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First Financial Bankshares Inc

· CIK 0000036029
13F Portfolio $5.0B AUM 212 positions Filed Feb 12, 2026 EDGAR ↗ ← All Funds
212 New
# Ticker Company Sector Shares Value % Port Chg Shares Chg %
1 MSFT MICROSOFT CORP Technology 631,601 $305.5M 6.15% NEW
2 AVGO BROADCOM INC Technology 693,158 $239.9M 4.83% NEW
3 JPM JPMORGAN CHASE & CO. Financial Services 737,285 $237.6M 4.78% NEW
4 GOOGL ALPHABET INC Communication Services 704,140 $220.4M 4.44% NEW
5 AAPL APPLE INC Technology 729,974 $198.5M 4.00% NEW
6 BND VANGUARD BD INDEX FDS 2,645,255 $195.9M 3.94% NEW
7 IJH ISHARES TR 2,920,753 $192.8M 3.88% NEW
8 JNJ JOHNSON & JOHNSON Healthcare 709,380 $146.8M 2.96% NEW
9 VEA VANGUARD TAX-MANAGED FDS 2,110,603 $131.8M 2.65% NEW
10 BX BLACKSTONE INC Financial Services 734,922 $113.3M 2.28% NEW
11 MCD MCDONALDS CORP Consumer Cyclical 319,205 $97.6M 1.96% NEW
12 CVX CHEVRON CORP NEW Energy 636,586 $97.0M 1.95% NEW
13 BAC BANK AMERICA CORP Financial Services 1,716,213 $94.4M 1.90% NEW
14 META META PLATFORMS INC Communication Services 141,954 $93.7M 1.89% NEW
15 NVDA NVIDIA CORPORATION Technology 474,754 $88.5M 1.78% NEW
16 WMB WILLIAMS COS INC Energy 1,440,934 $86.6M 1.74% NEW
17 VCSH VANGUARD SCOTTSDALE FDS 1,026,042 $81.8M 1.65% NEW
18 CSCO CISCO SYS INC Technology 1,053,967 $81.2M 1.63% NEW
19 ETN EATON CORP PLC Industrials 253,785 $80.8M 1.63% NEW
20 MU MICRON TECHNOLOGY INC Technology 282,308 $80.6M 1.62% NEW
21 NEE NEXTERA ENERGY INC Utilities 988,123 $79.3M 1.60% NEW
22 AMZN AMAZON COM INC Consumer Cyclical 337,536 $77.9M 1.57% NEW
23 PEP PEPSICO INC Consumer Defensive 538,026 $77.2M 1.55% NEW
24 MRK MERCK & CO INC Healthcare 728,519 $76.7M 1.54% NEW
25 VGSH VANGUARD SCOTTSDALE FDS 1,302,538 $76.5M 1.54% NEW
26 KO COCA COLA CO Consumer Defensive 1,086,769 $76.0M 1.53% NEW
27 C CITIGROUP INC Financial Services 647,517 $75.6M 1.52% NEW
28 AEP AMERICAN ELEC PWR CO INC Utilities 646,071 $74.5M 1.50% NEW
29 BLK BLACKROCK INC Financial Services 68,723 $73.6M 1.48% NEW
30 AMGN AMGEN INC Healthcare 222,322 $72.8M 1.47% NEW
31 HON HONEYWELL INTL INC Industrials 363,988 $71.0M 1.43% NEW
32 MDT MEDTRONIC PLC Healthcare 708,496 $68.1M 1.37% NEW
33 COP CONOCOPHILLIPS Energy 588,736 $55.1M 1.11% NEW
34 WMT WALMART INC Consumer Defensive 483,063 $53.8M 1.08% NEW
35 LMT LOCKHEED MARTIN CORP Industrials 108,515 $52.5M 1.06% NEW
36 VWO VANGUARD INTL EQUITY INDEX F 945,314 $50.8M 1.02% NEW
37 LHX L3HARRIS TECHNOLOGIES INC Industrials 169,952 $49.9M 1.00% NEW
38 VOO VANGUARD INDEX FDS 78,126 $49.0M 0.99% NEW
39 AMT AMERICAN TOWER CORP NEW Real Estate 255,241 $44.8M 0.90% NEW
40 VMBS VANGUARD SCOTTSDALE FDS 948,531 $44.7M 0.90% NEW
41 HD HOME DEPOT INC Consumer Cyclical 127,814 $44.0M 0.89% NEW
42 MDLZ MONDELEZ INTL INC Consumer Defensive 782,653 $42.1M 0.85% NEW
43 NI NISOURCE INC Utilities 1,008,683 $42.1M 0.85% NEW
44 MA MASTERCARD INCORPORATED Financial Services 69,909 $39.9M 0.80% NEW
45 XLU SELECT SECTOR SPDR TR 919,960 $39.3M 0.79% NEW
46 NOW SERVICENOW INC Technology 247,294 $37.9M 0.76% NEW
47 UNP UNION PAC CORP Industrials 144,307 $33.4M 0.67% NEW
48 KRE SPDR SERIES TRUST 492,530 $31.9M 0.64% NEW
49 NVS NOVARTIS AG Healthcare 224,783 $31.0M 0.62% NEW
50 IJR ISHARES TR 229,225 $27.5M 0.56% NEW
51 VNQ VANGUARD INDEX FDS 304,772 $27.0M 0.54% NEW
52 VGLT VANGUARD SCOTTSDALE FDS 415,857 $23.2M 0.47% NEW
53 VCIT VANGUARD SCOTTSDALE FDS 274,319 $23.0M 0.46% NEW
54 RF REGIONS FINANCIAL CORP NEW Financial Services 843,022 $22.8M 0.46% NEW
55 IYT ISHARES TR 293,923 $21.9M 0.44% NEW
56 ORCL ORACLE CORP Technology 108,763 $21.2M 0.43% NEW
57 SBUX STARBUCKS CORP Consumer Cyclical 230,574 $19.4M 0.39% NEW
58 SPGI S&P GLOBAL INC Financial Services 31,771 $16.6M 0.33% NEW
59 ACDC PROFRAC HLDG CORP Energy 3,912,053 $15.2M 0.31% NEW
60 AVB AVALONBAY CMNTYS INC Real Estate 78,535 $14.2M 0.29% NEW
61 ABT ABBOTT LABS Healthcare 112,351 $14.1M 0.28% NEW
62 UNH UNITEDHEALTH GROUP INC Healthcare 40,548 $13.4M 0.27% NEW
63 O REALTY INCOME CORP Real Estate 201,941 $11.4M 0.23% NEW
64 UTHR UNITED THERAPEUTICS CORP DEL Healthcare 21,034 $10.2M 0.21% NEW
65 PFE PFIZER INC Healthcare 371,821 $9.3M 0.19% NEW
66 GOOGL ALPHABET INC Communication Services 24,477 $7.7M 0.15% NEW
67 EFA ISHARES TR 75,817 $7.3M 0.15% NEW
68 IVV ISHARES TR 10,429 $7.1M 0.14% NEW
69 PANW PALO ALTO NETWORKS INC Technology 36,437 $6.7M 0.14% NEW
70 ISRG INTUITIVE SURGICAL INC Healthcare 11,225 $6.4M 0.13% NEW
71 UBER UBER TECHNOLOGIES INC Technology 74,030 $6.0M 0.12% NEW
72 IYE EXXON MOBIL CORP 48,464 $5.8M 0.12% NEW
73 IWB ISHARES TR 15,478 $5.8M 0.12% NEW
74 LRGF SPDR S&P 500 ETF TR 8,160 $5.6M 0.11% NEW
75 NBIX NEUROCRINE BIOSCIENCES INC Healthcare 37,853 $5.4M 0.11% NEW
76 VT VANGUARD INTL EQUITY INDEX F 37,793 $5.3M 0.11% NEW
77 BKNG BOOKING HOLDINGS INC Consumer Cyclical 952 $5.1M 0.10% NEW
78 FTK FLOTEK INDS INC DEL Energy 290,000 $5.0M 0.10% NEW
79 ARE ALEXANDRIA REAL ESTATE EQ IN Real Estate 99,661 $4.9M 0.10% NEW
80 TSLA TESLA INC Consumer Cyclical 10,782 $4.8M 0.10% NEW
81 PSX PHILLIPS 66 Energy 28,842 $3.7M 0.07% NEW
82 IEFA ISHARES TR 34,383 $3.1M 0.06% NEW
83 KRP KIMBELL RTY PARTNERS LP Energy 237,017 $2.8M 0.06% NEW
84 MAIN MAIN STR CAP CORP Financial Services 40,978 $2.5M 0.05% NEW
85 EEM ISHARES TR 43,894 $2.4M 0.05% NEW
86 GE GE AEROSPACE Industrials 7,601 $2.3M 0.05% NEW
87 KLAC KLA CORP Technology 1,871 $2.3M 0.05% NEW
88 AGG ISHARES TR 22,065 $2.2M 0.04% NEW
89 LRCX LAM RESEARCH CORP Technology 7,197 $1.2M 0.03% NEW
90 MCK MCKESSON CORP Healthcare 1,477 $1.2M 0.02% NEW
91 RENAISSANCERE HLDGS LTD 4,133 $1.2M 0.02% NEW
92 V VISA INC Financial Services 3,285 $1.2M 0.02% NEW
93 CAT CATERPILLAR INC Industrials 2,000 $1.1M 0.02% NEW
94 PB PROSPERITY BANCSHARES INC Financial Services 16,572 $1.1M 0.02% NEW
95 BRK/B BERKSHIRE HATHAWAY INC DEL 2,185 $1.1M 0.02% NEW
96 AIG AMERICAN INTL GROUP INC Financial Services 12,784 $1.1M 0.02% NEW
97 RTX RTX CORPORATION Industrials 5,782 $1.1M 0.02% NEW
98 ABBV ABBVIE INC Healthcare 4,637 $1.1M 0.02% NEW
99 AON AON PLC Financial Services 2,978 $1.1M 0.02% NEW
100 CHE CHEMED CORP NEW Healthcare 2,309 $988K 0.02% NEW
101 QQQM INVESCO QQQ TR 1,589 $976K 0.02% NEW
102 TT TRANE TECHNOLOGIES PLC Industrials 2,486 $968K 0.02% NEW
103 LLY ELI LILLY & CO Healthcare 897 $964K 0.02% NEW
104 D DOMINION ENERGY INC Utilities 16,385 $960K 0.02% NEW
105 FHN FIRST HORIZON CORPORATION Financial Services 39,789 $951K 0.02% NEW
106 SMBC SOUTHERN MO BANCORP INC Financial Services 15,387 $910K 0.02% NEW
107 GILD GILEAD SCIENCES INC Healthcare 7,409 $909K 0.02% NEW
108 NEM NEWMONT CORP Basic Materials 8,545 $853K 0.02% NEW
109 RSG REPUBLIC SVCS INC Industrials 4,004 $849K 0.02% NEW
110 MAR MARRIOTT INTL INC NEW Consumer Cyclical 2,643 $820K 0.02% NEW
111 IWR ISHARES TR 8,488 $817K 0.02% NEW
112 SCHX SCHWAB STRATEGIC TR 29,171 $785K 0.02% NEW
113 TMO THERMO FISHER SCIENTIFIC INC Healthcare 1,276 $739K 0.01% NEW
114 T AT&T INC Communication Services 28,857 $717K 0.01% NEW
115 CL COLGATE PALMOLIVE CO Consumer Defensive 8,951 $707K 0.01% NEW
116 TEL TE CONNECTIVITY PLC Technology 3,095 $704K 0.01% NEW
117 MMM 3M CO Industrials 4,133 $662K 0.01% NEW
118 MPC MARATHON PETE CORP Energy 3,951 $643K 0.01% NEW
119 VONG VANGUARD SCOTTSDALE FDS 5,053 $615K 0.01% NEW
120 LVS LAS VEGAS SANDS CORP Consumer Cyclical 9,297 $605K 0.01% NEW
121 COF CAPITAL ONE FINL CORP Financial Services 2,461 $596K 0.01% NEW
122 BIL SPDR SERIES TRUST 6,505 $594K 0.01% NEW
123 NFLX NETFLIX INC Communication Services 6,120 $574K 0.01% NEW
124 IWF ISHARES TR 1,205 $570K 0.01% NEW
125 FERG FERGUSON ENTERPRISES INC Industrials 2,559 $570K 0.01% NEW
126 VTI VANGUARD INDEX FDS 1,660 $557K 0.01% NEW
127 CSX CSX CORP Industrials 15,325 $556K 0.01% NEW
128 RDNW RIDENOW GROUP INC Consumer Cyclical 100,339 $554K 0.01% NEW
129 PAGP PLAINS GP HLDGS L P Energy 28,767 $551K 0.01% NEW
130 CMI CUMMINS INC Industrials 1,069 $546K 0.01% NEW
131 DE DEERE & CO Industrials 1,128 $525K 0.01% NEW
132 GEV GE VERNOVA INC Utilities 801 $524K 0.01% NEW
133 MSIF MSC INCOME FUND INC Financial Services 38,435 $505K 0.01% NEW
134 EMXC ISHARES INC 6,727 $489K 0.01% NEW
135 VZ VERIZON COMMUNICATIONS INC Communication Services 11,878 $484K 0.01% NEW
136 VLO VALERO ENERGY CORP Energy 2,950 $480K 0.01% NEW
137 COST COSTCO WHSL CORP NEW Consumer Defensive 540 $466K 0.01% NEW
138 VB VANGUARD INDEX FDS 1,788 $461K 0.01% NEW
139 LOW LOWES COS INC Consumer Cyclical 1,868 $450K 0.01% NEW
140 CEG CONSTELLATION ENERGY CORP Utilities 1,238 $437K 0.01% NEW
141 NSC NORFOLK SOUTHN CORP Industrials 1,502 $434K 0.01% NEW
142 PG PROCTER AND GAMBLE CO Consumer Defensive 2,994 $429K 0.01% NEW
143 RCL ROYAL CARIBBEAN GROUP Consumer Cyclical 1,505 $420K 0.01% NEW
144 TY TRI CONTL CORP Financial Services 12,720 $415K 0.01% NEW
145 VEEV VEEVA SYS INC Healthcare 1,856 $414K 0.01% NEW
146 VGIT VANGUARD SCOTTSDALE FDS 6,864 $411K 0.01% NEW
147 VGT VANGUARD WORLD FD 544 $410K 0.01% NEW
148 AME AMETEK INC Industrials 1,993 $409K 0.01% NEW
149 CRM SALESFORCE INC Technology 1,533 $406K 0.01% NEW
150 GD GENERAL DYNAMICS CORP Industrials 1,187 $400K 0.01% NEW
151 MDY SPDR S&P MIDCAP 400 ETF TR Financial Services 654 $395K 0.01% NEW
152 MGK VANGUARD WORLD FD 953 $393K 0.01% NEW
153 VLUE ISHARES TR 2,740 $375K 0.01% NEW
154 SLB SLB LIMITED Energy 9,753 $374K 0.01% NEW
155 VLTO VERALTO CORP Industrials 3,708 $370K 0.01% NEW
156 FCX FREEPORT-MCMORAN INC Basic Materials 7,264 $369K 0.01% NEW
157 AMD ADVANCED MICRO DEVICES INC Technology 1,678 $359K 0.01% NEW
158 AIZ ASSURANT INC Financial Services 1,465 $353K 0.01% NEW
159 TSM TAIWAN SEMICONDUCTOR MFG LTD Technology 1,104 $335K 0.01% NEW
160 CAVA CAVA GROUP INC Consumer Cyclical 5,653 $332K 0.01% NEW
161 FTNT FORTINET INC Technology 4,171 $331K 0.01% NEW
162 NOC NORTHROP GRUMMAN CORP Industrials 565 $322K 0.01% NEW
163 TXN TEXAS INSTRS INC Technology 1,836 $319K 0.01% NEW
164 GLD SPDR GOLD TR Financial Services 801 $317K 0.01% NEW
165 ADP AUTOMATIC DATA PROCESSING IN Industrials 1,197 $308K 0.01% NEW
166 RACE FERRARI N V Consumer Cyclical 829 $306K 0.01% NEW
167 AMAT APPLIED MATLS INC Technology 1,192 $306K 0.01% NEW
168 SOJF SOUTHERN CO Utilities 3,509 $306K 0.01% NEW
169 FANG DIAMONDBACK ENERGY INC Energy 2,027 $305K 0.01% NEW
170 CRH CRH PLC Basic Materials 2,419 $302K 0.01% NEW
171 AFL AFLAC INC Financial Services 2,727 $301K 0.01% NEW
172 BILS SPDR SERIES TRUST 3,000 $298K 0.01% NEW
173 PM PHILIP MORRIS INTL INC Consumer Defensive 1,838 $295K 0.01% NEW
174 NUE NUCOR CORP Basic Materials 1,803 $294K 0.01% NEW
175 CME CME GROUP INC Financial Services 1,068 $292K 0.01% NEW
176 ITW ILLINOIS TOOL WKS INC Industrials 1,180 $291K 0.01% NEW
177 QCOM QUALCOMM INC Technology 1,637 $280K 0.01% NEW
178 DUK DUKE ENERGY CORP NEW Utilities 2,378 $279K 0.01% NEW
179 ETR ENTERGY CORP NEW Utilities 3,005 $278K 0.01% NEW
180 DIS DISNEY WALT CO Communication Services 2,435 $277K 0.01% NEW
181 CPT CAMDEN PPTY TR Real Estate 2,510 $276K 0.01% NEW
182 SEAGATE TECHNOLOGY HLDNGS PL 1,000 $275K 0.01% NEW
183 COO COOPER COS INC Healthcare 3,344 $274K 0.01% NEW
184 VST VISTRA CORP Utilities 1,681 $271K 0.01% NEW
185 CRWD CROWDSTRIKE HLDGS INC Technology 578 $271K 0.01% NEW
186 FDX FEDEX CORP Industrials 930 $269K 0.01% NEW
187 DHR DANAHER CORPORATION Healthcare 1,168 $267K 0.01% NEW
188 XLI SELECT SECTOR SPDR TR 1,720 $267K 0.01% NEW
189 MSTR STRATEGY INC Technology 1,754 $267K 0.01% NEW
190 HPE HEWLETT PACKARD ENTERPRISE C Technology 11,082 $266K 0.01% NEW
191 XLF SELECT SECTOR SPDR TR 4,846 $265K 0.01% NEW
192 XLV SELECT SECTOR SPDR TR 1,688 $261K 0.01% NEW
193 VO VANGUARD INDEX FDS 883 $256K 0.01% NEW
194 IYW ISHARES TR 1,278 $255K 0.01% NEW
195 UPS UNITED PARCEL SERVICE INC Industrials 2,485 $246K 0.01% NEW
196 NVO NOVO-NORDISK A S Healthcare 4,774 $243K 0.01% NEW
197 GS GOLDMAN SACHS GROUP INC Financial Services 276 $243K 0.01% NEW
198 TGT TARGET CORP Consumer Defensive 2,460 $240K 0.01% NEW
199 SCHW SCHWAB CHARLES CORP Financial Services 2,331 $233K 0.01% NEW
200 GLW CORNING INC Technology 2,515 $220K 0.00% NEW
201 IAUM ISHARES GOLD TR Financial Services 5,032 $216K 0.00% NEW
202 XYZ BLOCK INC Technology 3,289 $214K 0.00% NEW
203 MS MORGAN STANLEY Financial Services 1,201 $213K 0.00% NEW
204 SPLV INVESCO EXCH TRADED FD TR II 2,982 $213K 0.00% NEW
205 SJT SAN JUAN BASIN RTY TR Energy 37,500 $211K 0.00% NEW
206 SGOL ETFS GOLD TR Financial Services 5,100 $210K 0.00% NEW
207 RCKT ROCKET LAB CORP Healthcare 3,000 $209K 0.00% NEW
208 VHT VANGUARD WORLD FD 726 $209K 0.00% NEW
209 ILMN ILLUMINA INC Healthcare 1,575 $207K 0.00% NEW
210 HUBB HUBBELL INC Industrials 459 $204K 0.00% NEW
211 PBT PERMIAN BASIN RTY TR Energy 12,000 $204K 0.00% NEW
212 MBS ANGEL OAK FUNDS TRUST 17,381 $152K 0.00% NEW
Sector Allocation
Technology 27.6%
Financial Services 17.6%
Healthcare 11.9%
Communication Services 8.3%
Industrials 7.7%
Energy 6.9%
Consumer Cyclical 6.5%
Consumer Defensive 6.5%
Utilities 5.1%
Real Estate 1.9%