
TURTLE CREEK WEALTH ADVISORS, LLC
Latest 13F filing data - Q1 2026
Holdings (Top positions)
| Stock | Ticker | ||
|---|---|---|---|
![]() | PAGP | 800K | $19.43M |
![]() | ET | 731K | $14.11M |
![]() | EPD | 412K | $15.58M |
![]() | NVDA | 291K | $50.83M |
![]() | CLOV | 220K | $387.20K |
![]() | AAPL | 218K | $55.21M |
![]() | MDXG | 167K | $658.47K |
![]() | MPLX | 146K | $8.34M |
![]() | OWL | 129K | $1.18M |
![]() | KMI | 122K | $4.09M |
![]() | AMZN | 112K | $23.41M |
![]() | APH | 112K | $14.15M |
![]() | MSFT | 106K | $39.32M |
![]() | KO | 103K | $7.81M |
![]() | PG | 100K | $14.50M |
![]() | CYH | 100K | $294.00K |
![]() | ETR | 98K | $10.96M |
![]() | EOG | 96K | $13.83M |
![]() | LRCX | 95K | $20.29M |
![]() | XOM | 94K | $15.98M |

Plains GP Holdings LP
PAGP
Shares Held
800K
Value
$19.43M

Energy Transfer LP
ET
Shares Held
731K
Value
$14.11M

Enterprise Products Partners L.P.
EPD
Shares Held
412K
Value
$15.58M

NVIDIA Corporation
NVDA
Shares Held
291K
Value
$50.83M

Clover Health Investments, Corp.
CLOV
Shares Held
220K
Value
$387.20K

Apple Inc.
AAPL
Shares Held
218K
Value
$55.21M

MiMedx Group, Inc.
MDXG
Shares Held
167K
Value
$658.47K

MPLX Lp
MPLX
Shares Held
146K
Value
$8.34M

Blue Owl Capital Inc.
OWL
Shares Held
129K
Value
$1.18M

Kinder Morgan, Inc.
KMI
Shares Held
122K
Value
$4.09M

Amazon.com, Inc.
AMZN
Shares Held
112K
Value
$23.41M

Amphenol Corporation
APH
Shares Held
112K
Value
$14.15M

Microsoft Corporation
MSFT
Shares Held
106K
Value
$39.32M

The Coca-Cola Company
KO
Shares Held
103K
Value
$7.81M

The Procter & Gamble Company
PG
Shares Held
100K
Value
$14.50M

Community Health Systems, Inc.
CYH
Shares Held
100K
Value
$294.00K

Entergy Corporation
ETR
Shares Held
98K
Value
$10.96M

EOG Resources, Inc.
EOG
Shares Held
96K
Value
$13.83M

Lam Research Corporation
LRCX
Shares Held
95K
Value
$20.29M

Exxon Mobil Corporation
XOM
Shares Held
94K
Value
$15.98M
