.73%
31
PGProcter & Gamble CO
9,704$1.5M0.72%
32
EIXEdison Intl
26,918$1.5M0.72%
33
PNCPNC Bank Corp
7,366$1.5M0.72%
34
CVXChevron Corporation
9,254$1.4M0.70%
35
UNHUnitedhealth Group Inc
4,060$1.4M0.68%
36
METMetlife Inc
16,733$1.4M0.67%
37
BLKBlackrock Inc
1,171$1.4M0.66%
38
TRVCCitigroup Inc
13,138$1.3M0.65%
39
4I1Philip Morris International, I
8,010$1.3M0.63%
40
AMLPAlerian MLP ETF
27,443$1.3M0.62%
41
PWRQuanta Services Inc
3,087$1.3M0.62%
42
ROKRockwell Automation Inc
3,477$1.2M0.59%
43
AMATApplied Materials Inc
5,768$1.2M0.57%
44
BACVerizon Communications
26,732$1.2M0.57%
45
MAMastercard Inc Class A
2,019$1.1M0.56%
46
DELLDell Technologies C
7,996$1.1M0.55%
47
MSIMotorola Solutions Inc
2,436$1.1M0.54%
48
DHRDanaher Corp
5,616$1.1M0.54%
49
EWBCEast West Bancorp Inc
10,350$1.1M0.53%
50
KLACKla-Tencor Corp
1,010$1.1M0.53%
51
LHXL3 Harris Technologies Inc
3,545$1.1M0.52%
52
COSTCostco Whsl Corp New
1,168$1.1M0.52%
53
IBMInt'l Business Machines Corp
3,790$1.1M0.52%
54
NFLXNetflix Inc
887$1.1M0.51%
55
APHAmphenol Corporation Cl A
8,561$1.1M0.51%
56
GQ9SPDR Gold Trust
2,932$1.0M0.50%
57
KOCoca Cola CO
15,571$1.0M0.50%
58
ABGCencora Inc
3,262$1.0M0.49%
59
TAT&T Inc
36,053$1.0M0.49%
60
WMBWilliams Cos Inc Del Com
15,900$1.0M0.49%
61
EMREmerson Electric CO
7,568$992K0.48%
62
SYKStryker Corporation
2,674$988K0.48%
63
ZTSZoetis Inc
6,759$988K0.48%
64
CATCaterpillar Inc
2,069$986K0.48%
65
A4SAmeriprise Finl Inc
2,002$982K0.48%
66
RBARb Global Inc
8,722$944K0.46%
67
CSCOCisco Systems
13,528$925K0.45%
68
LMTLockheed Martin
1,850$923K0.45%
69
DPZDominos Pizza Inc.
2,141$923K0.45%
70
RSGRepublic Services Inc
3,819$875K0.42%
71
AXONAxon Enterprise Inc
1,170$839K0.41%
72
MDTMedtronic PLC
8,562$814K0.39%
73
XLKSPDR Technology Sector ETF
2,820$794K0.38%
74
XLESPDR Energy Sector ETF
8,884$792K0.38%
75
MAAMid-America Apartment Comm REI
5,612$783K0.38%
76
GLWCorning Inc Com
9,535$781K0.38%
77
UBERUber Technologies Inc
7,894$772K0.37%
78
FQIDigital Realty Trust Inc REIT
4,338$749K0.36%
79
RGLDRoyal Gold, Inc
3,512$704K0.34%
80
COHRCoherent Corp
6,522$702K0.34%
81
TSMTaiwan Semiconductor-Sp ADR
2,476$691K0.33%
82
VPUVanguard Utilities ETF
3,434$650K0.31%
83
BSXBoston Scientific Corp
6,494$633K0.31%
84
DOVDover Corp Com
3,756$625K0.30%
85
HIIHuntington Ingalls Industries,
2,161$621K0.30%
86
TOLToll Brothers Inc
4,259$587K0.28%
87
TMOThermo Fisher Scientific Inc
1,211$586K0.28%
88
ETNEaton Corp PLC
1,547$578K0.28%
89
FNBF N B Corp PA
34,954$563K0.27%
90
BKNGBooking Holdings Inc
100$539K0.26%
91
CMICummins Engine Inc
1,233$520K0.25%
92
HBANHuntington Bancshare
30,000$518K0.25%
93
GEGeneral Electric CO
1,694$508K0.25%
94
ACGLArch Capital Group Ltd
5,134$465K0.23%
95
DISWalt Disney CO
4,020$459K0.22%
96
VRTXVertex Pharmaceuticals Inc
1,135$444K0.22%
97
VHTVanguard Health Care ETF
1,657$430K0.21%
98
NEENextera Energy, Inc
5,665$427K0.21%
99
PEPPepsico Incorporated
2,989$419K0.20%
100
BCSBarclays PLC ADR
19,770$408K0.20%
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