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CIK 0002109484 • 3 13F filings • Feb 5, 2026 – Jul 13, 2026
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Past 4 quarters
| % of Portfolio | |||||
|---|---|---|---|---|---|
| ABBOTT LABS | Common Stock | $332K | 0.3% | 2,650 SH | New |
| ABBVIE INC | Common Stock | $2.9M | 2.7%Prev: 2.2% | 12,555 SH | Decreased+577 SH |
| ALPHABET INC | Common Stock | $4.0M | 3.8%Prev: 3.0% | 12,878 SH | Decreased+250 SH |
| AMAZON COM INC | Common Stock | $1.4M | 1.3%Prev: 1.1% | 5,887 SH | Decreased-306 SH |
| AMERICAN ELEC PWR CO INC | Common Stock | $1.2M | 1.1%Prev: 0.9% | 10,131 SH | Decreased-243 SH |
| APPLE INC | Common Stock | $2.0M | 1.9%Prev: 1.7% | 7,265 SH | Decreased-55 SH |
| AT&T INC | Common Stock | $443K | 0.4%Prev: 0.3% | 17,830 SH | Increased+1,877 SH |
| AUTOMATIC DATA PROCESSING INC | Common Stock | $489K | 0.5%Prev: 0.3% | 1,900 SH | Decreased |
| BANK AMERICA CORP | Common Stock | $760K | 0.7%Prev: 0.5% | 13,827 SH | Increased+300 SH |
| BRISTOL-MYERS SQUIBB CO | Common Stock | $444K | 0.4%Prev: 0.3% | 8,225 SH | Increased+1,214 SH |
| BROADCOM INC | Common Stock | $1.5M | 1.5%Prev: 1.3% | 4,470 SH | Decreased-682 SH |
| CATERPILLAR INC | Common Stock | $3.0M | 2.8%Prev: 2.5% | 5,233 SH | Decreased+806 SH |
| CENCORA INC | Common Stock | $209K | 0.2% | 619 SH | New |
| CHEVRON CORP NEW | Common Stock | $2.2M | 2.1%Prev: 2.1% | 14,615 SH | Decreased-43 SH |
| CISCO SYS INC | Common Stock | $3.6M | 3.4%Prev: 3.3% | 46,756 SH | Decreased+2,257 SH |
| CITIZENS FINANCIAL SERVS INC | Common Stock | $612K | 0.6%Prev: 0.6% | 10,726 SH | Decreased |
| COCA COLA CO | Common Stock | $1.6M | 1.5%Prev: 1.5% | 22,811 SH | Decreased-1,904 SH |
| COMMUNITY FINANCIAL SYSTEM INC | Common Stock | $235K | 0.2%Prev: 0.2% | 4,088 SH | Decreased |
| CONOCOPHILLIPS | Common Stock | $536K | 0.5%Prev: 0.5% | 5,730 SH | Decreased-340 SH |
| CORNING INC | Common Stock | $4.2M | 4.0%Prev: 4.0% | 48,359 SH | Decreased+10,495 SH |
| CORTEVA INC | Common Stock | $298K | 0.3%Prev: 0.2% | 4,440 SH | Decreased+244 SH |
| CVS HEALTH CORP | Common Stock | $256K | 0.2%Prev: 0.2% | 3,220 SH | Increased+280 SH |
| DISNEY WALT CO | Common Stock | $708K | 0.7%Prev: 0.4% | 6,227 SH | Increased+1,036 SH |
| DOLLAR GEN CORP NEW | Common Stock | $449K | 0.4%Prev: 0.3% | 3,380 SH | Increased |
| EXXON MOBIL CORP | Common Stock | $758K | 0.7% | 6,301 SH | New |
| FEDERATED HERMES INC | Common Stock | $278K | 0.3%Prev: 0.2% | 5,332 SH | Decreased+100 SH |
| GILEAD SCIENCES INC | Common Stock | $633K | 0.6%Prev: 0.6% | 5,154 SH | Decreased-605 SH |
| HERSHEY CO | Common Stock | $251K | 0.2%Prev: 0.2% | 1,380 SH | Increased-134 SH |
| HOME DEPOT INC | Common Stock | $1.8M | 1.7%Prev: 1.0% | 5,131 SH | Increased+163 SH |
| HONEYWELL INTL INC | Common Stock | $291K | 0.3%Prev: 0.3% | 1,490 SH | Decreased-226 SH |
| IGC PHARMA INC | Common Stock | $21K | 0.0%Prev: 0.0% | 75,000 SH | Increased |
| INTEL CORP | Common Stock | $210K | 0.2%Prev: 0.4% | 5,700 SH | Decreased+1,415 SH |
| INTERCONTINENTAL EXCHANGE INC | Common Stock | $842K | 0.8%Prev: 0.5% | 5,197 SH | Increased+35 SH |
| INTERNATIONAL BUSINESS MACHS | Common Stock | $2.2M | 2.1%Prev: 1.0% | 7,360 SH | Increased+911 SH |
| ISHARES TR | Exchange Traded Fund | $6.4M | 6.0%Prev: 3.7% | 47,534 SH | Increased+14,359 SH |
| JOHNSON & JOHNSON | Common Stock | $3.3M | 3.1%Prev: 2.7% | 15,845 SH | Decreased+867 SH |
| JPMORGAN | Exchange Traded Fund | $7.9M | 7.5%Prev: 5.9% | 124,650 SH | Decreased+9,345 SH |
| JPMORGAN CHASE & CO | Common Stock | $1.1M | 1.0%Prev: 0.7% | 3,398 SH | Increased+262 SH |
| LABCORP HOLDINGS INC | Common Stock | $212K | 0.2%Prev: 0.2% | 845 SH | Decreased-146 SH |
| LAZARD INC | Common Stock | $586K | 0.6%Prev: 0.3% | 12,070 SH | Increased+860 SH |
| LILLY ELI & CO | Common Stock | $551K | 0.5%Prev: 0.4% | 513 SH | Decreased+20 SH |
| M & T BK CORP | Common Stock | $1.7M | 1.6%Prev: 1.3% | 8,619 SH | Decreased+200 SH |
| MARSH | Common Stock | $406K | 0.4%Prev: 0.2% | 2,189 SH | Increased+300 SH |
| MCDONALDS CORP | Common Stock | $268K | 0.3%Prev: 0.2% | 877 SH | Decreased-365 SH |
| MERCK & CO INC | Common Stock | $2.6M | 2.4%Prev: 2.3% | 24,458 SH | Decreased+1,604 SH |
| META PLATFORMS INC | Common Stock | $834K | 0.8%Prev: 0.6% | 1,263 SH | Increased+124 SH |
| METLIFE INC | Common Stock | $1.4M | 1.3%Prev: 1.1% | 17,500 SH | Decreased+67 SH |
| MICROSOFT CORP | Common Stock | $5.3M | 5.0%Prev: 3.8% | 10,859 SH | Decreased+86 SH |
| MONDELEZ INTL INC | Common Stock | $528K | 0.5%Prev: 0.3% | 9,806 SH | Increased+1,558 SH |
| MORGAN STANLEY | Common Stock | $1.4M | 1.3%Prev: 1.0% | 7,871 SH | Decreased+230 SH |
| NEWMONT CORP | Common Stock | $695K | 0.7%Prev: 0.6% | 6,963 SH | Decreased-190 SH |
| NEXTERA ENERGY INC | Common Stock | $2.2M | 2.0%Prev: 1.4% | 26,891 SH | Increased+793 SH |
| NORTHWEST BANCSHARES INC MD | Common Stock | $1.4M | 1.3%Prev: 0.8% | 116,982 SH | Increased+39,807 SH |
| NVIDIA CORPORATION | Common Stock | $2.9M | 2.8%Prev: 2.5% | 15,578 SH | Decreased-10 SH |
| ORACLE CORP | Common Stock | $394K | 0.4%Prev: 0.2% | 2,024 SH | Increased+21 SH |
| PALO ALTO NETWORKS INC | Common Stock | $1.1M | 1.1%Prev: 1.8% | 6,097 SH | Decreased-612 SH |
| PAYPAL HLDGS INC | Common Stock | $274K | 0.3%Prev: 0.2% | 4,700 SH | Increased+100 SH |
| PEPSICO INC | Common Stock | $556K | 0.5%Prev: 0.3% | 3,872 SH | Increased+425 SH |
| PFIZER INC | Common Stock | $396K | 0.4%Prev: 0.3% | 15,907 SH | Decreased+1,614 SH |
| PHILLIPS 66 | Common Stock | $296K | 0.3%Prev: 0.4% | 2,297 SH | Decreased+75 SH |
| PPL CORP | Common Stock | $1.7M | 1.6%Prev: 1.2% | 48,447 SH | Increased-2,147 SH |
| PROCTER AND GAMBLE CO | Common Stock | $1.2M | 1.1%Prev: 0.8% | 8,246 SH | Increased+780 SH |
| QUALCOMM INC | Common Stock | $2.6M | 2.5%Prev: 1.9% | 15,165 SH | Decreased+228 SH |
| RTX CORPORATION | Common Stock | $408K | 0.4%Prev: 0.3% | 2,226 SH | Decreased+20 SH |
| SCHWAB STRATEGIC TR | Exchange Traded Fund | $1.1M | 1.0%Prev: 0.8% | 41,310 SH | Decreased+1,000 SH |
| STATE STREET SPDR S&P 500 ETF TR | Exchange Traded Fund | $1.1M | 1.0%Prev: 0.8% | 1,582 SH | Decreased |
| STATE STREET SPDR S&P MIDCAP 400 ETF TR | Exchange Traded Fund | $428K | 0.4%Prev: 0.3% | 710 SH | Decreased |
| T ROWE PRICE ETF INC | Exchange Traded Fund | $3.6M | 3.4%Prev: 2.4% | 71,322 SH | Increased+261 SH |
| TRUIST FINL CORP | Common Stock | $1.2M | 1.1%Prev: 0.8% | 23,684 SH | Increased+50 SH |
| UNITED PARCEL SERVICE INC | Common Stock | $879K | 0.8%Prev: 0.4% | 8,864 SH | Increased+2,071 SH |
| UNITEDHEALTH GROUP INC | Common Stock | $202K | 0.2% | 611 SH | New |
| US BANCORP DEL | Common Stock | $275K | 0.3%Prev: 0.2% | 5,160 SH | Decreased+115 SH |
| VANGUARD | Exchange Traded Fund | $1.3M | 1.2%Prev: 4.2% | 2,101 SH | Decreased-6,489 SH |
| VANGUARD INDEX FDS | Exchange Traded Fund | $1.7M | 1.6% | 5,594 SH | New |
| VERIZON COMMUNICATIONS INC | Common Stock | $1.4M | 1.4%Prev: 1.2% | 35,391 SH | Decreased-3,360 SH |
| WALMART INC | Common Stock | $675K | 0.6%Prev: 0.4% | 6,057 SH | Increased+175 SH |
| WELLS FARGO CO NEW | Common Stock | $373K | 0.4%Prev: 0.2% | 4,007 SH | Increased-111 SH |
| ZIMMER BIOMET HOLDINGS INC | Common Stock | $341K | 0.3%Prev: 0.2% | 3,790 SH | Increased+100 SH |
| 13F-HR |
| 0002109484-26-000003 |
| $147.6M |
| View |
| Apr 14, 2026 | Q1 2026 | 13F-HR | 0002109484-26-000002 | $107.8M | View |