Argyle Capital Management, LLC - Stock Holdings in 13F Filings (SEC)

Updated on March 15, 2026.

Based on 13F Filings filed with the SEC on January 29, 2026, for the 2025 Q4 period, Argyle Capital Management, LLC held in its portfolio 137 assets valued at $299,503,098 (i.e. $299.50M).

The most valuable assets in the portfolio included: Microsoft Corp ($13.08M), Lilly Eli & Co ($11.90M), and JP Morgan Chase & Co ($9.52M).

The chart below shows the top 10 valuable assets, and the table below shows the top 137 valuable assets.

You can see similar for other investment managers.

Related Topics: SEC Topic List.
Data Source: SEC.
Top Valuable Stocks in Argyle Capital Management, LLC Portfolio
Microsoft Corp
Lilly Eli & Co
JP Morgan Chase & Co
McKesson Corp
RTX Corporation
PNC Finl Svcs Group Inc
International Business Ma
Merck & Co Inc
Caterpillar Inc Del
Amgen Inc
Argyle Capital Management, LLC - Stock Holdings in 13F Filings (SEC)
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Name of Issuer No. of Shares Value ($) Class
Microsoft Corp 27055 13084339 COM
Lilly Eli & Co 11077 11904230 COM
JP Morgan Chase & Co 29554 9522890 COM
McKesson Corp 10674 8755775 COM
RTX Corporation 41501 7611283 COM
PNC Finl Svcs Group Inc 34425 7185530 COM
International Business Ma 23535 6971302 COM
Merck & Co Inc 63516 6685694 COM
Caterpillar Inc Del 11204 6418435 COM
Amgen Inc 19371 6340322 COM
Cisco Sys Inc 77756 5989545 COM
Johnson & Johnson 25904 5360833 COM
Bank of America Corp 92142 5067810 COM
Deere & Company 10853 5052831 COM
Oracle Corp 24771 4828116 COM
Pulte Group Inc 39991 4689345 COM
General Mtrs Corp 55419 4506673 COM
Emerson Elec Co 33824 4489121 COM
Intel Corp 117905 4350695 COM
Chevron Corporation 26758 4078187 COM
Wells Fargo & Co New 41873 3902564 COM
Bristol Myers Squibb Co 71962 3881656 COM
AT&T Inc 153749 3819136 COM
Paychex Inc 33560 3764761 COM
Hewlett Packard Enterprise 156693 3763766 COM
Enbridge Inc 78666 3762595 COM
Duke Energy Corp 31034 3637495 COM
Coca Cola Co 52020 3636718 COM
Pfizer Inc 145926 3633557 COM
Medtronic Inc 37260 3579196 COM
ConocoPhillips 37577 3517583 COM
Genuine Parts Co 28511 3505679 COM
Verizon Communications 84604 3445921 COM
Allstate Corp 15790 3286689 COM
Chubb Corp 10498 3276636 COM
3M Co 20048 3209685 COM
MetLife Inc 39395 3109841 COM
Waters Corp 7550 2867717 COM
United Parcel Service Inc 27505 2728221 CL B
Phillips 66 20867 2692678 COM
Dell Technologies Inc 19896 2504508 CL C
PPL Corp 71516 2504490 COM
Waste Management Inc Del 11327 2488655 COM
Constellation Energy Corp 7019 2479602 COM
Hershey Foods Corp 13511 2458732 COM
Truist Finl Corp 49616 2441603 COM
CVS Health Corp 30417 2413893 COM
Southern Co 26271 2290831 COM
Fifth Third Bancorp 41900 1961339 COM
Halliburton Co 68585 1938212 COM
GE Aerospace 6272 1931964 COM
Broadcom Inc 5358 1854404 COM
GE HealthCare Technologie 22372 1834951 COM
Comcast Corp New 61186 1828850 CL A
Freeport-McMoRan Inc 35670 1811679 CL B
Verisign Inc 7434 1806090 COM
Air Products & Chem 7299 1802999 COM
SLB Limited 46616 1789122 COM
Weyerhaeuser Co 73500 1741215 COM
Procter & Gamble Co 12142 1740070 COM
Corteva Inc 25927 1737887 COM
Dow Inc 74158 1733814 COM
Exelon Corporation 37542 1636456 COM
Ford Mtr Co Del 123410 1619139 COM PAR $0.01
GE Vernova Inc 2281 1490793 COM
Global Pmts Inc 19005 1470987 COM
Sonoco Products Co 32958 1438287 COM
Exxon Mobil Corp 11564 1391612 COM
UGI Corp New 36874 1380194 COM
Apple Inc 4745 1289976 COM
NXP Semiconductors N V 5649 1226172 COM
Shift4 Pmts Inc 19250 1212173 CL A
Archer Daniels Midland Co 21025 1208727 COM
Qnity Electronics Inc 14587 1191029 COMMON STOCK
DuPont De Nemours Inc 29196 1173679 COM
Trane Technolgies PLC 3000 1167600 SHS
Corning Inc 12869 1126810 COM
TC Energy Corp 20400 1122204 COM
Berkshire Hathaway Inc. C 2226 1118899 CL B NEW
Baxter Intl Inc 57779 1104157 COM
Fiserv Inc 15614 1048792 COM
HP Inc 45575 1015411 COM
Block H&R Inc 23233 1012494 COM
Valero Energy Corp New 5500 895345 COM
BP PLC 25407 882385 SPONSORED ADR
PepsiCo Inc. 5750 825240 COM
DXC Technology Co 54967 805267 COM
AbbVie Inc 3450 788291 COM
American Elec Power 6600 761046 COM
TotalEnergies SE 11400 745788 SPONSORED ADR
Qualcomm Inc 4209 719949 COM
McCormick & Co Inc 10550 718561 COM NON VTG
Moodys Corp 1400 715190 COM
Norfolk Southern Corp 2462 710829 COM
Flowers Foods Inc 63934 695602 COM
Magna Intl Inc 12600 671580 COM
Grainger W W Inc 665 671018 COM
ConAgra Brands Inc 38245 662021 COM
Motorola Solutions Inc 1699 651261 COM NEW
Kraft Heinz Company 26690 647233 COM
Texas Instrs Inc 3700 641913 COM
Automatic Data Processing 2487 639731 COM
Illinois Tool Wks Inc 2490 613287 COM
NVIDIA Corporation 3200 596800 COM
Amcor PLC 67630 564034 ORD
Kimberly Clark Corp 5583 563269 COM
NextEra Energy Inc 6468 519251 COM
Teva Pharm Inds Ltd 16200 505602 ADR
Stanley Black & Decker In 6675 495819 COM
Abbott Labs 3905 489257 COM
Selective Insurance Group 5474 458010 COM
Public Svc Enter Grp 5250 421575 COM
Amazon Com Inc 1739 401396 COM
nVent Electric Plc 3932 400946 SHS
Pentair Inc 3766 392191 COM
Crane Company 1813 334372 COMMON STOCK
CenterPoint Energy Inc 8600 329724 COM
Novartis AG 2375 327441 SPONSORED ADR
Lamb Weston Holdings Inc 7608 318699 COM
Chemours Co 26682 314581 COM
Devon Energy Corp New 8333 305238 COM
Ameriserv Finl Inc 94865 302619 COM
Solventum Corp 3626 287324 COM SHS
HSBC Hldgs PLC 3650 287146 SPON ADR NEW
Eastman Chem Co 4465 285001 COM
Warner Brothers Discovery 9707 279756 COM SER A
PTC Inc 1551 270200 COM
Palantir Technologies Inc 1500 266625 CL A
Alphabet Inc 846 265475 CAP STK CL C
Charter Communications In 1157 241524 CL A
Aflac Inc 2120 233772 COM
Taiwan Semiconductr Mfg L 753 228829 SPONSORED ADR
Mastercard Incorporated 383 218647 COM
Markel Group Inc 100 214965 COM
Kennametal Inc 7500 213075 COM
Ingersoll Rand Inc 2647 209695 COM
Newell Brands 11600 43152 COM