13F

Investor

Argent Advisors, Inc.

CIK 0001426851 · filed 2026-04-24 · SEC filing

13F book

$366.2M

Positions

173

11 new · 8 sold

Largest name

5.2%

Ishares Tr

Est. mark

$3.51M

Price effect on 162 names still held. Flow $4.52M.
NameTickerSharesValueWeightEst. markChange
Ishares Tr211.5K$19.2M5.2%$222.5KAdded$549.6K
Ishares Tr248.6K$16.8M4.6%$372.9KAdded$699.4K
Exxon Mobil Corp83.2K$14.1M3.9%$4.11MCut$4.01M
Ishares Tr196K$13.8M3.8%$144.4KAdded$564.8K
American Centy Etf Tr117.7K$13M3.5%New
Ishares Tr146.7K$12.1M3.3%−$36.2KAdded$136.9K
Ishares Tr17.9K$11.7M3.2%−$557.1KAdded−$331.7K
First Tr Exchange-Traded Fd445.2K$11.4M3.1%−$300.7KAdded−$60K
Invesco Exchange Traded Fd T93.3K$10.8M2.9%−$257KAdded$352.5K
Apple Inc.AAPL39.4K$9.99M2.7%−$711.4KCut−$938.4K
Jpmorgan Chase & Co.27.8K$8.17M2.2%−$779.5KCut−$825.6K
Ishares Inc235.5K$8.1M2.2%$752KAdded$820.5K
First Tr Exchange-Traded Fd163.9K$7.98M2.2%−$66.9KAdded$516.9K
Microsoft CorpMSFT15.2K$5.63M1.5%−$1.73MCut−$1.95M
Nvidia CorpNVDA30.5K$5.33M1.5%−$358.9KAdded−$205.8K
Caterpillar IncCAT7.25K$5.14M1.4%$983.6KCut$574K
Johnson & JohnsonJNJ20K$4.88M1.3%$748.1KCut$658.5K
Chevron Corp NewCVX23K$4.76M1.3%$1.21MAdded$1.39M
Alphabet Inc16.3K$4.69M1.3%−$414.7KCut−$695.5K
Coca Cola CoKO60.8K$4.62M1.3%$372.3KAdded$384.5K
Walmart Inc.WMT35.1K$4.36M1.2%$451.4KCut$302.5K
Ishares Tr94.5K$4.02M1.1%$282.4KAdded$439.6K
Eli Lilly & CoLLY4.36K$4.01M1.1%−$674.9KCut−$765.2K
Ishares Tr24.9K$3.77M1.0%$250.8KAdded$327.1K
Travelers Companies, Inc.TRV12.4K$3.6M1.0%$19.6KAdded$87K
Verizon Communications IncVZ69.2K$3.47M0.9%$649.8KAdded$679.7K
Visa Inc.V11.4K$3.46M0.9%−$543.4KAdded−$474.8K
Amazon Com IncAMZN15.9K$3.31M0.9%−$358.7KCut−$792.6K
RTX CorpRTX16.6K$3.21M0.9%$157.9KCut$153K
Medtronic PlcMDT36.8K$3.18M0.9%−$336.5KAdded−$251K
Cisco Sys Inc40.4K$3.13M0.9%$22.5KAdded$38.8K
American Express CoAXP10.2K$3.08M0.8%−$684.3KAdded−$668.2K
Pfizer IncPFE106.7K$3M0.8%$319.3KAdded$497.1K
Merck & Co., Inc.MRK24.8K$2.98M0.8%$372.1KCut$365.6K
Gsk Plc53.3K$2.94M0.8%$327.9KCut$266.5K
Ishares Tr26.2K$2.89M0.8%$6.28KCut−$1.1M
Enbridge Inc49.3K$2.67M0.7%$310.9KCut$274.8K
First Trust Alternative Op96.4K$2.63M0.7%New
Duke Energy Corp New18.4K$2.41M0.7%$253.1KCut$230.6K
Goldman Sachs Group Inc2.79K$2.36M0.6%−$92.2KCut−$101K
Wells Fargo Co New29.3K$2.33M0.6%−$398.3KCut−$437.2K
Ishares Tr47.5K$2.3M0.6%−$13.8KCut−$185.9K
Ishares Tr21.1K$2.12M0.6%$50.4KAdded$818.4K
Ishares Tr41.9K$2.12M0.6%−$8.83KCut−$13.1K
Truist Finl Corp45.5K$2.09M0.6%−$145.7KAdded−$122.7K
Meta Platforms, Inc.META3.62K$2.07M0.6%−$299KAdded−$175.4K
Enterprise Prods Partners L53.6K$2.03M0.6%$309.7KCut$231.7K
Newmont Corp17.2K$1.86M0.5%New
Lamar Advertising Co/NewLAMR14.4K$1.83M0.5%$1.15KAdded$11.3K
Eversource EnergyES25.9K$1.79M0.5%$49.6KAdded$77.2K
Huntington Ingalls Inds Inc4.63K$1.76M0.5%$184.5KCut$122.6K
Plains Gp Hldgs L P71.7K$1.74M0.5%$358.6KAdded$406.5K
Home Depot, Inc.HD5.2K$1.71M0.5%−$79KCut−$82.1K
Alphabet Inc5.91K$1.7M0.5%−$159.3KCut−$489.7K
Fidelity Natl Information Sv35.6K$1.67M0.5%−$305KAdded$633.7K
Amgen IncAMGN4.68K$1.65M0.4%$114.9KCut$82.9K
Ishares Tr14.4K$1.63M0.4%−$146.3KCut−$164K
Ishares Inc23K$1.61M0.4%$58.3KCut−$5.63K
Vanguard Intl Equity Index F29.7K$1.6M0.4%$1.64KAdded$1.3M
Gilead Sciences, Inc.GILD11.5K$1.6M0.4%$191.2KCut$186.1K
Genuine Parts CoGPC15.1K$1.6M0.4%−$248.1KAdded−$174K
EMCOR Group, Inc.EME2.15K$1.59M0.4%$271.9KCut$254.8K
Costco Whsl Corp New1.57K$1.57M0.4%$201.9KAdded$267.7K
United Parcel Service IncUPS15.7K$1.55M0.4%−$11.4KAdded$149.9K
Ishares Tr32.1K$1.48M0.4%−$11.3KCut−$92.8K
Mcdonalds CorpMCD4.71K$1.47M0.4%$23KAdded$103.2K
Procter And Gamble CoPG10K$1.44M0.4%$11.3KCut−$10.6K
Edison Intl19.6K$1.44M0.4%$254.1KAdded$277.8K
Berkshire Hathaway Inc Del2.98K$1.43M0.4%−$70KCut−$287.1K
Disney Walt Co14.8K$1.42M0.4%−$244.9KAdded−$178K
HCA Healthcare, Inc.HCA2.98K$1.41M0.4%$19KHeld
Honeywell Intl Inc5.88K$1.33M0.4%$178.1KAdded$206.4K
Strategy Inc10.5K$1.31M0.4%−$271.5KAdded−$209.1K
Salesforce, Inc.CRM6.96K$1.3M0.4%−$456.8KAdded−$248.3K
Texas Instrs Inc6.62K$1.29M0.4%$136.5KAdded$139.2K
Healthpeak Properties, Inc.DOC76.2K$1.25M0.3%$25.3KAdded$89.7K
Air Prods & Chems Inc4.17K$1.21M0.3%$173KAdded$228.1K
BlackRock, Inc.BLK1.23K$1.18M0.3%−$133.4KCut−$171.9K
Origin Bancorp, Inc.OBK28.4K$1.18M0.3%$109.4KCut−$866.3K
American Tower Corp New6.49K$1.12M0.3%−$19.4KCut−$44K
Price T Rowe Group IncTROW12.4K$1.11M0.3%−$126.9KAdded$52.9K
International Business Machs4.36K$1.06M0.3%−$234.6KCut−$322.3K
General Mls IncGIS28.3K$1.05M0.3%−$228.7KAdded−$91.4K
Broadcom Inc.AVGO3.21K$994.1K0.3%−$117.5KCut−$125.5K
First Horizon Corporation43.1K$981.8K0.3%−$49.2KHeld
Cognizant Technology Solutio15K$921.5K0.3%−$308.9KAdded−$262.6K
J P Morgan Exchange Traded F17K$865.3K0.2%New
Union Pac Corp3.56K$864.7K0.2%$40.3KCut$37.3K
Huntington Bancshares Inc55K$860.6K0.2%−$31.4KAdded$539.8K
Ishares Tr8.29K$805K0.2%$9.16KCut$4.94K
Schwab Strategic Tr25.6K$785.4K0.2%$76.9KAdded$136.7K
Becton Dickinson & CoBDX4.99K$783.9K0.2%−$169KAdded−$106.4K
Tesla, Inc.TSLA2.09K$775.8K0.2%−$162.7KCut−$317.9K
Ishares Tr15K$757K0.2%$512Added$109.1K
Pepsico IncPEP4.87K$756.3K0.2%$57.3KCut$49.1K
First Tr Exchange-Traded Fd14.9K$743.1K0.2%−$2.62KAdded$16K
Qualcomm Inc5.57K$716.9K0.2%−$235.3KCut−$367.5K
Rockwell Automation, IncROK1.98K$711.3K0.2%−$59.8KHeld
Global X Fds9.44K$698.1K0.2%$126.6KHeld
Genesis Energy L P38.8K$691.1K0.2%$86.4KCut$78.2K
General Dynamics CorpGD1.98K$680.3K0.2%$13KCut$8.63K
Business First Bancshares In24.9K$673.2K0.2%$11.7KAdded$334.7K
Invesco Exchange Traded Fd T3.49K$669K0.2%$1.25KCut−$349.3K
Ishares Tr2.62K$649.3K0.2%$4.84KCut−$12.3M
Ishares Tr8.53K$634K0.2%$25KAdded$27K
Bank America Corp13K$631.5K0.2%−$81KCut−$176.3K
Ishares Tr5.32K$631.2K0.2%−$3.99KHeld
Entergy Corp New5.51K$619.1K0.2%$109.8KCut−$100.7K
Packaging Corp Amer2.85K$605.3K0.2%$17.1KHeld
Ishares Tr14.1K$595.7K0.2%−$7.9KAdded−$7.18K
Ishares Tr4.72K$587.2K0.2%$19.5KHeld
Nextera Energy Inc6.19K$575.3K0.2%$77.3KAdded$82.5K
Energy Transfer L P29.8K$575.2K0.2%$51.3KAdded$274K
Yum Brands IncYUM3.7K$575K0.2%$15.5KHeld
Vanguard Index Fds3.1K$571.3K0.2%$21.4KHeld
AbbVie Inc.ABBV2.63K$571.1K0.2%−$28.9KCut−$67K
Northrop Grumman Corp826$563.5K0.2%$92.5KHeld
J P Morgan Exchange Traded F9.27K$525.5K0.1%−$3.56KAdded$161.8K
Morgan Stanley3.16K$520.7K0.1%−$41KHeld
Ea Series Trust4.32K$502.8K0.1%New
Mplx Lp8.81K$502.6K0.1%New
Ishares Tr8.61K$489K0.1%$17.9KCut−$693
Vanguard Intl Equity Index F6.5K$488.1K0.1%$10KHeld
Southern Co5.04K$486K0.1%$46.9KCut$21.2K
Target CorpTGT4K$484.3K0.1%$87.5KAdded$119.7K
Deere & CoDE856$482.2K0.1%$83.7KHeld
ConocophillipsCOP3.64K$480.6K0.1%$139.8KCut$137.4K
Spdr S&P 500 Etf Tr680$442K0.1%−$16.9KAdded$79.3K
Pnc Finl Svcs Group Inc2.09K$434.7K0.1%−$1.34KCut−$1.64M
Automatic Data Processing In2.1K$426.5K0.1%−$113.5KCut−$148.9K
Lumen Technologies, Inc.LUMN61.3K$425.8K0.1%−$50.2KCut−$171.7K
Ishares Tr9.01K$399.2K0.1%−$1.89KCut−$4.61K
Nucor CorpNUE2.33K$393.3K0.1%$13.9KCut$8.88K
Dow Inc.DOW9.05K$376.9K0.1%$161.4KAdded$170.3K
Analog Devices IncADI1.17K$373.2K0.1%$55.1KCut$33.1K
Vanguard Index Fds1.7K$369.3K0.1%$8.19KAdded$51.6K
Vanguard Index Fds1.26K$361.3K0.1%−$3.75KAdded$3.72K
Ishares Tr5.15K$345.1K0.1%$29KHeld
Ishares Tr2.65K$339.5K0.1%−$23.4KHeld
Micron Technology IncMU943$318.6K0.1%$49.4KCut−$815.4K
Vanguard Index Fds1.12K$288.2K0.1%−$24.4KHeld
Lam Research CorpLRCX1.33K$284K0.1%$56.5KHeld
Advanced Micro Devices IncAMD1.39K$282.6K0.1%−$14.9KCut−$92K
Welltower Inc.WELL1.43K$282.5K0.1%$16.7KAdded$25.6K
Slb Limited/NvSLB5.35K$274.9K0.1%$69.6KHeld
Vanguard Tax-Managed Fds4.27K$273.6K0.1%$6.88KCut$6.06K
Thermo Fisher Scientific Inc.TMO556$273.3K0.1%−$48.9KCut−$54.1K
Parker-Hannifin CorpPH300$268.6K0.1%$4.88KHeld
At&T Inc9.08K$263.1K0.1%$37.7KCut$24.9K
Netflix IncNFLX2.72K$261.5K0.1%New
Novartis Ag1.71K$260.4K0.1%$25.4KCut−$161.2K
Philip Morris Intl Inc1.57K$259.9K0.1%$7.77KHeld
Boeing Co1.29K$256.6K0.1%−$23.3KCut−$35.9K
Vanguard Index Fds830$250.9K0.1%$117Held
Western Digital CorpWDC890$240.7K0.1%New
Williams Cos Inc3.28K$238.9K0.1%$41.6KCut$31.1K
Vanguard Index Fds738$236.9K0.1%−$10.2KAdded−$4.12K
Palantir Technologies Inc.PLTR1.59K$232.4K0.1%−$50KCut−$187.9K
Linde PlcLIN463$229.5K0.1%New
Ishares Tr534$227.7K0.1%−$25KCut−$29.8K
Ishares Tr2.59K$224.9K0.1%New
Colgate Palmolive CoCL2.62K$223K0.1%$16.3KCut$10.6K
Lowes Cos Inc942$222.6K0.1%−$4.6KHeld
Teradyne, IncTER733$217.3K0.1%New
Vanguard Index Fds828$216.9K0.1%$3.29KHeld
Fifth Third Bancorp4.58K$212.6K0.1%−$1.6KCut−$36.7K
Alps Etf Tr3.95K$208K0.1%$22.2KCut−$455K
Oracle Corp1.4K$205.5K0.1%−$66.8KCut−$928.5K
Abbott LabsABT1.99K$204.3K0.1%−$42.1KAdded−$28.9K
Unitedhealth Group IncUNH745$201.6K0.1%−$44KAdded−$42.7K
Dexcom IncDXCM3.21K$201.5K0.1%−$11.5KHeld
Standard Lithium Ltd.SLI12.4K$42.2K0.0%−$11.4KAdded−$5.71K
Heron Therapeutics Inc20K$16K0.0%−$10KHeld

Positions as of Q1 2026. 13F filings arrive up to 45 days after quarter-end and omit shorts. Values are quarter-end marks, as filed. Estimated mark is the price effect on shares still held — not realized P&L or investment advice.