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.
- American Centy ETF TRAVDE<0.1% of the fund
- SouthState BankSSB<0.1% of the fund
- FabrinetFN<0.1% of the fund
- Schwab Strategic TRFNDE<0.1% of the fund
- CarMaxKMX<0.1% of the fund
- KeycorpKEY<0.1% of the fund
- Evolv Technologies HoldingsEVLV<0.1% of the fund
- Janus Detroit STR TRJAAA<0.1% of the fund
- Harbor ETF TrustMEDI<0.1% of the fund
- Standex InternationalSXI<0.1% of the fund
- ACI WorldwideACIW<0.1% of the fund
- Lattice SemiconductorLSCC<0.1% of the fund
- Ryanair HoldingsRYAAY<0.1% of the fund
- NiceNICE<0.1% of the fund
- PAR TechnologyPAR<0.1% of the fund
- First TR Exchange Traded FDFTHI<0.1% of the fund
- Carpenter TechnologyCRS<0.1% of the fund
- Pg&ePCG<0.1% of the fund
- TCW ETF TrustFLXR<0.1% of the fund
- Antero ResourcesAR<0.1% of the fund
- First TR Exchange-Traded FDFGD<0.1% of the fund
- First TR Exchange-Traded FDIGLD<0.1% of the fund
- Flexshares TRTDTT<0.1% of the fund
- First TR Exchange-Traded FDHYLS<0.1% of the fund
- Ishares TREFV<0.1% of the fund
Added
Bought more of a stock they already held.
- State STR Spdr S&P 500 ETF TSPY3.4% of the fund+3%
- MicrosoftMSFT2.2% of the fund+4%
- Invesco Exchange Traded FD TRSP1.5% of the fund+9%
- JPMorgan ChaseJPM1.1% of the fund+4%
- Home DepotHD0.8% of the fund+3%
- Blackrock ETF Trust IIBINC0.7% of the fund+5%
- Ishares TRGVI0.7% of the fund+3%
- Vanguard Index FDSVOO0.7% of the fund+56%
- Ishares TREFA0.6% of the fund+17%
- Vanguard Index FDSVTI0.6% of the fund+25%
- OracleORCL0.6% of the fund+5%
- Johnson & JohnsonJNJ0.5% of the fund+3%
- ExxonMobil HoldingsXOM0.5% of the fund+6%
- J P Morgan Exchange Traded FJEPI0.4% of the fund+6%
- AlphabetGOOG0.4% of the fund+3%
- Harbor ETF TrustHGER0.4% of the fund+6%
- Lockheed MartinLMT0.3% of the fund+3%
- American Centy ETF TRQGRO0.3% of the fund+3%
- Cisco SystemsCSCO0.3% of the fund+2%
- Ishares TRIVV0.3% of the fund+3%
- AT&TT0.3% of the fund+7%
- Pacer FDS TRCOWZ0.3% of the fund+5%
- Berkshire HathawayBRK-B0.3% of the fund+4%
- RTXRTX0.3% of the fund+2%
- Procter & GamblePG0.3% of the fund+4%
Cut
Sold some of their stake.
- Ishares TRIJR0.7% of the fund-7%
- Truist FinancialTFC0.2% of the fund-7%
- Vanguard Index FDSVUG0.2% of the fund-3%
- John Hancock Exchange TradedJHMM0.2% of the fund-5%
- PfizerPFE0.1% of the fund-3%
- TeslaTSLA0.1% of the fund-8%
- PepsiCoPEP0.1% of the fund-3%
- NextEra EnergyNEE0.1% of the fund-3%
- Ishares TRPFF0.1% of the fund-4%
- AdobeADBE0.1% of the fund-2%
- Vaneck ETF TrustGDX0.1% of the fund-29%
- UnitedHealth GroupUNH0.1% of the fund-24%
- Caseys General StoresCASY0.1% of the fund-4%
- Applied MaterialsAMAT0.1% of the fund-7%
- Mondelez InternationalMDLZ<0.1% of the fund-3%
- Sony GroupSONY<0.1% of the fund-5%
- Vanguard Index FDSVO<0.1% of the fund-5%
- First TR Exchng Traded FD VIBUFG<0.1% of the fund-3%
- FiservFISV<0.1% of the fund-3%
- Spdr Series TrustSPTS<0.1% of the fund-8%
- First TR Exchange-Traded FDKNG<0.1% of the fund-63%
- GSKGSK<0.1% of the fund-29%
- AmphenolAPH<0.1% of the fund-16%
- Regions FinancialRF<0.1% of the fund-2%
- Wells Fargo & CompanyWFC<0.1% of the fund-5%
Sold out
Sold their entire stake.
- Southstate-100%
- Invesco Exchange Traded FD TPBP-100%
- Ansys-100%
- Blueprint Medicines-100%
- Lantheus HoldingsLNTH-100%
- Campbell'sCPB-100%
- Nu HoldingsNU-100%
- Azek-100%
- OGE EnergyOGE-100%
- Old Dominion Freight LineODFL-100%
- Silicon LaboratoriesSLAB-100%
- Ishares U S ETF TRNEAR-100%
- InterparfumsIPAR-100%
- LKQLKQ-100%
- CenteneCNC-100%
- Medpace HoldingsMEDP-100%
- Spdr Index SHS FDSSPEM-100%
- AtlassianTEAM-100%
- Arrow ElectronicsARW-100%
- Ssga Active TRFISR-100%
- Ssga Active TRXLSR-100%
- GracoGGG-100%
- Spdr Series TrustJNK-100%
- Graphic Packaging HoldingGPK-100%
- Ssga Active ETF TRSRLN-100%
Holdings
- Ishares TRIWD
- Share
- 7.5%
- Value
- $660m
- Shares
- 3,240,013
Held
- Ishares TRIWF
- Share
- 6.5%
- Value
- $569m
- Shares
- 1,214,072
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
- Vanguard Tax-Managed FDSVEA
- Share
- 2.1%
- Value
- $180m
- Shares
- 3,008,694
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%
- Ishares TRIWR
- Share
- 1.2%
- Value
- $108m
- Shares
- 1,122,081
Held
- Spdr Gold TRGLD
- Share
- 0.8%
- Value
- $70m
- Shares
- 196,558
Held
- 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%
- J P Morgan Exchange Traded FJEPI
- Share
- 0.4%
- Value
- $39m
- Shares
- 686,623
+6%
- Ishares TRSHY
- Share
- 0.4%
- Value
- $34m
- Shares
- 406,980
Held
- Harbor ETF TrustHGER
- Share
- 0.4%
- Value
- $31m
- Shares
- 1,203,559
+6%
- Invesco QQQ TRQQQ
- Share
- 0.3%
- Value
- $30m
- Shares
- 49,499
Held
- Ishares TRDVY
- Share
- 0.3%
- Value
- $29m
- Shares
- 207,249
Held
- American Centy ETF TRQGRO
- Share
- 0.3%
- Value
- $29m
- Shares
- 255,814
+3%
- Vanguard World FDVFH
- Share
- 0.3%
- Value
- $28m
- Shares
- 216,804
Held
- Ishares TRIVV
- Share
- 0.3%
- Value
- $26m
- Shares
- 38,761
+3%
- Pacer FDS TRCOWZ
- Share
- 0.3%
- Value
- $25m
- Shares
- 438,690
+5%
- Vanguard Star FDSVXUS
- Share
- 0.3%
- Value
- $23m
- Shares
- 315,641
+9%
- Ishares TRIEFA
- Share
- 0.3%
- Value
- $22m
- Shares
- 254,125
+18%
- Ishares TRIWP
- Share
- 0.2%
- Value
- $19m
- Shares
- 136,009
Held
- 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%
- 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%
- IsharesIEMG
- Share
- 0.2%
- Value
- $16m
- Shares
- 242,981
+8%
- 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
- Ishares Silver TRSLV
- Share
- 0.2%
- Value
- $14m
- Shares
- 334,211
+6%
- Ishares TRIJH
- Share
- 0.2%
- Value
- $14m
- Shares
- 216,652
+8%
- Vanguard BD Index FDSBND
- Share
- 0.2%
- Value
- $14m
- Shares
- 187,881
Held
- Blackrock ETF Trust IIBRTR
- Share
- 0.1%
- Value
- $13m
- Shares
- 250,567
+93%
- Ishares TRIWO
- Share
- 0.1%
- Value
- $12m
- Shares
- 38,398
Held
| Company | Share of fund | Value | Shares | Change |
|---|---|---|---|---|
| Ishares TRIWD | 7.5% | $660m | 3,240,013 | Held |
| Global PaymentsGPN | 7.3% | $636m | 7,653,761 | Held |
| Ishares TRIWF | 6.5% | $569m | 1,214,072 | Held |
| Coca-ColaKO | 5.7% | $502m | 7,563,920 | Held |
| State STR Spdr S&P 500 ETF TSPY | 3.4% | $300m | 449,982 | +3% |
| Synovus Finl | 3.0% | $261m | 5,308,777 | Held |
| AppleAAPL | 2.4% | $214m | 839,520 | Held |
| MicrosoftMSFT | 2.2% | $191m | 369,234 | +4% |
| Vanguard Tax-Managed FDSVEA | 2.1% | $180m | 3,008,694 | Held |
| NvidiaNVDA | 2.0% | $176m | 944,678 | Held |
| Southern CompanySO | 1.8% | $160m | 1,688,686 | Held |
| Ishares TRQUAL | 1.7% | $144m | 742,905 | Held |
| Ishares TRIWM | 1.6% | $141m | 584,336 | Held |
| Invesco Exchange Traded FD TRSP | 1.5% | $129m | 680,638 | +9% |
| AflacAFL | 1.4% | $123m | 1,104,430 | Held |
| Ishares TRIWR | 1.2% | $108m | 1,122,081 | Held |
| JPMorgan ChaseJPM | 1.1% | $97m | 306,472 | +4% |
| AlphabetGOOGL | 1.0% | $89m | 365,515 | Held |
| Amazon.comAMZN | 0.9% | $82m | 374,753 | Held |
| Eli LillyLLY | 0.9% | $77m | 100,668 | Held |
| BroadcomAVGO | 0.8% | $73m | 222,319 | Held |
| Spdr Gold TRGLD | 0.8% | $70m | 196,558 | Held |
| Home DepotHD | 0.8% | $68m | 168,198 | +3% |
| Blackrock ETF Trust IIBINC | 0.7% | $64m | 1,203,741 | +5% |
| Ishares TRIJR | 0.7% | $64m | 538,538 | -7% |
| Ishares TRGVI | 0.7% | $62m | 576,665 | +3% |
| Vanguard Index FDSVOO | 0.7% | $58m | 94,529 | +56% |
| Invesco Exchange Traded FD TPRF | 0.6% | $56m | 1,233,291 | Held |
| Ishares TREFA | 0.6% | $53m | 564,523 | +17% |
| Vanguard Index FDSVTI | 0.6% | $51m | 154,364 | +25% |
| OracleORCL | 0.6% | $50m | 178,670 | +5% |
| Meta PlatformsMETA | 0.5% | $45m | 61,866 | Held |
| Johnson & JohnsonJNJ | 0.5% | $43m | 230,188 | +3% |
| ExxonMobil HoldingsXOM | 0.5% | $42m | 374,134 | +6% |
| J P Morgan Exchange Traded FJEPI | 0.4% | $39m | 686,623 | +6% |
| AlphabetGOOG | 0.4% | $36m | 147,132 | +3% |
| Costco WholesaleCOST | 0.4% | $36m | 38,449 | Held |
| ChevronCVX | 0.4% | $34m | 220,570 | Held |
| Ishares TRSHY | 0.4% | $34m | 406,980 | Held |
| Harbor ETF TrustHGER | 0.4% | $31m | 1,203,559 | +6% |
| Lockheed MartinLMT | 0.3% | $30m | 60,004 | +3% |
| Invesco QQQ TRQQQ | 0.3% | $30m | 49,499 | Held |
| McDonald'sMCD | 0.3% | $30m | 97,433 | Held |
| Ishares TRDVY | 0.3% | $29m | 207,249 | Held |
| VisaV | 0.3% | $29m | 86,020 | Held |
| American Centy ETF TRQGRO | 0.3% | $29m | 255,814 | +3% |
| AbbVieABBV | 0.3% | $29m | 124,959 | Held |
| Vanguard World FDVFH | 0.3% | $28m | 216,804 | Held |
| Cisco SystemsCSCO | 0.3% | $27m | 399,164 | +2% |
| Bank of AmericaBAC | 0.3% | $27m | 520,174 | Held |
| Ishares TRIVV | 0.3% | $26m | 38,761 | +3% |
| AT&TT | 0.3% | $25m | 899,194 | +7% |
| WalmartWMT | 0.3% | $25m | 244,975 | Held |
| Pacer FDS TRCOWZ | 0.3% | $25m | 438,690 | +5% |
| Berkshire HathawayBRK-B | 0.3% | $25m | 49,645 | +4% |
| RTXRTX | 0.3% | $25m | 148,262 | +2% |
| Genuine PartsGPC | 0.3% | $25m | 178,726 | Held |
| Procter & GamblePG | 0.3% | $25m | 160,127 | +4% |
| Vanguard Star FDSVXUS | 0.3% | $23m | 315,641 | +9% |
| International Business MachinesIBM | 0.3% | $23m | 81,416 | +2% |
| Ishares TRIEFA | 0.3% | $22m | 254,125 | +18% |
| Abbott LaboratoriesABT | 0.3% | $22m | 164,218 | +2% |
| CaterpillarCAT | 0.2% | $22m | 45,606 | +9% |
| MerckMRK | 0.2% | $22m | 256,591 | Held |
| MastercardMA | 0.2% | $21m | 37,705 | Held |
| Ishares TRIWP | 0.2% | $19m | 136,009 | Held |
| Duke EnergyDUK | 0.2% | $18m | 149,310 | +5% |
| EatonETN | 0.2% | $18m | 49,166 | +2% |
| Truist FinancialTFC | 0.2% | $18m | 393,992 | -7% |
| TJX CompaniesTJX | 0.2% | $18m | 122,486 | +3% |
| John Hancock Exchange TradedJHSC | 0.2% | $18m | 418,561 | Held |
| Vanguard Specialized FundsVIG | 0.2% | $17m | 80,116 | +5% |
| Automatic Data ProcessingADP | 0.2% | $17m | 58,784 | Held |
| Goldman Sachs GroupGS | 0.2% | $17m | 21,637 | +7% |
| Waste ManagementWM | 0.2% | $17m | 77,706 | Held |
| Vanguard Index FDSVUG | 0.2% | $17m | 35,593 | -3% |
| Vanguard Index FDSVOT | 0.2% | $17m | 57,764 | Held |
| Select Sector Spdr TRXLK | 0.2% | $17m | 60,037 | +3% |
| AmgenAMGN | 0.2% | $17m | 59,438 | Held |
| IsharesIEMG | 0.2% | $16m | 242,981 | +8% |
| Honeywell InternationalHON | 0.2% | $16m | 74,433 | Held |
| John Hancock Exchange TradedJHMM | 0.2% | $16m | 241,189 | -5% |
| Ishares TRIWN | 0.2% | $16m | 87,880 | Held |
| J P Morgan Exchange Traded FJPST | 0.2% | $15m | 302,002 | +3% |
| American Centy ETF TRVALQ | 0.2% | $15m | 231,907 | Held |
| Palo Alto NetworksPANW | 0.2% | $15m | 71,773 | Held |
| EnbridgeENB | 0.2% | $14m | 286,240 | Held |
| Verizon CommunicationsVZ | 0.2% | $14m | 324,993 | Held |
| Ishares Silver TRSLV | 0.2% | $14m | 334,211 | +6% |
| Ishares TRIJH | 0.2% | $14m | 216,652 | +8% |
| Bristol-Myers SquibbBMY | 0.2% | $14m | 311,763 | +19% |
| Vanguard BD Index FDSBND | 0.2% | $14m | 187,881 | Held |
| Darden RestaurantsDRI | 0.2% | $14m | 71,140 | Held |
| Travelers CompaniesTRV | 0.2% | $13m | 48,300 | +3% |
| Philip Morris InternationalPM | 0.2% | $13m | 82,646 | Held |
| PfizerPFE | 0.1% | $13m | 512,060 | -3% |
| Blackrock ETF Trust IIBRTR | 0.1% | $13m | 250,567 | +93% |
| Taiwan Semiconductor ManufacturingTSM | 0.1% | $13m | 45,366 | Held |
| NetflixNFLX | 0.1% | $12m | 10,287 | +18% |
| Ishares TRIWO | 0.1% | $12m | 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.