Universe · entity
Cullen Capital Management, LLC
Institutional manager (13F) · CIK 1362535
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $8.3B
| # | Issuer | Value | Shares |
|---|---|---|---|
| 1 | Novartis AG (ADR) | $311M | 2,037,962 |
| 2 | Cisco Systems Inc. | $283M | 3,645,540 |
| 3 | Johnson & Johnson | $273M | 1,114,929 |
| 4 | Exxon Mobil Corp. | $254M | 1,499,613 |
| 5 | Bank of America Corp. | $252M | 5,164,917 |
| 6 | Duke Energy Corp. | $252M | 1,921,458 |
| 7 | Citigroup Inc. | $252M | 2,218,190 |
| 8 | Merck & Co. Inc. | $249M | 2,073,354 |
| 9 | JP Morgan Chase & Co. | $238M | 808,648 |
| 10 | Morgan Stanley | $236M | 1,433,565 |
| 11 | ConocoPhillips | $236M | 1,785,399 |
| 12 | General Dynamics Corp. | $231M | 673,189 |
| 13 | Medtronic PLC | $228M | 2,630,944 |
| 14 | NextEra Energy Inc. | $225M | 2,427,317 |
| 15 | RTX Corp | $222M | 1,152,069 |
| 16 | Johnson Controls International | $221M | 1,690,728 |
| 17 | Chubb Ltd. | $220M | 674,033 |
| 18 | Comcast Corp. (Cl A) | $205M | 7,149,769 |
| 19 | Truist Financial Corp | $205M | 4,454,809 |
| 20 | Philip Morris International In | $196M | 1,187,104 |
| 21 | Vici Properties Inc. | $185M | 6,788,489 |
| 22 | Chevron Corp. | $181M | 876,053 |
| 23 | Healthpeak Properties Inc | $181M | 10,991,301 |
| 24 | AT&T Inc. | $166M | 5,714,670 |
| 25 | Genuine Parts Co. | $165M | 1,564,620 |
| 26 | Broadcom Ltd. | $165M | 533,686 |
| 27 | United Parcel Service Inc. | $160M | 1,623,438 |
| 28 | Altria Group Inc. | $157M | 2,374,542 |
| 29 | Unilever PLC (ADR) | $151M | 2,647,695 |
| 30 | BCE Inc. | $151M | 5,966,886 |
| 31 | Lowe's Companies Inc. | $145M | 614,677 |
| 32 | The Travelers Companies Inc. | $141M | 482,691 |
| 33 | Target Corp. | $137M | 1,134,244 |
| 34 | UnitedHealth Group Inc. | $128M | 472,736 |
| 35 | Qualcomm Inc. | $116M | 897,217 |
| 36 | Becton Dickinson & Co. | $115M | 729,161 |
| 37 | Dow Inc | $107M | 2,563,614 |
| 38 | Crown Castle Inc. | $97M | 1,188,440 |
| 39 | Omnicom Group Inc. | $88M | 1,164,690 |
| 40 | ASE Technology Holding Company (ADR) | $87M | 4,011,499 |
| 41 | Restaurant Brands Internationa | $82M | 1,105,654 |
| 42 | British American Tobacco PLC (ADR) | $79M | 1,343,678 |
| 43 | Pfizer Inc. | $76M | 2,693,507 |
| 44 | Microsoft Corp. | $75M | 201,639 |
| 45 | Diageo PLC (ADR) | $72M | 964,223 |
| 46 | EOG Resources Inc. | $71M | 487,665 |
| 47 | Bristol-Myers Squibb Co. | $68M | 1,119,669 |
| 48 | National Grid PLC (ADR) | $67M | 794,204 |
| 49 | Taiwan Semiconductor Manufacturing (ADR) | $65M | 191,617 |
| 50 | Toyota Motor Corp. (ADR) | $64M | 312,605 |
Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.