Pinnacle Financial Partners, Inc.

Institutional manager — quarterly 13F holdings, Q ending 2026-03-31

Reported value
$13.07B
Q ending 2026-03-31
Prior quarter
$13.24B
Q ending 2025-12-31
Change
-1.2% QoQ
Positions
1,076
reported holdings

Largest positions

Top 100 of 1,076 reported positions by value, Q ending 2026-03-31. A manager can hold shares, calls and puts on the same security at once — such positions are listed as separate rows. Type: Shares = common stock, Put/Call = option positions (valued at the underlying), Principal = debt. Tickers link to stock pages where covered.
HoldingTickerTypeValueShares
Ishares TrIWDShares$693.5M3.2M
Ishares TrIWFShares$590.4M1.4M
Coca Cola CoKOShares$577.5M7.6M
Global Pmts IncGPNShares$476.6M7.1M
State Str Spdr S&P 500 Etf TSPYShares$415.5M639K
Apple IncAAPLShares$367.8M1.4M
Pinnacle Finl Partners IncPNFPShares$301.2M3.5M
Microsoft CorpMSFTShares$266.5M720K
Ishares TrIWMShares$265.2M1.1M
Vanguard Tax-Managed FdsVEAShares$253.6M4.0M
Nvidia CorporationNVDAShares$236.8M1.4M
Ishares TrIWBShares$217.4M610K
Vanguard Index FdsVOOShares$204.0M341K
Southern CoSOShares$185.7M1.9M
Alphabet IncGOOGLShares$182.2M634K
Jpmorgan Chase & CoJPMShares$181.5M617K
Amazon Com IncAMZNShares$153.9M739K
Exxon Mobil CorpXOMShares$134.1M790K
Eli Lilly & CoLLYShares$130.6M142K
Aflac IncAFLShares$126.2M1.2M
Ishares TrIWRShares$121.9M1.3M
Johnson & JohnsonJNJShares$108.4M443K
Spdr Gold TrGLDShares$103.8M241K
Alphabet IncGOOGShares$100.7M351K
Vanguard Index FdsVUGShares$96.5M221K
Visa IncVShares$92.2M305K
Vanguard Index FdsVTIShares$90.1M281K
Broadcom IncAVGOShares$87.9M284K
Chevron CorporationCVXShares$82.4M398K
Home Depot IncHDShares$82.1M250K
Ishares TrEFAShares$81.0M834K
Blackrock Etf Trust IiBINCShares$79.7M1.5M
Costco Wholesale CorporationCOSTShares$77.6M78K
Invesco Exchange Traded Fd TRSPShares$71.9M375K
Ishares TrIVVShares$68.0M104K
Abbvie IncABBVShares$67.7M311K
Ishares TrGVIShares$65.3M612K
Lockheed Martin CorpLMTShares$63.1M104K
Invesco Exchange Traded Fd TPRFShares$60.2M1.3M
Ishares TrAGGShares$58.9M593K
Walmart IncWMTShares$57.9M466K
American Express CoAXPShares$56.8M188K
Tjx Cos Inc NewTJXShares$55.9M350K
J P Morgan Exchange Traded FJEPIShares$52.5M926K
Micron Technology IncMUShares$51.6M153K
Ishares TrIJRShares$49.6M399K
Ishares TrSHYShares$47.5M575K
Berkshire Hathaway Inc DelBRK/BShares$47.4M99K
Hca Healthcare IncHCAShares$46.2M98K
Ishares TrDVYShares$45.4M300K
Procter & Gamble CoPGShares$45.1M312K
International Business MachsIBMShares$44.1M182K
Mcdonalds CorpMCDShares$44.0M142K
Invesco Qqq TrQQQShares$43.1M75K
Eaton Corp PlcShares$42.9M120K
Meta Platforms IncMETAShares$42.7M75K
Cisco Sys IncCSCOShares$42.4M546K
Union Pac CorpUNPShares$41.8M172K
Harbor Etf TrustHGERShares$41.5M1.3M
Caterpillar IncCATShares$40.9M58K
J P Morgan Exchange Traded FJFLXShares$40.3M811K
Ishares TrIJHShares$39.1M579K
Merck & Co IncMRKShares$38.5M320K
Quanta Svcs IncPWRShares$37.7M69K
Amgen IncAMGNShares$37.5M107K
Valero Energy CorpVLOShares$37.2M151K
Vanguard Index FdsVOShares$35.7M124K
Monolithic Pwr Sys IncMPWRShares$34.6M32K
Ishares TrIEFAShares$34.2M377K
Berkshire Hathaway Inc DelBRK/AShares$33.8M47
Cme Group IncCMEShares$33.3M113K
Rtx CorporationRTXShares$33.2M172K
Philip Morris Intl IncPMShares$33.1M200K
Verizon Communications IncVZShares$32.6M649K
Oracle CorpORCLShares$32.5M221K
Ishares TrIWPShares$32.5M254K
Duke Energy Corp NewDUKShares$32.1M245K
Waste Mgmt Inc DelWMShares$31.7M138K
Vanguard Specialized FundsVIGShares$31.5M147K
Victory Portfolios IiVSDAShares$31.2M572K
Pacer Fds TrCOWZShares$30.6M489K
American Centy Etf TrQGROShares$30.5M290K
Vanguard Star FdsVXUSShares$30.4M394K
Bank America CorpBACShares$29.3M602K
State Str Spdr S&P Midcap 40MDYShares$29.3M48K
Automatic Data Processing InADPShares$29.3M144K
Vanguard Intl Equity Index FVWOShares$28.8M533K
Blackrock Etf Trust IiBRTRShares$28.4M567K
Ishares TrQUALShares$28.4M148K
Federated Hermes Etf TrustFSCCShares$27.5M925K
Linde PlcShares$27.1M55K
At&T IncTShares$26.8M926K
Vanguard Whitehall FdsVYMShares$26.8M181K
S&P Global IncSPGIShares$26.3M62K
Palo Alto Networks IncPANWShares$25.9M162K
Thermo Fisher Scientific IncTMOShares$25.9M53K
Abbott LaboratoriesABTShares$25.8M252K
Vanguard World FdVFHShares$25.6M212K
Morgan StanleyMSShares$25.6M156K
Select Sector Spdr TrXLKShares$25.6M192K

Values as reported in public regulatory filings (USD); holdings are reported quarterly, up to 45 days after quarter end, and may contain reporting errors. Nothing here is investment advice.