Universe · entity

Argent Trust Co

Institutional manager (13F) · CIK 1625292
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $1.6B
#IssuerValueShares
1APPLE INC$139M548,029
2MICROSOFT CORP$100M269,741
3JPMORGAN CHASE & CO$84M286,285
4ALPHABET INC$74M256,166
5ISHARES$62M95,251
6WALMART INC$55M445,087
7AMAZON COM INC$55M263,292
8ALPHABET INC$44M154,726
9JOHNSON & JOHNSON$44M180,576
10ABBVIE INC$43M197,784
11EXXON MOBIL CORP$42M245,275
12BROADCOM INC$40M130,652
13CHEVRON CORP$39M187,915
14STATE STREET SPDR S&P 500$38M58,709
15NVIDIA CORP$37M210,219
16META PLATFORMS INC CL A$35M61,665
17VISA INC$33M109,317
18VANGUARD$31M51,505
19VANGUARD$30M475,835
20HOME DEPOT INC$29M89,671
21COCA-COLA CO$28M367,032
22INTERNATIONAL BUSINESS MACHINES$27M112,568
23ELI LILLY & CO$25M27,417
24ISHARES$25M369,715
25CISCO SYSTEMS INC$25M316,220
26MORGAN STANLEY$24M146,691
27MERCK & CO INC$24M196,389
28BERKSHIRE HATHAWAY INC$23M48,401
29COSTCO WHOLESALE CORP$22M22,523
30HONEYWELL INTERNATIONAL INC$22M97,052
31RTX CORPORATION$21M107,126
32PROCTER & GAMBLE CO$21M142,432
33ISHARES$19M192,490
34NEXTERA ENERGY INC$19M201,782
35ISHARES$18M41,126
36TAIWAN SEMICONDUCTOR$17M51,530
37BLACKROCK INC$17M18,086
38VANGUARD$16M55,790
39ISHARES$16M162,114
40ABBOTT LABORATORIES$16M151,373
41ISHARES$15M133,149
42VANGUARD$15M45,926
43AMERICAN EXPRESS CO$14M47,846
44BANK OF AMERICA CORPORATION$14M293,361
45ISHARES$14M114,904
46PEPSICO INC$14M91,581
47MASTERCARD INC$14M28,389
48ORACLE CORPORATION$14M93,503
49AMERICAN ELECTRIC POWER CO INC$14M104,372
50LOCKHEED MARTIN CORP$14M22,411
All filings on EDGAR ↗

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