Universe · entity
Americana Partners, LLC
Institutional manager (13F) · CIK 1797678
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $2.6B
| # | Issuer | Value | Shares |
|---|---|---|---|
| 1 | MICROSOFT CORP | $191M | 515,180 |
| 2 | APPLE INC | $156M | 613,573 |
| 3 | INNOVATOR ETFS TRUST | $88M | 2,485,585 |
| 4 | ISHARES TR | $87M | 784,593 |
| 5 | ENTERPRISE PRODS PARTNERS L | $86M | 2,285,210 |
| 6 | EXXON MOBIL CORP | $80M | 472,674 |
| 7 | NVIDIA CORPORATION | $80M | 459,452 |
| 8 | ISHARES TR | $79M | 954,683 |
| 9 | ISHARES TR | $75M | 175,835 |
| 10 | AMAZON COM INC | $72M | 346,698 |
| 11 | BROADCOM INC | $71M | 230,733 |
| 12 | BLACKROCK ETF TRUST II | $68M | 1,300,946 |
| 13 | JPMORGAN CHASE & CO | $66M | 223,365 |
| 14 | ALPHABET INC | $65M | 225,153 |
| 15 | WALMART INC | $64M | 512,428 |
| 16 | ENERGY TRANSFER L P | $62M | 3,232,925 |
| 17 | ABBVIE INC | $58M | 268,643 |
| 18 | ISHARES U S ETF TR | $58M | 1,136,391 |
| 19 | CHEVRON CORPORATION | $58M | 278,095 |
| 20 | EATON CORP PLC | $57M | 159,359 |
| 21 | JOHNSON & JOHNSON | $52M | 213,366 |
| 22 | ISHARES TR | $46M | 214,068 |
| 23 | MPLX LP | $44M | 765,467 |
| 24 | INTERNATIONAL BUSINESS MACHS | $43M | 178,783 |
| 25 | VANGUARD INDEX FDS | $43M | 72,328 |
| 26 | THERMO FISHER SCIENTIFIC INC | $40M | 81,840 |
| 27 | RTX CORPORATION | $39M | 201,338 |
| 28 | ELI LILLY & CO | $37M | 40,704 |
| 29 | KINDER MORGAN INC DEL | $37M | 1,100,133 |
| 30 | HONEYWELL INTL INC | $35M | 153,221 |
| 31 | WILLIAMS COS INC | $33M | 451,426 |
| 32 | CATERPILLAR INC | $32M | 45,328 |
| 33 | MERCK & CO INC | $32M | 266,031 |
| 34 | BOEING CO | $31M | 155,289 |
| 35 | META PLATFORMS INC | $29M | 51,507 |
| 36 | STATE STR SPDR S&P 500 ETF T | $29M | 44,995 |
| 37 | ROYAL BK CDA | $29M | 180,045 |
| 38 | ISHARES TR | $28M | 403,226 |
| 39 | VISA INC | $27M | 90,401 |
| 40 | PHILIP MORRIS INTL INC | $27M | 165,169 |
| 41 | J P MORGAN EXCHANGE TRADED F | $27M | 380,521 |
| 42 | AIR PRODUCTS AND CHEMICALS I | $26M | 90,489 |
| 43 | PFIZER INC | $26M | 926,212 |
| 44 | ONEOK INC NEW | $26M | 284,827 |
| 45 | MCDONALDS CORP | $26M | 82,436 |
| 46 | VANGUARD SPECIALIZED FUNDS | $25M | 116,080 |
| 47 | IRON MTN INC DEL | $25M | 244,174 |
| 48 | GE AEROSPACE | $24M | 85,299 |
| 49 | ALPHABET INC | $24M | 84,296 |
| 50 | CITIGROUP INC | $23M | 205,453 |
Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.