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 | $25,241 |
See Full List: All Stocks Held By First Financial Bankshares Inc
— Including:
Biggest new positions
Biggest exits
See Details: Top 10 Stocks Held By First Financial Bankshares Inc
Size ($ 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 |