CIK 36966
FIRST HORIZON CORP
Institutional 13F holdings & portfolio
Holdings
1,482
Portfolio Value
$1M+
Latest Report
Dec 31, 2025
Report Periods
2
Holdings
13F filings as of Dec 31, 2025 · Showing 901–950 of 1,482
| Ticker | Company | Shares | Value | Type |
|---|---|---|---|---|
| ED | CONSOLIDATED EDISON INC | 190 | $15K–$50K | SH |
| DLTR | DOLLAR TREE INC | 153 | $15K–$50K | SH |
| VNOM | VIPER ENERGY INC CL A | 487 | $15K–$50K | SH |
| EVTC | EVERTEC INC | 642 | $15K–$50K | SH |
| PTEN | PATTERSON-UTI ENERGY INC | 3K | $15K–$50K | SH |
| CRAI | CRA INTERNATIONAL INC | 93 | $15K–$50K | SH |
| EPRT | ESSENTIAL PROPERTIES REALTY RE | 627 | $15K–$50K | SH |
| MUSA | MURPHY USA INC | 46 | $15K–$50K | SH |
| DECK | DECKERS OUTDOOR CORP | 179 | $15K–$50K | SH |
| OEF | ISHARES S&P 100 ETF | 54 | $15K–$50K | SH |
| FITB | FIFTH THIRD BANCORP | 395 | $15K–$50K | SH |
| NXE | NEXGEN ENERGY LTD | 2K | $15K–$50K | SH |
| KRMN | KARMAN HOLDINGS INC | 250 | $15K–$50K | SH |
| THC | TENET HEALTHCARE CORP | 92 | $15K–$50K | SH |
| YOU | CLEAR SECURE INC CL A | 520 | $15K–$50K | SH |
| ARDX | ARDELYX INC | 3K | $15K–$50K | SH |
| WK | WORKIVA INC CL A | 211 | $15K–$50K | SH |
| EXPD | EXPEDITORS INTL WASH INC | 121 | $15K–$50K | SH |
| IESC | IES HOLDINGS INC | 46 | $15K–$50K | SH |
| USLM | UNITED STATES LIME & MINERALS | 149 | $15K–$50K | SH |
| MATX | MATSON INC | 144 | $15K–$50K | SH |
| BWIN | THE BALDWIN INSURANCE GRP INC | 737 | $15K–$50K | SH |
| WES | WESTERN MIDSTREAM PARTNERS LP | 447 | $15K–$50K | SH |
| DBX | DROPBOX INC CL A | 635 | $15K–$50K | SH |
| RYAAY | RYANAIR HOLDINGS PLC SPONS ADR | 244 | $15K–$50K | SH |
| HIMS | HIMS & HERS HEALTH INC CL A | 539 | $15K–$50K | SH |
| RGA | REINSURANCE GROUP OF AMERICA I | 86 | $15K–$50K | SH |
| PAA | PLAINS ALL AMERICAN PIPELINE L | 971 | $15K–$50K | SH |
| BUD | ANHEUSER BUSCH INBEV SPONS ADR | 272 | $15K–$50K | SH |
| KRNT | KORNIT DIGITAL LTD | 1K | $15K–$50K | SH |
| AMX | AMERICA MOVIL SAB DE CL B SPON | 840 | $15K–$50K | SH |
| DAR | DARLING INGREDIENTS INC | 480 | $15K–$50K | SH |
| FCNCA | FIRST CITIZENS BANCSHARES INC | 8 | $15K–$50K | SH |
| EWZ | ISHARES MSCI BRAZIL ETF | 540 | $15K–$50K | SH |
| MSA | MSA SAFETY INC | 107 | $15K–$50K | SH |
| EQR | EQUITY RESIDENTIAL PPTYS TR | 270 | $15K–$50K | SH |
| ONTO | ONTO INNOVATION INC | 107 | $15K–$50K | SH |
| TSN | TYSON FOODS INC CLASS A | 288 | $15K–$50K | SH |
| HWC | HANCOCK WHITNEY CORP | 265 | $15K–$50K | SH |
| TGLS | TECNOGLASS INC | 333 | $15K–$50K | SH |
| MSM | MSC INDL DIRECT INC CL A | 199 | $15K–$50K | SH |
| PBR.A | PETROLEO BRASILEIRO SA SPONS A | 1K | $15K–$50K | SH |
| CWAN | CLEARWATER ANALYTICS HOLDINGS | 685 | $15K–$50K | SH |
| LBRT | LIBERTY ENERGY INC CL A | 894 | $15K–$50K | SH |
| PBJ | INVESCO FOOD & BEVERAGE ETF | 364 | $15K–$50K | SH |
| ASGN | ASGN INC | 338 | $15K–$50K | SH |
| CHCO | CITY HOLDING CO | 136 | $15K–$50K | SH |
| EPI | WISDOMTREE INDIA EARNINGS | 350 | $15K–$50K | SH |
| NEO | NEOGENOMICS INC | 1K | $15K–$50K | SH |
| BIPC | BROOKFIELD INFRASTRUCTURE CORP | 355 | $15K–$50K | SH |