Universe · entity

Crossmark Global Holdings, Inc.

Institutional manager (13F) · CIK 1539204
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $3.2B
#IssuerValueShares
1NVIDIA CORPORATION$332M1,904,776
2APPLE INC$315M1,241,972
3MICROSOFT CORP$170M459,204
4AMAZON COM INC$136M652,792
5BROADCOM INC$127M410,027
6ALPHABET INC$121M420,573
7ALPHABET INC$106M369,159
8TAIWAN SEMICONDUCTOR MFG LTD$87M257,461
9GILEAD SCIENCES INC$73M524,989
10META PLATFORMS INC$71M123,482
11JPMORGAN CHASE & CO.$70M238,214
12VISA INC$64M212,324
13TJX COS INC NEW$63M395,133
14EXXON MOBIL CORP$62M362,523
15QUALCOMM INC$59M456,861
16CISCO SYS INC$59M754,962
17TESLA INC$55M149,278
18MASTERCARD INCORPORATED$54M107,254
19COCA COLA CO$50M662,531
20BANK AMERICA CORP$50M1,032,440
21SCHWAB CHARLES CORP$50M533,839
22VERIZON COMMUNICATIONS INC$48M953,203
23BERKSHIRE HATHAWAY INC DEL$47M98,456
24CITIGROUP INC$47M412,478
25ADVANCED MICRO DEVICES INC$46M227,824
26WALMART INC$46M372,642
27WESTERN DIGITAL CORP$41M152,664
28ELI LILLY & CO$41M44,827
29NETFLIX INC$41M423,967
30ORACLE CORP$39M262,510
31WELLS FARGO CO NEW$38M483,441
32JOHNSON CTLS INTL PLC$38M289,722
33ASML HOLDING N V$37M28,085
34HSBC HLDGS PLC$37M444,475
35ARISTA NETWORKS INC$36M295,814
36COMCAST CORP NEW$36M1,257,466
37MORGAN STANLEY$35M211,669
38MCDONALDS CORP$34M108,941
39AMERICAN EXPRESS CO$33M107,678
40ABBOTT LABS$32M313,084
41INTERNATIONAL BUSINESS MACHS$32M131,062
42MEDTRONIC PLC$32M365,762
43AT&T INC$32M1,092,222
44PROCTER AND GAMBLE CO$31M214,724
45ANALOG DEVICES INC$31M96,814
46ALTRIA GROUP INC$31M466,012
47HOME DEPOT INC$30M92,733
48THE CIGNA GROUP$30M111,807
49LAM RESEARCH CORP$30M139,353
50MERCK & CO INC$29M245,186
All filings on EDGAR ↗

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