CIK 1954093
Colonial Trust Co / SC
Institutional 13F holdings & portfolio
Holdings
1,094
Portfolio Value
$1M+
Latest Report
Dec 31, 2025
Report Periods
1
Holdings
13F filings as of Dec 31, 2025 · Showing 951–1000 of 1,094
| Ticker | Company | Shares | Value | Type |
|---|---|---|---|---|
| RCI | ROGERS COMMUNICATIONS INC CL B | 78 | $1K–$15K | SH |
| AX | AXOS FINANCIAL INC COM | 35 | $1K–$15K | SH |
| CPT | CAMDEN PPTY TR SH BEN INT | 27 | $1K–$15K | SH |
| XHR | XENIA HOTELS & RESORTS INC COM | 206 | $1K–$15K | SH |
| NET | CLOUDFLARE INC CL A COM | 15 | $1K–$15K | SH |
| SCI | SERVICE CORP INTL COM | 38 | $1K–$15K | SH |
| NGG | NATIONAL GRID PLC SPONSORED ADR NE | 38 | $1K–$15K | SH |
| ST | SENSATA TECHNOLOGIES HLDG PLC SHS | 88 | $1K–$15K | SH |
| CE | CELANESE CORP DEL COM | 69 | $1K–$15K | SH |
| LNC | LINCOLN NATL CORP IND COM | 65 | $1K–$15K | SH |
| HXL | HEXCEL CORP NEW COM | 39 | $1K–$15K | SH |
| TNDM | TANDEM DIABETES CARE INC COM NEW | 128 | $1K–$15K | SH |
| SITE | SITEONE LANDSCAPE SUPPLY INC COM | 23 | $1K–$15K | SH |
| MD | PEDIATRIX MEDICAL GROUP INC COM | 130 | $1K–$15K | SH |
| CDNS | CADENCE DESIGN SYSTEM INC COM | 9 | $1K–$15K | SH |
| SEIC | SEI INVTS CO COM | 34 | $1K–$15K | SH |
| VIRT | VIRTU FINL INC CL A | 83 | $1K–$15K | SH |
| SKYW | SKYWEST INC COM | 27 | $1K–$15K | SH |
| NBTB | NBT BANCORP INC COM | 66 | $1K–$15K | SH |
| OTTR | OTTER TAIL CORP COM | 34 | $1K–$15K | SH |
| EAT | BRINKER INTL INC COM | 19 | $1K–$15K | SH |
| CHE | CHEMED CORP NEW COM | 6 | $1K–$15K | SH |
| OZK | BANK OZK LITTLE ROCK ARK COM | 58 | $1K–$15K | SH |
| DT | DYNATRACE INC COM NEW | 61 | $1K–$15K | SH |
| HLNE | HAMILTON LANE INC CL A | 20 | $1K–$15K | SH |
| SMDV | PROSHARES RUSSELL 2000 DIVIDEND GROWERS ETF | 40 | $1K–$15K | SH |
| PGY | PAGAYA TECHNOLOGIES LTD CL A NEW | 124 | $1K–$15K | SH |
| CHRD | CHORD ENERGY CORPORATION COM NEW | 28 | $1K–$15K | SH |
| SAIC | SCIENCE APPLICATIONS INTL CORP COM | 26 | $1K–$15K | SH |
| EXLS | EXLSERVICE HOLDINGS INC COM | 62 | $1K–$15K | SH |
| KTB | KONTOOR BRANDS INC COM | 42 | $1K–$15K | SH |
| SKT | TANGER INC COM | 75 | $1K–$15K | SH |
| TECH | BIO-TECHNE CORP COM | 43 | $1K–$15K | SH |
| DFSV | DIMENSIONAL US SMALL CAP VALUE ETF | 77 | $1K–$15K | SH |
| CASH | PATHWARD FINANCIAL INC COM | 34 | $1K–$15K | SH |
| VCSH | VANGUARD SHORT-TERM CORPORATE BOND INDEX FUND | 30 | $1K–$15K | SH |
| CC | CHEMOURS CO COM | 200 | $1K–$15K | SH |
| FITB | FIFTH THIRD BANCORP COM | 50 | $1K–$15K | SH |
| CNXC | CONCENTRIX CORP COM | 56 | $1K–$15K | SH |
| LBRDK | LIBERTY BROADBAND CORP COM SER C | 48 | $1K–$15K | SH |
| HLT | HILTON WORLDWIDE HLDGS INC COM | 8 | $1K–$15K | SH |
| CVNA | CARVANA CO CL A | 5 | $1K–$15K | SH |
| AXON | AXON ENTERPRISE INC COM | 4 | $1K–$15K | SH |
| COOK | TRAEGER INC COMMON STOCK | 1 | $1K–$15K | SH |
| PII | POLARIS INC COM | 34 | $1K–$15K | SH |
| — | AMCOR PLC COM NEW | 249 | $1K–$15K | SH |
| BBY | BEST BUY INC COM | 31 | $1K–$15K | SH |
| CCL | CARNIVAL CORP PAIRED CTF | 67 | $1K–$15K | SH |
| AMCX | AMC NETWORKS INC CL A | 208 | $1K–$15K | SH |
| DOW | DOW INC COM | 83 | $1K–$15K | SH |