Hardin Capital Partners, LLC has filed a Form 13F-HR with the Securities and Exchange Commission, disclosing its equity holdings as of September 30, 2026. The filing lists 147 distinct securities held by the firm, managed by CEO Andrew J. Hardin, who is also the authorized signatory for the report.

The portfolio is heavily weighted toward exchange-traded funds (ETFs), which comprise the majority of the holdings. Notable individual stock positions include Bank of America Corp with 99,362 shares, Walmart Inc with 5,722 shares, and Verizon Communications Inc with 9,734 shares. The firm also holds significant positions in Lowes Cos Inc, with 423,219 shares, and Truist Financial Corp, with 54,877 shares.

Among the technology sector holdings, the firm lists Microsoft Corp with 3,817 shares, Apple Inc with 5,075 shares, and NVIDIA Corporation with 2,759 shares. The filing also includes positions in Palantir Technologies Inc with 1,073 shares and Meta Platforms Inc with 470 shares.

The portfolio includes a variety of ETFs tracking different market segments. Major holdings include the Vanguard S&P 500 ETF with 9,966 shares, the Vanguard Total Stock Market ETF with 14,691 shares, and the Vanguard International Equity Index Fund with 53,436 shares. Other significant ETF positions include the Vanguard Real Estate ETF with 28,033 shares and the Vanguard Extended Market Index Fund with 1,007 shares.