
SUNBELT SECURITIES, INC.
Latest 13F filing data - Q3 2025
Holdings (Top positions)
| Stock | Ticker | ||
|---|---|---|---|
![]() | XOM | 1.35M | $152.19M |
![]() | LUCD | 384K | $387.84K |
![]() | MPW | 337K | $1.71M |
![]() | NVDA | 336K | $62.71M |
![]() | EPD | 226K | $7.07M |
![]() | ET | 207K | $3.55M |
![]() | SCM | 146K | $1.91M |
![]() | CRGY | 137K | $1.22M |
![]() | MRCC | 125K | $876.40K |
![]() | AAPL | 125K | $31.78M |
![]() | ARCC | 124K | $2.54M |
![]() | CRON | 115K | $319.89K |
![]() | FLOC | 110K | $1.63M |
![]() | KO | 108K | $7.14M |
![]() | PNNT | 104K | $699.48K |
![]() | SLRC | 104K | $1.58M |
![]() | TCPC | 93K | $576.91K |
![]() | AMZN | 85K | $18.71M |
![]() | KMI | 82K | $2.33M |
![]() | AVGO | 82K | $27.02M |

Exxon Mobil Corporation
XOM
Shares Held
1.35M
Value
$152.19M

Lucid Diagnostics Inc.
LUCD
Shares Held
384K
Value
$387.84K

Medical Properties Trust, Inc.
MPW
Shares Held
337K
Value
$1.71M

NVIDIA Corporation
NVDA
Shares Held
336K
Value
$62.71M

Enterprise Products Partners L.P.
EPD
Shares Held
226K
Value
$7.07M

Energy Transfer LP
ET
Shares Held
207K
Value
$3.55M

Stellus Capital Investment Corporation
SCM
Shares Held
146K
Value
$1.91M

Crescent Energy Company
CRGY
Shares Held
137K
Value
$1.22M

Monroe Capital Corporation
MRCC
Shares Held
125K
Value
$876.40K

Apple Inc.
AAPL
Shares Held
125K
Value
$31.78M

Ares Capital Corporation
ARCC
Shares Held
124K
Value
$2.54M

Cronos Group Inc.
CRON
Shares Held
115K
Value
$319.89K

Flowco Holdings Inc.
FLOC
Shares Held
110K
Value
$1.63M

The Coca-Cola Company
KO
Shares Held
108K
Value
$7.14M

PennantPark Investment Corporation
PNNT
Shares Held
104K
Value
$699.48K

SLR Investment Corp.
SLRC
Shares Held
104K
Value
$1.58M

BlackRock TCP Capital Corp.
TCPC
Shares Held
93K
Value
$576.91K

Amazon.com, Inc.
AMZN
Shares Held
85K
Value
$18.71M

Kinder Morgan, Inc.
KMI
Shares Held
82K
Value
$2.33M

Broadcom Inc.
AVGO
Shares Held
82K
Value
$27.02M
