Reliant Investment Partners, LLC

CIK: 0002069207SEC EDGAR →

Portfolio Value

$127.4M

Holdings

109

As of

Q4 2025

New Positions

109

Closed Positions

0

Top 10 Holdings

RankStockSharesValue% of Portfolio
1

NVIDIA CORPORATION

86,643$16.2M
12.68%
2

TRUIST FINL CORP

155,033$7.6M
5.99%
3

DUKE ENERGY CORP NEW

62,479$7.3M
5.75%
4

VANGUARD INDEX FDS

10,935$6.9M
5.38%
5

APPLE INC

22,170$6.0M
4.73%
6

APPLOVIN CORP

5,961$4.0M
3.15%
7

FIDELITY COVINGTON TRUST

17,250$3.9M
3.04%
8

MICROSOFT CORP

7,862$3.8M
2.98%
9

ELI LILLY & CO

3,152$3.4M
2.66%
10

LOWES COS INC

13,823$3.3M
2.62%

Quarterly Changes

Top Buys

NVDANEW
$16.2M
TFCNEW
$7.6M
DUKNEW
$7.3M
VOONEW
$6.9M
AAPLNEW
$6.0M

Top Sells

No sells this quarter

New Positions (109)

$16.2M · 87K shares
$7.6M · 155K shares
$7.3M · 62K shares
$6.9M · 11K shares
$6.0M · 22K shares
$4.0M · 6K shares
$3.9M · 17K shares
$3.8M · 8K shares
$3.4M · 3K shares
$3.3M · 14K shares
$2.7M · 12K shares
$2.3M · 9K shares
$2.2M · 5K shares
$2.1M · 7K shares
$1.6M · 7K shares
$1.5M · 12K shares
$1.5M · 1K shares
$1.3M · 3K shares
$1.3M · 2K shares
$1.3M · 8K shares
$1.3M · 7K shares
$1.2M · 3K shares
$1.2M · 13K shares
$1.2M · 2K shares
$1.2M · 34K shares
$1.2M · 3K shares
$1.1M · 9K shares
$1.1M · 10K shares
$1.1M · 2K shares
$1.0M · 3K shares
$1.0M · 2K shares
$924K · 9K shares
$886K · 4K shares
$863K · 4K shares
$841K · 10K shares
$832K · 2K shares
$827K · 11K shares
$806K · 3K shares
$805K · 3K shares
$761K · 7K shares
$753K · 18K shares
$732K · 833 shares
$730K · 10K shares
$716K · 6K shares
$709K · 5K shares
$704K · 28K shares
$665K · 3K shares
$599K · 5K shares
$582K · 3K shares
$561K · 10K shares
$558K · 3K shares
$518K · 6K shares
$514K · 4K shares
$511K · 6K shares
$496K · 20K shares
$485K · 6K shares
$476K · 6K shares
$475K · 11K shares
$471K · 6K shares
$459K · 2K shares
$441K · 10K shares
$436K · 3K shares
$431K · 3K shares
$423K · 9K shares
$417K · 3K shares
$415K · 1K shares
$414K · 2K shares
$412K · 3K shares
$410K · 4K shares
$408K · 2K shares
$406K · 1K shares
$396K · 3K shares
$386K · 8K shares
$385K · 2K shares
$378K · 4K shares
$371K · 3K shares
$370K · 2K shares
$369K · 7K shares
$368K · 3K shares
$361K · 6K shares
$357K · 547 shares
$351K · 1K shares
$328K · 1K shares
$324K · 3K shares
$324K · 476 shares
$313K · 8K shares
$312K · 3K shares
$295K · 5K shares
$288K · 4K shares
$283K · 2K shares
$282K · 5K shares
$276K · 404 shares
$276K · 3K shares
$269K · 1K shares
$260K · 2K shares
$248K · 4K shares
$243K · 2K shares
$231K · 2K shares
$230K · 2K shares
$224K · 11K shares
$224K · 1K shares
$220K · 1K shares
$216K · 444 shares
$206K · 1K shares
$203K · 4K shares
$201K · 364 shares
$125K · 11K shares
$20K · 10K shares
$20K · 12K shares

Sector Breakdown

Sector# HoldingsValue%
Technology18$41.3M32.4%
Financial Services37$37.9M29.7%
Healthcare10$9.4M7.4%
Utilities5$9.0M7.0%
Consumer Cyclical8$8.9M7.0%
Industrials10$7.0M5.5%
Unknown7$5.9M4.6%
Energy4$2.7M2.1%
Communication Services3$2.6M2.0%
Consumer Defensive5$2.2M1.7%
Basic Materials1$324K0.3%
Real Estate1$295K0.2%