HANCOCK WHITNEY CORP Q4 2025 Filing

Filed February 17, 2026

Portfolio Value

$5.5B

Holdings

771

Report Date

Q4 2025

Filing Type

13F-HR

All Holdings (771 positions)

#StockSharesValue% PortfolioType
1
IVVISHARES TR
388,718$264.0M4.76%
2
AAPLAPPLE INC
864,052$233.0M4.20%
3
MSFTMICROSOFT CORP
465,900$224.0M4.04%
4
NVDANVIDIA CORPORAT
869,205$160.0M2.88%
5
GOOGLALPHABET INC
461,007$143.0M2.58%
6
AMZNAMAZON COM INC
491,090$112.0M2.02%
7
JPMJPMORGAN CHASE
350,178$111.0M2.00%
8
MBBISHARES TR
1,139,930$107.0M1.93%
9
AVGOBROADCOM INC
243,156$83.0M1.50%
10
METAMETA PLATFORMS
112,092$73.0M1.32%
11
XOMEXXON MOBIL COR
600,221$70.0M1.26%
12
EFAISHARES TR
725,799$69.0M1.24%
13
GQ9SPDR GOLD TR
164,802$63.0M1.14%
14
HDHOME DEPOT INC
172,345$58.0M1.05%
15
HWCHANCOCK WHITNEY
928,797$58.0M1.05%
16
VYMVANGUARD WHITEH
371,228$53.0M0.96%
17
IJHISHARES TR
769,235$50.0M0.90%
18
AMGNAMGEN INC
149,983$48.0M0.87%
19
JNJJOHNSON & JOHNS
231,030$47.0M0.85%
20
CMICUMMINS INC
92,708$47.0M0.85%
21
EMXCISHARES INC
663,974$47.0M0.85%
22
AQLTISHARES TR
511,573$45.0M0.81%
23
WMWASTE MGMT INC
193,004$42.0M0.76%
24
VVISA INC
120,145$41.0M0.74%
25
CVXCHEVRON CORP NE
279,212$41.0M0.74%
26
GSGOLDMAN SACHS G
47,635$41.0M0.74%
27
PNCPNC FINL SVCS G
179,843$37.0M0.67%
28
MDTMEDTRONIC PLC
388,326$37.0M0.67%
29
BKBANK NEW YORK M
322,945$37.0M0.67%
30
PLDPROLOGIS INC.
289,406$36.0M0.65%
31
BACBANK AMERICA CO
644,282$35.0M0.63%
32
GDGENERAL DYNAMIC
106,008$35.0M0.63%
33
TXNTEXAS INSTRS IN
201,364$34.0M0.61%
34
LHXL3HARRIS TECHNO
115,008$33.0M0.60%
35
AFLAFLAC INC
308,769$33.0M0.60%
36
BACVERIZON COMMUNI
813,085$32.0M0.58%
37
KOCOCA COLA CO
453,164$31.0M0.56%
38
SPYSPDR S&P 500 ET
47,616$31.0M0.56%
39
MRKMERCK & CO INC
307,300$31.0M0.56%
40
IJRISHARES TR
261,224$30.0M0.54%
41
PVALPUTNAM ETF TRUS
670,090$30.0M0.54%
42
IBMINTERNATIONAL B
98,812$29.0M0.52%
43
ABBVABBVIE INC
131,011$29.0M0.52%
44
DISDISNEY WALT CO
257,798$28.0M0.50%
45
BLKBLACKROCK INC
26,559$28.0M0.50%
46
EMEEMCOR GROUP INC
47,665$28.0M0.50%
47
NEENEXTERA ENERGY
353,894$28.0M0.50%
48
AMATAPPLIED MATLS I
113,886$28.0M0.50%
49
MCDMCDONALDS CORP
94,065$28.0M0.50%
50
AGGISHARES TR
282,206$27.0M0.49%
51
UNPUNION PAC CORP
120,106$27.0M0.49%
52
PGPROCTER AND GAM
199,853$27.0M0.49%
53
PANWPALO ALTO NETWO
148,551$26.0M0.47%
54
ABTABBOTT LABS
221,065$26.0M0.47%
55
NFLXNETFLIX INC
273,747$25.0M0.45%
56
WFCWELLS FARGO CO
276,437$25.0M0.45%
57
BMYBRISTOL-MYERS S
484,002$25.0M0.45%
58
AXPAMERICAN EXPRES
70,496$25.0M0.45%
59
PEPPEPSICO INC
176,195$24.0M0.43%
60
TSLATESLA INC
55,072$24.0M0.43%
61
DUKDUKE ENERGY COR
213,281$24.0M0.43%
62
PAYXPAYCHEX INC
222,442$24.0M0.43%
63
MAMASTERCARD INCO
44,437$24.0M0.43%
64
IGIBISHARES TR
435,986$23.0M0.41%
65
GEGE AEROSPACE
78,538$23.0M0.41%
66
FASTFASTENAL CO
584,781$23.0M0.41%
67
XLBSELECT SECTOR S
510,109$23.0M0.41%
68
SOSOUTHERN CO
268,429$23.0M0.41%
69
AWCAMERICAN WTR WK
170,060$22.0M0.40%
70
KSSKOHLS CORP
1,118,903$22.0M0.40%
71
COSTCOSTCO WHSL COR
25,920$22.0M0.40%
72
LDOSLEIDOS HOLDINGS
123,855$22.0M0.40%
73
ISRGINTUITIVE SURGI
41,233$22.0M0.40%
74
ALSALLSTATE CORP
105,891$21.0M0.38%
75
UPSUNITED PARCEL S
213,658$21.0M0.38%
76
VSTVISTRA CORP
137,052$21.0M0.38%
77
LLYELI LILLY & CO
20,352$21.0M0.38%
78
COFCAPITAL ONE FIN
88,659$21.0M0.38%
79
STXSEAGATE TECHNOL
78,242$21.0M0.38%
80
EXPEEXPEDIA GROUP I
72,917$20.0M0.36%
81
LRCXLAM RESEARCH CO
123,983$20.0M0.36%
82
TJXTJX COS INC NEW
136,824$20.0M0.36%
83
CASYCASEYS GEN STOR
37,486$20.0M0.36%
84
TMUST-MOBILE US INC
97,744$19.0M0.34%
85
WMTWALMART INC
186,006$19.0M0.34%
86
MUMICRON TECHNOLO
69,243$19.0M0.34%
87
BENFRANKLIN RESOUR
823,015$19.0M0.34%
88
ABGCENCORA INC
59,436$19.0M0.34%
89
MDYSPDR S&P MIDCAP
32,988$19.0M0.34%
90
VEEVVEEVA SYS INC
84,390$18.0M0.32%
91
UBERUBER TECHNOLOGI
240,820$18.0M0.32%
92
SNASNAP ON INC
53,858$18.0M0.32%
93
FLEXFLEX LTD
296,983$17.0M0.31%
94
THCTENET HEALTHCAR
91,935$17.0M0.31%
95
HALOHALOZYME THERAP
242,465$16.0M0.29%
96
BRK/BBERKSHIRE HATHA
31,924$16.0M0.29%
97
NXSTNEXSTAR MEDIA G
74,778$15.0M0.27%
98
GOOGALPHABET INC
49,006$14.0M0.25%
99
APPAPPLOVIN CORP
20,623$13.0M0.23%
100
CMBSISHARES TR
268,948$13.0M0.23%
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