13F

Investor

Argyle Capital Partners, LLC

CIK 0002079995 · filed 2026-05-07 · SEC filing

13F book

$138.8M

Positions

160

14 new · 11 sold

Largest name

5.6%

Apple Inc. · AAPL

Est. mark

−$20.9K

Price effect on 146 names still held. Flow $1.99M.
NameTickerSharesValueWeightEst. markChange
Apple Inc.AAPL30.4K$7.71M5.6%−$548.5KCut−$928.8K
Microsoft CorpMSFT10.8K$3.99M2.9%−$1.06MAdded−$552.5K
Ishares Tr18.2K$3.89M2.8%$60.9KCut−$13.6K
Ishares Tr7.96K$3.39M2.4%−$353.1KAdded−$168.5K
Ishares Tr29.5K$3.21M2.3%−$35.3KCut−$123.4K
Amazon Com IncAMZN14K$2.91M2.1%−$282.1KAdded$20.3K
Ishares Tr31.5K$2.6M1.9%−$7.96KCut−$229.7K
Ishares Tr20.9K$2.59M1.9%$86KCut−$2.52K
Ishares Tr59.5K$2.53M1.8%$178.5KAdded$266.5K
Jpmorgan Chase Finl Co Llc70.6K$2.44M1.8%$329KCut$231.8K
Spdr Series Trust19.1K$2.44M1.8%$110.6KCut−$90.4K
Berkshire Hathaway Inc Del4.94K$2.37M1.7%−$115.9KCut−$340.1K
Nvidia CorpNVDA12.6K$2.19M1.6%−$151.9KCut−$238.6K
Jpmorgan Chase & Co.6.98K$2.05M1.5%−$186KAdded−$84.5K
Vanguard Intl Equity Index F37.1K$2.01M1.4%$10.8KCut−$81.3K
Enterprise Prods Partners L51.7K$1.96M1.4%$299KCut$233K
AbbVie Inc.ABBV8.89K$1.93M1.4%−$97.9KCut−$98.8K
Alphabet Inc6.56K$1.89M1.4%−$167.1KCut−$169.9K
Ishares Tr21.7K$1.88M1.4%−$10.2KCut−$139.5K
Oneok Inc /New/OKE19.4K$1.75M1.3%$322.3KAdded$352.6K
Spdr S&P 500 Etf Tr2.68K$1.74M1.3%−$84.3KCut−$361.2K
Williams Cos Inc22.9K$1.67M1.2%$290KCut$185K
Ishares Tr20.2K$1.62M1.2%New
Amgen IncAMGN4.6K$1.62M1.2%$112.8KCut$14.9K
Dimensional Etf Trust43.7K$1.61M1.2%−$50.6KAdded$90.5K
Netflix IncNFLX16.7K$1.61M1.2%$21.7KAdded$752.5K
Mplx Lp27.1K$1.55M1.1%$98.6KAdded$122.3K
First Tr Exchange-Traded Fd30.6K$1.44M1.0%$26.5KAdded$154.9K
Parker-Hannifin CorpPH1.59K$1.42M1.0%$25.9KHeld
Chevron Corp NewCVX6.58K$1.36M1.0%$358.5KCut$214.6K
Vaneck Etf Trust14.8K$1.35M1.0%$88.5KCut−$343.7K
Energy Transfer L P70K$1.35M1.0%$196.8KCut$141.9K
Capital Grp Fixed Incm Etf T49.1K$1.34M1.0%−$15KAdded$276.1K
First Tr Exch Traded Fd Iii71.8K$1.27M0.9%−$32.8KAdded−$174
Alphabet Inc4.22K$1.21M0.9%−$98.5KAdded$63.9K
Ameriprise Finl Inc2.69K$1.19M0.9%−$123.3KHeld
Visa Inc.V3.83K$1.16M0.8%−$170.3KAdded−$75.4K
Ishares Tr7.53K$1.14M0.8%$61KAdded$304K
Danaher Corporation5.71K$1.08M0.8%−$214.4KAdded−$166.6K
Meta Platforms, Inc.META1.86K$1.07M0.8%−$144.1KAdded−$13.1K
Williams Sonoma IncWSM5.52K$1.01M0.7%$20.7KHeld
Martin Marietta Matls Inc1.7K$1M0.7%−$57.8KHeld
J P Morgan Exchange Traded F17.3K$978.4K0.7%−$9.15KAdded$47.6K
Vanguard Index Fds10.9K$962.7K0.7%$2.32KCut−$49.1K
Ishares Tr12K$953K0.7%−$12.8KCut−$38.9K
Select Sector Spdr Tr15.3K$934.3K0.7%$250.9KAdded$256.5K
Ishares Tr15.9K$903.4K0.7%−$9.53KHeld
Select Sector Spdr Tr19.6K$899.8K0.6%$35.4KAdded$427.6K
Costco Whsl Corp New902$898.6K0.6%$120.9KCut$77.8K
Vanguard Tax-Managed Fds13.7K$875.3K0.6%$17KAdded$214.9K
Exxon Mobil Corp5.03K$853.2K0.6%$248KCut$118.6K
Crowdstrike Hldgs Inc2.16K$843.3K0.6%−$135.9KAdded$30.5K
Ishares Tr14.6K$826.7K0.6%$19.9KAdded$303.3K
Nextera Energy Inc8.85K$822K0.6%$111.5KCut$89.7K
Hess Midstream LpHESM21K$818.1K0.6%$92KCut$39.5K
Qualcomm Inc6.24K$803.4K0.6%−$259.6KAdded−$246.5K
Deere & CoDE1.43K$803.3K0.6%$139.6KCut$67.4K
Johnson Ctls Intl Plc5.96K$781.1K0.6%$66.8KHeld
Oshkosh CorpOSK5.3K$780.7K0.6%$114.4KHeld
Phillips 66PSX4.07K$741.8K0.5%$216.4KCut$193.8K
Vaneck Etf Trust1.83K$701.4K0.5%$41.5KAdded$59.1K
Ishares Tr6.93K$698.4K0.5%−$6.11KAdded$41.6K
RTX CorpRTX3.62K$697.9K0.5%$34.3KCut$25.5K
Slb Limited/NvSLB13.4K$688.8K0.5%$174.4KCut$6.53K
Mastercard IncMA1.37K$684.1K0.5%−$90.6KAdded−$44.6K
Eog Res Inc4.7K$679.6K0.5%$185.9KCut$118.4K
Altria Group, Inc.MO10.3K$678.1K0.5%$79.7KAdded$126.5K
Ishares Tr3.66K$663.6K0.5%−$66.8KCut−$115.7K
Etfs Gold Tr14.8K$661K0.5%$49.9KAdded$82K
Microchip Technology Inc.10K$646.9K0.5%$8.91KHeld
Kimberly Clark CorpKMB6.6K$636.9K0.5%New
Corteva, Inc.CTVA7.59K$635.1K0.5%$126.6KHeld
Ishares Tr5.34K$633.3K0.5%−$4.02KCut−$38.5K
Novartis Ag4.09K$625.4K0.4%$60.4KAdded$65.5K
Vanguard Intl Equity Index F8.29K$622.8K0.4%$12.8KCut$11.6K
General Dynamics CorpGD1.73K$593.1K0.4%$11.3KCut−$16K
Northrop Grumman Corp863$588.6K0.4%$96.6KCut$15.1K
Automatic Data Processing In2.87K$582.7K0.4%−$43.4KAdded$376.2K
Ishares Inc10.2K$575.7K0.4%$51.6KAdded$70.6K
Lockheed Martin CorpLMT913$552K0.4%$110.4KCut−$19.7K
Blackstone Inc.BX4.56K$524.4K0.4%New
Vanguard Calif Tax Free Fds5K$495.4K0.4%−$5.9KHeld
Ishares Tr1.96K$485.1K0.3%$3.53KAdded$3.78K
Invesco Calif Value Mun Inco46.2K$482K0.3%−$31.9KCut−$34.1K
Ishares Invest Grd Sys10.6K$475.4K0.3%−$5.54KAdded$53.8K
Invesco Exch Traded Fd Tr Ii25.2K$475K0.3%−$24.2KAdded$21K
Pimco Etf Tr18K$472K0.3%New
Bank America Corp9.57K$466.8K0.3%−$59.2KAdded−$54.3K
Vanguard Scottsdale Fds9.63K$452.3K0.3%−$1.03KAdded$76.3K
S&P Global Inc.SPGI1.05K$444.9K0.3%−$94KAdded−$60.8K
Nushares Etf Tr12.2K$442K0.3%−$1.02KAdded$73.8K
Lennar Corp5.08K$441.3K0.3%−$71.5KAdded−$19.4K
Schwab Strategic Tr15.7K$437.6K0.3%$10.1KCut−$37.8K
Verizon Communications IncVZ8.42K$422.5K0.3%$66.9KAdded$134.9K
Coca Cola CoKO5.5K$417.9K0.3%$33.7KHeld
Pfizer IncPFE14.5K$407.4K0.3%$44.2KAdded$61.2K
Dimensional Etf Trust11.6K$405.4K0.3%$24.3KAdded$33.6K
Dimensional Etf Trust7.46K$393.7K0.3%New
Bristol-Myers Squibb Co6.48K$393.1K0.3%$43.5KCut−$135.4K
Adobe Inc.ADBE1.57K$382.1K0.3%−$168.1KCut−$761.3K
Chubb Limited1.15K$373.5K0.3%$15.8KHeld
Pepsico IncPEP2.38K$369K0.3%$28KCut−$28K
Ishares Tr12.1K$367.9K0.3%−$7.77KCut−$31K
Franklin Templeton Etf Tr9.22K$367.1K0.3%$7.21KAdded$62.4K
Spdr Series Trust2.65K$355.6K0.3%$2.19KAdded$58.7K
Plains All Amern Pipeline L15.8K$351.7K0.3%$68.8KCut$46.4K
Salesforce, Inc.CRM1.88K$350.9K0.3%−$147.2KCut−$501.4K
Bondbloxx Etf Trust9.1K$341.9K0.2%−$2.27KHeld
Broadcom Inc.AVGO1.09K$337.4K0.2%−$39.9KCut−$75.2K
Waste Mgmt Inc Del1.46K$336.2K0.2%$14.7KHeld
Spdr Series Trust1.56K$336K0.2%$6.78KCut−$2.91K
J P Morgan Exchange Traded F6.01K$333.7K0.2%−$15.2KAdded−$5.4K
Vanguard Intl Equity Index F3.97K$327.5K0.2%−$4.67KAdded−$4.09K
Wells Fargo Co New4.04K$321.7K0.2%−$53KAdded−$42.6K
Pimco Corporate & Income Opp26.5K$320.1K0.2%−$22.3KHeld
Ishares Gold Tr3.63K$319.8K0.2%$25.4KHeld
Wisdomtree Tr6.4K$317.9K0.2%$16.7KAdded$56.7K
Thermo Fisher Scientific Inc.TMO637$312.9K0.2%−$46.5KAdded$7.98K
D R Horton Inc2.25K$308.7K0.2%New
Select Sector Spdr Tr6.19K$305.7K0.2%−$33.4KCut−$39.4K
Bondbloxx Etf Trust6.55K$300.2K0.2%−$2.36KHeld
Kb HomeKBH5.75K$297.6K0.2%New
Tcw Etf Trust2.98K$291.7K0.2%$4.81KCut−$15.6K
Spdr Gold Tr660$284K0.2%$22.4KCut−$128.6K
United Parcel Service IncUPS2.88K$283.6K0.2%New
Starbucks CorpSBUX3.15K$282.4K0.2%$17KHeld
Xylem Inc.XYL2.36K$282.3K0.2%−$36.8KAdded−$18.2K
Ishares Tr1.95K$277.8K0.2%−$12.2KCut−$21.4K
Synopsys IncSNPS687$272.4K0.2%−$50.3KCut−$123.6K
Invesco Exch Traded Fd Tr Ii13.3K$272.1K0.2%−$7.86KCut−$65.4K
Goldman Sachs Etf Tr2.9K$268.4K0.2%−$12.2KHeld
Colgate Palmolive CoCL3.13K$266.9K0.2%$19.4KHeld
Dollar Gen Corp New2.21K$262.7K0.2%−$31.1KCut−$44.3K
Home Depot, Inc.HD774$254.6K0.2%−$11.8KCut−$314.6K
Kinder Morgan Inc Del7.38K$247.4K0.2%New
Cisco Sys Inc3.19K$247.4K0.2%$1.81KCut−$53K
First Tr Exch Traded Fd Iii5.05K$246.9K0.2%−$2.11KHeld
Ishares 0-3 Month2.42K$244.1K0.2%$679Cut−$460.6K
Cullen Frost Bankers Inc1.73K$237.1K0.2%$18.1KHeld
Nushares Etf Tr5.16K$235K0.2%$2.32KHeld
United Sts Commodity Index F6.8K$234.2K0.2%−$3.24KAdded$20.5K
Alcon IncALC3.1K$233.7K0.2%−$10.7KHeld
At&T Inc7.85K$227.7K0.2%$32.6KCut$6.83K
Nushares Etf Tr5K$225.5K0.2%$2.05KCut−$4.02K
Vanguard Admiral Fds Inc2.21K$225.3K0.2%$1.99KAdded$11.6K
Rpm Intl Inc2.26K$225K0.2%−$10.4KHeld
Spdr Series Trust2.45K$224.2K0.2%$594Cut−$7.63K
Ishares Tr1.7K$224K0.2%−$12.3KHeld
Ishares Aaa A Rated Cor4.65K$221.4K0.2%−$2.33KHeld
Sprott Asset Management Lp6K$212.6K0.2%New
Ishares Tr2.11K$209.7K0.2%−$1.29KCut−$5.99K
Simon Ppty Group Inc New1.11K$206.5K0.1%$1.57KHeld
Abrdn Silver Etf TrustSIVR2.83K$202.9K0.1%New
Wisdomtree Tr1.28K$202.5K0.1%New
Ishares Tr2.11K$201.5K0.1%New
Western Asset High Incom Fd47.9K$190.8K0.1%−$6.94KAdded$30.4K
Starwood Ppty Tr Inc10.5K$180.8K0.1%New
Alliancebernstein Global Hig16.4K$166.4K0.1%−$7.99KAdded$2.19K
Pimco Global Stockspls Incm14K$116.5K0.1%−$11.2KHeld
Galectin Therapeutics IncGALT13.4K$37.3K0.0%−$18.3KHeld

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.