First seen by DFX
Sep 12, 2026
date not stated
Community Financial Services Group, LLC files Form 13F (non_adviser_filer, $544,602,960 in 167 positions)
Community Financial Services Group, LLC reported $568,196,866 across 598 13(f) positions for the quarter ended 2026-03-31
Community Financial Services Group, LLC reported $544,602,960 across 167 13(f) positions for the quarter ended 2025-12-31
Community Financial Services Group, LLC reduced Mondelez International Inc 50,863 -> 9,019 shares ($3,177,419 -> $485,496)
Community Financial Services Group, LLC increased Netflix Inc 4,241 -> 42,013 shares ($5,084,686 -> $3,939,140)
Community Financial Services Group, LLC increased Oracle Corp 22,442 -> 28,914 shares ($6,311,584 -> $5,635,625)
Community Financial Services Group, LLC increased Servicenow Inc 9,370 -> 46,529 shares ($8,623,020 -> $7,127,853)
Community Financial Services Group, LLC reported $545,727,595 across 170 13(f) positions for the quarter ended 2025-09-30
Community Financial Services Group, LLC opened a $4,378,872 position in American Electric Power Co Inc (38,922 shares)
Community Financial Services Group, LLC opened a $3,744,509 position in Amphenol Corp (30,258 shares)
Community Financial Services Group, LLC increased Oracle Corp 11,301 -> 22,442 shares ($2,470,744 -> $6,311,584)
Community Financial Services Group, LLC exited Chevron Corporation (was $2,298,769, 16,054 shares)
Community Financial Services Group, LLC exited Unitedhealth Group Inc (was $4,436,282, 14,220 shares)
Community Financial Services Group, LLC reported $502,746,809 across 168 13(f) positions for the quarter ended 2025-06-30
Community Financial Services Group, LLC exited Adobe Inc (was $4,619,611, 12,045 shares)
Community Financial Services Group, LLC exited Zoetis Inc (was $5,691,307, 34,566 shares)
Community Financial Services Group, LLC increased O'Reilly Automotive Inc 3,040 -> 46,581 shares ($4,355,035 -> $4,198,417)
Community Financial Services Group, LLC increased Oracle Corp 2,356 -> 11,301 shares ($329,392 -> $2,470,744)
Community Financial Services Group, LLC increased Abbott Laboratories 4,628 -> 45,110 shares ($613,904 -> $6,135,336)
Community Financial Services Group, LLC increased Abbvie Inc 9,920 -> 31,384 shares ($2,078,439 -> $5,825,513)
Community Financial Services Group, LLC increased Emerson Electric Co 31,236 -> 60,760 shares ($3,424,716 -> $8,101,141)
Community Financial Services Group, LLC increased Parker Hannifin Corp 6,630 -> 8,619 shares ($4,030,043 -> $6,020,108)
Community Financial Services Group, LLC opened a $5,572,145 position in Netflix Inc (4,161 shares)
Community Financial Services Group, LLC reduced Merck & Co Inc 70,085 -> 27,540 shares ($6,290,844 -> $2,180,074)
Community Financial Services Group, LLC reported $461,269,702 across 170 13(f) positions for the quarter ended 2025-03-31
Community Financial Services Group, LLC reduced Valero Energy Corp 19,659 -> 14,690 shares ($2,410,008 -> $1,940,113)
Community Financial Services Group, LLC exited Xylem Inc (was $2,935,273, 25,300 shares)
Community Financial Services Group, LLC increased Abbvie Inc 2,687 -> 9,920 shares ($477,483 -> $2,078,439)
Community Financial Services Group, LLC increased Bank of America Corporation 124,589 -> 163,270 shares ($5,475,707 -> $6,813,255)
Community Financial Services Group, LLC increased Emerson Electric Co 23,528 -> 31,236 shares ($2,915,828 -> $3,424,716)
Community Financial Services Group, LLC increased JP Morgan 80,754 -> 111,442 shares ($4,645,785 -> $6,367,812)
Community Financial Services Group, LLC increased Parker Hannifin Corp 461 -> 6,630 shares ($293,210 -> $4,030,043)
Community Financial Services Group, LLC reduced Corning Inc 52,829 -> 39,435 shares ($2,510,435 -> $1,805,336)
Community Financial Services Group, LLC reduced Honeywell International Inc 30,329 -> 1,821 shares ($6,851,012 -> $385,600)
Community Financial Services Group, LLC reduced Ishares 5,311 -> 1,895 shares ($3,126,477 -> $1,064,801)
Community Financial Services Group, LLC reduced Novartis a G 53,952 -> 4,167 shares ($5,250,081 -> $464,538)
Community Financial Services Group, LLC reduced Nvidia Corporation 139,773 -> 100,451 shares ($18,770,111 -> $10,886,888)
Community Financial Services Group, LLC reduced Progressive Corp 15,346 -> 890 shares ($3,677,048 -> $251,878)
Community Financial Services Group, LLC reduced Vanguard 15,819 -> 9,944 shares ($3,135,013 -> $1,852,468)
Community Financial Services Group, LLC reported $504,567,541 across 199 13(f) positions for the quarter ended 2024-12-31