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Portfolio (Quarterly) Guide ↗

Lummis Asset Management, LP

· CIK 0002011652
13F Portfolio $167M AUM 194 positions Filed May 11, 2026 EDGAR ↗ ← All Funds
Q1 2026 Q4 2025 · All 14 New 7 Added 34 Reduced 11 Exited
Page 1 of 10  ·  192 positions
# Ticker Company Sector Shares Value ↓ % Port Chg Shares Chg % Period Price ① Since Period ①
1 MTDR Matador Resources Co Energy 332,594.0 $21.1M 12.58% -4K -1.1% $63.29 -15.0%
2 AAPL APPLE INC Technology 52,497.0 $13.7M 8.21% -2K -3.8% $261.56 +17.9%
3 MSFT Microsoft Corp Technology 31,890.0 $12.5M 7.44% -924.0 -2.8% $390.52 +6.5%
4 GOOG Alphabet Inc Communication Services 31,642.0 $10.2M 6.13% -1K -3.8% $323.88 +18.8%
5 Berkshire Hathaway 15,690.0 $7.5M 4.47% -375.0 -2.3% $477.06
6 BSM Blackstone Minerals Company Energy 343,843.0 $4.9M 2.94% $14.33 -4.4%
7 GD General Dynamics Corp Industrials 14,255.0 $4.9M 2.93% -591.0 -4.0% $343.58 +0.3%
8 ROST Ross Stores Inc Consumer Cyclical 20,651.0 $4.5M 2.72% -1K -5.0% $220.33 +6.5%
9 ORCL Oracle Corp Technology 29,461.0 $4.5M 2.67% -2K -5.9% $151.39 +27.4%
10 GS Goldman Sachs Group, Inc. Financial Services 4,906.0 $4.3M 2.56% -2K -28.0% $871.29 +14.2%
11 Triple Flag Precious Metals Corp 124,666.0 $4.2M 2.53% -7K -5.1% $33.95
12 EQIX EQUINIX INC Real Estate 3,723.0 $4.0M 2.41% $1082.83 -0.5%
13 GOLF Acushnet Holdings Co Consumer Cyclical 396,670.0 $3.7M 2.24% +354K +824.0% $9.45 +852.7%
14 XOM Exxon Mobil Corporation Energy 20,627.0 $3.3M 1.96% -691.0 -3.2% $159.32 -5.9%
15 TMO Thermo Fisher Scientific Healthcare 6,370.0 $3.1M 1.85% -138.0 -2.1% $485.98 -7.7%
16 AIG American International Group Financial Services 40,671.0 $3.1M 1.83% -1K -3.0% $75.13 +2.8%
17 JNJ Johnson & Johnson Healthcare 12,873.0 $3.0M 1.82% -500.0 -3.7% $236.02 -2.4%
18 ABT Abbott Labs Healthcare 29,488.0 $2.9M 1.71% -1K -4.0% $96.78 -10.5%
19 Amrize Ltd 49,177.0 $2.7M 1.63% -2K -4.5% $55.33
20 PEP Pepsico Incorporated Consumer Defensive 17,192.0 $2.7M 1.61% -631.0 -3.5% $156.63 -7.0%
Page 1 of 10  ·  192 positions

Period Price is the implied market price on the last day of the reporting period, calculated as reported value ÷ shares held. It is not the fund's purchase price or cost basis — the fund may have initiated or added to the position at any point during the quarter at a different price. Since Period shows the price change from that quarter-end snapshot to today's last price — it reflects stock movement after the report date, not the fund's actual return.

Sector Allocation
Energy 24.5%
Technology 21.8%
Financial Services 10.4%
Healthcare 10.0%
Consumer Cyclical 8.4%
Communication Services 7.8%
Industrials 6.7%
Consumer Defensive 5.2%
Real Estate 4.8%
Utilities 0.3%