Pin Oak Investment Advisors Inc Portfolio Stock Holdings

Pin Oak Investment Advisors Inc disclosed 503 stock positions valued at approximately $141,397 in its latest SEC 13F filing. The largest holdings include Kimbell Royalty Partners LP, Apple Inc, and Exxon Mobil Corp. The filing reflects positions held as of March 31, 2026 and was filed on May 15, 2026.

Report Period
March 31, 2026
No. of Stocks
503
Portfolio Value
$141.4K
Holdings by Sector
Pin Oak Investment Advisors Inc Portfolio Holdings in Q1 2026

470 holdings in the latest reporting period.

Page 1 of 5
CompanySymbolSectorPortfolio %SharesChange (Shares)Change %Value
Kimbell Royalty Partners LPKRPEnergy5.91%577,807-2,714-0.47%$8,361
Apple IncAAPLTechnology4.96%27,626-10-0.04%$7,011
Exxon Mobil CorpXOMEnergy4.18%34,849-1,315-3.64%$5,912
Enterprise Prods Part LPEPDEnergy3.55%132,545-5,825-4.21%$5,016
Energy Transfer Partn LPETEnergy3.23%236,540-2,325-0.97%$4,565
TXO Partners LPTXOEnergy3.21%360,533+5,203+1.46%$4,536
Alphabet Inc. Class AGOOGLCommunication Services2.95%14,516-64-0.44%$4,174
Howard Hughes Holdings IncHHHReal Estate2.72%60,900-367-0.60%$3,853
Honeywell Intl IncHONIndustrials2.40%15,038-10-0.07%$3,399
Mach Natural Resource LPMNREnergy2.38%240,057-1,442-0.60%$3,361
Northern Oil And GasNOGEnergy2.29%109,108-605-0.55%$3,238
Eog Resources IncEOGEnergy2.23%21,835-175-0.80%$3,157
Novagold Res Inc FNGBasic Materials2.07%326,150+16,065+5.18%$2,929
Chevron CorpCVXEnergy1.80%12,295+240+1.99%$2,544
Berkshire Hathaway Class BBRK-BFinancial Services1.76%5,204-37-0.71%$2,494
Palantir Technologies In Class APLTRTechnology1.74%16,857-301-1.75%$2,466
SPDR Gold Shares ETFGLDOther1.73%5,696+65+1.15%$2,451
WalMart IncWMTConsumer Defensive1.42%16,177-75-0.46%$2,014
Microsoft CorpMSFTTechnology1.35%5,160+823+18.98%$1,910
Alphabet Inc. Class CGOOGCommunication Services1.34%6,594-36-0.54%$1,892
SPDR S&P 500 ETFSPYOther1.28%2,770-594-17.66%$1,807
Goldman Sachs GroupGSFinancial Services1.23%2,052--$1,736
Johnson & JohnsonJNJHealthcare1.22%7,062-45-0.63%$1,726
Plains GP HLDGSPAGPEnergy1.18%68,910-1,080-1.54%$1,673
Leidos HLDGS IncLDOSTechnology1.12%10,225+9,505+1320.14%$1,590
Nvidia CorpNVDATechnology1.09%8,845+129+1.48%$1,543
Taiwan Semiconductr F Sponsored ADRTSMTechnology1.09%4,533-305-6.30%$1,537
Agnico Eagle Mines FAEMBasic Materials1.04%7,240+1,245+20.77%$1,470
Texas InstrumentsTXNTechnology0.86%6,300-35-0.55%$1,223
Bank Of America CorpBACFinancial Services0.85%24,729--$1,206
Shell PLC F Unsponsored ADRSHELEnergy0.83%12,659-185-1.44%$1,177
Halliburton Co HLDGHALEnergy0.68%24,705--$963
iShares Russell 1000 Growth ETFIWFOther0.68%2,254-1,395-38.23%$961
Amazon.Com Inc Forward SplitAMZNConsumer Cyclical0.65%4,444-241-5.14%$926
Manhattan Associates IncMANHTechnology0.65%6,878-58-0.84%$916
Wells Fargo & CoWFCFinancial Services0.64%11,297-15-0.13%$899
Westrn Asst High Incm OpHIOFinancial Services0.60%233,058-1,250-0.53%$846
JPMorgan Chase & CoJPMFinancial Services0.59%2,826-226-7.40%$831
Strive 500 ETFSTRVOther0.57%19,135-3,306-14.73%$803
Analog Devices IncADITechnology0.57%2,521--$802
Blackstone IncBXFinancial Services0.53%6,557+388+6.29%$754
Kinder Morgan IncKMIEnergy0.51%21,638+7,800+56.37%$726
Berkshire Hathaway Inc Class ABRK-AFinancial Services0.51%1--$718
Invsc QQQ Trust SRS 1 ETFQQQOther0.50%1,231-171-12.20%$710
Pfizer IncPFEHealthcare0.48%24,236-308-1.25%$681
ConocophillipsCOPEnergy0.47%5,021--$663
Intel CorpINTCTechnology0.43%13,876--$612
Abbvie IncABBVHealthcare0.43%2,815--$612
Cisco Systems IncCSCOTechnology0.42%7,607--$590
Plains All American P LPPAAEnergy0.42%26,431-1,000-3.65%$590
Eaton Vance Limited DuraXEVVXOther0.42%62,173-1,135-1.79%$588
Putnam Premier Income CFPPTFinancial Services0.41%162,520-1,350-0.82%$577
Siriusxm HLDGS IncSIRIConsumer Discretionary0.40%24,759-267-1.07%$571
Robinhood MKTS Inc Class Class AHOODFinancial Services0.40%8,142-196-2.35%$564
Lowes Companies IncLOWConsumer Cyclical0.39%2,344-33-1.39%$554
Abrdn Physical Platinum Shares ETFPPLTOther0.38%3,001--$535
iShares Silver Trust ETFSLVOther0.36%7,445--$507
BlackRock Credit AllocatBTZFinancial Services0.36%49,680-450-0.90%$502
Antero Resources CorAREnergy0.35%11,675--$495
Goodyear Tire RubberGTConsumer Cyclical0.35%74,455-600-0.80%$494
Raytheon Technologies CoRTXIndustrials0.34%2,497--$482
Doubleline Income SolutiDSLFinancial Services0.34%44,240--$479
Marathon Pete CorpMPCEnergy0.32%1,837--$449
Broadcom IncAVGOTechnology0.31%1,406+184+15.06%$435
Aberdeen Income Credit Strategies FundACPFinancial Services0.31%85,049--$434
GE Vernova IncGEVUtilities0.30%483--$422
TravelersTRVFinancial Services0.29%1,395-350-20.06%$407
Merck & Co. Inc.MRKHealthcare0.28%3,266-307-8.59%$396
Valero Energy CorpVLOEnergy0.28%1,584--$391
Meta Platforms Inc Class AMETACommunication Services0.27%675+50+8.00%$386
Lockheed Martin CorpLMTIndustrials0.26%601--$363
Vanguard FTSE Developed Markets ETFVEAOther0.25%5,454-105-1.89%$349
Boeing CoBAIndustrials0.24%1,735--$345
Tesla MotorsTSLAConsumer Cyclical0.24%924+17+1.87%$343
General Electric CoGEIndustrials0.24%1,208--$343
Ameriprise FinlAMPFinancial Services0.23%746--$332
Williams Cos IncWMBEnergy0.23%4,445+4,000+898.88%$324
iShares Gold ETFIAUOther0.23%3,636--$321
Occidental Petrol CoOXYEnergy0.22%4,668--$305
BlackRock Inc NewBLKOther0.21%315--$303
A T & T IncTCommunication Services0.21%10,026--$291
General Dynamics CoGDIndustrials0.20%830--$285
MFS Intermediate High Income FundCIFFinancial Services0.20%171,400--$278
America Movil Sab F Sponsored ADRAMXCommunication Services0.20%10,850--$276
Goldman Sachs Access Treasury 0-1 YR ETFGBILOther0.20%2,750--$276
Oracle CorpORCLTechnology0.19%1,866+1+0.05%$275
BP PLC F Sponsored ADRBPEnergy0.19%5,736--$270
Kayne Anderson Energy InKYNFinancial Services0.18%17,918-940-4.98%$256
Deere & CoDEIndustrials0.18%450--$254
Technology Select Sector SPDR ETFXLKOther0.18%1,872-100-5.07%$249
Northrop GrummanNOCIndustrials0.17%352--$240
CaterpillarCATIndustrials0.17%332--$235
The Coca-Cola CoKOConsumer Defensive0.16%2,961--$227
Walt Disney CoDISCommunication Services0.16%2,302--$222
Pepsico IncPEPConsumer Defensive0.15%1,402--$218
Abbott LaboratoriesABTHealthcare0.15%2,115--$217
Schwab US Large Cap ETFSCHXOther0.15%8,457--$217
Home Depot IncHDConsumer Cyclical0.15%661--$217
Brookfield Corp F Class ABNFinancial Services0.15%5,323--$215
Vanguard S&P 500 ETFVOOOther0.15%349+30+9.40%$209