CULLEN/FROST BANKERS, INC. Q4 2016 Filing

Filed January 30, 2017

Portfolio Value

$2.9B

Holdings

370

Report Date

Q4 2016

Filing Type

13F-HR

All Holdings (370 positions)

StockValue
XOMEXXON MOBIL CORP COM
$82.6M
AAPLAPPLE INC COM
$70.5M
MSFTMICROSOFT CORP COM
$51.6M
IWFISHARES RUSSELL 1000 GROWTH ET
$50.9M
GEGENERAL ELECTRIC CO COM
$45.9M
SLBSCHLUMBERGER LIMITED COM
$45.6M
BABOEING CO COM
$45.3M
DISDISNEY (WALT) COMPANY HOLDING
$42.5M
ICFISHARES COHEN AND STEERS REIT
$42.0M
METAFACEBOOK INC COM
$40.9M
TAT & T INC COM
$40.2M
HDHOME DEPOT INC COM
$37.8M
IWDISHARES RUSSELL 1000 VALUE ETF
$35.5M
AMZNAMAZON.COM INC
$35.3M
VVISA INC CL A COM
$34.0M
ABBVABBVIE INC COM
$30.8M
COSTCOSTCO WHOLESALE CORP NEW COM
$30.3M
CFRCULLEN/FROST BANKERS INC COM
$30.0M
AXPAMERICAN EXPRESS CO COM
$29.9M
GOOGLALPHABET INC CL A COM
$28.6M
VOVANGUARD MID CAP ETF
$28.1M
SBUXSTARBUCKS CORP COM
$27.1M
DOW CHEMICAL CO COM
$26.8M
GLWCORNING INC COM
$26.6M
CVXCHEVRON CORPORATION COM
$26.1M
WFCWELLS FARGO & CO NEW COM
$26.0M
EFAISHARES MSCI EAFE ETF
$25.9M
COFCAPITAL ONE FINANCIAL CORP COM
$25.0M
JNJJOHNSON & JOHNSON COM
$24.9M
LTXBUSDLEGACY TEXAS FINANCIAL GROUP I
$24.7M
CSCOCISCO SYSTEMS INC COM
$24.7M
LOWLOWES COS INC COM
$24.5M
SPYSPDR S&P 500 ETF TRUST
$24.3M
NDAQNASDAQ INC COM
$24.2M
AIGAMERICAN INTL GROUP INC COM
$24.2M
CCLCARNIVAL CORP PAIRED CTF 1 COM
$23.7M
GOOGALPHABET INC CL C COM
$23.7M
TRVCCITIGROUP INC COM
$23.6M
BMYBRISTOL-MYERS SQUIBB CO COM
$23.1M
OXYOCCIDENTAL PETROLEUM CORP COM
$22.9M
LUVSOUTHWEST AIRLINES CO COM
$22.8M
PEPPEPSICO INC COM
$22.7M
CELGCELGENE CORP COM
$22.2M
IJJISHARES S&P MIDCAP 400/VALUE E
$22.2M
BLKCHFBLACKROCK INC COM
$22.1M
RUNRUSH ENTERPRISES INC CLASS B C
$22.0M
WYWEYERHAEUSER CO REIT
$21.8M
JPMJPMORGAN CHASE & CO COM
$21.2M
WBAWALGREENS BOOTS ALLIANCE INC C
$21.2M
MAMASTERCARD INC CL A COM
$20.5M
RTN1USDRAYTHEON CO NEW COM
$20.5M
VLOVALERO ENERGY CORP NEW COM
$20.2M
NVSNNOVARTIS AG ADR
$20.1M
SCHWSCHWAB CHARLES CORP NEW COM
$20.0M
ZTSZOETIS INC COM
$19.9M
VBVANGUARD SMALL-CAP ETF
$19.9M
R6C2ROYAL DUTCH SHELL PLC ADR CL B
$19.9M
AQLTISHARES SELECT DIVIDEND ETF
$19.3M
CTSHCOGNIZANT TECH SOLUTIONS CL A
$19.1M
KSUEURKANSAS CITY SOUTHERN COM
$19.0M
FNFFNF GROUP TRACKING STOCK
$18.9M
JCIJOHNSON CTLS INTL PLC
$18.0M
MDTMEDTRONIC PLC
$18.0M
PGPROCTER & GAMBLE CO COM
$17.5M
WHRWHIRLPOOL CORP COM
$17.4M
ETNEATON CORP PLC
$17.1M
BKNGPRICELINE GROUP INC
$16.2M
CVSCVS HEALTH CORP COM
$16.0M
LVSLAS VEGAS SANDS CORP COM
$15.8M
DYHTARGET CORP COM
$15.7M
SHIRE PLC ADR
$15.6M
GILDGILEAD SCIENCES INC COM
$15.6M
BACVERIZON COMMUNICATIONS COM
$15.6M
LRCXEURLAM RESEARCH CORPORATION COM
$15.5M
EBAEBAY INCORPORATED COM
$15.2M
CRMSALESFORCE.COM INC COM
$15.0M
NKENIKE INC CLASS B
$14.9M
KOCOCA COLA CO COM
$14.9M
BDXBECTON DICKINSON & CO COM
$14.5M
PYPLPAYPAL HLDGS INC COM
$14.4M
MRKMERCK & CO INC NEW COM
$14.0M
NFLXNETFLIX INC COM
$13.3M
NIELSEN HLDGS PLC
$13.2M
VUGVANGUARD GROWTH ETF
$13.1M
TWXCHFTIME WARNER INC COM NEW
$12.3M
PXDEURPIONEER NATURAL RESOURCES CO C
$12.1M
XMESPDR METALS & MINING ETF
$12.1M
HONHONEYWELL INTERNATIONAL INC CO
$12.0M
AWMSKYWORKS SOLUTIONS INC COM
$11.9M
DHRDANAHER CORPORATION COM
$11.7M
PWVUSDPOWERSHARES DYNAMIC LG CAP VAL
$11.5M
NXPINXP SEMICONDUCTORS NV
$11.4M
CMCSACOMCAST CORPORATION NEW CL A C
$11.0M
ALLERGAN PLC
$10.6M
VOOVANGUARD S&P 500 ETF
$10.4M
PRGOPERRIGO CO PLC
$10.3M
CP.TOCANADIAN PACIFIC RAILWAY LTD C
$10.1M
PFEPFIZER INC COM
$9.9M
BRK/BBERKSHIRE HATHAWAY INC CL B CO
$9.9M
UNHUNITEDHEALTH GROUP INC COM
$9.8M
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