
PARTNERSHIP WEALTH MANAGEMENT, LLC
Latest 13F filing data - Q1 2026
Holdings (Top positions)
| Stock | Ticker | ||
|---|---|---|---|
COTERRA ENERGY INC COM | CTRA | 38K | $1.34M |
![]() | BMY | 31K | $1.86M |
![]() | PFE | 30K | $831.56K |
![]() | T | 25K | $727.11K |
![]() | LLY | 21K | $19.46M |
![]() | CL | 17K | $1.47M |
![]() | FOSL | 16K | $69.39K |
![]() | MDT | 15K | $1.34M |
![]() | ABT | 15K | $1.53M |
![]() | EXC | 13K | $660.15K |
![]() | DIS | 13K | $1.29M |
![]() | PEP | 12K | $1.86M |
![]() | FANG | 11K | $2.09M |
![]() | JNJ | 10K | $2.49M |
![]() | PPG | 10K | $1.07M |
![]() | CSCO | 10K | $752.62K |
![]() | MOH | 9K | $1.24M |
![]() | EMR | 8K | $1.07M |
![]() | NEE | 8K | $748.94K |
![]() | NSC | 8K | $2.31M |
COTERRA ENERGY INC COM
CTRA
Shares Held
38K
Value
$1.34M

Bristol-Myers Squibb Company
BMY
Shares Held
31K
Value
$1.86M

Pfizer Inc.
PFE
Shares Held
30K
Value
$831.56K

AT&T Inc.
T
Shares Held
25K
Value
$727.11K

Eli Lilly and Company
LLY
Shares Held
21K
Value
$19.46M

Colgate-Palmolive Company
CL
Shares Held
17K
Value
$1.47M

Fossil Group, Inc.
FOSL
Shares Held
16K
Value
$69.39K

Medtronic plc
MDT
Shares Held
15K
Value
$1.34M

Abbott Laboratories
ABT
Shares Held
15K
Value
$1.53M

Exelon Corporation
EXC
Shares Held
13K
Value
$660.15K

The Walt Disney Company
DIS
Shares Held
13K
Value
$1.29M

PepsiCo, Inc.
PEP
Shares Held
12K
Value
$1.86M

Diamondback Energy, Inc.
FANG
Shares Held
11K
Value
$2.09M

Johnson & Johnson
JNJ
Shares Held
10K
Value
$2.49M

PPG Industries, Inc.
PPG
Shares Held
10K
Value
$1.07M

Cisco Systems, Inc.
CSCO
Shares Held
10K
Value
$752.62K

Molina Healthcare, Inc.
MOH
Shares Held
9K
Value
$1.24M

Emerson Electric Co.
EMR
Shares Held
8K
Value
$1.07M

NextEra Energy, Inc.
NEE
Shares Held
8K
Value
$748.94K

Norfolk Southern Corporation
NSC
Shares Held
8K
Value
$2.31M
