Back to FIRST FINANCIAL BANKSHARES INC

FIRST FINANCIAL BANKSHARES INC

Q2 2026 13F filing

Updated 30 days ago

210 disclosed positions worth $5.3B

Portfolio value
$5.3B
Total holdings
210
New positions
0
Closed positions
0
Increased
0
Decreased
0
Turnover
Filed
2026-08-11

Full holdings

Every line item disclosed in Q2 2026

M

MICROSOFT CORP

Value
$269.5M
Shares
722.5K
% Port
5.04%
A

BROADCOM INC

Value
$261.1M
Shares
691.3K
% Port
4.89%
G

ALPHABET INC

Value
$229.3M
Shares
641.5K
% Port
4.29%
E

ISHARES TR

Value
$225.7M
Shares
2.93M
% Port
4.22%
J

JPMORGAN CHASE & CO

Value
$220.8M
Shares
674.7K
% Port
4.13%
A

APPLE INC

Value
$213.1M
Shares
736.6K
% Port
3.99%
V

VANGUARD BD INDEX FDS

Value
$190.4M
Shares
2.59M
% Port
3.56%
J
8.JNJ

JOHNSON & JOHNSON

Value
$162.3M
Shares
638.9K
% Port
3.04%
V

VANGUARD TAX-MANAGED FDS

Value
$150.1M
Shares
2.11M
% Port
2.81%
M
10.MU

MICRON TECHNOLOGY INC

Value
$130.2M
Shares
112.8K
% Port
2.44%
C
11.CSCO

CISCO SYS INC

Value
$121.6M
Shares
1.04M
% Port
2.28%
C
12.CVX

CHEVRON CORPORATION

Value
$107.1M
Shares
646.3K
% Port
2.00%
F
13.FBTC

WILLIAMS COS INC

Value
$106.7M
Shares
1.44M
% Port
2.00%
N
14.NVDA

NVIDIA CORPORATION

Value
$103.9M
Shares
519.2K
% Port
1.94%
B

BANK OF AMER CORP

Value
$99.9M
Shares
1.75M
% Port
1.87%
M
16.MCD

MCDONALDS CORP

Value
$98M
Shares
362.7K
% Port
1.83%
M
17.MRK

MERCK & CO INC

Value
$96.7M
Shares
752.8K
% Port
1.81%
A
18.AMZN

AMAZON COM INC

Value
$95.2M
Shares
399.5K
% Port
1.78%
B
19.BX

BLACKSTONE INC

Value
$91.7M
Shares
779.5K
% Port
1.72%
A
20.AEP

AMERICAN ELEC PWR CO INC

Value
$90M
Shares
657.7K
% Port
1.68%
E
21.ETN

EATON CORP PLC

Value
$89.9M
Shares
210.9K
% Port
1.68%
K
22.KO

COCA COLA CO

Value
$89.1M
Shares
1.10M
% Port
1.67%
N

NEXTERA ENERGY INC

Value
$88.8M
Shares
1.01M
% Port
1.66%
C
24.C-PR

CITIGROUP INC

Value
$88.7M
Shares
633.6K
% Port
1.66%
V
25.VGES

VANGUARD SCOTTSDALE FDS

Value
$85.2M
Shares
1.08M
% Port
1.59%
M
26.META

META PLATFORMS INC

Value
$83.4M
Shares
148.0K
% Port
1.56%
A
27.AMGN

AMGEN INC

Value
$81.4M
Shares
224.7K
% Port
1.52%
V
28.VGES

VANGUARD SCOTTSDALE FDS

Value
$78.9M
Shares
1.36M
% Port
1.48%
P
29.PEP

PEPSICO INC

Value
$76.7M
Shares
566.4K
% Port
1.44%
B
30.BSTZ

BLACKROCK INC

Value
$66.9M
Shares
69.6K
% Port
1.25%
A
31.AMT

AMERICAN TOWER CORP

Value
$65.4M
Shares
399.6K
% Port
1.22%
M
32.MDT

MEDTRONIC PLC

Value
$58.9M
Shares
753.0K
% Port
1.10%
V
33.VGES

VANGUARD INTL EQUITY INDEX F

Value
$57.9M
Shares
969.9K
% Port
1.08%
L
34.LMT

LOCKHEED MARTIN CORP

Value
$56.7M
Shares
111.3K
% Port
1.06%
E
35.ETHA

ISHARES TR

Value
$52M
Shares
350.6K
% Port
0.97%
C
36.COP

CONOCOPHILLIPS

Value
$50.3M
Shares
483.4K
% Port
0.94%
L
37.LHX

L3HARRIS TECHNOLOGIES INC

Value
$49.7M
Shares
171.0K
% Port
0.93%
M
38.MDLZ

MONDELEZ INTL INC

Value
$49.2M
Shares
850.1K
% Port
0.92%
S
39.SEIC

SEI INVTS CO

Value
$48.5M
Shares
552.8K
% Port
0.91%
N
40.NOW

SERVICENOW INC

Value
$47.7M
Shares
480.7K
% Port
0.89%
N
41.NI

NISOURCE INC

Value
$47.2M
Shares
991.6K
% Port
0.88%
H
42.HD

HOME DEPOT INC

Value
$46.8M
Shares
132.7K
% Port
0.88%
R

REGIONS FINANCIAL CORP NEW

Value
$43M
Shares
1.42M
% Port
0.80%
U
44.UNP

UNION PAC CORP

Value
$39.9M
Shares
146.6K
% Port
0.75%
N

NOVARTIS AG

Value
$36.7M
Shares
234.3K
% Port
0.69%
B

BERKSHIRE HATHAWAY INC DEL

Value
$36.1M
Shares
72.2K
% Port
0.68%
M
47.MDY

SPDR SERIES TRUST

Value
$36M
Shares
481.3K
% Port
0.67%
M
48.MA

MASTERCARD INCORPORATED

Value
$35.8M
Shares
69.8K
% Port
0.67%
V
49.VGES

VANGUARD SCOTTSDALE FDS

Value
$32.6M
Shares
697.4K
% Port
0.61%
V
50.VGES

VANGUARD INDEX FDS

Value
$29.1M
Shares
302.1K
% Port
0.55%