Segment Wealth Management 13F annual report

Segment Wealth Management is an investment fund managing more than $1.28 trillion ran by Gwen Wilmeth. There are currently 199 companies in Mrs. Wilmeth’s portfolio. The largest investments include Vanguard Index Fds and Berkshire Hathaway, together worth $213 billion.

Limited to 30 biggest holdings

$1.28 trillion Assets Under Management (AUM)

As of 17th April 2024, Segment Wealth Management’s top holding is 431,228 shares of Vanguard Index Fds currently worth over $106 billion and making up 8.3% of the portfolio value. In addition, the fund holds 145,456 shares of Berkshire Hathaway worth $106 billion, whose value grew 18.4% in the past six months. The third-largest holding is Sp Global Inc worth $46.7 billion and the next is Broadcom worth $32 billion, with 24,159 shares owned.

Currently, Segment Wealth Management's portfolio is worth at least $1.28 trillion. The total portfolio value may be much higher due to cash assets that are not publicly disclosed such as fixed income, real estate, or cash equivalents.

Careers at Segment Wealth Management

The Segment Wealth Management office and employees reside in Houston, Texas. According to the last 13-F report filed with the SEC, Gwen Wilmeth serves as the Chief Compliance Officer at Segment Wealth Management.

Recent trades

In the most recent 13F filing, Segment Wealth Management revealed that it had opened a new position in Schwab Strategic Tr and bought 291,815 shares worth $23.5 billion.

The investment fund also strengthened its position in Vanguard Index Fds by buying 32,023 additional shares. This makes their stake in Vanguard Index Fds total 431,228 shares worth $106 billion.

On the other hand, there are companies that Segment Wealth Management is getting rid of from its portfolio. Segment Wealth Management closed its position in Air Prods Chems Inc on 24th April 2024. It sold the previously owned 39,462 shares for $11.2 billion. Gwen Wilmeth also disclosed a decreased stake in Broadcom by approximately 0.1%. This leaves the value of the investment at $32 billion and 24,159 shares.

One of the largest hedge funds

The two most similar investment funds to Segment Wealth Management are Angeles Investment Advisors and Nbt Bank N A ny. They manage $1.28 trillion and $1.28 trillion respectively.


Gwen Wilmeth investment strategy

Segment Wealth Management’s portfolio is diversified across 13 sectors. Currently, their heaviest sector is Finance — making up 12.1% of the total portfolio value. The fund focuses on investments in the United States as 52.3% of the portfolio companies are based in the United States.

The majority of the companies in the fund’s portfolio are large-cap stocks. Stocks with a size of more than $10 billion in market cap make up 47% of the total holdings value. On the other hand, small-cap stocks make up only 2.0% of the portfolio. The average market cap of the portfolio companies is close to $142 billion.

The complete list of Segment Wealth Management trades based on 13F SEC filings

These positions were updated on April 24th based on the fund’s latest 13F filing. Quickly find out what the most recently closed or increased positions are.

Security Shares Owned Value Allocation
Vanguard Index Fds
8.02%
431,228
$106,458,425,000 8.33%
Berkshire Hathaway Inc.
6.00%
145,456
$106,182,540,000 8.31%
Sp Global Inc
362.29%
109,780
$46,706,020,000 3.65%
Broadcom Inc.
6.72%
24,159
$32,020,001,000 2.50%
Microsoft Corporation
5.53%
67,649
$28,461,121,000 2.23%
Apple Inc
0.57%
152,388
$26,131,479,000 2.04%
Schwab Strategic Tr
Opened
291,815
$23,529,043,000 1.84%
Asml Holding N V
8.07%
24,217
$23,501,872,000 1.84%
Exxon Mobil Corp.
2.06%
169,120
$19,658,494,000 1.54%
Intuit Inc
7.64%
30,217
$19,641,104,000 1.54%
Novo-nordisk A S
4.22%
152,650
$19,600,260,000 1.53%
Spdr Sp 500 Etf Tr
1.83%
35,195
$18,409,668,000 1.44%
Stryker Corp.
7.36%
50,607
$18,110,652,000 1.42%
Home Depot, Inc.
7.40%
46,543
$17,853,857,000 1.40%
Visa Inc
8.85%
63,104
$17,611,071,000 1.38%
Cintas Corporation
5.16%
25,606
$17,591,948,000 1.38%
NVIDIA Corp
9.68%
19,450
$17,574,510,000 1.37%
Mckesson Corporation
6.70%
30,933
$16,606,328,000 1.30%
Garmin Ltd
7.17%
108,446
$16,144,413,000 1.26%
Marsh Mclennan Cos Inc
6.65%
78,068
$16,080,460,000 1.26%
Costco Whsl Corp New
8.02%
21,301
$15,605,981,000 1.22%
Walmart Inc
221.36%
259,024
$15,585,486,000 1.22%
Parker-Hannifin Corp.
7.64%
27,820
$15,462,323,000 1.21%
Allstate Corp (The)
7.41%
86,257
$14,923,343,000 1.17%
Sherwin-Williams Co.
7.46%
42,773
$14,856,353,000 1.16%
Unitedhealth Group Inc
6.16%
29,827
$14,755,504,000 1.15%
Danaher Corp.
13.21%
57,541
$14,369,166,000 1.12%
Eog Res Inc
10.06%
111,824
$14,295,563,000 1.12%
Automatic Data Processing In
5.75%
57,103
$14,260,869,000 1.12%
Mcdonalds Corp
8.03%
49,377
$13,921,947,000 1.09%
Accenture Plc Ireland
9.28%
40,134
$13,910,846,000 1.09%
Diamondback Energy Inc
3,025.90%
68,301
$13,535,209,000 1.06%
Caterpillar Inc.
1,576.23%
36,525
$13,383,870,000 1.05%
Motorola Solutions Inc
8.46%
37,580
$13,340,097,000 1.04%
Union Pac Corp
8.97%
52,858
$12,999,309,000 1.02%
Texas Instrs Inc
8.22%
73,149
$12,743,329,000 1.00%
Linde Plc.
Opened
27,267
$12,660,613,000 0.99%
Marriott Intl Inc New
1.90%
49,555
$12,503,173,000 0.98%
Vanguard Specialized Funds
2.82%
62,347
$11,385,151,000 0.89%
Air Prods Chems Inc
Closed
39,462
$11,183,625,000
Equinix Inc
Opened
13,405
$11,063,549,000 0.87%
Invesco Exchange Traded Fd T
4.55%
261,715
$11,531,832,000 0.90%
Ishares Tr
Opened
363,423
$13,191,353,000 1.03%
Carrier Global Corporation
8.36%
181,328
$10,540,624,000 0.82%
Gallagher Arthur J Co
8.11%
41,530
$10,384,147,000 0.81%
Old Dominion Freight Line In
1,694.71%
46,483
$10,194,187,000 0.80%
Nike, Inc.
12.66%
106,169
$9,977,807,000 0.78%
Roper Technologies Inc
8.72%
17,747
$9,953,012,000 0.78%
Ishares Tr
1.30%
805,864
$59,368,224,000 4.64%
Amphenol Corp.
6.39%
75,344
$8,690,981,000 0.68%
Zoetis Inc
573.61%
50,979
$8,626,157,000 0.67%
Goldman Sachs Group, Inc.
5.77%
20,409
$8,524,487,000 0.67%
Principal Exchange Traded Fd
0.94%
150,007
$7,704,354,000 0.60%
American Tower Corp.
Closed
45,735
$7,521,180,000
Enterprise Prods Partners L
0.78%
244,795
$7,143,118,000 0.56%
Intercontinental Exchange In
10.19%
46,964
$6,454,325,000 0.50%
Prologis Inc
26.93%
49,490
$6,444,588,000 0.50%
Apollo Global Mgmt Inc
1.99%
56,728
$6,379,064,000 0.50%
Alphabet Inc
21.85%
61,228
$9,295,977,000 0.73%
Amazon.com Inc.
4.02%
33,167
$5,982,663,000 0.47%
Select Sector Spdr Tr
5.71%
98,232
$13,396,064,000 1.05%
Lpl Finl Hldgs Inc
33.91%
20,381
$5,384,660,000 0.42%
Spdr Ser Tr
24.65%
104,197
$5,248,638,000 0.41%
Macom Tech Solutions Hldgs I
20.72%
51,639
$4,938,754,000 0.39%
Quanta Svcs Inc
20.78%
17,702
$4,598,980,000 0.36%
Chevron Corp.
68.63%
28,853
$4,551,286,000 0.36%
Ishares Inc
3.69%
138,534
$8,273,453,000 0.65%
Spdr Sp Midcap 400 Etf Tr
3.94%
7,561
$4,206,940,000 0.33%
Coterra Energy Inc
7.53%
133,704
$3,727,677,000 0.29%
Spdr Gold Tr
3.47%
16,860
$3,468,439,000 0.27%
Wisdomtree Tr
3.53%
157,338
$5,528,569,000 0.43%
Thermo Fisher Scientific Inc.
11.66%
5,342
$3,104,881,000 0.24%
Jpmorgan Chase Co
14.20%
15,458
$3,096,237,000 0.24%
Mastercard Incorporated
21.58%
5,712
$2,750,728,000 0.22%
Salesforce Inc
33.76%
8,581
$2,584,426,000 0.20%
Advanced Micro Devices Inc.
13.74%
12,151
$2,193,134,000 0.17%
Main Str Cap Corp
2.07%
42,940
$2,031,493,000 0.16%
Schwab Strategic Tr
0.52%
47,651
$3,367,605,000 0.26%
Lam Research Corp.
113.65%
2,051
$1,992,690,000 0.16%
Intuitive Surgical Inc
26.99%
4,931
$1,967,913,000 0.15%
Vanguard Index Fds
Opened
8,325
$1,962,952,000 0.15%
Stellar Bancorp Inc
0.08%
79,739
$1,942,438,000 0.15%
Arista Networks Inc
Opened
6,533
$1,894,439,000 0.15%
Merck Co Inc
61.96%
14,235
$1,878,316,000 0.15%
Enlink Midstream LLC
19.40%
136,696
$1,864,531,000 0.15%
APA Corporation
1.11%
52,981
$1,821,487,000 0.14%
Copart, Inc.
Opened
30,744
$1,780,692,000 0.14%
Crowdstrike Holdings Inc
Opened
5,532
$1,773,504,000 0.14%
MSCI Inc
42.68%
3,156
$1,768,780,000 0.14%
Vertex Pharmaceuticals, Inc.
58.57%
4,183
$1,748,536,000 0.14%
Aptiv PLC
Closed
17,391
$1,714,579,000
U.S. Silica Holdings Inc
No change
134,050
$1,663,561,000 0.13%
Phillips 66
120.83%
9,966
$1,627,765,000 0.13%
Adobe Inc
25.56%
3,218
$1,623,803,000 0.13%
Blackstone Inc
0.81%
12,260
$1,610,596,000 0.13%
Procter And Gamble Co
9.97%
9,863
$1,600,272,000 0.13%
Atlassian Corporation
0.94%
8,015
$1,563,807,000 0.12%
Spdr Ser Tr
Opened
32,690
$1,539,699,000 0.12%
Lockheed Martin Corp.
18.49%
3,337
$1,517,901,000 0.12%
Pepsico Inc
28.85%
8,459
$1,480,410,000 0.12%
Conocophillips
38.73%
11,559
$1,471,284,000 0.12%
Booking Holdings Inc
31.68%
399
$1,447,524,000 0.11%
Marathon Pete Corp
1.90%
7,083
$1,427,225,000 0.11%
DraftKings Inc.
Opened
29,650
$1,346,407,000 0.11%
First Tr Exchange Traded Fd
2.43%
13,825
$1,321,670,000 0.10%
Lululemon Athletica inc.
29.21%
3,331
$1,301,255,000 0.10%
Coca-Cola Co
7.20%
21,096
$1,290,647,000 0.10%
Veralto Corp
Opened
14,277
$1,265,804,000 0.10%
Invesco Exch Trd Slf Idx Fd
26.83%
463,770
$9,582,620,000 0.75%
Vontier Corporation
Opened
26,060
$1,182,082,000 0.09%
Waste Mgmt Inc Del
0.13%
5,517
$1,175,949,000 0.09%
Eli Lilly Co
15.96%
1,482
$1,152,937,000 0.09%
Vanguard Whitehall Fds
1.32%
13,868
$1,130,658,000 0.09%
Williams Cos Inc
125.94%
27,228
$1,061,075,000 0.08%
NextEra Energy Inc
89.65%
15,940
$1,018,725,000 0.08%
Invesco Exch Trd Slf Idx Fd
Closed
72,434
$1,541,560,000
Abbvie Inc
39.23%
5,359
$975,874,000 0.08%
Valero Energy Corp.
85.77%
5,666
$967,130,000 0.08%
Generac Holdings Inc
Closed
8,436
$919,187,000
Kkr Co Inc
No change
8,850
$890,133,000 0.07%
Oneok Inc.
2.30%
10,982
$880,432,000 0.07%
Wells Fargo Co New
Opened
14,741
$854,388,000 0.07%
Meta Platforms Inc
53.60%
1,728
$839,082,000 0.07%
Public Storage
1.58%
2,858
$828,991,000 0.06%
Ishares Tr
Closed
53,449
$1,290,941,000
Pure Storage Inc
No change
15,798
$821,338,000 0.06%
Select Sector Spdr Tr
Opened
5,477
$809,117,000 0.06%
Duke Energy Corp.
1.38%
8,160
$789,154,000 0.06%
Snowflake Inc.
Closed
5,163
$788,752,000
Idex Corporation
No change
3,221
$785,988,000 0.06%
Brookfield Corp
82.83%
18,272
$765,049,000 0.06%
Vertex Energy Inc
No change
538,775
$754,285,000 0.06%
Dollar Gen Corp New
19.59%
4,816
$751,585,000 0.06%
Pioneer Nat Res Co
13.74%
2,862
$751,275,000 0.06%
Cummins Inc.
Opened
2,491
$733,973,000 0.06%
Netflix Inc.
13.44%
1,198
$727,581,000 0.06%
Discover Finl Svcs
Opened
5,500
$720,995,000 0.06%
Nucor Corp.
4.57%
3,551
$702,743,000 0.05%
Illinois Tool Wks Inc
24.91%
2,596
$696,546,000 0.05%
Emerson Elec Co
Opened
6,093
$691,068,000 0.05%
Enbridge Inc
No change
17,266
$624,684,000 0.05%
Lowes Cos Inc
10.67%
2,186
$556,840,000 0.04%
Paychex Inc.
16.93%
4,497
$552,232,000 0.04%
Abbott Labs
10.99%
4,566
$518,946,000 0.04%
United Parcel Service, Inc.
17.02%
3,404
$505,963,000 0.04%
Republic Svcs Inc
0.94%
2,577
$493,341,000 0.04%
Alps Etf Tr
12.65%
10,375
$492,398,000 0.04%
Kenvue Inc
Closed
24,502
$492,000,000
Ameriprise Finl Inc
Opened
1,101
$482,722,000 0.04%
Broadridge Finl Solutions In
No change
2,244
$459,706,000 0.04%
Proshares Tr
7.97%
7,395
$455,236,000 0.04%
Invesco Exch Traded Fd Tr Ii
0.66%
6,520
$429,493,000 0.03%
Sysco Corp.
9.08%
5,287
$429,180,000 0.03%
Humana Inc.
Closed
878
$427,165,000
World Gold Tr
No change
9,500
$418,475,000 0.03%
Invesco Exch Trd Slf Idx Fd
Opened
39,010
$703,991,000 0.06%
Honeywell International Inc
96.30%
2,032
$417,068,000 0.03%
Constellation Energy Corp
No change
2,239
$413,879,000 0.03%
Devon Energy Corp.
24.14%
8,152
$409,067,000 0.03%
Johnson Johnson
96.18%
2,552
$403,690,000 0.03%
Northrop Grumman Corp.
No change
836
$400,160,000 0.03%
Ecolab, Inc.
11.01%
1,705
$393,685,000 0.03%
Marathon Oil Corporation
77.17%
13,890
$393,643,000 0.03%
ServiceNow Inc
Opened
509
$388,062,000 0.03%
Carlyle Group Inc (The)
No change
8,200
$384,662,000 0.03%
Ametek Inc
Opened
2,090
$382,261,000 0.03%
Vertiv Holdings Co
Opened
4,675
$381,807,000 0.03%
Cigna Group (The)
Opened
1,027
$372,996,000 0.03%
Cal-Maine Foods, Inc.
Opened
6,321
$371,991,000 0.03%
General Electric Co
Opened
2,047
$359,310,000 0.03%
Occidental Pete Corp
20.65%
5,405
$351,271,000 0.03%
Viper Energy Inc
Opened
8,850
$340,371,000 0.03%
Lamar Advertising Co
No change
2,780
$331,960,000 0.03%
Medtronic Plc
Closed
4,131
$323,705,000
Carmax Inc
Opened
3,589
$312,638,000 0.02%
TC Energy Corporation
Closed
8,932
$307,350,000
Oracle Corp.
4.58%
2,415
$303,348,000 0.02%
Murphy USA Inc
No change
693
$290,506,000 0.02%
Travelers Companies Inc.
Opened
1,234
$283,993,000 0.02%
Entergy Corp.
1.61%
2,653
$280,369,000 0.02%
Ares Capital Corp
No change
12,998
$270,618,000 0.02%
Littelfuse, Inc.
No change
1,081
$261,980,000 0.02%
AMGEN Inc.
Opened
901
$256,172,000 0.02%
Target Corp
Opened
1,435
$254,238,000 0.02%
SPX Technologies Inc
Opened
2,000
$246,260,000 0.02%
Morgan Stanley
Opened
2,615
$246,228,000 0.02%
Tesla Inc
74.44%
1,397
$245,579,000 0.02%
Invesco Exchange Traded Fd T
Opened
4,830
$244,881,000 0.02%
Chubb Limited
Opened
943
$244,360,000 0.02%
Kinder Morgan Inc
6.45%
13,252
$243,042,000 0.02%
Becton Dickinson Co
Closed
938
$242,501,000
Ishares Silver Tr
No change
10,600
$241,150,000 0.02%
Deere Co
28.85%
587
$241,104,000 0.02%
Expedia Group Inc
Opened
1,746
$240,512,000 0.02%
Independent Bank Group Inc
Opened
5,141
$234,708,000 0.02%
Exelon Corp.
No change
6,191
$232,596,000 0.02%
RTX Corp
Closed
3,223
$231,959,000
Kimberly-Clark Corp.
Opened
1,788
$231,278,000 0.02%
Flotek Inds Inc Del
Opened
61,420
$229,711,000 0.02%
Bhp Group Ltd
Opened
3,895
$224,703,000 0.02%
Trane Technologies plc
Opened
730
$219,146,000 0.02%
Analog Devices Inc.
Opened
1,102
$217,965,000 0.02%
Intel Corp.
Closed
6,065
$215,611,000
Bank America Corp
Opened
5,681
$215,424,000 0.02%
TechnipFMC plc
Opened
8,500
$213,435,000 0.02%
Iron Mtn Inc Del
Opened
2,600
$208,546,000 0.02%
Viper Energy Inc
Closed
7,400
$206,312,000
Hartford Finl Svcs Group Inc
Opened
2,000
$206,100,000 0.02%
Proshares Tr
Opened
2,001
$202,873,000 0.02%
Disney Walt Co
41.18%
1,648
$201,690,000 0.02%
Ford Mtr Co Del
5.15%
10,752
$142,787,000 0.01%
Direxion Shs Etf Tr
Opened
15,079
$122,291,000 0.01%
Veru Inc
No change
60,000
$42,006,000 0.00%
United States Antimony Corp.
No change
25,300
$6,325,000 0.00%
No transactions found
Showing first 500 out of 214 holdings