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Mitchell Sinkler & Starr

13F filer · CIK 0001048921
Reported Jul 21, 2026
Net buyer this quarter
13F portfolio value$240MU.S. long equity reported on 13F
Positions12415 new · 5 closed
Net flow last quarter+$21KBuys minus sells
Top 10 positions weight29.9%Concentration

Holdings

13F · last 4 quarters free
Scroll for earlier quarters
CompanyValue% of portfolio% of companyPOSITION CHANGE qoq %First reported
Q2 2026Reported Jul 21, 2026124 positions
AAPLApple Inc.$12.8M5.33%0.00%-3.9%Q2 2013
NVDANvidia Corp$10.9M4.53%0.00%-4.2%Q3 2020
MSFTMicrosoft Corp$9.66M4.02%0.00%+1.0%Q2 2013
GOOGLAlphabet Inc.$8.81M3.67%0.00%-1.3%Q4 2015
PGPROCTER & GAMBLE Co$7.59M3.16%0.00%-1.2%Q2 2013
MRKMerck & Co., Inc.$5.45M2.27%0.00%+0.2%Q2 2013
JNJJohnson & Johnson$5.44M2.27%0.00%+0.7%Q2 2013
AMZNAmazon Com Inc$4.02M1.67%0.00%+0.5%Q2 2018
JPMJPMorgan Chase & Co$3.72M1.55%0.00%-0.1%Q2 2013
SPYSPDR S&P 500 ETF Trust$3.39M1.41%Not reported-11.7%Q1 2019
ABBVAbbVie Inc.$3.38M1.41%0.00%-1.8%Q2 2013
HDHome Depot, Inc.$3.2M1.33%0.00%-2.4%Q2 2013
RTXRTX Corp$3.08M1.28%0.00%+0.3%Q2 2020
XOMExxonMobil Holdings Corp$2.88M1.20%0.00%-0.5%Q2 2013
MAMastercard Inc$2.77M1.15%0.00%+1.9%Q4 2013
AVGOBroadcom Inc.$2.75M1.15%0.00%+0.6%Q4 2021
ADPAutomatic Data Processing Inc$2.71M1.13%0.00%+5.5%Q2 2013
METAMeta Platforms, Inc.$2.67M1.11%Not reported+0.7%Q2 2015
EMREmerson Electric Co$2.49M1.04%0.00%+0.3%Q2 2013
LLYELI LILLY & Co$2.4M1.00%0.00%-4.1%Q2 2013
ASMLAsml Holding NV$2.33M0.97%0.00%-1.8%Q3 2020
CINFCincinnati Financial Corp$2.31M0.96%0.01%-2.4%Q2 2013
PEPPepsico Inc$2.3M0.96%0.00%+0.4%Q2 2013
BRK.BBerkshire Hathaway Inc$2.23M0.93%Not reported-0.8%Q2 2013
RPMRPM International Inc$2.21M0.92%0.02%-2.7%Q2 2013
CVXChevron Corp$2.18M0.91%0.00%+1.2%Q2 2013
NEENextera Energy Inc$2.08M0.86%0.00%+0.5%Q2 2013
SYKStryker Corp$1.99M0.83%0.00%-1.2%Q2 2013
WMWaste Management Inc$1.98M0.83%0.00%-0.6%Q2 2013
ABTAbbott Laboratories$1.97M0.82%0.00%-0.5%Q2 2013
TXNTexas Instruments Inc$1.96M0.82%0.00%-1.6%Q2 2019
COSTCostco Wholesale Corp$1.83M0.76%0.00%-1.2%Q2 2020
INTCIntel Corp$1.59M0.66%0.00%Not reportedQ2 2013
VVisa Inc.$1.48M0.62%0.00%+0.7%Q1 2018
ANETArista Networks, Inc.$1.41M0.59%0.00%-5.4%Q1 2023
SOSouthern Co$1.29M0.54%0.00%Not reportedQ2 2013
GOOGAlphabet Inc.$1.25M0.52%Not reported-3.8%Q4 2020
MRVLMarvell Technology, Inc.$1.21M0.50%0.00%+2.6%Q3 2025
WMTWalmart Inc.$1.15M0.48%0.00%+1.3%Q2 2021
CBChubb Ltd$1.07M0.45%0.00%-0.3%Q2 2013
GNRCGenerac Holdings Inc.$1.05M0.44%0.01%+3.2%Q1 2023
TSLATesla, Inc.$1.04M0.43%0.00%-4.8%Q4 2019
GEGeneral Electric Co$1.03M0.43%0.00%+1.3%Q4 2021
CSCOCisco Systems, Inc.$1.03M0.43%0.00%+0.4%Q2 2013
KOCoca Cola Co$1.03M0.43%0.00%-3.5%Q2 2013
APDAir Products & Chemicals, Inc.$997K0.42%0.00%+1.0%Q2 2013
IBMInternational Business Machines Corp$993K0.41%0.00%+0.4%Q2 2013
SNXTD Synnex Corp$945K0.39%0.00%+28.1%Q4 2025
MMM3m Co$936K0.39%0.00%+1.1%Q2 2013
AMGNAmgen Inc$831K0.35%0.00%Not reportedQ1 2023
Q1 2026Reported Apr 13, 2026114 positions
AAPLApple Inc.$11.7M5.40%0.00%+2.2%Q2 2013
NVDANvidia Corp$9.9M4.57%0.00%-0.6%Q3 2020
MSFTMicrosoft Corp$9.5M4.38%0.00%-0.8%Q2 2013
PGPROCTER & GAMBLE Co$7.57M3.49%0.00%-1.5%Q2 2013
GOOGLAlphabet Inc.$7.18M3.31%0.00%+0.6%Q4 2015
JNJJohnson & Johnson$5.2M2.40%0.00%-1.6%Q2 2013
MRKMerck & Co., Inc.$5.09M2.35%0.00%Not reportedQ2 2013
XOMExxonMobil Holdings Corp$3.59M1.66%0.00%-1.0%Q2 2013
AMZNAmazon Com Inc$3.49M1.61%0.00%-1.0%Q2 2018
JPMJPMorgan Chase & Co$3.35M1.55%0.00%0.0%Q2 2013
SPYSPDR S&P 500 ETF Trust$3.35M1.54%Not reported-5.9%Q1 2019
RTXRTX Corp$3.12M1.44%0.00%-2.5%Q2 2020
HDHome Depot, Inc.$3.06M1.41%0.00%-0.1%Q2 2013
ABBVAbbVie Inc.$2.97M1.37%0.00%-0.4%Q2 2013
METAMeta Platforms, Inc.$2.69M1.24%Not reported+2.0%Q2 2015
CVXChevron Corp$2.69M1.24%0.00%-1.4%Q2 2013
MAMastercard Inc$2.64M1.22%0.00%-1.1%Q4 2013
PEPPepsico Inc$2.63M1.22%0.00%-2.4%Q2 2013
ADPAutomatic Data Processing Inc$2.33M1.08%0.00%-3.0%Q2 2013
EMREmerson Electric Co$2.27M1.05%0.00%-0.7%Q2 2013
AVGOBroadcom Inc.$2.24M1.04%0.00%+2.8%Q4 2021
ABTAbbott Laboratories$2.24M1.03%0.00%-1.7%Q2 2013
NEENextera Energy Inc$2.19M1.01%0.00%Not reportedQ2 2013
BRK.BBerkshire Hathaway Inc$2.15M0.99%Not reported+0.6%Q2 2013
SYKStryker Corp$2.1M0.97%0.00%Not reportedQ2 2013
WMWaste Management Inc$2.06M0.95%0.00%-1.4%Q2 2013
RPMRPM International Inc$2.03M0.94%0.02%-2.4%Q2 2013
CINFCincinnati Financial Corp$2.01M0.93%0.01%-1.0%Q2 2013
COSTCostco Wholesale Corp$1.97M0.91%0.00%-4.3%Q2 2020
LLYELI LILLY & Co$1.92M0.88%0.00%-1.9%Q2 2013
ASMLAsml Holding NV$1.57M0.73%0.00%-0.3%Q3 2020
MRSHMarsh & Mclennan Companies, Inc.$1.53M0.71%0.00%NewQ1 2026
SOSouthern Co$1.3M0.60%0.00%Not reportedQ2 2013
VVisa Inc.$1.3M0.60%0.00%-5.0%Q1 2018
HONHoneywell International Inc$1.3M0.60%0.00%Not reportedQ2 2013
TXNTexas Instruments Inc$1.3M0.60%0.00%+0.2%Q2 2019
WMTWalmart Inc.$1.24M0.57%0.00%-4.2%Q2 2021
ANETArista Networks, Inc.$1.08M0.50%0.00%Not reportedQ1 2023
GOOGAlphabet Inc.$1.06M0.49%Not reported-4.0%Q4 2020
CBChubb Ltd$1.03M0.47%0.00%-0.9%Q2 2013
ACNAccenture plc$1.01M0.47%0.00%+0.9%Q3 2019
KOCoca Cola Co$996K0.46%0.00%-1.3%Q2 2013
APDAir Products & Chemicals, Inc.$977K0.45%0.00%+0.6%Q2 2013
TSLATesla, Inc.$962K0.44%0.00%Not reportedQ4 2019
VZVerizon Communications Inc$961K0.44%0.00%-3.3%Q2 2013
NKENIKE, Inc.$888K0.41%0.00%-4.0%Q2 2013
IBMInternational Business Machines Corp$852K0.39%0.00%+0.9%Q2 2013
MMM3m Co$831K0.38%0.00%Not reportedQ2 2013
AMGNAmgen Inc$807K0.37%0.00%Not reportedQ1 2023
DUKDuke Energy CORP$792K0.37%0.00%Not reportedQ2 2013
Q4 2025Reported Feb 11, 2026109 positions
MSFTMicrosoft Corp$12.5M5.65%0.00%+0.4%Q2 2013
AAPLApple Inc.$12.3M5.54%0.00%-0.2%Q2 2013
NVDANvidia Corp$10.7M4.81%0.00%-4.4%Q3 2020
GOOGLAlphabet Inc.$7.77M3.51%0.00%-1.1%Q4 2015
PGPROCTER & GAMBLE Co$7.62M3.44%0.00%-0.9%Q2 2013
JNJJohnson & Johnson$4.48M2.02%0.00%-1.0%Q2 2013
MRKMerck & Co., Inc.$4.45M2.01%0.00%-5.5%Q2 2013
AMZNAmazon Com Inc$3.91M1.77%0.00%-0.6%Q2 2018
SPYSPDR S&P 500 ETF Trust$3.73M1.68%Not reported-0.6%Q1 2019
JPMJPMorgan Chase & Co$3.67M1.66%0.00%-1.0%Q2 2013
HDHome Depot, Inc.$3.2M1.45%0.00%-1.4%Q2 2013
ABBVAbbVie Inc.$3.14M1.42%0.00%+1.7%Q2 2013
MAMastercard Inc$3.05M1.38%0.00%-1.9%Q4 2013
METAMeta Platforms, Inc.$3.05M1.38%Not reported+6.9%Q2 2015
ADPAutomatic Data Processing Inc$3.04M1.37%0.00%-2.2%Q2 2013
RTXRTX Corp$3.04M1.37%0.00%-6.8%Q2 2020
ABTAbbott Laboratories$2.78M1.26%0.00%-0.8%Q2 2013
XOMExxonMobil Holdings Corp$2.57M1.16%0.00%+8.7%Q2 2013
PEPPepsico Inc$2.49M1.13%0.00%-4.0%Q2 2013
AVGOBroadcom Inc.$2.44M1.10%0.00%+2.2%Q4 2021
EMREmerson Electric Co$2.31M1.05%0.00%-0.7%Q2 2013
LLYELI LILLY & Co$2.28M1.03%0.00%-12.6%Q2 2013
BRK.BBerkshire Hathaway Inc$2.25M1.01%Not reportedNot reportedQ2 2013
SYKStryker Corp$2.24M1.01%0.00%Not reportedQ2 2013
RPMRPM International Inc$2.18M0.98%0.02%+0.1%Q2 2013
CINFCincinnati Financial Corp$2.11M0.95%0.01%Not reportedQ2 2013
CVXChevron Corp$2.01M0.91%0.00%-9.5%Q2 2013
WMWaste Management Inc$1.99M0.90%0.00%-0.6%Q2 2013
NEENextera Energy Inc$1.89M0.85%0.00%Not reportedQ2 2013
COSTCostco Wholesale Corp$1.78M0.80%0.00%-0.7%Q2 2020
VVisa Inc.$1.59M0.72%0.00%-1.1%Q1 2018
ACNAccenture plc$1.36M0.61%0.00%+4.9%Q3 2019
ASMLAsml Holding NV$1.28M0.58%0.00%+0.9%Q3 2020
GOOGAlphabet Inc.$1.2M0.54%Not reported-5.9%Q4 2020
SOSouthern Co$1.18M0.53%0.00%Not reportedQ2 2013
WMTWalmart Inc.$1.17M0.53%0.00%-0.5%Q2 2021
TSLATesla, Inc.$1.16M0.53%0.00%-1.2%Q4 2019
TXNTexas Instruments Inc$1.16M0.52%0.00%-1.1%Q2 2019
ANETArista Networks, Inc.$1.15M0.52%0.00%Not reportedQ1 2023
HONHoneywell International Inc$1.12M0.51%0.00%Not reportedQ2 2013
NKENIKE, Inc.$1.12M0.50%0.00%-1.7%Q2 2013
IBMInternational Business Machines Corp$1.03M0.47%0.00%Not reportedQ2 2013
CBChubb Ltd$992K0.45%0.00%-0.2%Q2 2013
KOCoca Cola Co$928K0.42%0.00%-0.2%Q2 2013
MMM3m Co$916K0.41%0.00%+1.5%Q2 2013
ORCLOracle Corp$895K0.40%0.00%-3.1%Q2 2013
ISRGIntuitive Surgical Inc$867K0.39%0.00%Not reportedQ1 2021
DISWalt Disney Co$858K0.39%0.00%Not reportedQ4 2013
GEGeneral Electric Co$838K0.38%0.00%Not reportedQ4 2021
APDAir Products & Chemicals, Inc.$826K0.37%0.00%-0.7%Q2 2013
Q3 2025Reported Nov 4, 2025112 positions
MSFTMicrosoft Corp$13.3M6.00%0.00%-0.1%Q2 2013
AAPLApple Inc.$11.5M5.17%0.00%-0.7%Q2 2013
NVDANvidia Corp$11.1M5.01%0.00%-2.9%Q3 2020
PGPROCTER & GAMBLE Co$8.24M3.71%0.00%0.0%Q2 2013
GOOGLAlphabet Inc.$6.1M2.74%0.00%-0.2%Q4 2015
JNJJohnson & Johnson$4.05M1.82%0.00%-0.6%Q2 2013
HDHome Depot, Inc.$3.82M1.72%0.00%-0.6%Q2 2013
MRKMerck & Co., Inc.$3.76M1.69%0.00%-0.1%Q2 2013
AMZNAmazon Com Inc$3.74M1.68%0.00%-0.8%Q2 2018
SPYSPDR S&P 500 ETF Trust$3.66M1.65%Not reportedNot reportedQ1 2019
JPMJPMorgan Chase & Co$3.63M1.63%0.00%-1.3%Q2 2013
ADPAutomatic Data Processing Inc$3.55M1.60%0.00%+1.4%Q2 2013
METAMeta Platforms, Inc.$3.17M1.43%Not reported-0.8%Q2 2015
ABBVAbbVie Inc.$3.13M1.40%0.00%Not reportedQ2 2013
MAMastercard Inc$3.1M1.39%0.00%-0.8%Q4 2013
ABTAbbott Laboratories$3M1.35%0.00%+0.2%Q2 2013
RTXRTX Corp$2.98M1.34%0.00%-2.1%Q2 2020
PEPPepsico Inc$2.54M1.14%0.00%+0.3%Q2 2013
RPMRPM International Inc$2.47M1.11%0.02%+0.4%Q2 2013
SYKStryker Corp$2.36M1.06%0.00%-0.7%Q2 2013
EMREmerson Electric Co$2.3M1.04%0.00%-0.3%Q2 2013
AVGOBroadcom Inc.$2.28M1.02%0.00%+0.2%Q4 2021
CVXChevron Corp$2.27M1.02%0.00%-0.1%Q2 2013
BRK.BBerkshire Hathaway Inc$2.25M1.01%Not reported+0.6%Q2 2013
XOMExxonMobil Holdings Corp$2.22M1.00%0.00%-0.1%Q2 2013
CINFCincinnati Financial Corp$2.04M0.92%0.01%Not reportedQ2 2013
WMWaste Management Inc$2.02M0.91%0.00%Not reportedQ2 2013
COSTCostco Wholesale Corp$1.93M0.87%0.00%Not reportedQ2 2020
LLYELI LILLY & Co$1.85M0.83%0.00%-0.1%Q2 2013
NEENextera Energy Inc$1.78M0.80%0.00%-0.8%Q2 2013
VVisa Inc.$1.56M0.70%0.00%-1.8%Q1 2018
ORCLOracle Corp$1.33M0.60%0.00%Not reportedQ2 2013
ANETArista Networks, Inc.$1.28M0.58%0.00%Not reportedQ1 2023
SOSouthern Co$1.28M0.58%0.00%Not reportedQ2 2013
NKENIKE, Inc.$1.24M0.56%0.00%+0.5%Q2 2013
TXNTexas Instruments Inc$1.24M0.56%0.00%+2.0%Q2 2019
HONHoneywell International Inc$1.21M0.54%0.00%-0.9%Q2 2013
ACNAccenture plc$1.19M0.53%0.00%+3.4%Q3 2019
TSLATesla, Inc.$1.17M0.52%0.00%-4.3%Q4 2019
ASMLAsml Holding NV$1.15M0.52%0.00%+0.7%Q3 2020
WMTWalmart Inc.$1.08M0.49%0.00%Not reportedQ2 2021
GOOGAlphabet Inc.$992K0.45%Not reported-2.3%Q4 2020
IBMInternational Business Machines Corp$983K0.44%0.00%Not reportedQ2 2013
APDAir Products & Chemicals, Inc.$919K0.41%0.00%Not reportedQ2 2013
CBChubb Ltd$898K0.40%0.00%-0.2%Q2 2013
DHIHorton D R Inc$885K0.40%0.00%Not reportedQ4 2023
KOCoca Cola Co$882K0.40%0.00%-2.8%Q2 2013
VZVerizon Communications Inc$881K0.40%0.00%Not reportedQ2 2013
MMM3m Co$874K0.39%0.00%-3.0%Q2 2013
DISWalt Disney Co$864K0.39%0.00%+1.4%Q4 2013
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