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CIK 0002086953 • 4 13F filings • Oct 1, 2025 – Aug 14, 2026
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Past 5 quarters
| % of Portfolio | |||||
|---|---|---|---|---|---|
| ABBOTT LABS | Common Stock | $427K | 0.4% | 3,408 SH | New |
| ABBVIE INC | Common Stock | $642K | 0.6%Prev: 0.5% | 2,811 SH | Increased+600 SH |
| ALPHABET INC | Common Stock | $2.0M | 2.0%Prev: 1.8% | 6,508 SH | Increased+789 SH |
| AMAZON COM INC | Common Stock | $844K | 0.8%Prev: 0.9% | 3,655 SH | Decreased-429 SH |
| AMGEN INC | Common Stock | $204K | 0.2%Prev: 0.2% | 624 SH | Decreased+80 SH |
| APPLE INC | Common Stock | $1.9M | 1.9%Prev: 2.0% | 7,159 SH | Decreased+445 SH |
| BERKSHIRE HATHAWAY INC DEL | Common Stock | $461K | 0.4%Prev: 0.4% | 917 SH | Increased+19 SH |
| BLACKROCK INC | Common Stock | $208K | 0.2%Prev: 0.2% | 194 SH | Decreased-17 SH |
| BROWN & BROWN INC | Common Stock | $391K | 0.4%Prev: 0.4% | 4,911 SH | Decreased-1,674 SH |
| CHEVRON CORP NEW | Common Stock | $504K | 0.5% | 3,310 SH | New |
| CLOROX CO DEL | Common Stock | $774K | 0.7%Prev: 0.6% | 7,680 SH | Increased |
| COCA COLA CO | Common Stock | $759K | 0.7%Prev: 0.8% | 10,850 SH | Decreased+1,309 SH |
| COLGATE PALMOLIVE CO | Common Stock | $262K | 0.3%Prev: 0.2% | 3,315 SH | Increased+771 SH |
| CVS HEALTH CORP | Common Stock | $238K | 0.2%Prev: 0.2% | 3,000 SH | Decreased |
| EDWARDS LIFESCIENCES CORP | Common Stock | $328K | 0.3%Prev: 0.2% | 3,852 SH | Increased+842 SH |
| EXXON MOBIL CORP | Common Stock | $1.2M | 1.1% | 9,923 SH | New |
| FIDELITY COVINGTON TRUST | Exchange Traded Fund | $6.2M | 6.0%Prev: 6.1% | 164,803 SH | Decreased+15,253 SH |
| GOLDMAN SACHS ETF TR | Exchange Traded Fund | $3.4M | 3.3%Prev: 3.7% | 64,338 SH | Decreased-7,257 SH |
| HALLIBURTON CO | Common Stock | $211K | 0.2%Prev: 0.2% | 7,456 SH | Decreased |
| HOME DEPOT INC | Common Stock | $321K | 0.3% | 932 SH | New |
| HONEYWELL INTL INC | Common Stock | $288K | 0.3% | 1,475 SH | New |
| INVESCO EXCHANGE TRADED FD TR | Exchange Traded Fund | $5.8M | 5.5%Prev: 6.0% | 56,369 SH | Decreased-2,556 SH |
| ISHARES TR | Exchange Traded Fund | $22.8M | 21.9%Prev: 23.4% | 110,946 SH | Decreased+3,838 SH |
| ISHARES TR | Fixed Income ETF | $1.2M | 1.2%Prev: 1.2% | 23,480 SH | Decreased-2,907 SH |
| JPMORGAN CHASE & CO | Common Stock | $986K | 0.9%Prev: 0.9% | 3,060 SH | Decreased-8 SH |
| KINSALE CAP GROUP INC | Common Stock | $326K | 0.3%Prev: 0.3% | 833 SH | Decreased-317 SH |
| L3HARRIS TECHNOLOGIES INC | Common Stock | $236K | 0.2% | 803 SH | New |
| MASTERCARD INCORPORATED | Common Stock | $258K | 0.2%Prev: 0.4% | 452 SH | Decreased-356 SH |
| MCDONALDS CORP | Common Stock | $364K | 0.3%Prev: 0.2% | 1,191 SH | Increased+157 SH |
| META PLATFORMS INC | Common Stock | $588K | 0.6%Prev: 0.6% | 891 SH | Decreased+45 SH |
| MICROSOFT CORP | Common Stock | $2.2M | 2.1%Prev: 2.2% | 4,537 SH | Decreased-129 SH |
| MORGAN STANLEY ETF TRUST | Fixed Income ETF | $5.6M | 5.4%Prev: 4.9% | 110,169 SH | Increased-2,824 SH |
| ORACLE CORP | Common Stock | $504K | 0.5%Prev: 0.2% | 2,585 SH | Increased+685 SH |
| PHILIP MORRIS INTL INC | Common Stock | $260K | 0.2%Prev: 0.3% | 1,618 SH | Decreased+66 SH |
| PROCTER AND GAMBLE CO | Common Stock | $201K | 0.2% | 1,400 SH | New |
| QUANTA SVCS INC | Common Stock | $292K | 0.3%Prev: 0.4% | 692 SH | Decreased+85 SH |
| SELECT SECTOR SPDR TR | Exchange Traded Fund | $10.0M | 9.6%Prev: 9.3% | 190,569 SH | Decreased+738 SH |
| SPDR S&P MIDCAP 400 ETF TR | Exchange Traded Fund | $271K | 0.3% | 450 SH | New |
| TRACTOR SUPPLY CO | Common Stock | $441K | 0.4% | 8,825 SH | New |
| TRANE TECHNOLOGIES PLC | Int'l Common Stock | $249K | 0.2% | 641 SH | New |
| UNION PAC CORP | Common Stock | $208K | 0.2%Prev: 0.2% | 900 SH | Decreased |
| UNITEDHEALTH GROUP INC | Common Stock | $245K | 0.2%Prev: 0.2% | 741 SH | Decreased+29 SH |
| VANECK ETF TRUST | Exchange Traded Fund | $7.4M | 7.1%Prev: 7.1% | 71,471 SH | Decreased-2,305 SH |
| VANGUARD INDEX FDS | Exchange Traded Fund | $880K | 0.8%Prev: 0.8% | 1,403 SH | Decreased+146 SH |
| VANGUARD INTL EQUITY INDEX FDS | International Equity ETF | $8.0M | 7.7%Prev: 8.3% | 56,566 SH | Decreased-697 SH |
| VANGUARD SCOTTSDALE FDS | Fixed Income ETF | $5.5M | 5.3%Prev: 4.8% | 98,485 SH | Increased-7,175 SH |
| VANGUARD TAX-MANAGED FDS | Exchange Traded Fund | $443K | 0.4%Prev: 0.3% | 7,087 SH | Increased+1,700 SH |
| VANGUARD WHITEHALL FDS | Exchange Traded Fund | $972K | 0.9%Prev: 1.1% | 6,774 SH | Decreased-805 SH |
| VANGUARD WHITEHALL FDS | International Equity ETF | $1.1M | 1.1%Prev: 1.2% | 12,516 SH | Decreased-950 SH |
| VISA INC | Common Stock | $551K | 0.5%Prev: 0.7% | 1,572 SH | Decreased-457 SH |
| WALMART INC | Common Stock | $668K | 0.6%Prev: 0.5% | 6,000 SH | Increased+1,250 SH |
| WELLS FARGO CO NEW | Common Stock | $221K | 0.2% | 2,370 SH | New |
| WORLD GOLD TR | Exchange Traded Fund | $3.4M | 3.3%Prev: 2.8% | 39,707 SH | Increased+2,583 SH |
| YETI HLDGS INC | Common Stock | $238K | 0.2% | 5,396 SH | New |
| Q3 2025 |
| 13F-HR |
| 0001140361-25-036975 |
| $106.2M |
| View |
| Aug 14, 2026 | Q2 2026 | 13F-HR | 0001140361-26-033033 | $109.6M | View |
| Apr 9, 2026 | Q1 2026 | 13F-HR | 0001140361-26-013983 | $104.9M | View |