Universe · entity

Horrell Capital Management, Inc.

Institutional manager (13F) · CIK 1385925
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $210M
#IssuerValueShares
1OREILLY AUTOMOTIVE, INC$22M234,853
2UNION PAC CORP$16M64,382
3DILLARD'S INC$13M22,337
4HUNT J B TRANS SVCS INC$12M54,915
5MURPHY USA INC$11M22,337
6AUTOZONE INC$11M3,166
7LENNOX INTL INC$10M22,337
8WAL-MART STORES INC$9M73,941
9FEDEX CORP$8M22,355
10L3HARRIS TECHNOLOGIES$8M22,337
11LOCKHEED MARTIN CORP$8M12,498
12HOME DEPOT INC$7M22,337
13AMAZON COM INC$6M28,156
14LOWES COS INC$5M22,483
15ENTERGY CORP NEW$5M44,734
16BANK OZK$4M89,598
17NUCOR CORP$4M22,447
18PEPSICO INC$4M23,401
19YUM BRANDS INC$4M23,047
20KROGER CO$3M44,674
21BRINKER INTL INC$3M22,337
22TARGET CORP$3M22,337
23DOLLAR GEN CORP NEW$3M22,337
24DOLLAR TREE INC$2M22,337
25HOME BANCSHARES INC$2M89,448
26CRH PLC$2M22,337
27UNITED PARCEL SERVICE INC$2M22,337
28ARCBEST CORP$2M22,337
29NESTLE SA$2M22,337
30ENCOMPASS HEALTH CORP$2M22,337
31STARBUCKS CORP$2M22,337
32APPLE INC$2M7,625
33ABB LTD$2M22,337
34TYSON FOODS INC$1M22,937
35FIDELITY NATL INFORMATION SV$1M22,337
36SIMMONS 1ST NATL CORP$869k44,674
37PILGRIMS PRIDE CORP$843k22,337
38MICROSOFT CORP$805k2,176
39ISHARES TR$799k3,221
40P A M TRANSN SVCS INC$757k89,548
41WESTROCK COFFEE CO$686k161,297
42AT&T INC$677k23,337
43CRACKER BARREL OLD CTRY STOR$628k22,337
44OMNICOM GROUP INC$579k7,690
45CANNAE HLDGS INC$500k43,950
46MONTROSE ENVIRONMENTAL GROUP$489k22,337
47GRAYSCALE BITCOIN TR BTC$452k8,567
48CUMMINS INC$404k750
49GENESIS ENERGY L P$392k22,000
50STATE STREET ENERGY SLCT SPDR ETF$381k6,212
All filings on EDGAR ↗

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