Universe · entity

PENN DAVIS MCFARLAND INC

Institutional manager (13F) · CIK 1108893
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $1.0B
#IssuerValueShares
1ALPHABET, INC. CL C (GOOGLE C)$124M431,240
2NVIDIA CORP$87M498,338
3KINDER MORGAN, INC.$57M1,707,786
4SHELL PLC$46M497,080
5APPLE, INC.$46M179,438
6ENTERPRISE PRODUCTS PRTNS$44M1,175,998
7ROIVANT SCIENCES LTD.$44M1,592,623
8UNITEDHEALTH GROUP, INC.$37M136,346
9RTX CORP.$36M186,641
10ANHEUSER-BUSCH INBEV SA/NV$34M485,264
11LOCKHEED MARTIN CORP$34M55,524
12ALPHABET, INC. CL A (GOOGLE A)$31M109,454
13PAYPAL HOLDINGS, INC.$31M677,417
14BLACK STONE MINERALS LP$30M1,959,588
15SALESFORCE INC$29M155,266
16QUALCOMM, INC.$24M189,176
17LAS VEGAS SANDS$22M401,434
18EVOLUTION AB-ADR$21M343,506
19BRISTOL-MYERS SQUIBB CO$20M336,264
20CHECK POINT SOFTWARE TECH$17M122,108
21SPROUTS FARMERS MARKET INC$17M223,283
22MATCH GROUP INC.$16M524,758
23WASTE MANGEMENT, INC.$13M56,580
24XYLEM, INC.$11M95,672
25MICROSOFT CORPORATION$11M28,374
26TARGET CORP$10M84,571
27JOHNSON & JOHNSON$10M41,344
28KIMBERLY CLARK, CORP.$8M87,070
29TEXAS INSTRUMENTS, INC.$8M41,567
30VERIZON COMMUNICATIONS$7M133,324
31ABBVIE, INC.$7M30,464
32AMGEN, INC.$7M18,766
33MCDONALDS, CORP.$7M21,017
34COCA-COLA COMPANY$6M82,523
35UNITED PARCEL SERVICE, INC.$6M57,113
36ACCENTURE PLC$5M25,689
37PFIZER, INC.$5M170,361
38PEPSICO, INC.$5M29,133
39METTLER-TOLEDO INTERNATIONAL, INC.$4M3,223
40PROCTER & GAMBLE, CO.$4M26,448
41NIKE, INC.$3M61,936
42ABBOTT LABORATORIES$3M31,215
43AMERICAN EXPRESS, CO.$3M10,546
44SPDR GOLD TRUST$3M7,283
45STARBUCKS, CORP.$3M29,291
46HONEYWELL INTERNATIONAL, INC.$3M11,538
47SIRIUSXM HOLDINGS INC.$3M109,303
48ELI LILLY & CO.$2M2,695
49AMAZON, INC.$2M11,422
50U.S. PHYSICAL THERAPY, INC.$2M29,713
All filings on EDGAR ↗

Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.