Universe · entity

Community Bank & Trust, Waco, Texas

Institutional manager (13F) · CIK 1654847
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $420k
#IssuerValueShares
1Apple Inc.$51k200,068
2Nvidia Corp$18k103,508
3Caterpillar Inc.$17k23,421
4Microsoft Corp$16k43,636
5JPMorgan Chase & Co$15k49,554
6Valero Energy Corp$14k57,984
7Walmart Inc$14k112,031
8Exxon Mobil Corp$14k81,267
9Alphabet Inc A$14k47,453
10Johnson & Johnson$13k54,309
11Berkshire Hathaway Inc. B$13k26,637
12Lockheed Martin Corp$12k20,404
13Amazon.com Inc.$10k49,875
14Chevron Corporation$10k47,071
15CVS Caremark Corp$9k12,857
16International Business Machines Corp$9k37,276
17Blackstone Inc$9k74,152
18Cisco Systems, Inc$8k103,621
19McDonald's Corp$8k25,232
20General Dynamics Corp$8k22,127
21Procter & Gamble Company$8k52,305
22AbbVie Inc.$7k33,627
23Broadcom Inc$7k22,490
24Southern Company$7k67,460
25Pepsico, Inc$7k41,918
26Phillips 66$6k34,497
27Micron Technology Inc$6k18,144
28Cohen & Steers Short Duration Preferred and Income Active ETF$6k242,280
29Home Depot, Inc.$6k18,185
30Union Pacific Corp$6k23,497
31Alphabet Inc$5k18,536
32Lowes Companies Inc$5k22,181
33Merck & Co. Inc$5k40,750
34Altria Group Inc.$5k74,206
35Prudential Financial, Inc$5k47,451
36Verizon Communications Inc$4k83,773
37Abbott Laboratories$4k39,036
38Seagate Technology Holdings Plc Corp$4k9,843
39Amgen Inc.$4k10,280
40Elevance Health Inc$4k12,245
41Microchip Technology Inc$3k53,972
42Rio Tinto Plc ADR$3k35,827
43Intercontinental Exchange, Inc.$3k21,064
44UnitedHealth Group Inc$3k11,630
45Norfolk Southern Corp$3k10,661
46Coca-Cola Company$3k37,752
47Duke Energy Corp$3k20,833
48Paychex Inc$3k29,118
49ConocoPhillips$3k19,240
50Kinder Morgan, Inc$3k75,194
All filings on EDGAR ↗

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