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Horrell Capital Management, Inc.

Horrell Capital Management, Inc.. CRD 115711

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CRD: 115711

Horrell Capital Management, Inc.

Little Rock, AR, 72205
5019754655
$435.1M Total AUM
$258.1M Disc. AUM
-- 3Y CAGR
1 Employees
81 ADV. Clients
26 yrs Firm Age

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Firm Details

Custodian
BNY Mellon ยท Charles Schwab & Company
Clients
Retail and Institutional
Platforms
--
Established Date
10-05-1999
Office Locations
1

Office Locations

10 Corporate Hill Drive Suite 165 Little Rock AR

About Horrell Capital Management, Inc.

Horrell Capital Management, Inc. is a Little Rock-based RIA. The firm has been operating for 26 years. Managing $435.1M in total assets under management, with 1 advisory representatives. They custody assets with BNY Mellon and Charles Schwab & Company. Services offered include Business Succession, Financial Planning, Insurance.

Team overview

-- AVG AGE
$435.1M AVG AUM / ADVISOR
$5.4M AVG AUM / CLIENT
19.6 yrs AVG TENURE
1 Employees
1 Advisory Reps
1 RIA Reps
26yrs Firm Age

Insights

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Asset Classes

Vector foundation Vector optima Ridge

Client Personas

Vector atlas

Investment Themes

Capital delta

Investment Vehicles

Atlas

Services

Vector beacon Ridge Ember optima Beacon meridian

Owner & Executives

SCOTT LEE HORRELL

SCOTT LEE HORRELL

Chief Compliance Officer, President

CRD
#1882733
Ownership
75% or more
(588) 722-5725
frontier.capital@insightcapital.com
in linkedin.com/in/optima-catalyst

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Contacts

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Assets Under Management

Total AUM
Discretionary
Non-Discretionary
03-03-2022
10-31-2023
03-14-2024
03-19-2025
03-03-2026
Category Assets AVG. Account size
Discretionary $258,144,413 $1,805,206
Non-Discretionary $176,926,141 $176,926,141
Total $435,070,554 $3,021,323

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Separately Managed Accounts

Total SMA Asset: $435,070,554

$435.1M Total SMA
Equity - Exchange:
12.2%
U.S. Government/Agency:
29.3%
Cash:
8.9%
Municipal Bonds:
25.0%
Public Funds:
24.6%
Asset class Assets Assets %
Equity - Exchange $265,108,840 12.2%
U.S. Government/Agency $636,695,821 29.3%
Cash $193,399,072 8.9%
Municipal Bonds $543,255,820 25.0%
Public Funds $534,563,726 24.6%
Total $2,173,023,279 100.0%

13F Holdings | Q2 2026

Issuer Class Cusip Ticker % Value
RADIAL TIMBER PIONEER RADIAL I52N9KOXS NDR 10.33% $39,198,394
NORTH ALPHA CAPITAL CREST P7VNRXY6W ILT 12.12% $118,277,548
VITAL FRONTIER PIONEER NORTH 0XYWAWWSI KHEW 5.73% $60,509,991
SUMMIT SUMMIT MERIDIAN PATHWAY GIMRG40DR OJIB 10.14% $116,824,144
MOMENTUM LEGACY ATLAS TIMBER RADIAL X71VWRW2B YLSLA 11.30% $23,377,497
FOCUS MOMENTUM LEGACY WAVE FUSION CU2C5KLYI UDZ 10.22% $99,122,527
MERIDIAN VECTOR QUANTUM SUMMIT AIBGYLIEV EZA 1.96% $25,543,417
MATRIX VALUE DELTA GLACIER M676LASFS GTDQ 6.45% $95,063,668

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