
PINNACLE FINANCIAL GROUP, LLC / IL
Latest 13F filing data - Q1 2026
Holdings (Top positions)
| Stock | Ticker | ||
|---|---|---|---|
![]() | MCD | 15K | $4.59M |
![]() | AAPL | 11K | $2.81M |
![]() | EPD | 10K | $383.38K |
![]() | NVDA | 7K | $1.29M |
![]() | BRK-B | 6K | $2.83M |
![]() | AMZN | 5K | $958.88K |
![]() | XOM | 4K | $725.17K |
![]() | PG | 2K | $355.13K |
![]() | PLTR | 2K | $325.62K |
![]() | ALL | 2K | $404.73K |
![]() | ABBV | 2K | $376.59K |
![]() | CVX | 2K | $345.02K |
![]() | MSFT | 2K | $587.10K |
![]() | PEP | 1K | $231.61K |
![]() | JPM | 1K | $432.04K |
![]() | MS | 1K | $231.22K |
![]() | BA | 1K | $276.65K |
![]() | CAT | 1K | $862.54K |
![]() | GOOGL | 1K | $308.84K |
![]() | AVGO | 962 | $297.75K |

McDonald's Corporation
MCD
Shares Held
15K
Value
$4.59M

Apple Inc.
AAPL
Shares Held
11K
Value
$2.81M

Enterprise Products Partners L.P.
EPD
Shares Held
10K
Value
$383.38K

NVIDIA Corporation
NVDA
Shares Held
7K
Value
$1.29M

Berkshire Hathaway Inc.
BRK-B
Shares Held
6K
Value
$2.83M

Amazon.com, Inc.
AMZN
Shares Held
5K
Value
$958.88K

Exxon Mobil Corporation
XOM
Shares Held
4K
Value
$725.17K

The Procter & Gamble Company
PG
Shares Held
2K
Value
$355.13K

Palantir Technologies Inc.
PLTR
Shares Held
2K
Value
$325.62K

The Allstate Corporation
ALL
Shares Held
2K
Value
$404.73K

AbbVie Inc.
ABBV
Shares Held
2K
Value
$376.59K

Chevron Corporation
CVX
Shares Held
2K
Value
$345.02K

Microsoft Corporation
MSFT
Shares Held
2K
Value
$587.10K

PepsiCo, Inc.
PEP
Shares Held
1K
Value
$231.61K

JPMorgan Chase & Co.
JPM
Shares Held
1K
Value
$432.04K

Morgan Stanley
MS
Shares Held
1K
Value
$231.22K

The Boeing Company
BA
Shares Held
1K
Value
$276.65K

Caterpillar Inc.
CAT
Shares Held
1K
Value
$862.54K

Alphabet Inc.
GOOGL
Shares Held
1K
Value
$308.84K

Broadcom Inc.
AVGO
Shares Held
962
Value
$297.75K
