13F

Investor

RENASANT BANK

CIK 0001656167 · filed 2026-04-29 · SEC filing

13F book

$141.3M

Positions

137

10 new · 16 sold

Largest name

4.0%

Etf Ser Solutions

Est. mark

−$2.43M

Price effect on 127 names still held. Flow −$3.72M.
NameTickerSharesValueWeightEst. markChange
Etf Ser Solutions134.6K$5.65M4.0%−$234.3KCut−$1.39M
Ishares Tr58.2K$5.27M3.7%$33.4KAdded$2.48M
Etf Ser Solutions179.6K$4.43M3.1%$61.1KCut−$9.21K
Vanguard Tax-Managed Fds68.6K$4.4M3.1%$109.9KAdded$131.5K
Ishares Tr87.9K$4.06M2.9%−$27.5KAdded$399.6K
J P Morgan Exchange Traded F59.8K$3.82M2.7%−$150.6KCut−$159.1K
Ishares Tr5.79K$3.79M2.7%−$52.4KAdded$2.65M
Vanguard Index Fds10.9K$3.49M2.5%−$157.3KHeld
Etf Ser Solutions120.3K$3.29M2.3%−$131.5KAdded$5.31K
Etf Ser Solutions82.3K$3.25M2.3%$198.4KCut−$50.4K
Spdr Series Trust40.9K$3.13M2.2%−$134.6KAdded$197.8K
Nvidia CorpNVDA15.8K$2.76M2.0%−$191.4KCut−$248.7K
Etf Ser Solutions76.2K$2.75M1.9%−$64.7KAdded$1.24M
Ishares Tr7.33K$2.72M1.9%−$118.5KHeld
Microsoft CorpMSFT7.03K$2.6M1.8%−$797.6KCut−$1.08M
Ishares Inc34.6K$2.41M1.7%$50.8KAdded$1.06M
Apple Inc.AAPL9.34K$2.37M1.7%−$168.7KCut−$270.1K
Etf Ser Solutions44.5K$2.2M1.6%−$83.7KCut−$251.7K
Broadcom Inc.AVGO7.1K$2.2M1.6%−$200.4KAdded$300.7K
Vanguard Intl Equity Index F38.8K$2.1M1.5%$11.2KAdded$21.4K
Etf Ser Solutions77.6K$1.98M1.4%−$98.8KAdded−$88.1K
Amazon Com IncAMZN9.38K$1.95M1.4%−$211.4KCut−$241.4K
Alphabet Inc6.78K$1.95M1.4%−$172.5KCut−$355K
Jpmorgan Chase & Co.6.31K$1.86M1.3%−$177KCut−$188.6K
Meta Platforms, Inc.META3.04K$1.74M1.2%−$267.3KCut−$301K
Invesco Exchange Traded Fd T9.01K$1.73M1.2%$3.24KCut−$959K
Dimensional Etf Trust25.3K$1.58M1.1%$73.7KHeld
Ishares Tr13.3K$1.5M1.1%−$135KCut−$1.1M
Exxon Mobil Corp8.58K$1.46M1.0%$423KCut$251.3K
Eog Res Inc9.43K$1.36M1.0%$373.1KCut$261.5K
Invesco Exch Traded Fd Tr Ii5.05K$1.2M0.8%New
Nextera Energy Inc12.9K$1.19M0.8%$162KCut−$41.7K
Slb Limited/NvSLB21.5K$1.1M0.8%$279.3KCut$106.2K
AbbVie Inc.ABBV4.96K$1.08M0.8%−$22.5KAdded$611.3K
General Dynamics CorpGD3.11K$1.07M0.8%$20.4KCut−$232.8K
Quanta Svcs Inc1.91K$1.05M0.7%$242.9KCut$201.9K
Ishares Tr6.6K$1.02M0.7%New
Honeywell Intl Inc4.47K$1.01M0.7%$138.3KCut$107.5K
Dimensional Etf Trust25.6K$996.1K0.7%−$18.7KHeld
Bank America Corp20.2K$983.9K0.7%−$111.1KAdded$6.41K
Walmart Inc.WMT7.69K$955.5K0.7%$98.9KCut$90.6K
Fifth Third Bancorp20.5K$953.1K0.7%−$7.18KCut−$54.6K
Thermo Fisher Scientific Inc.TMO1.91K$940.8K0.7%−$168.3KCut−$211.7K
Etf Ser Solutions35.1K$933.5K0.7%−$3.81KAdded$20K
Ishares Tr2.97K$933.3K0.7%−$27.4KCut−$34.8K
Palo Alto Networks IncPANW5.71K$915.4K0.6%−$130.1KAdded−$88.5K
Salesforce, Inc.CRM4.89K$912.3K0.6%−$365.5KAdded−$325.4K
Ishares Tr6.2K$903.2K0.6%$29.1KCut−$324.4K
Etf Ser Solutions40.5K$896.8K0.6%−$1.99KAdded$11K
Ishares Tr4.69K$889.2K0.6%$39.3KCut$33.3K
Ishares Tr4.13K$872.9K0.6%−$3.8KCut−$936.9K
Dimensional Etf Trust17.8K$860.5K0.6%$33.2KHeld
Loews CorpL7.95K$848.5K0.6%$11.4KCut$11.2K
Accenture Plc Ireland4.22K$836.4K0.6%−$288.6KAdded−$269.5K
Alphabet Inc2.91K$835K0.6%−$78.4KCut−$310K
Enterprise Prods Partners L20.9K$790.4K0.6%$120.7KCut−$166.6K
Coca Cola CoKO10.1K$770.2K0.5%$62.2KCut−$175.9K
Qualcomm Inc5.87K$755.6K0.5%−$248KCut−$270.9K
lululemon athletica inc.LULU4.9K$750.5K0.5%−$237.1KAdded−$150.2K
Apollo Global Mgmt Inc6.69K$745.3K0.5%−$223KCut−$233.9K
Ishares Tr1.74K$741.5K0.5%−$81.6KCut−$944.4K
Chevron Corp NewCVX3.49K$721.5K0.5%$190KCut$104.2K
Home Depot, Inc.HD2.19K$718.6K0.5%−$33.2KCut−$61.8K
Visa Inc.V2.35K$709.7K0.5%−$113.8KCut−$346.3K
Lockheed Martin CorpLMT1.17K$704.1K0.5%$140.6KCut$128.1K
Taiwan Semiconductor Mfg Ltd1.84K$621.2K0.4%$62.6KCut$4.56K
Texas Instrs Inc3.15K$611.7K0.4%$65.1KCut$26.4K
Ishares Tr4.76K$610K0.4%−$42KCut−$254.7K
Cisco Sys Inc7.78K$603.3K0.4%$4.36KCut$3.82K
Unitedhealth Group IncUNH2.23K$602.3K0.4%−$108.6KAdded−$117
Boston Scientific CorpBSX9.15K$574.5K0.4%New
St. Denis J Villere & Co.1$565.9K0.4%$20.4KHeld
Pepsico IncPEP3.55K$550.8K0.4%$41.5KAdded$45.3K
Johnson & JohnsonJNJ2.23K$545.8K0.4%$83.7KCut−$15.6K
St. Denis J Villere & Co .1$537K0.4%$2.35KHeld
Dimensional Etf Trust15.4K$521.5K0.4%$19KHeld
Amphenol Corp New4.06K$512.9K0.4%−$35.6KAdded−$34.6K
American Tower Corp New2.93K$505.3K0.4%−$6.62KAdded$116.6K
Ishares Tr5K$503.1K0.4%$18.7KCut−$310K
Diamondback Energy, Inc.FANG2.32K$459.7K0.3%$110.3KCut$103.5K
Merck & Co., Inc.MRK3.75K$451.2K0.3%$56.4KCut−$884.1K
Ameriprise Finl Inc1K$444.8K0.3%−$45.3KAdded−$38.6K
Renasant CorpRNST12.1K$438K0.3%$11KHeld
Ishares Tr3K$434.1K0.3%$10.7KCut−$179.2K
ServiceNow, Inc.NOW4.14K$433.4K0.3%−$181.2KAdded−$137.3K
Ishares Tr4K$426.7K0.3%−$2.68KCut−$378.4K
Costco Whsl Corp New422$420.5K0.3%$56.6KCut−$121.1K
Progressive Corp2.12K$420.1K0.3%−$62.5KCut−$142.2K
Ishares Tr1.92K$410.9K0.3%$6.4KCut−$461K
Ishares Tr3K$397.5K0.3%$2.73KCut−$391.3K
Williams Sonoma IncWSM2.18K$396.9K0.3%$8.14KCut−$25.3K
Eli Lilly & CoLLY421$387.2K0.3%−$65.2KCut−$77K
Caterpillar IncCAT533$377.6K0.3%$72.3KCut$51.1K
Procter And Gamble CoPG2.6K$375.8K0.3%$2.94KCut−$86.1K
Parker-Hannifin CorpPH410$367K0.3%$6.67KCut−$31.1K
Mastec IncMTZ1.13K$363.2K0.3%$117.8KCut$97.2K
Trane Technologies PlcTT870$362.6K0.3%$24KCut$19.3K
BlackRock, Inc.BLK373$358.7K0.3%−$29.4KAdded$68.7K
Ishares Tr3K$355.4K0.3%$14.2KCut−$289.8K
Nuveen Municipal Credit Inc28.3K$344.7K0.2%−$11.3KHeld
Broadridge Finl Solutions In2.09K$340.2K0.2%−$100.7KAdded−$30.2K
Cme Group Inc.CME1.12K$331.7K0.2%$20.8KAdded$76.3K
Totalenergies SeTTE3.57K$325.2K0.2%$91.4KCut−$11.2K
Dimensional Etf Trust6.16K$325.1K0.2%$17.7KHeld
Prologis Inc.2.45K$323.7K0.2%$11.1KCut−$3.1K
Fedex CorpFDX892$317.7K0.2%$60.1KCut$37.5K
Aflac IncAFL2.84K$311.8K0.2%−$1.28KAdded$59.6K
Linde PlcLIN616$305.4K0.2%$42.7KCut−$97.1K
Pulte Group Inc2.58K$303.9K0.2%$904Cut−$13.8K
At&T Inc10.4K$301.2K0.2%$43.1KCut$36.2K
Paccar IncPCAR2.58K$298.6K0.2%$15.5KCut$3.22K
Garmin LtdGRMN1.25K$289.1K0.2%$36.3KCut−$83.6K
Chemed Corp New756$285.6K0.2%−$37.4KAdded−$33.6K
Regions Financial Corp New10.9K$284.2K0.2%−$10.7KHeld
Medtronic PlcMDT3.13K$271.6K0.2%−$23.3KAdded$34.3K
Philip Morris Intl Inc1.63K$269.8K0.2%$8.06KHeld
Copart IncCPRT8.12K$269.6K0.2%−$48.3KCut−$63.7K
Howmet Aerospace Inc.HWM1.12K$258.3K0.2%$28.5KCut$7.81K
Caseys Gen Stores Inc349$254K0.2%New
American Express CoAXP833$252K0.2%−$49.3KAdded−$18.5K
Lowes Cos Inc1.06K$249.7K0.2%−$4.97KAdded$4.25K
Stryker CorpSYK757$248.7K0.2%New
NetApp, Inc.NTAP2.41K$246.7K0.2%−$11.3KCut−$15.4K
Kla CorpKLAC165$242.9K0.2%$42.5KCut$35.2K
British Amern Tob Plc4.15K$242.8K0.2%$7.32KAdded$18.6K
EMCOR Group, Inc.EME328$242.2K0.2%$41.5KCut$15.2K
Eaton Corp PlcETN664$237.5K0.2%$25.4KAdded$31.1K
Paychex IncPAYX2.47K$227.8K0.2%New
Amgen IncAMGN645$226.9K0.2%$15.8KCut−$39.2K
Coterra Energy Inc6.38K$224.3K0.2%New
RTX CorpRTX1.14K$220.1K0.2%New
Arista Networks, Inc.ANET1.75K$215.1K0.2%−$13.2KAdded$4.94K
Pnc Finl Svcs Group Inc1.01K$209.8K0.1%New
Penske Automotive Grp Inc1.38K$206.5K0.1%−$12.1KCut−$53.9K
Medpace Hldgs Inc428$205.5K0.1%−$34.9KHeld
Kroger CoKR2.77K$200.4K0.1%New
Ambev Sa25.5K$74.6K0.1%$11.1KAdded$13.7K

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.