First Financial Bankshares
(FFIN)
|
13.3 |
$554M |
|
18M |
30.30 |
Microsoft Corporation
(MSFT)
|
5.1 |
$211M |
|
562k |
376.04 |
Apple
(AAPL)
|
3.8 |
$157M |
|
818k |
192.53 |
Vanguard Etf/usa Total Bnd Mrkt
(BND)
|
3.8 |
$157M |
|
2.1M |
73.55 |
BlackRock Fund Advisors Core S&p Mcp Etf
(IJH)
|
3.5 |
$145M |
|
523k |
277.15 |
JPMorgan Chase & Co.
(JPM)
|
3.4 |
$142M |
|
835k |
170.10 |
Blackstone Group Inc Com Cl A
(BX)
|
2.5 |
$105M |
|
803k |
130.92 |
Vanguard Etf/usa Van Ftse Dev Mkt
(VEA)
|
2.3 |
$97M |
|
2.0M |
47.90 |
Chevron Corporation
(CVX)
|
2.3 |
$95M |
|
634k |
149.16 |
Broadcom
(AVGO)
|
2.2 |
$93M |
|
84k |
1116.25 |
Merck & Co
(MRK)
|
2.2 |
$93M |
|
849k |
109.02 |
Mondelez International Cl A
(MDLZ)
|
2.0 |
$84M |
|
1.2M |
72.43 |
Vanguard Etf/usa Shrt Trm Corp Bd
(VCSH)
|
1.9 |
$79M |
|
1.0M |
77.37 |
Johnson & Johnson
(JNJ)
|
1.9 |
$79M |
|
501k |
156.74 |
Honeywell International
(HON)
|
1.7 |
$73M |
|
346k |
209.71 |
ConocoPhillips
(COP)
|
1.7 |
$69M |
|
597k |
116.07 |
Amgen
(AMGN)
|
1.6 |
$66M |
|
231k |
288.02 |
Pepsi
(PEP)
|
1.6 |
$66M |
|
389k |
169.84 |
Alphabet Cap Stk Cl A
(GOOGL)
|
1.5 |
$63M |
|
450k |
139.69 |
Eaton Corp SHS
(ETN)
|
1.5 |
$62M |
|
258k |
240.82 |
Vanguard Group Inc/the Short Term Treas
(VGSH)
|
1.4 |
$60M |
|
1.0M |
58.33 |
Amazon
(AMZN)
|
1.4 |
$57M |
|
372k |
151.94 |
Williams Companies
(WMB)
|
1.4 |
$56M |
|
1.6M |
34.83 |
McDonald's Corporation
(MCD)
|
1.3 |
$54M |
|
182k |
296.51 |
BlackRock
(BLK)
|
1.3 |
$52M |
|
64k |
811.80 |
Coca-Cola Company
(KO)
|
1.2 |
$51M |
|
862k |
58.93 |
Medtronic SHS
(MDT)
|
1.2 |
$50M |
|
601k |
82.38 |
Vanguard S&p 500 Etf Shs
(VOO)
|
1.2 |
$49M |
|
112k |
436.80 |
Cisco Systems
(CSCO)
|
1.1 |
$48M |
|
942k |
50.52 |
American Electric Power Company
(AEP)
|
1.1 |
$47M |
|
583k |
81.22 |
Invitation Homes
(INVH)
|
1.1 |
$45M |
|
1.3M |
34.11 |
Lockheed Martin Corporation
(LMT)
|
1.1 |
$44M |
|
97k |
453.24 |
Home Depot
(HD)
|
1.0 |
$43M |
|
124k |
346.55 |
Vanguard Group Inc/the Real Estate Etf
(VNQ)
|
1.0 |
$40M |
|
457k |
88.36 |
Bank of America Corporation
(BAC)
|
1.0 |
$40M |
|
1.2M |
33.67 |
Mastercard Cl A
(MA)
|
0.9 |
$38M |
|
90k |
426.51 |
Vanguard Etf/usa Ftse Emr Mkt Etf
(VWO)
|
0.9 |
$37M |
|
887k |
41.10 |
Meta Platforms Cl A
(META)
|
0.9 |
$36M |
|
102k |
353.96 |
Citigroup Com New
(C)
|
0.9 |
$36M |
|
694k |
51.44 |
Comcast Corp Cl A
(CMCSA)
|
0.8 |
$33M |
|
761k |
43.85 |
Starbucks Corporation
(SBUX)
|
0.8 |
$33M |
|
344k |
96.01 |
Novartis Sponsored Adr
(NVS)
|
0.8 |
$32M |
|
317k |
100.97 |
Alexandria Real Estate Equities
(ARE)
|
0.8 |
$31M |
|
247k |
126.77 |
American Tower Reit
(AMT)
|
0.7 |
$30M |
|
141k |
215.88 |
NVIDIA Corporation
(NVDA)
|
0.7 |
$29M |
|
59k |
495.22 |
Nextera Energy
(NEE)
|
0.7 |
$28M |
|
459k |
60.74 |
Vanguard Etf/usa Mtg-bkd Secs Etf
(VMBS)
|
0.7 |
$28M |
|
598k |
46.36 |
Wal-Mart Stores
(WMT)
|
0.7 |
$27M |
|
173k |
157.65 |
BlackRock Fund Advisors Core S&p Scp Etf
(IJR)
|
0.6 |
$26M |
|
239k |
108.25 |
Lowe's Companies
(LOW)
|
0.6 |
$25M |
|
113k |
222.55 |
Select Sector Spdr Sbi Int-utils
(XLU)
|
0.6 |
$24M |
|
383k |
63.33 |
Advanced Micro Devices
(AMD)
|
0.5 |
$23M |
|
153k |
147.41 |
Vanguard Etf/usa Tt Wrld St Etf
(VT)
|
0.5 |
$23M |
|
220k |
102.88 |
UnitedHealth
(UNH)
|
0.5 |
$21M |
|
40k |
526.47 |
Camden Property Trust Sh Ben Int
(CPT)
|
0.5 |
$21M |
|
212k |
99.29 |
Union Pacific Corporation
(UNP)
|
0.5 |
$21M |
|
85k |
245.62 |
Spdr Series Trust S&p Regl Bkg
(KRE)
|
0.5 |
$21M |
|
391k |
52.43 |
KLA Corp Com New
(KLAC)
|
0.5 |
$20M |
|
35k |
581.30 |
Vanguard Etf/usa Long Term Treas
(VGLT)
|
0.4 |
$16M |
|
264k |
61.53 |
Lam Research Corporation
(LRCX)
|
0.4 |
$16M |
|
20k |
783.26 |
Servicenow
(NOW)
|
0.4 |
$16M |
|
23k |
706.49 |
salesforce
(CRM)
|
0.3 |
$15M |
|
55k |
263.14 |
S&p Global
(SPGI)
|
0.3 |
$13M |
|
30k |
440.52 |
Abbott Laboratories
(ABT)
|
0.3 |
$11M |
|
100k |
110.07 |
Cipher Mining
(CIFR)
|
0.2 |
$9.9M |
|
2.4M |
4.13 |
Danaher Corporation
(DHR)
|
0.2 |
$9.4M |
|
41k |
231.34 |
Workday Cl A
(WDAY)
|
0.2 |
$9.1M |
|
33k |
276.06 |
Exxon Mobil Corporation
(XOM)
|
0.2 |
$9.0M |
|
90k |
99.98 |
Pfizer
(PFE)
|
0.2 |
$8.9M |
|
309k |
28.79 |
NiSource
(NI)
|
0.2 |
$8.9M |
|
334k |
26.55 |
ProFrac Holding Corp Class A Com
(ACDC)
|
0.2 |
$8.6M |
|
1.0M |
8.48 |
BlackRock Fund Advisors Us Trsprtion
(IYT)
|
0.2 |
$8.6M |
|
33k |
262.43 |
Palo Alto Networks
(PANW)
|
0.2 |
$7.1M |
|
24k |
294.88 |
Ishares Core S&p500 Etf
(IVV)
|
0.2 |
$6.3M |
|
13k |
477.63 |
Stanley Black & Decker
(SWK)
|
0.1 |
$6.2M |
|
63k |
98.10 |
Main Street Capital Corporation
(MAIN)
|
0.1 |
$6.1M |
|
142k |
43.23 |
BlackRock Fund Advisors Msci Eafe Etf
(EFA)
|
0.1 |
$6.1M |
|
81k |
75.35 |
Texas Pacific Land Corp
(TPL)
|
0.1 |
$5.5M |
|
3.5k |
1572.45 |
Paypal Holdings
(PYPL)
|
0.1 |
$4.8M |
|
78k |
61.41 |
SSgA Funds Management Tr Unit
(SPY)
|
0.1 |
$4.6M |
|
9.7k |
475.31 |
Kimbell Royalty Partners Unit
(KRP)
|
0.1 |
$4.2M |
|
279k |
15.05 |
BlackRock Fund Advisors Rus 1000 Etf
(IWB)
|
0.1 |
$4.1M |
|
15k |
262.26 |
Vanguard Etf/usa Inter Term Treas
(VGIT)
|
0.1 |
$3.3M |
|
55k |
59.32 |
Booking Holdings
(BKNG)
|
0.1 |
$3.0M |
|
853.00 |
3547.22 |
Berkshire Hathaway Cl B New
(BRK.B)
|
0.1 |
$3.0M |
|
8.3k |
356.66 |
Adobe Systems Incorporated
(ADBE)
|
0.1 |
$2.7M |
|
4.6k |
596.60 |
Bloom Energy Corp Com Cl A
(BE)
|
0.1 |
$2.5M |
|
167k |
14.80 |
Prosperity Bancshares
(PB)
|
0.1 |
$2.4M |
|
36k |
67.73 |
Estee Lauder Cos Cl A
(EL)
|
0.1 |
$2.3M |
|
16k |
146.25 |
Generac Holdings
(GNRC)
|
0.1 |
$2.3M |
|
17k |
129.24 |
Roper Industries
(ROP)
|
0.1 |
$2.2M |
|
4.1k |
545.17 |
Intuitive Surgical Com New
(ISRG)
|
0.1 |
$2.1M |
|
6.2k |
337.36 |
Neurocrine Biosciences
(NBIX)
|
0.1 |
$2.1M |
|
16k |
131.76 |
Incyte Corporation
(INCY)
|
0.0 |
$1.9M |
|
31k |
62.79 |
Equinix
(EQIX)
|
0.0 |
$1.9M |
|
2.4k |
805.39 |
Ishares Tr Msci Emg Mkt Etf
(EEM)
|
0.0 |
$1.9M |
|
47k |
40.21 |
MarketAxess Holdings
(MKTX)
|
0.0 |
$1.8M |
|
6.1k |
292.85 |
United Therapeutics Corporation
(UTHR)
|
0.0 |
$1.7M |
|
7.7k |
219.89 |
Lululemon Athletica
(LULU)
|
0.0 |
$1.5M |
|
3.0k |
511.29 |
Ishares Core Msci Eafe
(IEFA)
|
0.0 |
$1.5M |
|
22k |
70.35 |
Chemed Corp Com Stk
(CHE)
|
0.0 |
$1.3M |
|
2.3k |
584.75 |
Visa Com Cl A
(V)
|
0.0 |
$1.2M |
|
4.7k |
260.35 |
CVS Caremark Corporation
(CVS)
|
0.0 |
$1.1M |
|
14k |
78.96 |
Berkshire Hathaway Cl A
(BRK.A)
|
0.0 |
$1.1M |
|
2.00 |
542625.00 |
Alphabet Cap Stk Cl C
(GOOG)
|
0.0 |
$1.1M |
|
7.6k |
140.93 |
Thermo Fisher Scientific
(TMO)
|
0.0 |
$909k |
|
1.7k |
530.79 |
BlackRock Fund Advisors Rus Mid Cap Etf
(IWR)
|
0.0 |
$876k |
|
11k |
77.73 |
Abbvie
(ABBV)
|
0.0 |
$875k |
|
5.6k |
154.97 |
Ishares Gold Trust Ishares New
(IAU)
|
0.0 |
$863k |
|
22k |
39.03 |
Colgate-Palmolive Company
(CL)
|
0.0 |
$857k |
|
11k |
79.71 |
Ssga Funds Management Portfolio Short
(SPSB)
|
0.0 |
$833k |
|
28k |
29.78 |
Southern Missouri Ban
(SMBC)
|
0.0 |
$822k |
|
15k |
53.39 |
Tesla Motors
(TSLA)
|
0.0 |
$782k |
|
3.1k |
248.48 |
Enterprise Products Partners
(EPD)
|
0.0 |
$723k |
|
27k |
26.35 |
McKesson Corporation
(MCK)
|
0.0 |
$718k |
|
1.6k |
462.98 |
Chart Industries
(GTLS)
|
0.0 |
$686k |
|
5.0k |
136.33 |
Republic Services
(RSG)
|
0.0 |
$683k |
|
4.1k |
164.91 |
Marathon Petroleum Corp
(MPC)
|
0.0 |
$654k |
|
4.4k |
148.36 |
Procter & Gamble Company
(PG)
|
0.0 |
$647k |
|
4.4k |
146.54 |
Caterpillar
(CAT)
|
0.0 |
$619k |
|
2.1k |
295.67 |
Independence Realty Trust In
(IRT)
|
0.0 |
$617k |
|
40k |
15.30 |
Marriott International Cl A
(MAR)
|
0.0 |
$616k |
|
2.7k |
225.51 |
BlackRock Fund Advisors Core Msci Emkt
(IEMG)
|
0.0 |
$611k |
|
12k |
50.58 |
Verizon Communications
(VZ)
|
0.0 |
$606k |
|
16k |
37.70 |
International Business Machines
(IBM)
|
0.0 |
$587k |
|
3.6k |
163.55 |
Lennox International
(LII)
|
0.0 |
$585k |
|
1.3k |
447.52 |
Ishares/usa National Mun Etf
(MUB)
|
0.0 |
$582k |
|
5.4k |
108.41 |
Eli Lilly & Co.
(LLY)
|
0.0 |
$570k |
|
977.00 |
582.92 |
Vanguard Etf/usa Int-term Corp
(VCIT)
|
0.0 |
$518k |
|
6.4k |
81.28 |
Phillips Edison & Co Common Stock
(PECO)
|
0.0 |
$493k |
|
14k |
36.48 |
BlackRock Fund Advisors Shrt Nat Mun Etf
(SUB)
|
0.0 |
$474k |
|
4.5k |
105.43 |
Trane Technologies SHS
(TT)
|
0.0 |
$474k |
|
1.9k |
243.90 |
Vanguard Etf/usa Inf Tech Etf
(VGT)
|
0.0 |
$474k |
|
979.00 |
484.00 |
Extra Space Storage
(EXR)
|
0.0 |
$474k |
|
3.0k |
160.33 |
Walt Disney Company
(DIS)
|
0.0 |
$465k |
|
5.1k |
90.29 |
Ishares Trust Iboxx Hi Yd Etf
(HYG)
|
0.0 |
$464k |
|
6.0k |
77.39 |
Valero Energy Corporation
(VLO)
|
0.0 |
$453k |
|
3.5k |
130.00 |
Costco Wholesale Corporation
(COST)
|
0.0 |
$452k |
|
685.00 |
660.08 |
First Horizon National Corporation
(FHN)
|
0.0 |
$433k |
|
31k |
14.16 |
Vanguard Etf/usa Health Car Etf
(VHT)
|
0.0 |
$427k |
|
1.7k |
250.70 |
Texas Instruments Incorporated
(TXN)
|
0.0 |
$425k |
|
2.5k |
170.46 |
Heartland Financial USA
(HTLF)
|
0.0 |
$402k |
|
11k |
37.61 |
Ferguson SHS
|
0.0 |
$397k |
|
2.1k |
193.07 |
Tri-Continental Corporation
(TY)
|
0.0 |
$396k |
|
14k |
28.83 |
Veeva Systems Cl A Com
(VEEV)
|
0.0 |
$391k |
|
2.0k |
192.52 |
Phillips 66
(PSX)
|
0.0 |
$380k |
|
2.9k |
133.14 |
Qualcomm
(QCOM)
|
0.0 |
$378k |
|
2.6k |
144.63 |
Raytheon Technologies Corp
(RTX)
|
0.0 |
$354k |
|
4.2k |
84.14 |
Waste Management
(WM)
|
0.0 |
$353k |
|
2.0k |
179.10 |
Oracle Corporation
(ORCL)
|
0.0 |
$337k |
|
3.2k |
105.43 |
Cooper Cos Inc/The Com New
|
0.0 |
$330k |
|
872.00 |
378.44 |
FedEx Corporation
(FDX)
|
0.0 |
$315k |
|
1.2k |
252.97 |
At&t
(T)
|
0.0 |
$304k |
|
18k |
16.78 |
Quaker Chemical Corporation
(KWR)
|
0.0 |
$304k |
|
1.4k |
213.42 |
Vanguard Etf/usa Total Stk Mkt
(VTI)
|
0.0 |
$300k |
|
1.3k |
237.22 |
Invesco Capital Management Unit Ser 1
(QQQ)
|
0.0 |
$296k |
|
722.00 |
409.52 |
Vanguard Etf/usa Value Etf
(VTV)
|
0.0 |
$291k |
|
1.9k |
149.50 |
Illinois Tool Works
(ITW)
|
0.0 |
$288k |
|
1.1k |
261.94 |
Vanguard Etf/usa Small Cp Etf
(VB)
|
0.0 |
$285k |
|
1.3k |
213.33 |
Principal Exchange-Traded Fund Spectrum Pfd
(PREF)
|
0.0 |
$281k |
|
16k |
17.51 |
Van Eck Associates Corp High Yld Munietf
(HYD)
|
0.0 |
$275k |
|
5.3k |
51.63 |
Duke Energy Corp Com New
(DUK)
|
0.0 |
$271k |
|
2.8k |
97.04 |
BP Sponsored Adr
(BP)
|
0.0 |
$262k |
|
7.4k |
35.40 |
Intel Corporation
(INTC)
|
0.0 |
$260k |
|
5.2k |
50.25 |
Cullen/Frost Bankers
(CFR)
|
0.0 |
$250k |
|
2.3k |
108.49 |
Diamondback Energy None
(VNOM)
|
0.0 |
$247k |
|
7.9k |
31.38 |
Diamondback Energy
(FANG)
|
0.0 |
$245k |
|
1.6k |
155.08 |
Vanguard Etf/usa Mega Grwth Ind
(MGK)
|
0.0 |
$235k |
|
905.00 |
259.51 |
Accenture Shs Class A
(ACN)
|
0.0 |
$232k |
|
662.00 |
350.91 |
Charles Schwab Corporation
(SCHW)
|
0.0 |
$232k |
|
3.4k |
68.80 |
Target Corporation
(TGT)
|
0.0 |
$232k |
|
1.6k |
142.42 |
Invesco Capital Management S&p500 Low Vol
(SPLV)
|
0.0 |
$230k |
|
3.7k |
62.66 |
Southern Company
(SO)
|
0.0 |
$225k |
|
3.2k |
70.12 |
Deere & Company
(DE)
|
0.0 |
$222k |
|
556.00 |
399.87 |
Oneok
(OKE)
|
0.0 |
$217k |
|
3.1k |
70.22 |
Sunoco Com Ut Rep Lp
(SUN)
|
0.0 |
$216k |
|
3.6k |
59.93 |
Automatic Data Processing
(ADP)
|
0.0 |
$215k |
|
923.00 |
232.97 |
Ishares U.s. Tech Etf
(IYW)
|
0.0 |
$211k |
|
1.7k |
122.75 |
Philip Morris International
(PM)
|
0.0 |
$207k |
|
2.2k |
94.08 |
Energy Transfer Com Ut Ltd Ptn
(ET)
|
0.0 |
$204k |
|
15k |
13.80 |
L3harris Technologies
(LHX)
|
0.0 |
$204k |
|
970.00 |
210.62 |
Ishares Russell 2000 Etf
(IWM)
|
0.0 |
$203k |
|
1.0k |
200.71 |
Carrier Global Corporation
(CARR)
|
0.0 |
$200k |
|
3.5k |
57.45 |
Nike CL B
(NKE)
|
0.0 |
$200k |
|
1.8k |
108.57 |
San Juan Basin Royalty Trust Unit Ben Int
(SJT)
|
0.0 |
$127k |
|
25k |
5.08 |
Nuveen Floating Rate Income Fund
(JFR)
|
0.0 |
$111k |
|
14k |
8.22 |
Comstock Resources
(CRK)
|
0.0 |
$107k |
|
12k |
8.85 |
Lumen Technologies
(LUMN)
|
0.0 |
$94k |
|
52k |
1.83 |