Reliant Investment Management, Llc Portfolio Stock Holdings

According to the SEC 13F filed on July 15, 2026, Reliant Investment Management, Llc disclosed 55 stock positions valued at approximately $280.55M as of quarter-end June 30, 2026. The largest holdings include BROADCOM INC, QUANTA SVCS INC, and ALPHABET INC.

Report Period
June 30, 2026
No. of Stocks
55
Portfolio Value
$280.55M
Holdings by Sector
Reliant Investment Management, Llc Portfolio Holdings in Q2 2026
CompanySymbolSectorPortfolio %SharesChange (Shares)Change %Value
BROADCOM INCAVGOTechnology7.33%54,427-1,325-2.38%$20,559,799
QUANTA SVCS INCPWRIndustrials6.40%24,950-1,277-4.87%$17,964,998
ALPHABET INCGOOGLCommunication Services6.03%47,312-633-1.32%$16,907,889
CATERPILLAR INCCATIndustrials5.34%14,074-346-2.40%$14,987,403
AMPHENOL CORPAPHTechnology4.70%74,728-164-0.22%$13,176,041
CROWDSTRIKE HLDGS INCCRWDTechnology4.67%17,169+58+0.34%$13,102,351
APPLE INCAAPLTechnology4.47%43,367-348-0.80%$12,548,554
GOLDMAN SACHS GROUP INCGSFinancial Services3.46%9,596+45+0.47%$9,705,107
EATON CORP PLCETNOther3.40%22,397+162+0.73%$9,543,810
LINDE PLCLINOther3.22%17,434+56+0.32%$9,047,200
AMERICAN EXPRESS COAXPFinancial Services3.20%26,535-16-0.06%$8,975,464
AMAZON COM INCAMZNConsumer Cyclical3.17%37,340+63+0.17%$8,899,616
INTERNATIONAL BUSINESS MACHSIBMTechnology2.74%27,352+3,114+12.85%$7,691,656
ARAMARKARMKIndustrials2.49%122,970+122,970+100.00%$6,996,993
HUBBELL INCHUBBIndustrials2.46%13,202+190+1.46%$6,907,286
CBRE GROUP INCCBREReal Estate2.41%50,235+404+0.81%$6,766,152
HOME DEPOT INCHDConsumer Cyclical2.40%19,095+184+0.97%$6,734,425
WALMART INCWMTConsumer Defensive2.36%58,484+209+0.36%$6,623,898
PINNACLE FINL PARTNERS INCPNFPOther2.21%61,435+678+1.12%$6,197,563
THERMO FISHER SCIENTIFIC INCTMOHealthcare2.15%12,047-48-0.40%$6,039,884
CURTISS WRIGHT CORPCWIndustrials2.07%7,652+7,652+100.00%$5,798,380
FIRST HORIZON CORPORATIONFHNFinancial Services2.04%223,490+223,490+100.00%$5,730,284
L3HARRIS TECHNOLOGIES INCLHXIndustrials2.00%19,355+615+3.28%$5,624,369
QUEST DIAGNOSTICS INCDGXHealthcare1.95%25,810+25,810+100.00%$5,470,429
CHEVRON CORPORATIONCVXEnergy1.93%32,688+30,870+1698.02%$5,418,363
NVIDIA CORPORATIONNVDATechnology1.90%26,612+24,105+961.51%$5,324,795
CANADIAN PACIFIC KANSAS CITYCPIndustrials1.90%61,400+61,400+100.00%$5,320,310
CONOCOPHILLIPSCOPEnergy1.87%50,441+46,795+1283.46%$5,243,846
CRH PLCCRHOther1.84%48,355+48,355+100.00%$5,173,985
STRYKER CORPORATIONSYKHealthcare1.75%15,622+20+0.13%$4,918,430
Showing 30 of 55 holdings in the latest reporting period.