Crossmark Global Holdings Inc. 13F Portfolio Holdings

As of  12/31/2025, Crossmark Global Holdings Inc. reported a 13F portfolio value of $6.98B, up from $6.68B for the prior reporting period. The largest reported positions included Nvidia Corporation, Apple, Microsoft, Amazon Com, and Broadcom.

The table below shows the Crossmark Global Holdings Inc. top holdings by position size, including reported share amounts, changes from the prior quarter, and position value. Holdings data is derived from publicly available 13F filings.

Crossmark Global Holdings Inc. latest 13F summary

  • Reporting date:  12/31/2025
  • Reported 13F portfolio value: $6.98 billion
  • Prior reported value: $6.68 billion
  • Largest reported holding: Nvidia Corporation
  • Other top holdings: Apple, Microsoft, Amazon Com, Broadcom
Crossmark Global Holdings Inc. Top Holdings

   EntityAmountChange
 09/30/2025 to 12/31/2025
Position Size
($ in 1000's)
NVIDIA CORPORATION 1,876,529 +244,246 $349,973
     NVDA1,876,529+244,246$349,973
APPLE INC 1,105,150 +151,085 $300,446
     AAPL1,105,150+151,085$300,446
MICROSOFT CORP 535,150 +56,401 $258,809
     MSFT535,150+56,401$258,809
AMAZON COM INC 638,406 +96,675 $147,357
     AMZN638,406+96,675$147,357
BROADCOM INC 404,900 +32,954 $140,136
     AVGO404,900+32,954$140,136
ALPHABET INC 420,946 +72,286 $131,756
     GOOGL420,946+72,286$131,756
ALPHABET INC 360,805 +32,716 $113,221
     GOOG360,805+32,716$113,221
META PLATFORMS INC 124,911 -23,229 $82,453
     META124,911-23,229$82,453
TAIWAN SEMICONDUCTOR MFG LTD 270,292 -44,059 $82,139
     TSM270,292-44,059$82,139
JPMORGAN CHASE & CO. 241,994 -5,973 $77,975
     JPM241,994-5,973$77,975
VISA INC 212,710 +4,606 $74,600
     V212,710+4,606$74,600
QUALCOMM INC 434,194 +14,740 $74,269
     QCOM434,194+14,740$74,269
TESLA INC 163,697 +31,870 $73,618
     TSLA163,697+31,870$73,618
GILEAD SCIENCES INC 551,922 +23,719 $67,743
     GILD551,922+23,719$67,743
CISCO SYS INC 843,066 +34,470 $64,941
     CSCO843,066+34,470$64,941
MASTERCARD INCORPORATED 107,111 +4,530 $61,148
     MA107,111+4,530$61,148
COCA COLA CO 856,385 +35,101 $59,870
     KO856,385+35,101$59,870
BANK AMERICA CORP 1,005,209 +140,501 $55,287
     BAC1,005,209+140,501$55,287
TJX COS INC NEW 348,818 +124,737 $53,582
     TJX348,818+124,737$53,582
WELLS FARGO CO NEW 551,206 +42,247 $51,372
     WFC551,206+42,247$51,372
BERKSHIRE HATHAWAY INC DEL      $48,666
     BRK.B96,818+20,130$48,666
ADVANCED MICRO DEVICES INC 224,876 +12,711 $48,159
     AMD224,876+12,711$48,159
SCHWAB CHARLES CORP 465,390 +95,053 $46,497
     SCHW465,390+95,053$46,497
EXXON MOBIL CORP 384,832 +43,470 $46,311
     XOM384,832+43,470$46,311
WALMART INC 397,412 -20,471 $44,280
     WMT397,412-20,471$44,280
CITIGROUP INC 369,636 +17,137 $43,133
     C369,636+17,137$43,133
COMCAST CORP NEW 1,357,854 +381,644 $40,586
     CMCSA1,357,854+381,644$40,586
ORACLE CORP 204,913 +104,212 $39,940
     ORCL204,913+104,212$39,940
BOOKING HOLDINGS INC 7,440 +312 $39,844
     BKNG7,440+312$39,844
MORGAN STANLEY 223,747 +6,747 $39,722
     MS223,747+6,747$39,722
INTERNATIONAL BUSINESS MACHS 133,027 +8,109 $39,404
     IBM133,027+8,109$39,404
ELI LILLY & CO 36,509 +3,821 $39,235
     LLY36,509+3,821$39,235
VERIZON COMMUNICATIONS INC 941,050 +82,814 $38,329
     VZ941,050+82,814$38,329
ABBOTT LABS 305,217 +4,444 $38,241
     ABT305,217+4,444$38,241
NETFLIX INC 406,097 +388,483 $38,076
     NFLX406,097+388,483$38,076
HSBC HLDGS PLC 466,801 -13,337 $36,723
     HSBC466,801-13,337$36,723
MEDTRONIC PLC 376,941 +20,850 $36,209
     MDT376,941+20,850$36,209
ARISTA NETWORKS INC 269,088 +72,250 $35,259
     ANET269,088+72,250$35,259
AMERICAN EXPRESS CO 93,828 +22,751 $34,712
     AXP93,828+22,751$34,712
PALANTIR TECHNOLOGIES INC 193,481 +29,419 $34,391
     PLTR193,481+29,419$34,391
MCDONALDS CORP 107,472 +2,814 $32,847
     MCD107,472+2,814$32,847
THE CIGNA GROUP 118,250 +2,200 $32,546
     CI118,250+2,200$32,546
HOME DEPOT INC 93,537 +4,041 $32,186
     HD93,537+4,041$32,186
PROCTER AND GAMBLE CO 222,862 +8,934 $31,938
     PG222,862+8,934$31,938
ASML HOLDING N V 29,561 -3,774 $31,626
     ASML29,561-3,774$31,626
BANCO BILBAO VIZCAYA ARGENTA 1,312,603 -61,980 $30,597
     BBVA1,312,603-61,980$30,597
CVS HEALTH CORP 368,561 -15,987 $29,249
     CVS368,561-15,987$29,249
AT&T INC 1,108,762 +94,743 $27,542
     T1,108,762+94,743$27,542
ALTRIA GROUP INC 471,352 +197,765 $27,178
     MO471,352+197,765$27,178
DISNEY WALT CO 236,242 +12,016 $26,877
     DIS236,242+12,016$26,877