N
Star Prestige Review

Thomasville National Bank 13F annual report

Author

Jessica Hardy

Updated on March 15, 2026

Microsoft Corporation

1.55%

179,160

$67,371,326,0005.98%Apple Inc

1.57%

291,833

$56,186,607,0004.98%Amazon.com Inc.

0.13%

350,804

$53,301,160,0004.73%Palo Alto Networks Inc

1.95%

179,619

$52,966,051,0004.70%Berkshire Hathaway Inc Del Cl B New

3.38%

117,360

$41,857,618,0003.71%Alphabet Inc Cap Stk Cl C

0.97%

292,343

$41,199,899,0003.65%Booking Holdings Inc

2.59%

10,718

$38,019,104,0003.37%Jp Morgan Chase & Co

0.32%

201,465

$34,269,197,0003.04%CVS Health Corp

0.04%

394,260

$31,130,770,0002.76%Gallagher Arthur J & Co

2.05%

122,392

$27,523,513,0002.44%Visa Inc

0.99%

105,657

$27,507,800,0002.44%Salesforce Com Inc Com

1.12%

99,169

$26,095,330,0002.31%Us Bancorp

3.10%

570,548

$24,693,318,0002.19%Enbridge Inc

1.94%

677,182

$24,392,096,0002.16%Jp Morgan Exchange Traded Fd

21.63%

465,754

$23,394,823,0002.08%American Express Co.

5,034.65%

105,055

$19,681,003,0001.75%Duke Energy Corp New Com New

1.48%

200,845

$19,489,999,0001.73%Shell Plc

0.33%

294,737

$19,393,695,0001.72%Taiwan Semiconductor Mfg Ltdsponsored Adr

0.71%

182,096

$18,937,984,0001.68%Exxon Mobil Corp.

1.76%

176,238

$17,620,275,0001.56%General Dynamics Corp Com

0.72%

65,858

$17,101,347,0001.52%RTX Corp

2.52%

190,938

$16,065,524,0001.43%GSK Plc

2.07%

430,773

$15,964,447,0001.42%Asml Holding N V

0.61%

19,963

$15,110,394,0001.34%Autodesk Inc.

Opened

60,395

$14,704,974,0001.30%Meta Platforms Inc

1.74%

40,001

$14,158,754,0001.26%Veeva Sys Inc

2.19%

72,911

$14,036,826,0001.25%Ishares Tr

8.24%

29,521

$13,374,598,0001.19%Gilead Sciences, Inc.

2.30%

156,073

$12,643,474,0001.12%Kenvue Inc

Opened

559,816

$12,052,839,0001.07%Zoetis Inc

3.69%

60,814

$12,002,859,0001.06%Zimmer Hldgs Inc

1.20%

82,106

$9,992,301,0000.89%Vanguard Specialized Portfoldiv App Etf

0.88%

50,498

$8,604,859,0000.76%Flowers Foods, Inc.

1.31%

345,356

$7,773,963,0000.69%Mcdonalds Corp

2.87%

25,620

$7,596,586,0000.67%Coca-Cola Co

8.03%

125,645

$7,404,231,0000.66%Spdr Select Sector Fund - Energy Sector

0.66%

86,345

$7,239,165,0000.64%Becton Dickinson & Co.

0.63%

28,797

$7,021,573,0000.62%Wood Leasing, Inc.

No change

296

$6,450,607,0000.57%Southern Company

0.77%

91,046

$6,384,146,0000.57%Aflac Inc.

8.31%

67,259

$5,548,867,0000.49%Merck & Co Inc

1.25%

49,412

$5,386,896,0000.48%Vanguard Scottsdale Fds Shrt Trm Corp Bd

11.61%

65,693

$5,082,667,0000.45%Emerson Electric Co.

0.21%

50,425

$4,907,866,0000.44%Abbvie Inc

2.68%

31,275

$4,846,687,0000.43%Wisdomtree Tr

0.62%

66,729

$4,689,714,0000.42%JPMorgan Equity Premium Income

1.19%

80,025

$4,399,774,0000.39%Valero Energy Corp.

2.52%

33,779

$4,391,270,0000.39%Truist Financial Corporation

79.75%

118,568

$4,377,530,0000.39%Ventas Inc

2.22%

87,821

$4,376,999,0000.39%Franklin Templeton Etf Tr

1.06%

88,283

$4,249,060,0000.38%Kraneshares Tr

0.51%

148,428

$4,231,979,0000.38%Sanofi Sponsored Adr

4.12%

82,158

$4,085,718,0000.36%Capital One Finl Corp Com

86.07%

31,053

$4,071,669,0000.36%Lockheed Martin Corp Com

0.92%

8,854

$4,012,987,0000.36%Philip Morris Intl Inc Com

1.95%

41,595

$3,913,257,0000.35%Ishares S&p 500 Growth Index

11.99%

51,135

$3,840,239,0000.34%S&P Global Inc

No change

8,377

$3,690,236,0000.33%Verizon Communications Inc

12.09%

94,972

$3,580,445,0000.32%Johnson & Johnson

10.05%

21,550

$3,377,747,0000.30%Chubb Limited Com

0.08%

14,632

$3,306,832,0000.29%Pepsico Inc

1.71%

18,166

$3,085,313,0000.27%Wal Mart Inc.

0.37%

18,527

$2,920,782,0000.26%Kellanova Co

4.62%

49,252

$2,753,680,0000.24%Eli Lilly & Co

4.07%

4,574

$2,666,276,0000.24%Vanguard Short Term Bond Etf

3.06%

34,453

$2,653,570,0000.24%Lowes Companies Inc

0.44%

11,803

$2,626,758,0000.23%Pfizer Inc.

16.63%

89,733

$2,583,413,0000.23%Home Depot, Inc.

2.92%

7,326

$2,538,825,0000.23%Unified Ser Tr

2.67%

68,386

$2,530,904,0000.22%Vanguard World Fds Inf Tech Etf

0.50%

5,209

$2,521,156,0000.22%Unilever Plc Spon Adr New

1.55%

49,280

$2,389,095,0000.21%Spdr Series Trust S&p Divid Etf

0.02%

18,830

$2,353,185,0000.21%Procter & Gamble Co.

14.59%

15,913

$2,331,881,0000.21%Global Pmts Inc Com

0.24%

17,905

$2,273,935,0000.20%Abbott Labs

3.67%

20,340

$2,238,823,0000.20%Ishares S&p Smallcap 600 Growth Index

1.27%

16,809

$2,103,478,0000.19%Capital City Bank Group, Inc.

32.82%

70,204

$2,066,104,0000.18%Crw Freight Management Services, Inc.

No change

184

$2,031,737,0000.18%Bank of America Corporation

0.26%

58,355

$1,964,813,0000.17%Boeing Co Capital Stock Common

10.96%

7,423

$1,934,879,0000.17%Oracle Corp.

1.31%

17,821

$1,878,868,0000.17%CME Group Inc

0.12%

8,527

$1,795,786,0000.16%Walt Disney Co (The)

77.78%

19,343

$1,746,479,0000.15%Thermo Fisher Scientific Inccom

6.10%

3,133

$1,662,965,0000.15%Kraft Heinz Co Com

3.33%

44,014

$1,627,638,0000.14%Ishare Russell Midcap Growth

1.99%

15,540

$1,623,308,0000.14%Ishares Dj Us Index Fund

2.99%

13,686

$1,594,830,0000.14%NextEra Energy Inc

0.02%

25,657

$1,558,406,0000.14%Ishares Russell 100 Growth

No change

5,044

$1,529,189,0000.14%Atmos Energy Corp.

0.30%

12,658

$1,467,062,0000.13%Ishares S&p Smallcap 600 Value Index

1.50%

14,088

$1,452,050,0000.13%Healthcare Select Sectr Spdr

2.38%

10,110

$1,378,802,0000.12%Air Prods & Chemicals, Inc.

8.57%

5,024

$1,375,571,0000.12%Vanguard Russell 1000 Growth Etf

0.94%

17,425

$1,359,498,0000.12%NiSource Inc

20.08%

49,805

$1,322,323,0000.12%Ishares S&p 500 Value

2.54%

7,477

$1,300,176,0000.12%Dominion Energy Inc

3.50%

27,637

$1,298,939,0000.12%Bristol-Myers Squibb Co.

0.01%

24,800

$1,272,488,0000.11%Vanguard Index Fds

No change

5,751

$1,254,581,0000.11%Wells Fargo & Co.

1.56%

25,294

$1,244,971,0000.11%Alphabet Inc Cap Stk Cl A

22.42%

8,518

$1,189,879,0000.11%Cisco System, Inc.

4.79%

23,397

$1,182,016,0000.10%Conocophillips

0.41%

10,091

$1,171,262,0000.10%Eaton Corp Plc

0.23%

4,805

$1,157,140,0000.10%Linde Plc.

1.78%

2,805

$1,152,042,0000.10%Ishares Tr Russell1000val

2.26%

6,650

$1,098,913,0000.10%Berkshire Hathaway, Inc. Class A

No change

2

$1,085,250,0000.10%Ishares Russell Midcap Index

2.76%

9,232

$1,073,589,0000.10%Caterpillar Inc.

4.58%

3,587

$1,060,568,0000.09%AMGEN Inc.

No change

3,593

$1,034,856,0000.09%Ishares Msci Eafe Index

11.41%

13,606

$1,025,212,0000.09%Honeywell International Inc

3.41%

4,838

$1,014,577,0000.09%Schwab Charles Corp New

0.90%

13,576

$934,029,0000.08%Synovus Finl Corp Com New

5.50%

24,411

$919,074,0000.08%Vanguard Index Fds S&p 500 Etf Shs

2.28%

2,097

$915,970,0000.08%Thomasville Bancshares, Inc.ser A Pfd Stock

No change

14,672

$913,332,0000.08%Vanguard Bd Index Fd Inc Intermediate Trm Etf

No change

11,935

$911,595,0000.08%Colgate-Palmolive Co.

No change

11,345

$904,310,0000.08%Select Sector Industrial Spdr Tr

0.95%

7,805

$889,692,0000.08%Vanguard Index Fds Growth Etf

2.21%

2,821

$876,992,0000.08%Cardinal Health, Inc.

8.62%

8,586

$865,469,0000.08%Deere & Co.

22.29%

2,156

$862,120,0000.08%Ishares Dow Jones Select Dividend Index

No change

7,192

$843,046,0000.07%Select Sector Spdr Tr Sbi Cons Discr

1.13%

4,531

$810,188,0000.07%Vanguard Whitehall Fds Inc High Div Yld

149.72%

7,252

$809,541,0000.07%Ishares S&p Midcap 400

1.43%

2,888

$800,409,0000.07%Danaher Corp Del Com

3.34%

3,399

$786,325,0000.07%Vanguard Total Stock Market Etf

2.43%

3,215

$762,662,0000.07%Chevron Corp.

10.04%

4,991

$744,458,0000.07%Nvidia Corp Com

26.64%

1,488

$736,887,0000.07%Mckesson Corp Com

No change

1,586

$734,286,0000.07%Elevance Health, Inc.

0.32%

1,555

$733,276,0000.07%Ishares Tr S&p Midcp Valu

0.06%

6,368

$726,207,0000.06%Spdr S&p 500 Etf Tr Tr Unit

23.42%

1,507

$716,292,0000.06%Union Pacific Corp.

0.45%

2,902

$712,789,0000.06%Intel Corp.

6.47%

14,177

$712,394,0000.06%United Health Group Inc

16.92%

1,292

$680,199,0000.06%Ishares S&p Smallcap 600

1.45%

6,123

$662,815,0000.06%Vanguard Mid-cap Etf

0.33%

2,751

$639,993,0000.06%Cef Select Sector Spdr Fund Financial

1.21%

16,762

$630,251,0000.06%Lam Research Corp Com$628,958,0000.06%Anheuser Busch Inbev Sa/nv Sponsored Adr

12.91%

9,639

$622,872,0000.06%AT&T, Inc.

16.71%

36,507

$612,587,0000.05%Kimberly-Clark Corp.

5.77%

5,013

$609,130,0000.05%Expedia Group Inc

No change

3,998

$606,856,0000.05%Consumer Staples Select Sector Spdr

3.73%

8,352

$601,595,0000.05%Mondelez International Inc.

0.08%

8,290

$600,445,0000.05%Altria Group Inc.

2.09%

14,848

$598,968,0000.05%Waste Mgmt Inc Del Com

0.57%

3,309

$592,642,0000.05%3M Co.

4.18%

5,385

$588,688,0000.05%Greenfield Banking Co.

No change

5,200

$582,920,0000.05%Clorox Co.

1.26%

3,916

$558,383,0000.05%Ishares Russell 2000 Index

No change

2,761

$554,160,0000.05%Vanguard Index Fds Small Cp Etf

4.64%

2,550

$543,992,0000.05%Ishare Lehman Aggregate Bond

1.18%

5,426

$538,531,0000.05%Ishares Rus Mid-cap Etf

1.43%

6,889

$535,482,0000.05%United Parcel Service, Inc.

1.49%

3,374

$530,494,0000.05%Ppg Inds Inc Com

0.03%

3,460

$517,443,0000.05%Ishares Tr Core Msci Eafe

10.79%

7,109

$500,118,0000.04%Norfolk Southern Corp.

No change

2,084

$492,616,0000.04%Medtronic Plc Shs

22.26%

5,860

$482,747,0000.04%Ishares Dow Jones Us Healthcare

No change

1,671

$478,307,0000.04%Spdr Gold Trust Gold Shs

No change

2,422

$463,014,0000.04%Int'l Business Machines Corp

35.52%

2,812

$459,903,0000.04%Tc Bancshares Inc

No change

31,213

$431,052,0000.04%Archer Daniels Midland Co.

No change

5,922

$427,687,0000.04%Paramount Global

7.41%

28,402

$420,066,0000.04%Vanguard Index Fds Value Etf

7.55%

2,806

$419,497,0000.04%Tractor Supply Co Com

No change

1,950

$419,309,0000.04%Ishare Msci Emerging Markets

5.63%

10,252

$412,233,0000.04%Costco Whsl Corp New Com

67.74%

624

$411,890,0000.04%Intuit Com$409,395,0000.04%Invesco National Amt-free Municipal Bond Etf

No change

16,600

$401,388,0000.04%Fedex Corp

5.15%

1,553

$392,862,0000.03%Ishares S&p Global 100 Index

6.71%

4,813

$387,543,0000.03%Ross Stores, Inc.

No change

2,700

$373,653,0000.03%Novartis A G Sponsored Adr

40.18%

3,655

$369,045,0000.03%Ecolab, Inc.

0.06%

1,809

$358,815,0000.03%Quest Diagnostics, Inc.

No change

2,590

$357,109,0000.03%Texas Instruments Inc.

5.19%

2,069

$352,682,0000.03%Ishares Tr S&p Gbl Inf

No change

5,081

$346,423,0000.03%Utilities Select Sector Spdr

6.64%

5,437

$344,325,0000.03%Ishares Inc

Closed

3,605

$343,989,000Tesla Inc

16.41%

1,355

$336,690,0000.03%Regions Financial Corp.

No change

16,985

$329,169,0000.03%Crw Inc.

No change

46

$318,565,0000.03%Haleon Plc

6.98%

38,544

$317,217,0000.03%Nasdaq Inc

No change

5,400

$313,956,0000.03%Automatic Data Processing Inc.

8.60%

1,339

$311,947,0000.03%Eversource Energy Com

0.02%

5,005

$308,909,0000.03%Select Sector Spdr Tr Technology

4.19%

1,577

$303,541,0000.03%Travelers Companies Inc.

No change

1,563

$297,736,0000.03%Exelon Corp.

Closed

7,741

$292,532,000American Elec Pwr Inc

3.72%

3,567

$289,712,0000.03%Carrier Global Corporation

0.36%

5,013

$287,997,0000.03%Cef Select Spdr Fund Materials

1.25%

3,321

$284,078,0000.03%Phillips 66 Com

3.62%

2,104

$280,127,0000.02%Ishares S&p Midcap 400 Growth Index

0.23%

3,509

$277,983,0000.02%Clean Harbors, Inc.

No change

1,566

$273,283,0000.02%Vanguard Total World Stock Index Fund

Opened

2,654

$273,044,0000.02%Constellation Energy Corp

Closed

2,500

$272,700,000Prologis Inc

0.30%

2,031

$270,732,0000.02%Darling Ingredients Inc

3.05%

5,346

$266,445,0000.02%Laboratory Corp Amer Hldgs Com New

7.03%

1,172

$266,384,0000.02%Banc3 Holdings, Inc

No change

20,000

$260,000,0000.02%CSX Corp.

No change

7,443

$258,049,0000.02%Ishares Tr

Opened

2,550

$255,689,0000.02%Broadcom Inc.

24.33%

227

$253,389,0000.02%Accenture Plc Ireland Shs Class A$253,357,0000.02%CNX Resources Corp

17.85%

12,653

$253,060,0000.02%Ishares Russell 3000 Index

No change

919

$251,567,0000.02%Rbb Fd Inc

Opened

5,000

$249,850,0000.02%Sherwin Williams Co Com

33.33%

800

$249,520,0000.02%Invesco Qqq Tr

No change

608

$248,988,0000.02%Consolidated Edison, Inc.

No change

2,698

$245,437,0000.02%Cigna Corp New$240,458,0000.02%Comcast Corp

19.16%

5,461

$239,465,0000.02%Verisk Analytics Inc

No change

994

$237,427,0000.02%Prudential Finl Inc Com

No change

2,253

$233,659,0000.02%General Mills, Inc.

0.51%

3,578

$233,071,0000.02%Schlumberger Ltd.

4.17%

4,294

$223,460,0000.02%Applied Matls Inc

Opened

1,350

$218,795,0000.02%Qualcomm, Inc.

Opened

1,460

$211,160,0000.02%Proshares Tr

Opened

22,114

$209,641,0000.02%Schwab Strategic Tr

Opened

4,500

$207,270,0000.02%scPharmaceuticals Inc

No change

33,000

$206,910,0000.02%Vanguard Emerging Mkts Etf

6.33%

5,002

$205,582,0000.02%Vanguard World Fd

Opened

1,855

$202,881,0000.02%Blackrock Us Equity Factor Rotation Etf

Opened

5,116

$202,618,0000.02%Anavex Life Sciences Corp Com New

8.33%

16,250

$151,288,0000.01%Wk Kellogg Co

Opened

10,755

$141,321,0000.01%Bgc Group Inc

19.05%

17,000

$122,740,0000.01%Joby Aviation Inc

No change

12,500

$83,125,0000.01%Danimer Scientific, Inc.

No change

78,767

$80,342,0000.01%XBiotech Inc

No change

13,350

$53,400,0000.00%Appharvest Inc

No change

10,000

$10,0000.00%No transactions foundShowing first 500 out of 237 holdings