South Plains Financial, Inc.

Holdings as of Mar 31, 2026 · filed May 13, 2026

$171958334
Portfolio value
224
Positions
Source: SEC 13-F ↗
Original filing
# Holding Value % Port. Δ Shares Change (QoQ)
1 Ishares Tr $14428800 8.39% +16004 +11.16%
2 Apple Inc $6975389 4.06% -226 -0.82%
3 Ishares Tr $6522741 3.79% +2443 +2.59%
4 Alphabet Inc $5629059 3.27% -1195 -5.75%
5 Microsoft Corp $5534231 3.22% +1050 +7.55%
6 Nvidia Corporation $5415280 3.15% +1496 +5.06%
7 Ishares Inc $5025808 2.92% +11871 +19.72%
8 Ishares Tr $4659986 2.71% +318 +4.67%
9 Amazon Com Inc $4096222 2.38% +689 +3.63%
10 Vanguard Scottsdale Fds $3238285 1.88% +1397 +2.59%
11 Ishares Tr $3142443 1.83% +361 +1.13%
12 Broadcom Inc $2986425 1.74% +2003 +26.20%
13 Vanguard Bd Index Fds $2765072 1.61% +25143 +202.59%
14 Vanguard Index Fds $2231022 1.30% +137 +1.80%
15 Ishares Tr $2194933 1.28% +2232 +14.47%
16 Jpmorgan Chase & Co $2176690 1.27% +290 +4.08%
17 Visa Inc $2068733 1.20% +107 +1.59%
18 Vanguard Intl Equity Index F $1994821 1.16% -280 -0.75%
19 Merck & Co Inc $1905967 1.11% +310 +2.00%
20 Walmart Inc $1840814 1.07% +408 +2.83%
21 Johnson & Johnson $1815440 1.06% -1109 -12.99%
22 Vanguard Scottsdale Fds $1813675 1.05% -3620 -10.62%
23 Exxon Mobil Corp $1649077 0.96% +299 +3.17%
24 Caterpillar Inc $1635816 0.95% +123 +5.63%
25 Meta Platforms Inc $1619097 0.94% +219 +8.39%
26 Tesla Inc $1607425 0.93% +363 +9.16%
27 Vanguard Index Fds $1601901 0.93% -525 -2.82%
28 Rtx Corporation $1601631 0.93% +535 +6.89%
29 Vanguard Tax-Managed Fds $1565663 0.91% +369 +1.53%
30 Chevron Corporation $1535806 0.89% -12 -0.16%
31 Ishares Tr $1527821 0.89% Held
32 Ishares Tr $1511715 0.88% Held
33 Pepsico Inc $1511558 0.88% -22 -0.23%
34 Ishares Tr $1481428 0.86% Held
35 Abbvie Inc $1414526 0.82% +30 +0.46%
36 Procter & Gamble Co $1411437 0.82% +305 +3.22%
37 Honeywell Intl Inc $1403846 0.82% +14 +0.23%
38 Berkshire Hathaway Inc Del $1333119 0.78% +414 +17.48%
39 Cummins Inc $1297151 0.75% -65 -2.63%
40 Morgan Stanley $1280340 0.74% -176 -2.21%
41 Ishares Tr $1271449 0.74% +648 +5.33%
42 Eaton Corp Plc $1258572 0.73% +1399 +65.99%
43 General Dynamics Corp $1238627 0.72% -70 -1.90%
44 Thermo Fisher Scientific Inc $1232212 0.72% +207 +9.00%
45 Blackrock Inc $1184809 0.69% -45 -3.52%
46 Deere & Co $1109662 0.65% +19 +0.97%
47 Pnc Finl Svcs Group Inc $1061444 0.62% +367 +7.75%
48 Bank America Corp $1021205 0.59% +28 +0.13%
49 Cadence Design System Inc $944709 0.55% -105 -3.00%
50 State Str Spdr S&P 500 Etf T $932570 0.54% +145 +11.25%
51 Schwab Strategic Tr $910972 0.53% +2099 +5.92%
52 Salesforce Inc $904764 0.53% +1217 +33.53%
53 Marriott Intl Inc New $902703 0.52% -216 -7.26%
54 Dimensional Etf Trust $879378 0.51% +236 +1.95%
55 Marvell Technology Inc $862615 0.50% +195 +2.29%
56 Cisco Sys Inc $827870 0.48% +390 +3.79%
57 Global X Fds $820575 0.48% Held
58 Eog Res Inc $819122 0.48% -122 -2.11%
59 Schwab Strategic Tr $812062 0.47% -1031 -3.06%
60 Intercontinental Exchange In $811398 0.47% -413 -7.41%
61 Mcdonalds Corp $808629 0.47% +173 +7.12%
62 Costco Wholesale Corporation $785164 0.46% +50 +6.78%
63 Home Depot Inc $776795 0.45% +137 +6.16%
64 Palo Alto Networks Inc $769205 0.45% -25 -0.52%
65 Zoetis Inc $764911 0.44% +204 +3.26%
66 Alphabet Inc $701347 0.41% -240 -8.94%
67 Stryker Corporation $679813 0.40% +20 +0.98%
68 Conocophillips $679272 0.40% +66 +1.30%
69 International Business Machs $674304 0.39% +1031 +58.88%
70 Eli Lilly & Co $673248 0.39% +212 +40.77%
71 American Centy Etf Tr $671149 0.39% +47 +0.57%
72 Nextera Energy Inc $668542 0.39% -197 -2.66%
73 Public Storage Oper Co $660393 0.38% +40 +1.67%
74 Dow Hldgs Inc $654974 0.38% +1375 +9.58%
75 Ishares Tr $651948 0.38% Held
76 Northrop Grumman Corp $639235 0.37% +41 +4.58%
77 Booking Holdings Inc $627320 0.36% +23 +18.25%
78 Vanguard Specialized Funds $614210 0.36% Held
79 Union Pac Corp $603139 0.35% +256 +11.48%
80 Ishares Tr $601019 0.35% Held
81 Uber Technologies Inc $582119 0.34% +140 +1.76%
82 Prologis Inc. $563605 0.33% -345 -7.49%
83 Wisdomtree Tr $548565 0.32% Held
84 Netflix Inc. $548528 0.32% +5355 +1530.00%
85 Chubb Ltd Switz $548186 0.32% +81 +5.06%
86 Disney Walt Co $543474 0.32% -30 -0.53%
87 Oracle Corp $528843 0.31% -243 -6.33%
88 Spdr Series Trust $514499 0.30% +1987 +13.13%
89 Ishares Tr $512864 0.30% -2 -0.10%
90 Te Connectivity Plc $500799 0.29% +153 +6.82%
91 Ameriprise Finl Inc $495926 0.29% +115 +11.49%
92 Duke Energy Corp New $490100 0.29% +1278 +51.85%
93 T-Mobile Us Inc $447764 0.26% +865 +68.27%
94 Blackstone Inc $428553 0.25% +1142 +44.18%
95 Abbott Laboratories $414258 0.24% +2090 +107.46%
96 Ecolab Inc $409647 0.24% +82 +5.62%
97 Ishares Tr $408146 0.24% Held
98 Ishares Tr $404274 0.24% Held
99 Pfizer Inc $399909 0.23% -552 -3.73%
100 United Rentals Inc $390485 0.23% +245 +84.19%
101 Ishares Tr $380694 0.22% Held
102 Ishares Tr $375112 0.22% Held
103 Adobe Inc $366547 0.21% -1538 -50.49%
104 Advanced Micro Devices Inc $362089 0.21% NEW BUY
105 Tractor Supply Co $358006 0.21% NEW BUY
106 Goldman Sachs Group Inc $342615 0.20% +52 +14.73%
107 Palantir Technologies Inc $333361 0.19% NEW BUY
108 Paypal Hldgs Inc $330592 0.19% +565 +8.38%
109 Wells Fargo & Co $322178 0.19% -200 -4.71%
110 Applied Matls Inc $317855 0.18% -1862 -66.69%
111 Danaher Corp Del $299745 0.17% +125 +8.59%
112 Lockheed Martin Corp $296147 0.17% -52 -9.59%
113 Waste Mgmt Inc Del $289534 0.17% -263 -17.27%
114 Ishares Tr $270718 0.16% Held
115 Vanguard Index Fds $268401 0.16% +358 +35.45%
116 Paychex Inc $254711 0.15% Held
117 Fortive Corp $240356 0.14% +296 +7.30%
118 Principal Exchange Traded Fd $233503 0.14% Held
119 Select Sector Spdr Tr $225064 0.13% -250 -5.26%
120 American Tower Corp $221060 0.13% +142 +12.47%
121 American Express Co $214148 0.12% Held
122 Ishares Tr $206856 0.12% Held
123 Medtronic Plc $201545 0.12% -198 -7.84%
124 Select Sector Spdr Tr $201504 0.12% Held
125 Ishares Tr $194650 0.11% Held
126 American Elec Pwr Co Inc $194389 0.11% +19 +1.30%
127 Microchip Technology Inc. $191890 0.11% Held
128 Freeport Mcmoran Inc $189709 0.11% -2620 -44.80%
129 Qualcomm Inc $189691 0.11% +288 +24.30%
130 Emerson Elec Co $189584 0.11% -197 -11.98%
131 State Str Spdr S&P Midcap 40 $183793 0.11% Held
132 Select Sector Spdr Tr $175932 0.10% Held
133 Starbucks Corp $174071 0.10% -1465 -42.99%
134 Lam Research Corp $161951 0.09% +60 +8.60%
135 Enterprise Prods Partners L $157982 0.09% Held
136 Southern Co $154913 0.09% -400 -19.95%
137 Cme Group Inc $152394 0.09% +50 +10.73%
138 Invesco Exchange Traded Fd T $151424 0.09% Held
139 Altria Group Inc $145637 0.08% Held
140 South Plains Financial Inc $139443 0.08% Held
141 Select Sector Spdr Tr $132955 0.08% Held
142 Vanguard Bd Index Fds $132749 0.08% NEW BUY
143 Verizon Communications Inc $132376 0.08% -137 -4.94%
144 Ishares Gold Tr $121029 0.07% Held
145 Ingredion Inc $120545 0.07% Held
146 Ishares Tr $119694 0.07% NEW BUY
147 Prudential Finl Inc $118495 0.07% +25 +2.10%
148 Select Sector Spdr Tr $116445 0.07% Held
149 Bank New York Mellon Corp $112460 0.07% +278 +41.49%
150 Ishares Tr $109324 0.06% Held
151 Enbridge Inc $107121 0.06% -7 -0.35%
152 Sysco Corp $100574 0.06% +35 +2.55%
153 Williams Cos Inc $100071 0.06% +268 +24.21%
154 Comcast Corp New $95886 0.06% +515 +18.22%
155 Truist Finl Corp $94697 0.06% -376 -15.44%
156 Lowes Cos Inc $92857 0.05% -203 -34.06%
157 Us Bancorp $92820 0.05% -45 -2.46%
158 General Mtrs Co $91783 0.05% -969 -44.03%
159 Genuine Parts Co $81956 0.05% -50 -6.06%
160 L3harris Technologies Inc $76274 0.04% Held
161 Tjx Cos Inc New $74258 0.04% Held
162 Cheniere Energy Inc $71223 0.04% Held
163 Select Sector Spdr Tr $70968 0.04% Held
164 Allstate Corp $70700 0.04% -24 -6.58%
165 Digital Rlty Tr Inc $54422 0.03% +28 +10.22%
166 Energy Transfer L P $53587 0.03% Held
167 Crown Castle Inc $52443 0.03% -25 -3.73%
168 Bp Plc $51700 0.03% Held
169 Philip Morris Intl Inc $51089 0.03% +27 +9.57%
170 Corning Inc $50715 0.03% +135 +56.72%
171 Parker-Hannifin Corp $46550 0.03% -11 -17.46%
172 Novartis Ag $45213 0.03% +25 +9.23%
173 First Tr Exchange Traded Fd $44899 0.03% Held
174 Quest Diagnostics Inc $38803 0.02% +20 +11.24%
175 Astrazeneca Plc $37076 0.02% NEW BUY
176 Tc Energy Corp $33929 0.02% +52 +10.61%
177 Ge Aerospace $33767 0.02% NEW BUY
178 Ishares Silver Tr $31816 0.02% -85 -15.40%
179 Target Corp $31390 0.02% +22 +9.28%
180 Fifth Third Bancorp $30888 0.02% +61 +10.10%
181 Pimco Etf Tr $28630 0.02% -3058 -90.88%
182 Air Products And Chemicals I $28175 0.02% +12 +14.12%
183 Huntington Bancshares Inc $27152 0.02% +199 +12.96%
184 Spdr Gold Tr $25386 0.01% Held
185 Citigroup Inc $24042 0.01% Held
186 Spdr Series Trust $23215 0.01% -5771 -85.28%
187 Valero Energy Corp $21248 0.01% Held
188 Masco Corp $20522 0.01% -330 -49.25%
189 Halliburton Co $19490 0.01% Held
190 Steel Dynamics Inc $18000 0.01% -350 -77.78%
191 Unitedhealth Group Inc $17857 0.01% -1416 -95.55%
192 Hasbro Inc $16567 0.01% +17 +10.62%
193 Coca Cola Co $16196 0.01% +155 +267.24%
194 Snap On Inc $14890 0.01% +4 +10.81%
195 Vanguard Index Fds $14810 0.01% Held
196 Mondelez Intl Inc $13831 0.01% Held
197 Flextronics Intl Ltd $13286 0.01% Held
198 Mckesson Corp $12980 0.01% Held
199 Wisdomtree Tr $12180 0.01% Held
200 Progressive Corp $11894 0.01% Held
201 Analog Devices Inc $11134 0.01% NEW BUY
202 Williams Sonoma Inc $9481 0.01% Held
203 Nxp Semiconductors N V $9449 0.01% Held
204 Ishares Tr $8451 0.00% Held
205 Johnson Controls Internation $8118 0.00% Held
206 Synopsys Inc $7532 0.00% Held
207 Slb Limited $7450 0.00% NEW BUY
208 Hca Healthcare Inc $7098 0.00% Held
209 American Intl Group Inc $7073 0.00% Held
210 Gilead Sciences Inc $6550 0.00% -371 -88.76%
211 Arista Networks Inc $6139 0.00% NEW BUY
212 Hewlett Packard Enterprise C $6116 0.00% NEW BUY
213 Dover Corp $6045 0.00% Held
214 Occidental Pete Corp $5361 0.00% Held
215 Fedex Corp $5342 0.00% Held
216 Corteva Inc $5273 0.00% Held
217 Raymond James Finl Inc $5212 0.00% Held
218 Intuit $5188 0.00% -93 -88.57%
219 Itt Inc $4572 0.00% Held
220 S&P Global Inc $4253 0.00% -81 -89.01%
221 Cintas Corp $4059 0.00% Held
222 Sherwin Williams Co $3846 0.00% Held
223 Church & Dwight Co Inc $3172 0.00% Held
224 Copart Inc $2656 0.00% Held

Closed last quarter

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Holdings disclosed quarterly to the SEC on Form 13-F and may be up to 45 days old. Values as reported. For research only — not investment advice.