Reliant Investment Management, Llc Portfolio Stock Holdings

Reliant Investment Management, Llc disclosed 55 stock positions valued at approximately $280.5 million in its latest SEC 13F filing. The largest holdings include BROADCOM INC, QUANTA SVCS INC, and ALPHABET INC. The filing reflects positions held as of June 30, 2026 and was filed on July 15, 2026.

Report Period
June 30, 2026
No. of Stocks
55
Portfolio Value
$280.5M
Holdings by Sector
Reliant Investment Management, Llc Portfolio Holdings in Q2 2026

54 holdings in the latest reporting period.

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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
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
SLB LIMITEDSLBEnergy1.74%104,861+98,035+1436.20%$4,874,988
PROCTER & GAMBLE COPGConsumer Defensive0.56%10,643-123-1.14%$1,560,690
EXXON MOBIL CORPXOMEnergy0.51%10,479-261-2.43%$1,432,689
MICROSOFT CORPMSFTTechnology0.39%2,933+403+15.93%$1,094,068
CISCO SYS INCCSCOTechnology0.29%6,876-300-4.18%$807,655
BLOOM ENERGY CORPBEIndustrials0.28%2,586--$782,782
COHERENT CORPCOHRTechnology0.25%1,780-10-0.56%$702,157
ELI LILLY & COLLYHealthcare0.23%544+8+1.49%$652,490
CORE SCIENTIFIC INC NEWCORZTechnology0.19%21,000-23,501-52.81%$537,390
TESLA INCTSLAConsumer Cyclical0.17%1,145+32+2.88%$481,587
BERKSHIRE HATHAWAY INC DELBRK-BFinancial Services0.15%845--$422,830
COLGATE PALMOLIVE COCLConsumer Defensive0.12%3,800--$348,384
PEPSICO INCPEPConsumer Defensive0.12%2,557+502+24.43%$346,218
MARSH & MCLENNAN COS INCMMCFinancial Services0.12%2,066--$344,340
NATIONAL HEALTHCARE CORPNHCHealthcare0.11%1,400--$295,904
JPMORGAN CHASE & COJPMFinancial Services0.10%887--$290,342
COSTCO WHOLESALE CORPORATIONCOSTConsumer Defensive0.10%300--$280,641
MERCK & CO INCMRKHealthcare0.10%2,089-222-9.61%$268,436
REGIONS FINANCIAL CORP NEWRFFinancial Services0.09%8,000--$241,600
MOODYS CORPMCOFinancial Services0.09%528--$239,142
TRUIST FINL CORPTFCFinancial Services0.08%4,760+4,760+100.00%$237,143
VISA INCVFinancial Services0.08%680-177-20.65%$233,301
SERVICENOW INCNOWTechnology0.08%2,295+2,295+100.00%$227,848
DIAMONDBACK ENERGY INCFANGEnergy0.08%1,275-35-2.67%$224,119
AUTOMATIC DATA PROCESSING INADPTechnology0.08%1,000-9-0.89%$223,950