Universe · entity

PATTON ALBERTSON MILLER GROUP, LLC

Institutional manager (13F) · CIK 1511037
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $616M
#IssuerValueShares
1NVIDIA CORPORATION$47M271,587
2APPLE INC$34M134,497
3ISHARES TR$29M44,517
4BLACKROCK ETF TRUST$26M446,041
5ISHARES TR$24M169,121
6BLACKROCK ETF TRUST$22M662,075
7ISHARES TR$19M106,508
8ISHARES TR$19M167,012
9KLA CORP$19M12,565
10MICROSOFT CORP$17M46,587
11ALPHABET INC$17M58,845
12COVENANT LOGISTICS GROUP INC$16M580,528
13QUANTA SVCS INC$14M25,046
14GLOBAL X FDS$14M192,626
15BROADCOM INC$14M43,695
16APPLIED MATLS INC$13M38,052
17JPMORGAN CHASE & CO$13M42,996
18WALMART INC$11M90,039
19MCKESSON CORP$11M12,424
20CISCO SYS INC$11M138,547
21META PLATFORMS INC$11M18,680
22VANGUARD WORLD FD$10M14,841
23GOLDMAN SACHS GROUP INC$10M11,980
24ISHARES TR$10M112,097
25WABTEC$10M39,608
26VANGUARD INDEX FDS$10M30,075
27COCA COLA CO$9M123,802
28VALERO ENERGY CORP$9M37,897
29VANGUARD BD INDEX FDS$9M116,545
30UNITED RENTALS INC$9M12,261
31CUMMINS INC$9M16,567
32AMAZON COM INC$9M41,574
33CHEVRON CORPORATION$8M40,363
34PULTE GROUP INC$8M64,849
35DANAHER CORP DEL$7M36,195
36HOME DEPOT INC$7M20,036
37AMERIPRISE FINL INC$6M14,274
38LOWES COS INC$6M26,799
39ISHARES TR$6M136,211
40ALPHABET INC$6M21,857
41ISHARES TR$6M19,498
42THERMO FISHER SCIENTIFIC INC$6M12,563
43APPLOVIN CORP$6M15,499
44INCYTE CORP$6M64,249
45JOHNSON & JOHNSON$6M24,406
46MASTERCARD INCORPORATED$6M11,602
47INTERNATIONAL BUSINESS MACHS$6M23,302
48UNION PAC CORP$5M22,173
49PUBLIC SVC ENTERPRISE GROUP$5M66,146
50ALLSTATE CORP$5M25,645
All filings on EDGAR ↗

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