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.
| Name | Ticker | Shares | Value | Weight | Est. mark | Change |
|---|---|---|---|---|---|---|
| Ishares Tr | — | 211.5K | $19.2M | 5.2% | $222.5K | Added$549.6K |
| Ishares Tr | — | 248.6K | $16.8M | 4.6% | $372.9K | Added$699.4K |
| Exxon Mobil Corp | — | 83.2K | $14.1M | 3.9% | $4.11M | Cut$4.01M |
| Ishares Tr | — | 196K | $13.8M | 3.8% | $144.4K | Added$564.8K |
| American Centy Etf Tr | — | 117.7K | $13M | 3.5% | — | New |
| Ishares Tr | — | 146.7K | $12.1M | 3.3% | −$36.2K | Added$136.9K |
| Ishares Tr | — | 17.9K | $11.7M | 3.2% | −$557.1K | Added−$331.7K |
| First Tr Exchange-Traded Fd | — | 445.2K | $11.4M | 3.1% | −$300.7K | Added−$60K |
| Invesco Exchange Traded Fd T | — | 93.3K | $10.8M | 2.9% | −$257K | Added$352.5K |
| Apple Inc. | AAPL | 39.4K | $9.99M | 2.7% | −$711.4K | Cut−$938.4K |
| Jpmorgan Chase & Co. | — | 27.8K | $8.17M | 2.2% | −$779.5K | Cut−$825.6K |
| Ishares Inc | — | 235.5K | $8.1M | 2.2% | $752K | Added$820.5K |
| First Tr Exchange-Traded Fd | — | 163.9K | $7.98M | 2.2% | −$66.9K | Added$516.9K |
| Microsoft Corp | MSFT | 15.2K | $5.63M | 1.5% | −$1.73M | Cut−$1.95M |
| Nvidia Corp | NVDA | 30.5K | $5.33M | 1.5% | −$358.9K | Added−$205.8K |
| Caterpillar Inc | CAT | 7.25K | $5.14M | 1.4% | $983.6K | Cut$574K |
| Johnson & Johnson | JNJ | 20K | $4.88M | 1.3% | $748.1K | Cut$658.5K |
| Chevron Corp New | CVX | 23K | $4.76M | 1.3% | $1.21M | Added$1.39M |
| Alphabet Inc | — | 16.3K | $4.69M | 1.3% | −$414.7K | Cut−$695.5K |
| Coca Cola Co | KO | 60.8K | $4.62M | 1.3% | $372.3K | Added$384.5K |
| Walmart Inc. | WMT | 35.1K | $4.36M | 1.2% | $451.4K | Cut$302.5K |
| Ishares Tr | — | 94.5K | $4.02M | 1.1% | $282.4K | Added$439.6K |
| Eli Lilly & Co | LLY | 4.36K | $4.01M | 1.1% | −$674.9K | Cut−$765.2K |
| Ishares Tr | — | 24.9K | $3.77M | 1.0% | $250.8K | Added$327.1K |
| Travelers Companies, Inc. | TRV | 12.4K | $3.6M | 1.0% | $19.6K | Added$87K |
| Verizon Communications Inc | VZ | 69.2K | $3.47M | 0.9% | $649.8K | Added$679.7K |
| Visa Inc. | V | 11.4K | $3.46M | 0.9% | −$543.4K | Added−$474.8K |
| Amazon Com Inc | AMZN | 15.9K | $3.31M | 0.9% | −$358.7K | Cut−$792.6K |
| RTX Corp | RTX | 16.6K | $3.21M | 0.9% | $157.9K | Cut$153K |
| Medtronic Plc | MDT | 36.8K | $3.18M | 0.9% | −$336.5K | Added−$251K |
| Cisco Sys Inc | — | 40.4K | $3.13M | 0.9% | $22.5K | Added$38.8K |
| American Express Co | AXP | 10.2K | $3.08M | 0.8% | −$684.3K | Added−$668.2K |
| Pfizer Inc | PFE | 106.7K | $3M | 0.8% | $319.3K | Added$497.1K |
| Merck & Co., Inc. | MRK | 24.8K | $2.98M | 0.8% | $372.1K | Cut$365.6K |
| Gsk Plc | — | 53.3K | $2.94M | 0.8% | $327.9K | Cut$266.5K |
| Ishares Tr | — | 26.2K | $2.89M | 0.8% | $6.28K | Cut−$1.1M |
| Enbridge Inc | — | 49.3K | $2.67M | 0.7% | $310.9K | Cut$274.8K |
| First Trust Alternative Op | — | 96.4K | $2.63M | 0.7% | — | New |
| Duke Energy Corp New | — | 18.4K | $2.41M | 0.7% | $253.1K | Cut$230.6K |
| Goldman Sachs Group Inc | — | 2.79K | $2.36M | 0.6% | −$92.2K | Cut−$101K |
| Wells Fargo Co New | — | 29.3K | $2.33M | 0.6% | −$398.3K | Cut−$437.2K |
| Ishares Tr | — | 47.5K | $2.3M | 0.6% | −$13.8K | Cut−$185.9K |
| Ishares Tr | — | 21.1K | $2.12M | 0.6% | $50.4K | Added$818.4K |
| Ishares Tr | — | 41.9K | $2.12M | 0.6% | −$8.83K | Cut−$13.1K |
| Truist Finl Corp | — | 45.5K | $2.09M | 0.6% | −$145.7K | Added−$122.7K |
| Meta Platforms, Inc. | META | 3.62K | $2.07M | 0.6% | −$299K | Added−$175.4K |
| Enterprise Prods Partners L | — | 53.6K | $2.03M | 0.6% | $309.7K | Cut$231.7K |
| Newmont Corp | — | 17.2K | $1.86M | 0.5% | — | New |
| Lamar Advertising Co/New | LAMR | 14.4K | $1.83M | 0.5% | $1.15K | Added$11.3K |
| Eversource Energy | ES | 25.9K | $1.79M | 0.5% | $49.6K | Added$77.2K |
| Huntington Ingalls Inds Inc | — | 4.63K | $1.76M | 0.5% | $184.5K | Cut$122.6K |
| Plains Gp Hldgs L P | — | 71.7K | $1.74M | 0.5% | $358.6K | Added$406.5K |
| Home Depot, Inc. | HD | 5.2K | $1.71M | 0.5% | −$79K | Cut−$82.1K |
| Alphabet Inc | — | 5.91K | $1.7M | 0.5% | −$159.3K | Cut−$489.7K |
| Fidelity Natl Information Sv | — | 35.6K | $1.67M | 0.5% | −$305K | Added$633.7K |
| Amgen Inc | AMGN | 4.68K | $1.65M | 0.4% | $114.9K | Cut$82.9K |
| Ishares Tr | — | 14.4K | $1.63M | 0.4% | −$146.3K | Cut−$164K |
| Ishares Inc | — | 23K | $1.61M | 0.4% | $58.3K | Cut−$5.63K |
| Vanguard Intl Equity Index F | — | 29.7K | $1.6M | 0.4% | $1.64K | Added$1.3M |
| Gilead Sciences, Inc. | GILD | 11.5K | $1.6M | 0.4% | $191.2K | Cut$186.1K |
| Genuine Parts Co | GPC | 15.1K | $1.6M | 0.4% | −$248.1K | Added−$174K |
| EMCOR Group, Inc. | EME | 2.15K | $1.59M | 0.4% | $271.9K | Cut$254.8K |
| Costco Whsl Corp New | — | 1.57K | $1.57M | 0.4% | $201.9K | Added$267.7K |
| United Parcel Service Inc | UPS | 15.7K | $1.55M | 0.4% | −$11.4K | Added$149.9K |
| Ishares Tr | — | 32.1K | $1.48M | 0.4% | −$11.3K | Cut−$92.8K |
| Mcdonalds Corp | MCD | 4.71K | $1.47M | 0.4% | $23K | Added$103.2K |
| Procter And Gamble Co | PG | 10K | $1.44M | 0.4% | $11.3K | Cut−$10.6K |
| Edison Intl | — | 19.6K | $1.44M | 0.4% | $254.1K | Added$277.8K |
| Berkshire Hathaway Inc Del | — | 2.98K | $1.43M | 0.4% | −$70K | Cut−$287.1K |
| Disney Walt Co | — | 14.8K | $1.42M | 0.4% | −$244.9K | Added−$178K |
| HCA Healthcare, Inc. | HCA | 2.98K | $1.41M | 0.4% | $19K | Held |
| Honeywell Intl Inc | — | 5.88K | $1.33M | 0.4% | $178.1K | Added$206.4K |
| Strategy Inc | — | 10.5K | $1.31M | 0.4% | −$271.5K | Added−$209.1K |
| Salesforce, Inc. | CRM | 6.96K | $1.3M | 0.4% | −$456.8K | Added−$248.3K |
| Texas Instrs Inc | — | 6.62K | $1.29M | 0.4% | $136.5K | Added$139.2K |
| Healthpeak Properties, Inc. | DOC | 76.2K | $1.25M | 0.3% | $25.3K | Added$89.7K |
| Air Prods & Chems Inc | — | 4.17K | $1.21M | 0.3% | $173K | Added$228.1K |
| BlackRock, Inc. | BLK | 1.23K | $1.18M | 0.3% | −$133.4K | Cut−$171.9K |
| Origin Bancorp, Inc. | OBK | 28.4K | $1.18M | 0.3% | $109.4K | Cut−$866.3K |
| American Tower Corp New | — | 6.49K | $1.12M | 0.3% | −$19.4K | Cut−$44K |
| Price T Rowe Group Inc | TROW | 12.4K | $1.11M | 0.3% | −$126.9K | Added$52.9K |
| International Business Machs | — | 4.36K | $1.06M | 0.3% | −$234.6K | Cut−$322.3K |
| General Mls Inc | GIS | 28.3K | $1.05M | 0.3% | −$228.7K | Added−$91.4K |
| Broadcom Inc. | AVGO | 3.21K | $994.1K | 0.3% | −$117.5K | Cut−$125.5K |
| First Horizon Corporation | — | 43.1K | $981.8K | 0.3% | −$49.2K | Held |
| Cognizant Technology Solutio | — | 15K | $921.5K | 0.3% | −$308.9K | Added−$262.6K |
| J P Morgan Exchange Traded F | — | 17K | $865.3K | 0.2% | — | New |
| Union Pac Corp | — | 3.56K | $864.7K | 0.2% | $40.3K | Cut$37.3K |
| Huntington Bancshares Inc | — | 55K | $860.6K | 0.2% | −$31.4K | Added$539.8K |
| Ishares Tr | — | 8.29K | $805K | 0.2% | $9.16K | Cut$4.94K |
| Schwab Strategic Tr | — | 25.6K | $785.4K | 0.2% | $76.9K | Added$136.7K |
| Becton Dickinson & Co | BDX | 4.99K | $783.9K | 0.2% | −$169K | Added−$106.4K |
| Tesla, Inc. | TSLA | 2.09K | $775.8K | 0.2% | −$162.7K | Cut−$317.9K |
| Ishares Tr | — | 15K | $757K | 0.2% | $512 | Added$109.1K |
| Pepsico Inc | PEP | 4.87K | $756.3K | 0.2% | $57.3K | Cut$49.1K |
| First Tr Exchange-Traded Fd | — | 14.9K | $743.1K | 0.2% | −$2.62K | Added$16K |
| Qualcomm Inc | — | 5.57K | $716.9K | 0.2% | −$235.3K | Cut−$367.5K |
| Rockwell Automation, Inc | ROK | 1.98K | $711.3K | 0.2% | −$59.8K | Held |
| Global X Fds | — | 9.44K | $698.1K | 0.2% | $126.6K | Held |
| Genesis Energy L P | — | 38.8K | $691.1K | 0.2% | $86.4K | Cut$78.2K |
| General Dynamics Corp | GD | 1.98K | $680.3K | 0.2% | $13K | Cut$8.63K |
| Business First Bancshares In | — | 24.9K | $673.2K | 0.2% | $11.7K | Added$334.7K |
| Invesco Exchange Traded Fd T | — | 3.49K | $669K | 0.2% | $1.25K | Cut−$349.3K |
| Ishares Tr | — | 2.62K | $649.3K | 0.2% | $4.84K | Cut−$12.3M |
| Ishares Tr | — | 8.53K | $634K | 0.2% | $25K | Added$27K |
| Bank America Corp | — | 13K | $631.5K | 0.2% | −$81K | Cut−$176.3K |
| Ishares Tr | — | 5.32K | $631.2K | 0.2% | −$3.99K | Held |
| Entergy Corp New | — | 5.51K | $619.1K | 0.2% | $109.8K | Cut−$100.7K |
| Packaging Corp Amer | — | 2.85K | $605.3K | 0.2% | $17.1K | Held |
| Ishares Tr | — | 14.1K | $595.7K | 0.2% | −$7.9K | Added−$7.18K |
| Ishares Tr | — | 4.72K | $587.2K | 0.2% | $19.5K | Held |
| Nextera Energy Inc | — | 6.19K | $575.3K | 0.2% | $77.3K | Added$82.5K |
| Energy Transfer L P | — | 29.8K | $575.2K | 0.2% | $51.3K | Added$274K |
| Yum Brands Inc | YUM | 3.7K | $575K | 0.2% | $15.5K | Held |
| Vanguard Index Fds | — | 3.1K | $571.3K | 0.2% | $21.4K | Held |
| AbbVie Inc. | ABBV | 2.63K | $571.1K | 0.2% | −$28.9K | Cut−$67K |
| Northrop Grumman Corp | — | 826 | $563.5K | 0.2% | $92.5K | Held |
| J P Morgan Exchange Traded F | — | 9.27K | $525.5K | 0.1% | −$3.56K | Added$161.8K |
| Morgan Stanley | — | 3.16K | $520.7K | 0.1% | −$41K | Held |
| Ea Series Trust | — | 4.32K | $502.8K | 0.1% | — | New |
| Mplx Lp | — | 8.81K | $502.6K | 0.1% | — | New |
| Ishares Tr | — | 8.61K | $489K | 0.1% | $17.9K | Cut−$693 |
| Vanguard Intl Equity Index F | — | 6.5K | $488.1K | 0.1% | $10K | Held |
| Southern Co | — | 5.04K | $486K | 0.1% | $46.9K | Cut$21.2K |
| Target Corp | TGT | 4K | $484.3K | 0.1% | $87.5K | Added$119.7K |
| Deere & Co | DE | 856 | $482.2K | 0.1% | $83.7K | Held |
| Conocophillips | COP | 3.64K | $480.6K | 0.1% | $139.8K | Cut$137.4K |
| Spdr S&P 500 Etf Tr | — | 680 | $442K | 0.1% | −$16.9K | Added$79.3K |
| Pnc Finl Svcs Group Inc | — | 2.09K | $434.7K | 0.1% | −$1.34K | Cut−$1.64M |
| Automatic Data Processing In | — | 2.1K | $426.5K | 0.1% | −$113.5K | Cut−$148.9K |
| Lumen Technologies, Inc. | LUMN | 61.3K | $425.8K | 0.1% | −$50.2K | Cut−$171.7K |
| Ishares Tr | — | 9.01K | $399.2K | 0.1% | −$1.89K | Cut−$4.61K |
| Nucor Corp | NUE | 2.33K | $393.3K | 0.1% | $13.9K | Cut$8.88K |
| Dow Inc. | DOW | 9.05K | $376.9K | 0.1% | $161.4K | Added$170.3K |
| Analog Devices Inc | ADI | 1.17K | $373.2K | 0.1% | $55.1K | Cut$33.1K |
| Vanguard Index Fds | — | 1.7K | $369.3K | 0.1% | $8.19K | Added$51.6K |
| Vanguard Index Fds | — | 1.26K | $361.3K | 0.1% | −$3.75K | Added$3.72K |
| Ishares Tr | — | 5.15K | $345.1K | 0.1% | $29K | Held |
| Ishares Tr | — | 2.65K | $339.5K | 0.1% | −$23.4K | Held |
| Micron Technology Inc | MU | 943 | $318.6K | 0.1% | $49.4K | Cut−$815.4K |
| Vanguard Index Fds | — | 1.12K | $288.2K | 0.1% | −$24.4K | Held |
| Lam Research Corp | LRCX | 1.33K | $284K | 0.1% | $56.5K | Held |
| Advanced Micro Devices Inc | AMD | 1.39K | $282.6K | 0.1% | −$14.9K | Cut−$92K |
| Welltower Inc. | WELL | 1.43K | $282.5K | 0.1% | $16.7K | Added$25.6K |
| Slb Limited/Nv | SLB | 5.35K | $274.9K | 0.1% | $69.6K | Held |
| Vanguard Tax-Managed Fds | — | 4.27K | $273.6K | 0.1% | $6.88K | Cut$6.06K |
| Thermo Fisher Scientific Inc. | TMO | 556 | $273.3K | 0.1% | −$48.9K | Cut−$54.1K |
| Parker-Hannifin Corp | PH | 300 | $268.6K | 0.1% | $4.88K | Held |
| At&T Inc | — | 9.08K | $263.1K | 0.1% | $37.7K | Cut$24.9K |
| Netflix Inc | NFLX | 2.72K | $261.5K | 0.1% | — | New |
| Novartis Ag | — | 1.71K | $260.4K | 0.1% | $25.4K | Cut−$161.2K |
| Philip Morris Intl Inc | — | 1.57K | $259.9K | 0.1% | $7.77K | Held |
| Boeing Co | — | 1.29K | $256.6K | 0.1% | −$23.3K | Cut−$35.9K |
| Vanguard Index Fds | — | 830 | $250.9K | 0.1% | $117 | Held |
| Western Digital Corp | WDC | 890 | $240.7K | 0.1% | — | New |
| Williams Cos Inc | — | 3.28K | $238.9K | 0.1% | $41.6K | Cut$31.1K |
| Vanguard Index Fds | — | 738 | $236.9K | 0.1% | −$10.2K | Added−$4.12K |
| Palantir Technologies Inc. | PLTR | 1.59K | $232.4K | 0.1% | −$50K | Cut−$187.9K |
| Linde Plc | LIN | 463 | $229.5K | 0.1% | — | New |
| Ishares Tr | — | 534 | $227.7K | 0.1% | −$25K | Cut−$29.8K |
| Ishares Tr | — | 2.59K | $224.9K | 0.1% | — | New |
| Colgate Palmolive Co | CL | 2.62K | $223K | 0.1% | $16.3K | Cut$10.6K |
| Lowes Cos Inc | — | 942 | $222.6K | 0.1% | −$4.6K | Held |
| Teradyne, Inc | TER | 733 | $217.3K | 0.1% | — | New |
| Vanguard Index Fds | — | 828 | $216.9K | 0.1% | $3.29K | Held |
| Fifth Third Bancorp | — | 4.58K | $212.6K | 0.1% | −$1.6K | Cut−$36.7K |
| Alps Etf Tr | — | 3.95K | $208K | 0.1% | $22.2K | Cut−$455K |
| Oracle Corp | — | 1.4K | $205.5K | 0.1% | −$66.8K | Cut−$928.5K |
| Abbott Labs | ABT | 1.99K | $204.3K | 0.1% | −$42.1K | Added−$28.9K |
| Unitedhealth Group Inc | UNH | 745 | $201.6K | 0.1% | −$44K | Added−$42.7K |
| Dexcom Inc | DXCM | 3.21K | $201.5K | 0.1% | −$11.5K | Held |
| Standard Lithium Ltd. | SLI | 12.4K | $42.2K | 0.0% | −$11.4K | Added−$5.71K |
| Heron Therapeutics Inc | — | 20K | $16K | 0.0% | −$10K | Held |
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.