Fund HoldingsBankPlus Trust Department

Total Portfolio Value
$374.30M
Total Bought
$33.56M
Total Sold
$36.63M
Net Transaction
-$3.07M
Filing Period:
Securities
SharesValue ($K)
Q4 2025
Q1 2026
Change
Q4 2025
Q1 2026
Weight (%)
Change
ChevronTexaco Corp(CVX)010,074+10,07402,0840.56%+2,084
Citigroup Inc.(C)9,18023,443+14,2631,0712,6590.71%+1,587
J P Morgan Chase & Co(JPM)019,983+19,98305,8781.57%+5,878
Blackrock Inc(BLK)01,426+1,42601,3710.37%+1,371
Exxon Mobil Corp.30,40929,511-8983,6595,0071.34%+1,347
Raytheon Technologies Corp(RTX)10,84416,886+6,0421,9893,2570.87%+1,269
Waste Management Inc(WM)05,529+5,52901,2710.34%+1,271
Wal-Mart Stores Inc.(WMT)23,69631,314+7,6182,6403,8921.04%+1,252
CenterPoint Energy, Inc.(CNP)029,288+29,28801,2640.34%+1,264
Morgan Stanley(MS)011,213+11,21301,8450.49%+1,845
Eastgroup Properties, Inc.(EGP)12,06018,176+6,1162,1483,3640.90%+1,216
Nisource Inc.(NI)025,438+25,43801,1870.32%+1,187
Goldman Sachs Group Inc.(GS)1,1362,578+1,4429992,1810.58%+1,182
Taiwan Semiconductor Mfg Co Ltd(TSM)8,02910,049+2,0202,4403,3960.91%+956
Amphenol Corporation4267,201+6,775589100.24%+852
L3Harris Technologies Inc(LHX)6,2437,778+1,5351,8332,6850.72%+852
Valero Energy Corp(VLO)013,886+13,88603,4310.92%+3,431
American Express Co.(AXP)4,4527,652+3,2001,6472,3150.62%+668
Lockheed Martin Corp.(LMT)06,237+6,23703,7701.01%+3,770
John Hancock Multifactor Mid Cap ETF
MULTIFACTOR MI
135,982141,275+5,2938,9049,4822.53%+578
Asml Holding N V
N Y REGISTRY SHS
9701,182+2121,0381,5610.42%+523
Berkshire Hathaway Inc.-Cl B5,1506,263+1,1132,5893,0010.80%+413
Petroleo Brasileiro(PBR)44,00044,00005219130.24%+392
Caterpillar, Inc.(CAT)4,6504,286-3642,6643,0360.81%+373
Digital Realty Trust Inc(DLR)013,264+13,26402,3900.64%+2,390
Altria Group Inc.(MO)09,308+9,30806140.16%+614
Sanofi-Aventis - ADR(SNY)06,400+6,40003080.08%+308
Deere & Company(DE)3,0473,061+141,4191,7240.46%+306
Prologis Inc(PLD)9,42411,414+1,9901,2031,5090.40%+306
Honeywell International Inc.(HON)06,249+6,24901,4120.38%+1,412
Advanced Micro Devices Inc.(AMD)01,672+1,67203400.09%+340
Cal-Maine Foods, Inc.(CALM)03,500+3,50002770.07%+277
ConocoPhillips(COP)06,427+6,42708480.23%+848
Costco Wholesale Corp(COST)01,582+1,58201,5760.42%+1,576
Marathon Petroleum Corporation(MPC)02,833+2,83306920.18%+692
Fastenal Company(FAST)062,935+62,93502,9200.78%+2,920
Merck & Co., Inc.(MRK)10,85711,302+4451,1431,3600.36%+217
Paypal Hldgs Inc(PYPL)016,000+16,00007240.19%+724
Garmin Ltd(GRMN)06,733+6,73301,5620.42%+1,562
Block Inc/sh Cl A(XYZ)03,053+3,05301840.05%+184
JP Morgan Income ETF
INCOME ETF
37,99941,692+3,6931,7591,9210.51%+162
Mueller Industries, Inc.(MLI)12,28414,125+1,8411,4101,5650.42%+155
Johnson & Johnson(JNJ)2,8793,069+1905967500.20%+154
Technipfmc Plc(FTI)5,4205,42002423750.10%+133
Tempus Ai Inc/sh Cl A(TEM)02,844+2,84401290.03%+129
Uber Technologies Inc(UBER)01,761+1,76101270.03%+127
iShares MSCI International Quality Factor ETF
MSCI INTL QUALTY
23,86725,985+2,1181,0851,2010.32%+117
McDonald's Corp(MCD)02,624+2,62408160.22%+816
Air Products & Chemicals0378+37801100.03%+110
Hershey Foods Corp(HSY)0509+50901060.03%+106
CME Group Inc.(CME)0356+35601050.03%+105
Ecolab Inc.(ECL)02,817+2,81707490.20%+749
General Dynamics Corp(GD)0369+36901270.03%+127
Amern Centy Etf/avantis U S Equity0820+8200910.02%+91
The Southern Co(SO)06,735+6,73506500.17%+650
Medtronic Plc(MDT)01,197+1,19701040.03%+104
T-mobile Us Inc(TMUS)05,647+5,64701,1860.32%+1,186
Texas Instruments Inc.(TXN)016,850+16,85003,2710.87%+3,271
Trustmark Corporation(TRMK)025,062+25,06201,0560.28%+1,056
Wabtec Corp(WAB)2,1752,17504645440.15%+79
Schlumberger Ltd.(SLB)6,0006,00002303080.08%+78
Lam Research Corp(LRCX)20,94817,143-3,8053,5863,6630.98%+77
iShares Gold Trust(IAU)01,242+1,24201090.03%+109
The Travelers Cos Inc.(TRV)0992+99202890.08%+289
Archrock Inc/sh(AROC)8,0008,00002082780.07%+70
Vanguard Total Stock Market ETF01,616+1,61605180.14%+518
SPDR S&P 600 Small Cap ETF
ST STR SP600 SML
015,760+15,76007620.20%+762
JPMorgan Flexible Debt ETF
FLEXI DEBT ETF
01,210+1,2100600.02%+60
Crowdstrike Hldgs Inc(CRWD)1,6922,182+4907938520.23%+59
WW Grainger, Inc.(GWW)4,3484,075-2734,3874,4451.19%+58
Verizon Communications(VZ)06,644+6,64403340.09%+334
Archer Daniels Midland Co03,370+3,37002450.07%+245
TJX Companies Inc.(TJX)22,39621,850-5463,4403,4890.93%+49
Invesco S&P 500 Equal Weight ETF
S&P500 EQL WGT
01,451+1,45102780.07%+278
Marsh & McLennan Companies, Inc.(MRSH)0287+2870500.01%+50
Applied Materials, Inc.55355301421890.05%+47
iShares Silver Trust(SLV)3,0633,547+4841972420.06%+44
PNC Financial Services Group, Inc.(PNC)01,616+1,61603360.09%+336
Antero Midstream Corp(AM)08,546+8,54601950.05%+195
EMCOR Group, Inc.(EME)0338+33802500.07%+250
Timothy Plain Intl ETF01,131+1,1310410.01%+41
Timothy Pln US Sm Cp Core ETF0957+9570410.01%+41
Vanguard High Dividend Yield ETF6,4586,45809279560.26%+30
Eaton Corp PLC(ETN)0735+73502630.07%+263
Pacer US Cash Cows 100 ETF
US CASH COWS 100
013,843+13,84308660.23%+866
Ishares Bitcoin ETF(IBIT)0727+7270280.01%+28
Live Nation Entertainment Inc(LYV)02,610+2,61003980.11%+398
Vertex Pharmaceuticals Inc.(VRTX)1,3561,433+776156400.17%+25
ONEOK Inc(OKE)33,60927,607-6,0022,4702,4950.67%+25
Watsco Inc.(WSO)0848+84803080.08%+308
Quest Diagnostics Inc.(DGX)011,805+11,80502,3140.62%+2,314
Linde Plc(LIN)0279+27901380.04%+138
Starbucks Corporation(SBUX)03,588+3,58803210.09%+321
Marvell Technology Group Ltd(MRVL)01,879+1,87901860.05%+186
Albemarle Corporation(ALB)0104+1040190.00%+19
SPDR S&P Midcap 400 ETF Trust Ser 1(MDY)01,362+1,36208400.22%+840
Micron Technology(MU)648599-491852020.05%+17
Illinois Tool Works Inc.(ITW)01,229+1,22903200.09%+320
Energy Transfer L P(ET)05,671+5,67101090.03%+109
BNY Mellon Core Bond ETF
CORE BOND ETF
8,0408,445+4053413560.10%+16
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