Universe · entity

HARRELL INVESTMENT PARTNERS, LLC

Institutional manager (13F) · CIK 1802882
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $347M
#IssuerValueShares
1BROADCOM INC$29M92,532
2APPLE INC$27M105,108
3NVIDIA CORPORATION$24M138,545
4JPMORGAN CHASE & CO$15M50,146
5MICROSOFT CORP$15M39,254
6WALMART INC$14M109,378
7ALPHABET INC$12M42,459
8MOTOROLA SOLUTIONS INC$10M23,681
9EATON CORP PLC$10M27,753
10ANALOG DEVICES INC$10M31,063
11JOHNSON & JOHNSON$10M39,776
12AMAZON COM INC$9M44,356
13CME GROUP INC$8M25,826
14MARATHON PETE CORP$7M30,130
15EXXON MOBIL CORP$7M42,543
16ABBVIE INC$7M31,826
17META PLATFORMS INC$7M12,075
18HOME DEPOT INC$7M20,540
19VANGUARD INDEX FDS$7M20,828
20CHUBB LTD SWITZ$6M18,519
21JOHNSON CONTROLS INTERNATION$6M45,299
22TESLA INC$6M15,449
23CUMMINS INC$5M10,092
24VISA INC$5M17,757
25DARDEN RESTAURANTS INC$5M26,888
26SELECT SECTOR SPDR TR$5M38,148
27AIR PRODUCTS AND CHEMICALS I$5M16,403
28TRANE TECHNOLOGIES PLC$5M10,871
29REALTY INCOME CORP$4M71,063
30ALPHABET INC$4M14,821
31VERIZON COMMUNICATIONS INC$4M81,674
32NETFLIX INC.$4M37,171
33SELECT SECTOR SPDR TR$3M31,418
34ARISTA NETWORKS INC$3M28,260
35NEXTERA ENERGY INC$3M35,739
36UNION PAC CORP$3M13,511
37WELLS FARGO & CO$3M39,591
38SELECT SECTOR SPDR TR$3M20,285
39BOEING CO$3M14,730
40ENTERGY CORP NEW$3M25,511
41SELECT SECTOR SPDR TR$3M52,908
42ORACLE CORP$3M17,680
43COMCAST CORP NEW$3M87,453
44LAM RESEARCH CORP$2M11,660
45TEXAS INSTRS INC$2M12,632
46MONSTER BEVERAGE CORP NEW$2M32,751
47UNITEDHEALTH GROUP INC$2M8,404
48CHEVRON CORPORATION$2M10,625
49SALESFORCE INC$2M11,500
50FIDELITY NATL INFORMATION SV$2M43,582
All filings on EDGAR ↗

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