|
Entity | Shares/Amount Change | Position Value Change |
FFIN |
+18,269,866 | +$553,577 | MSFT |
+561,453 | +$211,129 | AAPL |
+817,622 | +$157,417 | BND |
+2,130,019 | +$156,663 | IJH |
+523,125 | +$144,984 | JPM |
+834,843 | +$142,007 | BX |
+802,494 | +$105,063 | VEA |
+2,027,851 | +$97,134 | CVX |
+633,646 | +$94,515 | AVGO |
+83,620 | +$93,341 |
Entity | Shares/Amount Change | Position Value Change |
|
UNCH | $UNCH |
Size ($ in 1000's)
At 12/31/2023: $4,161,720 At 09/30/2023: $0
First Financial Bankshares Inc holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from First Financial Bankshares Inc 13F filings.
Link to 13F filings: SEC filings
|
|
|
As of 12/31/2023, we find all stocks held by First Financial Bankshares Inc to be as follows, presented in the
table below with each row detailing each First Financial Bankshares Inc position, ordered by largest to smallest position size.
The all-stocks-held-by-First Financial Bankshares Inc table shows the entity held in the first column (click any entity to explore other funds
holding positions), the share amount held, the share count change between the last two reporting periods, and finally the
position size for all stocks held by First Financial Bankshares Inc as of the latest filing.
Entity | Amount | Change
09/30/2023 to 12/31/2023 |
Position Size
($ in 1000's) |
First Financial Bankshares Inc (FFIN) |
18,269,866 |
+18,269,866 |
$553,577 | FFIN | 18,269,866 | +18,269,866 | $553,577 | MICROSOFT CORP |
561,453 |
+561,453 |
$211,129 | MSFT | 561,453 | +561,453 | $211,129 | Apple Inc |
817,622 |
+817,622 |
$157,417 | AAPL | 817,622 | +817,622 | $157,417 | VANGUARD ETF USA (BND) |
2,130,019 |
+2,130,019 |
$156,663 | BND | 2,130,019 | +2,130,019 | $156,663 | BlackRock Fund Advisors (IJH) |
523,125 |
+523,125 |
$144,984 | IJH | 523,125 | +523,125 | $144,984 | JPMorgan Chase & Co |
834,843 |
+834,843 |
$142,007 | JPM | 834,843 | +834,843 | $142,007 | Blackstone Inc |
802,494 |
+802,494 |
$105,063 | BX | 802,494 | +802,494 | $105,063 | VANGUARD ETF USA (VEA) |
2,027,851 |
+2,027,851 |
$97,134 | VEA | 2,027,851 | +2,027,851 | $97,134 | Chevron Corp |
633,646 |
+633,646 |
$94,515 | CVX | 633,646 | +633,646 | $94,515 | Broadcom Inc |
83,620 |
+83,620 |
$93,341 | AVGO | 83,620 | +83,620 | $93,341 | Merck & Co Inc |
849,274 |
+849,274 |
$92,588 | MRK | 849,274 | +849,274 | $92,588 | Mondelez International Inc |
1,154,392 |
+1,154,392 |
$83,613 | MDLZ | 1,154,392 | +1,154,392 | $83,613 | VANGUARD ETF USA (VCSH) |
1,025,293 |
+1,025,293 |
$79,327 | VCSH | 1,025,293 | +1,025,293 | $79,327 | Johnson & Johnson |
500,887 |
+500,887 |
$78,509 | JNJ | 500,887 | +500,887 | $78,509 | Honeywell International Inc |
346,096 |
+346,096 |
$72,580 | HON | 346,096 | +346,096 | $72,580 | CONOCOPHILLIPS |
596,736 |
+596,736 |
$69,263 | COP | 596,736 | +596,736 | $69,263 | Amgen Inc |
230,699 |
+230,699 |
$66,446 | AMGN | 230,699 | +230,699 | $66,446 | PEPSICO INC |
388,666 |
+388,666 |
$66,011 | PEP | 388,666 | +388,666 | $66,011 | ALPHABET INC |
450,021 |
+450,021 |
$62,863 | GOOGL | 450,021 | +450,021 | $62,863 | Eaton Corp PLC |
257,483 |
+257,483 |
$62,007 | ETN | 257,483 | +257,483 | $62,007 | VANGUARD GROUP INC THE (VGSH) |
1,025,408 |
+1,025,408 |
$59,812 | VGSH | 1,025,408 | +1,025,408 | $59,812 | Amazon.com Inc |
371,642 |
+371,642 |
$56,467 | AMZN | 371,642 | +371,642 | $56,467 | Williams Cos Inc The |
1,614,226 |
+1,614,226 |
$56,223 | WMB | 1,614,226 | +1,614,226 | $56,223 | MCDONALD S CORP |
182,179 |
+182,179 |
$54,018 | MCD | 182,179 | +182,179 | $54,018 | BlackRock Inc |
64,223 |
+64,223 |
$52,136 | BLK | 64,223 | +64,223 | $52,136 | Coca Cola Co The |
862,274 |
+862,274 |
$50,814 | KO | 862,274 | +862,274 | $50,814 | Medtronic PLC |
601,154 |
+601,154 |
$49,523 | MDT | 601,154 | +601,154 | $49,523 | VANGUARD (VOO) |
111,799 |
+111,799 |
$48,834 | VOO | 111,799 | +111,799 | $48,834 | CISCO SYSTEMS |
941,580 |
+941,580 |
$47,569 | CSCO | 941,580 | +941,580 | $47,569 | American Electric Power Co Inc |
582,687 |
+582,687 |
$47,326 | AEP | 582,687 | +582,687 | $47,326 | Invitation Homes Inc |
1,322,304 |
+1,322,304 |
$45,104 | INVH | 1,322,304 | +1,322,304 | $45,104 | Lockheed Martin Corp |
96,776 |
+96,776 |
$43,863 | LMT | 96,776 | +96,776 | $43,863 | Home Depot Inc The |
123,551 |
+123,551 |
$42,817 | HD | 123,551 | +123,551 | $42,817 | VANGUARD GROUP INC THE (VNQ) |
456,772 |
+456,772 |
$40,360 | VNQ | 456,772 | +456,772 | $40,360 | BK OF AMERICA CORP |
1,191,699 |
+1,191,699 |
$40,125 | BAC | 1,191,699 | +1,191,699 | $40,125 | MASTERCARD INC |
89,990 |
+89,990 |
$38,382 | MA | 89,990 | +89,990 | $38,382 | VANGUARD ETF USA (VWO) |
887,180 |
+887,180 |
$36,463 | VWO | 887,180 | +887,180 | $36,463 | Meta Platforms Inc |
101,666 |
+101,666 |
$35,986 | META | 101,666 | +101,666 | $35,986 | Citigroup Inc |
693,461 |
+693,461 |
$35,672 | C | 693,461 | +693,461 | $35,672 | Comcast Corp |
761,373 |
+761,373 |
$33,386 | CMCSA | 761,373 | +761,373 | $33,386 | STARBUCKS CORP |
344,024 |
+344,024 |
$33,030 | SBUX | 344,024 | +344,024 | $33,030 | Novartis AG |
316,956 |
+316,956 |
$32,003 | NVS | 316,956 | +316,956 | $32,003 | Alexandria Real Estate Equitie |
246,586 |
+246,586 |
$31,260 | ARE | 246,586 | +246,586 | $31,260 | American Tower Corp |
141,027 |
+141,027 |
$30,445 | AMT | 141,027 | +141,027 | $30,445 | NVIDIA Corp |
59,444 |
+59,444 |
$29,438 | NVDA | 59,444 | +59,444 | $29,438 | NEXTERA ENERGY |
458,932 |
+458,932 |
$27,876 | NEE | 458,932 | +458,932 | $27,876 | VANGUARD ETF USA (VMBS) |
597,840 |
+597,840 |
$27,716 | VMBS | 597,840 | +597,840 | $27,716 | Walmart Inc |
173,028 |
+173,028 |
$27,278 | WMT | 173,028 | +173,028 | $27,278 | BlackRock Fund Advisors (IJR) |
238,685 |
+238,685 |
$25,838 | IJR | 238,685 | +238,685 | $25,838 | LOWE S COS INC |
113,416 |
+113,416 |
$25,241 | LOW | 113,416 | +113,416 | $25,241 | SELECT SECTOR SPDR (XLU) |
383,217 |
+383,217 |
$24,269 | XLU | 383,217 | +383,217 | $24,269 | ADVANCED MICRO DEV |
153,310 |
+153,310 |
$22,599 | AMD | 153,310 | +153,310 | $22,599 | VANGUARD ETF USA (VT) |
219,577 |
+219,577 |
$22,590 | VT | 219,577 | +219,577 | $22,590 | UnitedHealth Group Inc |
40,194 |
+40,194 |
$21,161 | UNH | 40,194 | +40,194 | $21,161 | Camden Property Trust |
211,915 |
+211,915 |
$21,041 | CPT | 211,915 | +211,915 | $21,041 | Union Pacific Corp |
85,164 |
+85,164 |
$20,918 | UNP | 85,164 | +85,164 | $20,918 | SPDR SERIES TRUST (KRE) |
390,451 |
+390,451 |
$20,471 | KRE | 390,451 | +390,451 | $20,471 | KLA Corp |
34,702 |
+34,702 |
$20,172 | KLAC | 34,702 | +34,702 | $20,172 | VANGUARD ETF USA (VGLT) |
263,650 |
+263,650 |
$16,222 | VGLT | 263,650 | +263,650 | $16,222 | Lam Research Corp |
20,393 |
+20,393 |
$15,973 | LRCX | 20,393 | +20,393 | $15,973 | ServiceNow Inc |
22,572 |
+22,572 |
$15,947 | NOW | 22,572 | +22,572 | $15,947 | SALESFORCE.COM INC |
55,000 |
+55,000 |
$14,473 | CRM | 55,000 | +55,000 | $14,473 | S&P Global Inc |
29,546 |
+29,546 |
$13,016 | SPGI | 29,546 | +29,546 | $13,016 | Abbott Laboratories |
99,465 |
+99,465 |
$10,948 | ABT | 99,465 | +99,465 | $10,948 | CIPHER MNG INC |
2,397,424 |
+2,397,424 |
$9,901 | CIFR | 2,397,424 | +2,397,424 | $9,901 | Danaher Corp |
40,713 |
+40,713 |
$9,419 | DHR | 40,713 | +40,713 | $9,419 | Workday Inc |
32,994 |
+32,994 |
$9,108 | WDAY | 32,994 | +32,994 | $9,108 | Exxon Mobil Corp |
89,928 |
+89,928 |
$8,991 | XOM | 89,928 | +89,928 | $8,991 | Pfizer Inc |
309,193 |
+309,193 |
$8,902 | PFE | 309,193 | +309,193 | $8,902 | NiSource Inc |
333,772 |
+333,772 |
$8,862 | NI | 333,772 | +333,772 | $8,862 | ProFrac Holding Corp |
1,011,760 |
+1,011,760 |
$8,580 | ACDC | 1,011,760 | +1,011,760 | $8,580 | BlackRock Fund Advisors (IYT) |
32,628 |
+32,628 |
$8,563 | IYT | 32,628 | +32,628 | $8,563 | Palo Alto Networks Inc |
24,219 |
+24,219 |
$7,142 | PANW | 24,219 | +24,219 | $7,142 | ISHARES (IVV) |
13,237 |
+13,237 |
$6,322 | IVV | 13,237 | +13,237 | $6,322 | Stanley Black & Decker Inc |
62,799 |
+62,799 |
$6,161 | SWK | 62,799 | +62,799 | $6,161 | Main Street Capital Corp |
141,608 |
+141,608 |
$6,122 | MAIN | 141,608 | +141,608 | $6,122 | BlackRock Fund Advisors (EFA) |
80,740 |
+80,740 |
$6,084 | EFA | 80,740 | +80,740 | $6,084 | Texas Pacific Land Corp |
3,511 |
+3,511 |
$5,521 | TPL | 3,511 | +3,511 | $5,521 | PayPal Holdings Inc |
77,563 |
+77,563 |
$4,763 | PYPL | 77,563 | +77,563 | $4,763 | SSgA Funds Management Inc (SPY) |
9,749 |
+9,749 |
$4,634 | SPY | 9,749 | +9,749 | $4,634 | Kimbell Royalty Partners LP |
279,054 |
+279,054 |
$4,200 | KRP | 279,054 | +279,054 | $4,200 | BlackRock Fund Advisors (IWB) |
15,444 |
+15,444 |
$4,050 | IWB | 15,444 | +15,444 | $4,050 | Berkshire Hathaway Inc |
|
|
$4,047 | BRK.B | 8,305 | +8,305 | $2,962 | BRK.A | 2 | +2 | $1,085 | VANGUARD ETF USA (VGIT) |
55,422 |
+55,422 |
$3,288 | VGIT | 55,422 | +55,422 | $3,288 | Booking Holdings Inc |
853 |
+853 |
$3,026 | BKNG | 853 | +853 | $3,026 | Adobe Inc |
4,575 |
+4,575 |
$2,729 | ADBE | 4,575 | +4,575 | $2,729 | Bloom Energy Corp |
167,000 |
+167,000 |
$2,472 | BE | 167,000 | +167,000 | $2,472 | Prosperity Bancshares Inc (PB) |
35,813 |
+35,813 |
$2,426 | PB | 35,813 | +35,813 | $2,426 | ESTEE LAUDER COS |
15,512 |
+15,512 |
$2,269 | EL | 15,512 | +15,512 | $2,269 | Generac Holdings Inc |
17,417 |
+17,417 |
$2,251 | GNRC | 17,417 | +17,417 | $2,251 | ROPER INDUSTRIES INC |
4,074 |
+4,074 |
$2,221 | ROP | 4,074 | +4,074 | $2,221 | Intuitive Surgical Inc |
6,220 |
+6,220 |
$2,098 | ISRG | 6,220 | +6,220 | $2,098 | Neurocrine Biosciences Inc |
15,802 |
+15,802 |
$2,082 | NBIX | 15,802 | +15,802 | $2,082 | Incyte Corp |
30,704 |
+30,704 |
$1,928 | INCY | 30,704 | +30,704 | $1,928 | EQUINIX INC |
2,353 |
+2,353 |
$1,895 | EQIX | 2,353 | +2,353 | $1,895 | ISHARES TR (EEM) |
46,798 |
+46,798 |
$1,882 | EEM | 46,798 | +46,798 | $1,882 | MarketAxess Holdings Inc |
6,074 |
+6,074 |
$1,779 | MKTX | 6,074 | +6,074 | $1,779 | United Therapeutics Corp |
7,723 |
+7,723 |
$1,698 | UTHR | 7,723 | +7,723 | $1,698 | LULULEMON ATHLETIC |
2,986 |
+2,986 |
$1,527 | LULU | 2,986 | +2,986 | $1,527 | ISHARES (IEFA) |
21,584 |
+21,584 |
$1,518 | IEFA | 21,584 | +21,584 | $1,518 | Chemed Corp |
2,308 |
+2,308 |
$1,350 | CHE | 2,308 | +2,308 | $1,350 | VISA INC |
4,692 |
+4,692 |
$1,222 | V | 4,692 | +4,692 | $1,222 | CVS Health Corp |
14,141 |
+14,141 |
$1,117 | CVS | 14,141 | +14,141 | $1,117 | ALPHABET INC |
7,584 |
+7,584 |
$1,069 | GOOG | 7,584 | +7,584 | $1,069 | Thermo Fisher Scientific Inc |
1,712 |
+1,712 |
$909 | TMO | 1,712 | +1,712 | $909 | BlackRock Fund Advisors (IWR) |
11,268 |
+11,268 |
$876 | IWR | 11,268 | +11,268 | $876 | AbbVie Inc |
5,648 |
+5,648 |
$875 | ABBV | 5,648 | +5,648 | $875 | ISHARES GOLD TRUST (IAU) |
22,120 |
+22,120 |
$863 | IAU | 22,120 | +22,120 | $863 | COLGATE PALMOLIVE |
10,747 |
+10,747 |
$857 | CL | 10,747 | +10,747 | $857 | SSGA FUNDS MANAGEMENT (SPSB) |
27,977 |
+27,977 |
$833 | SPSB | 27,977 | +27,977 | $833 | Southern Missouri Bancorp Inc |
15,387 |
+15,387 |
$822 | SMBC | 15,387 | +15,387 | $822 | Tesla Inc |
3,146 |
+3,146 |
$782 | TSLA | 3,146 | +3,146 | $782 | Enterprise Products Partners L |
27,431 |
+27,431 |
$723 | EPD | 27,431 | +27,431 | $723 | MCKESSON CORP |
1,550 |
+1,550 |
$718 | MCK | 1,550 | +1,550 | $718 | Chart Industries Inc |
5,030 |
+5,030 |
$686 | GTLS | 5,030 | +5,030 | $686 | Republic Services Inc |
4,144 |
+4,144 |
$683 | RSG | 4,144 | +4,144 | $683 | Marathon Petroleum Corp |
4,408 |
+4,408 |
$654 | MPC | 4,408 | +4,408 | $654 | Procter & Gamble Co The |
4,416 |
+4,416 |
$647 | PG | 4,416 | +4,416 | $647 | Caterpillar Inc |
2,095 |
+2,095 |
$619 | CAT | 2,095 | +2,095 | $619 | Independence Realty Trust Inc |
40,301 |
+40,301 |
$617 | IRT | 40,301 | +40,301 | $617 | Marriott International Inc MD |
2,732 |
+2,732 |
$616 | MAR | 2,732 | +2,732 | $616 | BlackRock Fund Advisors (IEMG) |
12,083 |
+12,083 |
$611 | IEMG | 12,083 | +12,083 | $611 | VERIZON COMMUN |
16,061 |
+16,061 |
$606 | VZ | 16,061 | +16,061 | $606 | INTL BUSINESS MCHN |
3,588 |
+3,588 |
$587 | IBM | 3,588 | +3,588 | $587 | Lennox International Inc |
1,308 |
+1,308 |
$585 | LII | 1,308 | +1,308 | $585 | ISHARES USA (MUB) |
5,371 |
+5,371 |
$582 | MUB | 5,371 | +5,371 | $582 | Eli Lilly & Co |
977 |
+977 |
$570 | LLY | 977 | +977 | $570 | VANGUARD ETF USA (VCIT) |
6,368 |
+6,368 |
$518 | VCIT | 6,368 | +6,368 | $518 | Phillips Edison & Co Inc |
13,517 |
+13,517 |
$493 | PECO | 13,517 | +13,517 | $493 | BlackRock Fund Advisors (SUB) |
4,496 |
+4,496 |
$474 | SUB | 4,496 | +4,496 | $474 | Trane Technologies PLC |
1,943 |
+1,943 |
$474 | TT | 1,943 | +1,943 | $474 | VANGUARD ETF USA (VGT) |
979 |
+979 |
$474 | VGT | 979 | +979 | $474 | Extra Space Storage Inc |
2,953 |
+2,953 |
$473 | EXR | 2,953 | +2,953 | $473 | Walt Disney Co The |
5,145 |
+5,145 |
$465 | DIS | 5,145 | +5,145 | $465 | ISHARES TRUST (HYG) |
5,992 |
+5,992 |
$464 | HYG | 5,992 | +5,992 | $464 | Valero Energy Corp |
3,484 |
+3,484 |
$453 | VLO | 3,484 | +3,484 | $453 | Costco Wholesale Corp |
685 |
+685 |
$452 | COST | 685 | +685 | $452 | First Horizon Corp |
30,596 |
+30,596 |
$433 | FHN | 30,596 | +30,596 | $433 | VANGUARD ETF USA (VHT) |
1,704 |
+1,704 |
$427 | VHT | 1,704 | +1,704 | $427 | TEXAS INSTRUMENTS |
2,491 |
+2,491 |
$425 | TXN | 2,491 | +2,491 | $425 | Heartland Financial USA Inc |
10,685 |
+10,685 |
$402 | HTLF | 10,685 | +10,685 | $402 | Ferguson PLC |
2,054 |
+2,054 |
$397 | FERG | 2,054 | +2,054 | $397 | Seligman Funds Closed end USA (TY) |
13,726 |
+13,726 |
$396 | TY | 13,726 | +13,726 | $396 | Veeva Systems Inc |
2,031 |
+2,031 |
$391 | VEEV | 2,031 | +2,031 | $391 | Phillips 66 |
2,852 |
+2,852 |
$380 | PSX | 2,852 | +2,852 | $380 | QUALCOMM Inc |
2,610 |
+2,610 |
$377 | QCOM | 2,610 | +2,610 | $377 | RTX Corp |
4,207 |
+4,207 |
$354 | RTX | 4,207 | +4,207 | $354 | WASTE MANAGEMENT |
1,968 |
+1,968 |
$352 | WM | 1,968 | +1,968 | $352 | ORACLE CORP |
3,198 |
+3,198 |
$337 | ORCL | 3,198 | +3,198 | $337 | Cooper Cos Inc The |
872 |
+872 |
$330 | COO | 872 | +872 | $330 | FEDEX CORP |
1,245 |
+1,245 |
$315 | FDX | 1,245 | +1,245 | $315 | Quaker Chemical Corp |
1,423 |
+1,423 |
$304 | KWR | 1,423 | +1,423 | $304 | AT&T INC |
18,143 |
+18,143 |
$304 | T | 18,143 | +18,143 | $304 | VANGUARD ETF USA (VTI) |
1,264 |
+1,264 |
$300 | VTI | 1,264 | +1,264 | $300 | Invesco Capital Management LLC |
722 |
+722 |
$296 | QQQ | 722 | +722 | $296 | VANGUARD ETF USA (VTV) |
1,947 |
+1,947 |
$291 | VTV | 1,947 | +1,947 | $291 | ILLINOIS TOOL WKS |
1,100 |
+1,100 |
$288 | ITW | 1,100 | +1,100 | $288 | VANGUARD ETF USA (VB) |
1,338 |
+1,338 |
$285 | VB | 1,338 | +1,338 | $285 | Principal Exchange Traded Fund (PREF) |
16,060 |
+16,060 |
$281 | PREF | 16,060 | +16,060 | $281 | Van Eck Associates Corp |
5,324 |
+5,324 |
$275 | HYD | 5,324 | +5,324 | $275 | DUKE ENERGY CORP |
2,796 |
+2,796 |
$271 | DUK | 2,796 | +2,796 | $271 | BP PLC |
7,399 |
+7,399 |
$262 | BP | 7,399 | +7,399 | $262 | Intel Corp |
5,166 |
+5,166 |
$260 | INTC | 5,166 | +5,166 | $260 | Cullen Frost Bankers Inc |
2,300 |
+2,300 |
$250 | CFR | 2,300 | +2,300 | $250 | Diamondback Energy Inc |
7,861 |
+7,861 |
$247 | VNOM | 7,861 | +7,861 | $247 | Diamondback Energy Inc |
1,577 |
+1,577 |
$245 | FANG | 1,577 | +1,577 | $245 | VANGUARD ETF USA (MGK) |
905 |
+905 |
$235 | MGK | 905 | +905 | $235 | Accenture PLC |
662 |
+662 |
$232 | ACN | 662 | +662 | $232 | Charles Schwab Corp The |
3,375 |
+3,375 |
$232 | SCHW | 3,375 | +3,375 | $232 | Target Corp |
1,627 |
+1,627 |
$232 | TGT | 1,627 | +1,627 | $232 | Invesco Capital Management LLC |
3,667 |
+3,667 |
$230 | SPLV | 3,667 | +3,667 | $230 | Southern Co The |
3,201 |
+3,201 |
$224 | SO | 3,201 | +3,201 | $224 | DEERE & CO |
556 |
+556 |
$222 | DE | 556 | +556 | $222 | ONEOK Inc |
3,089 |
+3,089 |
$217 | OKE | 3,089 | +3,089 | $217 | Sunoco LP |
3,600 |
+3,600 |
$216 | SUN | 3,600 | +3,600 | $216 | AUTOMATIC DATA PROCESSING |
923 |
+923 |
$215 | ADP | 923 | +923 | $215 | ISHARES (IYW) |
1,720 |
+1,720 |
$211 | IYW | 1,720 | +1,720 | $211 | PHILIP MORRIS INTL |
2,199 |
+2,199 |
$207 | PM | 2,199 | +2,199 | $207 | Energy Transfer LP |
14,814 |
+14,814 |
$204 | ET | 14,814 | +14,814 | $204 | L3Harris Technologies Inc |
970 |
+970 |
$204 | LHX | 970 | +970 | $204 | ISHARES (IWM) |
1,013 |
+1,013 |
$203 | IWM | 1,013 | +1,013 | $203 | CARRIER GLOBAL CORP |
3,488 |
+3,488 |
$200 | CARR | 3,488 | +3,488 | $200 | NIKE INC |
1,844 |
+1,844 |
$200 | NKE | 1,844 | +1,844 | $200 | San Juan Basin Royalty Trust |
25,000 |
+25,000 |
$127 | SJT | 25,000 | +25,000 | $127 | Nuveen Closed End Funds USA (JFR) |
13,481 |
+13,481 |
$111 | JFR | 13,481 | +13,481 | $111 | Comstock Resources Inc |
12,133 |
+12,133 |
$107 | CRK | 12,133 | +12,133 | $107 | Lumen Technologies Inc |
51,501 |
+51,501 |
$94 | LUMN | 51,501 | +51,501 | $94 |
See Summary: First Financial Bankshares Inc Top Holdings
See Details: Top 10 Stocks Held By First Financial Bankshares Inc
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