
SEGMENT WEALTH MANAGEMENT, LLC
Latest 13F filing data - Q1 2026
Holdings (Top positions)
| Stock | Ticker | ||
|---|---|---|---|
![]() | EPD | 321K | $12.16M |
![]() | WMT | 253K | $31.47M |
![]() | NVDA | 241K | $42.09M |
![]() | XOM | 204K | $34.65M |
![]() | CARR | 196K | $11.06M |
![]() | AVGO | 172K | $53.35M |
![]() | BRK-B | 164K | $78.58M |
![]() | PII | 152K | $8.30M |
![]() | AAPL | 152K | $38.52M |
![]() | APH | 150K | $18.98M |
![]() | EOG | 128K | $18.50M |
![]() | RIO | 124K | $11.60M |
![]() | MAIN | 113K | $5.99M |
![]() | TJX | 109K | $17.42M |
![]() | GRMN | 105K | $24.25M |
![]() | CTAS | 101K | $17.04M |
![]() | GOOGL | 92K | $26.35M |
![]() | MPC | 90K | $22.04M |
![]() | BC | 89K | $6.46M |
![]() | ALL | 88K | $18.27M |

Enterprise Products Partners L.P.
EPD
Shares Held
321K
Value
$12.16M

Walmart Inc.
WMT
Shares Held
253K
Value
$31.47M

NVIDIA Corporation
NVDA
Shares Held
241K
Value
$42.09M

Exxon Mobil Corporation
XOM
Shares Held
204K
Value
$34.65M

Carrier Global Corporation
CARR
Shares Held
196K
Value
$11.06M

Broadcom Inc.
AVGO
Shares Held
172K
Value
$53.35M

Berkshire Hathaway Inc.
BRK-B
Shares Held
164K
Value
$78.58M

Polaris Inc.
PII
Shares Held
152K
Value
$8.30M

Apple Inc.
AAPL
Shares Held
152K
Value
$38.52M

Amphenol Corporation
APH
Shares Held
150K
Value
$18.98M

EOG Resources, Inc.
EOG
Shares Held
128K
Value
$18.50M

Rio Tinto Group
RIO
Shares Held
124K
Value
$11.60M

Main Street Capital Corporation
MAIN
Shares Held
113K
Value
$5.99M

The TJX Companies, Inc.
TJX
Shares Held
109K
Value
$17.42M

Garmin Ltd.
GRMN
Shares Held
105K
Value
$24.25M

Cintas Corporation
CTAS
Shares Held
101K
Value
$17.04M

Alphabet Inc.
GOOGL
Shares Held
92K
Value
$26.35M

Marathon Petroleum Corporation
MPC
Shares Held
90K
Value
$22.04M

Brunswick Corporation
BC
Shares Held
89K
Value
$6.46M

The Allstate Corporation
ALL
Shares Held
88K
Value
$18.27M
