Synovus Financial

Columbus, GAfiles as SYNOVUS FINANCIAL CORP

$8.7bn in 937 US stocks at the end of 30 September 2025. The top 10 are 42.2% of the money. It changed about 4.6% of the portfolio this quarter.

Value
$8.7bn
Stocks
937
Top 10 share
42.2%
Turnover
4.6%

What changed this quarter

New

Bought for the first time this quarter.

Added

Bought more of a stock they already held.

Cut

Sold some of their stake.

Sold out

Sold their entire stake.

Holdings

  • Ishares TRIWD
    Share
    7.5%
    Value
    $660m
    Shares
    3,240,013

    Held

  • Global PaymentsGPN
    Share
    7.3%
    Value
    $636m
    Shares
    7,653,761

    Held

  • Ishares TRIWF
    Share
    6.5%
    Value
    $569m
    Shares
    1,214,072

    Held

  • Coca-ColaKO
    Share
    5.7%
    Value
    $502m
    Shares
    7,563,920

    Held

  • State STR Spdr S&P 500 ETF TSPY
    Share
    3.4%
    Value
    $300m
    Shares
    449,982

    +3%

  • Synovus Finl
    Share
    3.0%
    Value
    $261m
    Shares
    5,308,777

    Held

  • AppleAAPL
    Share
    2.4%
    Value
    $214m
    Shares
    839,520

    Held

  • MicrosoftMSFT
    Share
    2.2%
    Value
    $191m
    Shares
    369,234

    +4%

  • Vanguard Tax-Managed FDSVEA
    Share
    2.1%
    Value
    $180m
    Shares
    3,008,694

    Held

  • NvidiaNVDA
    Share
    2.0%
    Value
    $176m
    Shares
    944,678

    Held

  • Southern CompanySO
    Share
    1.8%
    Value
    $160m
    Shares
    1,688,686

    Held

  • Ishares TRQUAL
    Share
    1.7%
    Value
    $144m
    Shares
    742,905

    Held

  • Ishares TRIWM
    Share
    1.6%
    Value
    $141m
    Shares
    584,336

    Held

  • Invesco Exchange Traded FD TRSP
    Share
    1.5%
    Value
    $129m
    Shares
    680,638

    +9%

  • AflacAFL
    Share
    1.4%
    Value
    $123m
    Shares
    1,104,430

    Held

  • Ishares TRIWR
    Share
    1.2%
    Value
    $108m
    Shares
    1,122,081

    Held

  • JPMorgan ChaseJPM
    Share
    1.1%
    Value
    $97m
    Shares
    306,472

    +4%

  • AlphabetGOOGL
    Share
    1.0%
    Value
    $89m
    Shares
    365,515

    Held

  • Amazon.comAMZN
    Share
    0.9%
    Value
    $82m
    Shares
    374,753

    Held

  • Eli LillyLLY
    Share
    0.9%
    Value
    $77m
    Shares
    100,668

    Held

  • BroadcomAVGO
    Share
    0.8%
    Value
    $73m
    Shares
    222,319

    Held

  • Spdr Gold TRGLD
    Share
    0.8%
    Value
    $70m
    Shares
    196,558

    Held

  • Home DepotHD
    Share
    0.8%
    Value
    $68m
    Shares
    168,198

    +3%

  • Blackrock ETF Trust IIBINC
    Share
    0.7%
    Value
    $64m
    Shares
    1,203,741

    +5%

  • Ishares TRIJR
    Share
    0.7%
    Value
    $64m
    Shares
    538,538

    -7%

  • Ishares TRGVI
    Share
    0.7%
    Value
    $62m
    Shares
    576,665

    +3%

  • Vanguard Index FDSVOO
    Share
    0.7%
    Value
    $58m
    Shares
    94,529

    +56%

  • Invesco Exchange Traded FD TPRF
    Share
    0.6%
    Value
    $56m
    Shares
    1,233,291

    Held

  • Ishares TREFA
    Share
    0.6%
    Value
    $53m
    Shares
    564,523

    +17%

  • Vanguard Index FDSVTI
    Share
    0.6%
    Value
    $51m
    Shares
    154,364

    +25%

  • OracleORCL
    Share
    0.6%
    Value
    $50m
    Shares
    178,670

    +5%

  • Meta PlatformsMETA
    Share
    0.5%
    Value
    $45m
    Shares
    61,866

    Held

  • Johnson & JohnsonJNJ
    Share
    0.5%
    Value
    $43m
    Shares
    230,188

    +3%

  • ExxonMobil HoldingsXOM
    Share
    0.5%
    Value
    $42m
    Shares
    374,134

    +6%

  • J P Morgan Exchange Traded FJEPI
    Share
    0.4%
    Value
    $39m
    Shares
    686,623

    +6%

  • AlphabetGOOG
    Share
    0.4%
    Value
    $36m
    Shares
    147,132

    +3%

  • Costco WholesaleCOST
    Share
    0.4%
    Value
    $36m
    Shares
    38,449

    Held

  • ChevronCVX
    Share
    0.4%
    Value
    $34m
    Shares
    220,570

    Held

  • Ishares TRSHY
    Share
    0.4%
    Value
    $34m
    Shares
    406,980

    Held

  • Harbor ETF TrustHGER
    Share
    0.4%
    Value
    $31m
    Shares
    1,203,559

    +6%

  • Lockheed MartinLMT
    Share
    0.3%
    Value
    $30m
    Shares
    60,004

    +3%

  • Invesco QQQ TRQQQ
    Share
    0.3%
    Value
    $30m
    Shares
    49,499

    Held

  • McDonald'sMCD
    Share
    0.3%
    Value
    $30m
    Shares
    97,433

    Held

  • Ishares TRDVY
    Share
    0.3%
    Value
    $29m
    Shares
    207,249

    Held

  • VisaV
    Share
    0.3%
    Value
    $29m
    Shares
    86,020

    Held

  • American Centy ETF TRQGRO
    Share
    0.3%
    Value
    $29m
    Shares
    255,814

    +3%

  • AbbVieABBV
    Share
    0.3%
    Value
    $29m
    Shares
    124,959

    Held

  • Vanguard World FDVFH
    Share
    0.3%
    Value
    $28m
    Shares
    216,804

    Held

  • Cisco SystemsCSCO
    Share
    0.3%
    Value
    $27m
    Shares
    399,164

    +2%

  • Bank of AmericaBAC
    Share
    0.3%
    Value
    $27m
    Shares
    520,174

    Held

  • Ishares TRIVV
    Share
    0.3%
    Value
    $26m
    Shares
    38,761

    +3%

  • AT&TT
    Share
    0.3%
    Value
    $25m
    Shares
    899,194

    +7%

  • WalmartWMT
    Share
    0.3%
    Value
    $25m
    Shares
    244,975

    Held

  • Pacer FDS TRCOWZ
    Share
    0.3%
    Value
    $25m
    Shares
    438,690

    +5%

  • Berkshire HathawayBRK-B
    Share
    0.3%
    Value
    $25m
    Shares
    49,645

    +4%

  • RTXRTX
    Share
    0.3%
    Value
    $25m
    Shares
    148,262

    +2%

  • Genuine PartsGPC
    Share
    0.3%
    Value
    $25m
    Shares
    178,726

    Held

  • Procter & GamblePG
    Share
    0.3%
    Value
    $25m
    Shares
    160,127

    +4%

  • Vanguard Star FDSVXUS
    Share
    0.3%
    Value
    $23m
    Shares
    315,641

    +9%

  • International Business MachinesIBM
    Share
    0.3%
    Value
    $23m
    Shares
    81,416

    +2%

  • Ishares TRIEFA
    Share
    0.3%
    Value
    $22m
    Shares
    254,125

    +18%

  • Abbott LaboratoriesABT
    Share
    0.3%
    Value
    $22m
    Shares
    164,218

    +2%

  • CaterpillarCAT
    Share
    0.2%
    Value
    $22m
    Shares
    45,606

    +9%

  • MerckMRK
    Share
    0.2%
    Value
    $22m
    Shares
    256,591

    Held

  • MastercardMA
    Share
    0.2%
    Value
    $21m
    Shares
    37,705

    Held

  • Ishares TRIWP
    Share
    0.2%
    Value
    $19m
    Shares
    136,009

    Held

  • Duke EnergyDUK
    Share
    0.2%
    Value
    $18m
    Shares
    149,310

    +5%

  • EatonETN
    Share
    0.2%
    Value
    $18m
    Shares
    49,166

    +2%

  • Truist FinancialTFC
    Share
    0.2%
    Value
    $18m
    Shares
    393,992

    -7%

  • TJX CompaniesTJX
    Share
    0.2%
    Value
    $18m
    Shares
    122,486

    +3%

  • John Hancock Exchange TradedJHSC
    Share
    0.2%
    Value
    $18m
    Shares
    418,561

    Held

  • Vanguard Specialized FundsVIG
    Share
    0.2%
    Value
    $17m
    Shares
    80,116

    +5%

  • Automatic Data ProcessingADP
    Share
    0.2%
    Value
    $17m
    Shares
    58,784

    Held

  • Goldman Sachs GroupGS
    Share
    0.2%
    Value
    $17m
    Shares
    21,637

    +7%

  • Waste ManagementWM
    Share
    0.2%
    Value
    $17m
    Shares
    77,706

    Held

  • Vanguard Index FDSVUG
    Share
    0.2%
    Value
    $17m
    Shares
    35,593

    -3%

  • Vanguard Index FDSVOT
    Share
    0.2%
    Value
    $17m
    Shares
    57,764

    Held

  • Select Sector Spdr TRXLK
    Share
    0.2%
    Value
    $17m
    Shares
    60,037

    +3%

  • AmgenAMGN
    Share
    0.2%
    Value
    $17m
    Shares
    59,438

    Held

  • IsharesIEMG
    Share
    0.2%
    Value
    $16m
    Shares
    242,981

    +8%

  • Honeywell InternationalHON
    Share
    0.2%
    Value
    $16m
    Shares
    74,433

    Held

  • John Hancock Exchange TradedJHMM
    Share
    0.2%
    Value
    $16m
    Shares
    241,189

    -5%

  • Ishares TRIWN
    Share
    0.2%
    Value
    $16m
    Shares
    87,880

    Held

  • J P Morgan Exchange Traded FJPST
    Share
    0.2%
    Value
    $15m
    Shares
    302,002

    +3%

  • American Centy ETF TRVALQ
    Share
    0.2%
    Value
    $15m
    Shares
    231,907

    Held

  • Palo Alto NetworksPANW
    Share
    0.2%
    Value
    $15m
    Shares
    71,773

    Held

  • EnbridgeENB
    Share
    0.2%
    Value
    $14m
    Shares
    286,240

    Held

  • Verizon CommunicationsVZ
    Share
    0.2%
    Value
    $14m
    Shares
    324,993

    Held

  • Ishares Silver TRSLV
    Share
    0.2%
    Value
    $14m
    Shares
    334,211

    +6%

  • Ishares TRIJH
    Share
    0.2%
    Value
    $14m
    Shares
    216,652

    +8%

  • Bristol-Myers SquibbBMY
    Share
    0.2%
    Value
    $14m
    Shares
    311,763

    +19%

  • Vanguard BD Index FDSBND
    Share
    0.2%
    Value
    $14m
    Shares
    187,881

    Held

  • Darden RestaurantsDRI
    Share
    0.2%
    Value
    $14m
    Shares
    71,140

    Held

  • Travelers CompaniesTRV
    Share
    0.2%
    Value
    $13m
    Shares
    48,300

    +3%

  • Philip Morris InternationalPM
    Share
    0.2%
    Value
    $13m
    Shares
    82,646

    Held

  • PfizerPFE
    Share
    0.1%
    Value
    $13m
    Shares
    512,060

    -3%

  • Blackrock ETF Trust IIBRTR
    Share
    0.1%
    Value
    $13m
    Shares
    250,567

    +93%

  • Taiwan Semiconductor ManufacturingTSM
    Share
    0.1%
    Value
    $13m
    Shares
    45,366

    Held

  • NetflixNFLX
    Share
    0.1%
    Value
    $12m
    Shares
    10,287

    +18%

  • Ishares TRIWO
    Share
    0.1%
    Value
    $12m
    Shares
    38,398

    Held

Showing the largest 100 of 937.

Over time and by industry

Value over time

 
Sep '25

Value is up 7.0% since 30 June 2025.

Where the money is

Financial services13.8%
Technology11.1%
Everyday goods7.7%
Health care4.2%
Industrials4.0%
Retail & consumer3.6%
Media & telecom2.7%
Utilities2.5%
Energy1.5%
Materials0.7%
Real estate0.3%
Other47.8%

From the fund's 13F filings. They list US stocks and options only, 45 days after each quarter, and leave out cash, bonds, shorts and foreign shares.