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TCTC Holdings, LLC

All holdings · as of Dec 31, 2025

617 positions

CompanyClassValueShares% of portfolio
OCCIDENTAL PETROLEUM CORP /DE$16.31M396,6400.5%
CBRE Group Inc$15.90M98,8710.5%
Comcast Corp.$15.09M504,8700.5%
VERIZON COMMUNICATIONS INC$14.94M366,7350.4%
ANALOG DEVICES INC$14.77M54,4670.4%
Marathon Petroleum Corp$14.56M89,5460.4%
ISHARES TR$14.02M145,9590.4%
EMERSON ELECTRIC CO$13.96M105,1540.4%
ISHARES TR$13.70M259,0340.4%
TRINITY INDUSTRIES INC$13.34M504,6980.4%
TEXAS INSTRUMENTS INC$12.58M72,5310.4%
JOHNSON & JOHNSON$12.24M59,1250.4%
ABBOTT LABORATORIES$11.37M90,7890.3%
Mondelez International, Inc.$10.93M202,9760.3%
AMGEN INC$10.91M33,3390.3%
ISHARES TR$10.64M88,5430.3%
Visa Inc$10.63M30,3150.3%
ISHARES TR$10.22M186,8900.3%
GE Vernova Inc.$9.77M14,9480.3%
PROCTER & GAMBLE Co$9.46M66,0440.3%
AUTOMATIC DATA PROCESSING INC$9.08M35,3060.3%
SOUTHERN CO$8.83M101,3120.3%
SPDR GOLD TR$8.82M22,2470.3%
EXXON MOBIL CORP$8.05M66,8720.2%
Main Street Capital CORPMAINCommon Stock$7.66M126,7910.2%
CHEVRON CORP$7.63M50,0310.2%
STRYKER CORP$7.20M20,4730.2%
ISHARES TR$7.13M108,0590.2%
COCA COLA CO$6.74M96,3830.2%
T Rowe Price Group Inc$6.65M64,9980.2%
ISHARES TR$6.43M9,3880.2%
ALCON AG$6.32M80,2210.2%
EBAY INC$6.27M72,0390.2%
Walt Disney Co$6.01M52,8150.2%
ELI LILLY & Co$6.01M5,5890.2%
CAPITAL ONE FINANCIAL CORP$5.13M21,1490.2%
Zoetis Inc.$5.10M40,5190.2%
AMERICAN EXPRESS CO$5.07M13,6990.2%
PayPal Holdings, Inc.$5.05M86,4700.2%
COSTCO WHOLESALE CORP /NEW$4.62M5,3610.1%
United Parcel Service Inc$4.55M45,8670.1%
ONEOK Inc$4.51M61,4120.1%
ADOBE INC.$4.41M12,5940.1%
Morgan Stanley$3.86M21,7620.1%
Medtronic plc$3.84M39,9930.1%
DigitalBridge Group, Inc.$3.80M247,4420.1%
VANGUARD BD INDEX FDS$3.76M47,7550.1%
Blackstone Inc$3.66M23,7660.1%
The Boeing Company$3.60M16,5720.1%
SELECT SECTOR SPDR TR$3.55M64,7540.1%
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