Holdings Channel
EntityShares/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+$93,341
EntityShares/Amount
Change
Position Value
Change
UNCH$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

All Stocks Held By First Financial Bankshares Inc
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.

   EntityAmountChange
 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
     FFIN18,269,866+18,269,866$553,577
MICROSOFT CORP 561,453 +561,453 $211,129
     MSFT561,453+561,453$211,129
Apple Inc 817,622 +817,622 $157,417
     AAPL817,622+817,622$157,417
VANGUARD ETF USA (BND) 2,130,019 +2,130,019 $156,663
     BND2,130,019+2,130,019$156,663
BlackRock Fund Advisors (IJH) 523,125 +523,125 $144,984
     IJH523,125+523,125$144,984
JPMorgan Chase & Co 834,843 +834,843 $142,007
     JPM834,843+834,843$142,007
Blackstone Inc 802,494 +802,494 $105,063
     BX802,494+802,494$105,063
VANGUARD ETF USA (VEA) 2,027,851 +2,027,851 $97,134
     VEA2,027,851+2,027,851$97,134
Chevron Corp 633,646 +633,646 $94,515
     CVX633,646+633,646$94,515
Broadcom Inc 83,620 +83,620 $93,341
     AVGO83,620+83,620$93,341
Merck & Co Inc 849,274 +849,274 $92,588
     MRK849,274+849,274$92,588
Mondelez International Inc 1,154,392 +1,154,392 $83,613
     MDLZ1,154,392+1,154,392$83,613
VANGUARD ETF USA (VCSH) 1,025,293 +1,025,293 $79,327
     VCSH1,025,293+1,025,293$79,327
Johnson & Johnson 500,887 +500,887 $78,509
     JNJ500,887+500,887$78,509
Honeywell International Inc 346,096 +346,096 $72,580
     HON346,096+346,096$72,580
CONOCOPHILLIPS 596,736 +596,736 $69,263
     COP596,736+596,736$69,263
Amgen Inc 230,699 +230,699 $66,446
     AMGN230,699+230,699$66,446
PEPSICO INC 388,666 +388,666 $66,011
     PEP388,666+388,666$66,011
ALPHABET INC 450,021 +450,021 $62,863
     GOOGL450,021+450,021$62,863
Eaton Corp PLC 257,483 +257,483 $62,007
     ETN257,483+257,483$62,007
VANGUARD GROUP INC THE (VGSH) 1,025,408 +1,025,408 $59,812
     VGSH1,025,408+1,025,408$59,812
Amazon.com Inc 371,642 +371,642 $56,467
     AMZN371,642+371,642$56,467
Williams Cos Inc The 1,614,226 +1,614,226 $56,223
     WMB1,614,226+1,614,226$56,223
MCDONALD S CORP 182,179 +182,179 $54,018
     MCD182,179+182,179$54,018
BlackRock Inc 64,223 +64,223 $52,136
     BLK64,223+64,223$52,136
Coca Cola Co The 862,274 +862,274 $50,814
     KO862,274+862,274$50,814
Medtronic PLC 601,154 +601,154 $49,523
     MDT601,154+601,154$49,523
VANGUARD (VOO) 111,799 +111,799 $48,834
     VOO111,799+111,799$48,834
CISCO SYSTEMS 941,580 +941,580 $47,569
     CSCO941,580+941,580$47,569
American Electric Power Co Inc 582,687 +582,687 $47,326
     AEP582,687+582,687$47,326
Invitation Homes Inc 1,322,304 +1,322,304 $45,104
     INVH1,322,304+1,322,304$45,104
Lockheed Martin Corp 96,776 +96,776 $43,863
     LMT96,776+96,776$43,863
Home Depot Inc The 123,551 +123,551 $42,817
     HD123,551+123,551$42,817
VANGUARD GROUP INC THE (VNQ) 456,772 +456,772 $40,360
     VNQ456,772+456,772$40,360
BK OF AMERICA CORP 1,191,699 +1,191,699 $40,125
     BAC1,191,699+1,191,699$40,125
MASTERCARD INC 89,990 +89,990 $38,382
     MA89,990+89,990$38,382
VANGUARD ETF USA (VWO) 887,180 +887,180 $36,463
     VWO887,180+887,180$36,463
Meta Platforms Inc 101,666 +101,666 $35,986
     META101,666+101,666$35,986
Citigroup Inc 693,461 +693,461 $35,672
     C693,461+693,461$35,672
Comcast Corp 761,373 +761,373 $33,386
     CMCSA761,373+761,373$33,386
STARBUCKS CORP 344,024 +344,024 $33,030
     SBUX344,024+344,024$33,030
Novartis AG 316,956 +316,956 $32,003
     NVS316,956+316,956$32,003
Alexandria Real Estate Equitie 246,586 +246,586 $31,260
     ARE246,586+246,586$31,260
American Tower Corp 141,027 +141,027 $30,445
     AMT141,027+141,027$30,445
NVIDIA Corp 59,444 +59,444 $29,438
     NVDA59,444+59,444$29,438
NEXTERA ENERGY 458,932 +458,932 $27,876
     NEE458,932+458,932$27,876
VANGUARD ETF USA (VMBS) 597,840 +597,840 $27,716
     VMBS597,840+597,840$27,716
Walmart Inc 173,028 +173,028 $27,278
     WMT173,028+173,028$27,278
BlackRock Fund Advisors (IJR) 238,685 +238,685 $25,838
     IJR238,685+238,685$25,838
LOWE S COS INC 113,416 +113,416 $25,241
     LOW113,416+113,416$25,241
SELECT SECTOR SPDR (XLU) 383,217 +383,217 $24,269
     XLU383,217+383,217$24,269
ADVANCED MICRO DEV 153,310 +153,310 $22,599
     AMD153,310+153,310$22,599
VANGUARD ETF USA (VT) 219,577 +219,577 $22,590
     VT219,577+219,577$22,590
UnitedHealth Group Inc 40,194 +40,194 $21,161
     UNH40,194+40,194$21,161
Camden Property Trust 211,915 +211,915 $21,041
     CPT211,915+211,915$21,041
Union Pacific Corp 85,164 +85,164 $20,918
     UNP85,164+85,164$20,918
SPDR SERIES TRUST (KRE) 390,451 +390,451 $20,471
     KRE390,451+390,451$20,471
KLA Corp 34,702 +34,702 $20,172
     KLAC34,702+34,702$20,172
VANGUARD ETF USA (VGLT) 263,650 +263,650 $16,222
     VGLT263,650+263,650$16,222
Lam Research Corp 20,393 +20,393 $15,973
     LRCX20,393+20,393$15,973
ServiceNow Inc 22,572 +22,572 $15,947
     NOW22,572+22,572$15,947
SALESFORCE.COM INC 55,000 +55,000 $14,473
     CRM55,000+55,000$14,473
S&P Global Inc 29,546 +29,546 $13,016
     SPGI29,546+29,546$13,016
Abbott Laboratories 99,465 +99,465 $10,948
     ABT99,465+99,465$10,948
CIPHER MNG INC 2,397,424 +2,397,424 $9,901
     CIFR2,397,424+2,397,424$9,901
Danaher Corp 40,713 +40,713 $9,419
     DHR40,713+40,713$9,419
Workday Inc 32,994 +32,994 $9,108
     WDAY32,994+32,994$9,108
Exxon Mobil Corp 89,928 +89,928 $8,991
     XOM89,928+89,928$8,991
Pfizer Inc 309,193 +309,193 $8,902
     PFE309,193+309,193$8,902
NiSource Inc 333,772 +333,772 $8,862
     NI333,772+333,772$8,862
ProFrac Holding Corp 1,011,760 +1,011,760 $8,580
     ACDC1,011,760+1,011,760$8,580
BlackRock Fund Advisors (IYT) 32,628 +32,628 $8,563
     IYT32,628+32,628$8,563
Palo Alto Networks Inc 24,219 +24,219 $7,142
     PANW24,219+24,219$7,142
ISHARES (IVV) 13,237 +13,237 $6,322
     IVV13,237+13,237$6,322
Stanley Black & Decker Inc 62,799 +62,799 $6,161
     SWK62,799+62,799$6,161
Main Street Capital Corp 141,608 +141,608 $6,122
     MAIN141,608+141,608$6,122
BlackRock Fund Advisors (EFA) 80,740 +80,740 $6,084
     EFA80,740+80,740$6,084
Texas Pacific Land Corp 3,511 +3,511 $5,521
     TPL3,511+3,511$5,521
PayPal Holdings Inc 77,563 +77,563 $4,763
     PYPL77,563+77,563$4,763
SSgA Funds Management Inc (SPY) 9,749 +9,749 $4,634
     SPY9,749+9,749$4,634
Kimbell Royalty Partners LP 279,054 +279,054 $4,200
     KRP279,054+279,054$4,200
BlackRock Fund Advisors (IWB) 15,444 +15,444 $4,050
     IWB15,444+15,444$4,050
Berkshire Hathaway Inc      $4,047
     BRK.B8,305+8,305$2,962
     BRK.A2+2$1,085
VANGUARD ETF USA (VGIT) 55,422 +55,422 $3,288
     VGIT55,422+55,422$3,288
Booking Holdings Inc 853 +853 $3,026
     BKNG853+853$3,026
Adobe Inc 4,575 +4,575 $2,729
     ADBE4,575+4,575$2,729
Bloom Energy Corp 167,000 +167,000 $2,472
     BE167,000+167,000$2,472
Prosperity Bancshares Inc (PB) 35,813 +35,813 $2,426
     PB35,813+35,813$2,426
ESTEE LAUDER COS 15,512 +15,512 $2,269
     EL15,512+15,512$2,269
Generac Holdings Inc 17,417 +17,417 $2,251
     GNRC17,417+17,417$2,251
ROPER INDUSTRIES INC 4,074 +4,074 $2,221
     ROP4,074+4,074$2,221
Intuitive Surgical Inc 6,220 +6,220 $2,098
     ISRG6,220+6,220$2,098
Neurocrine Biosciences Inc 15,802 +15,802 $2,082
     NBIX15,802+15,802$2,082
Incyte Corp 30,704 +30,704 $1,928
     INCY30,704+30,704$1,928
EQUINIX INC 2,353 +2,353 $1,895
     EQIX2,353+2,353$1,895
ISHARES TR (EEM) 46,798 +46,798 $1,882
     EEM46,798+46,798$1,882
MarketAxess Holdings Inc 6,074 +6,074 $1,779
     MKTX6,074+6,074$1,779
United Therapeutics Corp 7,723 +7,723 $1,698
     UTHR7,723+7,723$1,698
LULULEMON ATHLETIC 2,986 +2,986 $1,527
     LULU2,986+2,986$1,527
ISHARES (IEFA) 21,584 +21,584 $1,518
     IEFA21,584+21,584$1,518
Chemed Corp 2,308 +2,308 $1,350
     CHE2,308+2,308$1,350
VISA INC 4,692 +4,692 $1,222
     V4,692+4,692$1,222
CVS Health Corp 14,141 +14,141 $1,117
     CVS14,141+14,141$1,117
ALPHABET INC 7,584 +7,584 $1,069
     GOOG7,584+7,584$1,069
Thermo Fisher Scientific Inc 1,712 +1,712 $909
     TMO1,712+1,712$909
BlackRock Fund Advisors (IWR) 11,268 +11,268 $876
     IWR11,268+11,268$876
AbbVie Inc 5,648 +5,648 $875
     ABBV5,648+5,648$875
ISHARES GOLD TRUST (IAU) 22,120 +22,120 $863
     IAU22,120+22,120$863
COLGATE PALMOLIVE 10,747 +10,747 $857
     CL10,747+10,747$857
SSGA FUNDS MANAGEMENT (SPSB) 27,977 +27,977 $833
     SPSB27,977+27,977$833
Southern Missouri Bancorp Inc 15,387 +15,387 $822
     SMBC15,387+15,387$822
Tesla Inc 3,146 +3,146 $782
     TSLA3,146+3,146$782
Enterprise Products Partners L 27,431 +27,431 $723
     EPD27,431+27,431$723
MCKESSON CORP 1,550 +1,550 $718
     MCK1,550+1,550$718
Chart Industries Inc 5,030 +5,030 $686
     GTLS5,030+5,030$686
Republic Services Inc 4,144 +4,144 $683
     RSG4,144+4,144$683
Marathon Petroleum Corp 4,408 +4,408 $654
     MPC4,408+4,408$654
Procter & Gamble Co The 4,416 +4,416 $647
     PG4,416+4,416$647
Caterpillar Inc 2,095 +2,095 $619
     CAT2,095+2,095$619
Independence Realty Trust Inc 40,301 +40,301 $617
     IRT40,301+40,301$617
Marriott International Inc MD 2,732 +2,732 $616
     MAR2,732+2,732$616
BlackRock Fund Advisors (IEMG) 12,083 +12,083 $611
     IEMG12,083+12,083$611
VERIZON COMMUN 16,061 +16,061 $606
     VZ16,061+16,061$606
INTL BUSINESS MCHN 3,588 +3,588 $587
     IBM3,588+3,588$587
Lennox International Inc 1,308 +1,308 $585
     LII1,308+1,308$585
ISHARES USA (MUB) 5,371 +5,371 $582
     MUB5,371+5,371$582
Eli Lilly & Co 977 +977 $570
     LLY977+977$570
VANGUARD ETF USA (VCIT) 6,368 +6,368 $518
     VCIT6,368+6,368$518
Phillips Edison & Co Inc 13,517 +13,517 $493
     PECO13,517+13,517$493
BlackRock Fund Advisors (SUB) 4,496 +4,496 $474
     SUB4,496+4,496$474
Trane Technologies PLC 1,943 +1,943 $474
     TT1,943+1,943$474
VANGUARD ETF USA (VGT) 979 +979 $474
     VGT979+979$474
Extra Space Storage Inc 2,953 +2,953 $473
     EXR2,953+2,953$473
Walt Disney Co The 5,145 +5,145 $465
     DIS5,145+5,145$465
ISHARES TRUST (HYG) 5,992 +5,992 $464
     HYG5,992+5,992$464
Valero Energy Corp 3,484 +3,484 $453
     VLO3,484+3,484$453
Costco Wholesale Corp 685 +685 $452
     COST685+685$452
First Horizon Corp 30,596 +30,596 $433
     FHN30,596+30,596$433
VANGUARD ETF USA (VHT) 1,704 +1,704 $427
     VHT1,704+1,704$427
TEXAS INSTRUMENTS 2,491 +2,491 $425
     TXN2,491+2,491$425
Heartland Financial USA Inc 10,685 +10,685 $402
     HTLF10,685+10,685$402
Ferguson PLC 2,054 +2,054 $397
     FERG2,054+2,054$397
Seligman Funds Closed end USA (TY) 13,726 +13,726 $396
     TY13,726+13,726$396
Veeva Systems Inc 2,031 +2,031 $391
     VEEV2,031+2,031$391
Phillips 66 2,852 +2,852 $380
     PSX2,852+2,852$380
QUALCOMM Inc 2,610 +2,610 $377
     QCOM2,610+2,610$377
RTX Corp 4,207 +4,207 $354
     RTX4,207+4,207$354
WASTE MANAGEMENT 1,968 +1,968 $352
     WM1,968+1,968$352
ORACLE CORP 3,198 +3,198 $337
     ORCL3,198+3,198$337
Cooper Cos Inc The 872 +872 $330
     COO872+872$330
FEDEX CORP 1,245 +1,245 $315
     FDX1,245+1,245$315
Quaker Chemical Corp 1,423 +1,423 $304
     KWR1,423+1,423$304
AT&T INC 18,143 +18,143 $304
     T18,143+18,143$304
VANGUARD ETF USA (VTI) 1,264 +1,264 $300
     VTI1,264+1,264$300
Invesco Capital Management LLC 722 +722 $296
     QQQ722+722$296
VANGUARD ETF USA (VTV) 1,947 +1,947 $291
     VTV1,947+1,947$291
ILLINOIS TOOL WKS 1,100 +1,100 $288
     ITW1,100+1,100$288
VANGUARD ETF USA (VB) 1,338 +1,338 $285
     VB1,338+1,338$285
Principal Exchange Traded Fund (PREF) 16,060 +16,060 $281
     PREF16,060+16,060$281
Van Eck Associates Corp 5,324 +5,324 $275
     HYD5,324+5,324$275
DUKE ENERGY CORP 2,796 +2,796 $271
     DUK2,796+2,796$271
BP PLC 7,399 +7,399 $262
     BP7,399+7,399$262
Intel Corp 5,166 +5,166 $260
     INTC5,166+5,166$260
Cullen Frost Bankers Inc 2,300 +2,300 $250
     CFR2,300+2,300$250
Diamondback Energy Inc 7,861 +7,861 $247
     VNOM7,861+7,861$247
Diamondback Energy Inc 1,577 +1,577 $245
     FANG1,577+1,577$245
VANGUARD ETF USA (MGK) 905 +905 $235
     MGK905+905$235
Accenture PLC 662 +662 $232
     ACN662+662$232
Charles Schwab Corp The 3,375 +3,375 $232
     SCHW3,375+3,375$232
Target Corp 1,627 +1,627 $232
     TGT1,627+1,627$232
Invesco Capital Management LLC 3,667 +3,667 $230
     SPLV3,667+3,667$230
Southern Co The 3,201 +3,201 $224
     SO3,201+3,201$224
DEERE & CO 556 +556 $222
     DE556+556$222
ONEOK Inc 3,089 +3,089 $217
     OKE3,089+3,089$217
Sunoco LP 3,600 +3,600 $216
     SUN3,600+3,600$216
AUTOMATIC DATA PROCESSING 923 +923 $215
     ADP923+923$215
ISHARES (IYW) 1,720 +1,720 $211
     IYW1,720+1,720$211
PHILIP MORRIS INTL 2,199 +2,199 $207
     PM2,199+2,199$207
Energy Transfer LP 14,814 +14,814 $204
     ET14,814+14,814$204
L3Harris Technologies Inc 970 +970 $204
     LHX970+970$204
ISHARES (IWM) 1,013 +1,013 $203
     IWM1,013+1,013$203
CARRIER GLOBAL CORP 3,488 +3,488 $200
     CARR3,488+3,488$200
NIKE INC 1,844 +1,844 $200
     NKE1,844+1,844$200
San Juan Basin Royalty Trust 25,000 +25,000 $127
     SJT25,000+25,000$127
Nuveen Closed End Funds USA (JFR) 13,481 +13,481 $111
     JFR13,481+13,481$111
Comstock Resources Inc 12,133 +12,133 $107
     CRK12,133+12,133$107
Lumen Technologies Inc 51,501 +51,501 $94
     LUMN51,501+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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