FIRST NATIONAL BANK SIOUX FALLS - Q3 2023 holdings

$167 Million is the total value of FIRST NATIONAL BANK SIOUX FALLS's 156 reported holdings in Q3 2023. The portfolio turnover from Q2 2023 to Q3 2023 was 0.0% .

 Value Shares↓ Weighting
VCIT  Vanguard Intermediate-Term Corp$24,133,831
-3.9%
317,6340.0%14.42%
-9.5%
VCLT  Vanguard Long-Term Corporate Index Fund ETF$7,467,316
-8.8%
104,2630.0%4.46%
-14.1%
 Dimensional World EX US Core Equity 2 ETFexchange traded fund$7,050,922
-3.4%
313,0960.0%4.21%
-9.1%
 Dimensional US Marketwide Value ETFexchange traded fund$4,596,476
-1.4%
135,1110.0%2.75%
-7.2%
BRKB  Berkshire Hathaway Inc Class B$3,969,950
+2.7%
11,3330.0%2.37%
-3.3%
AAPL  Apple Computer Inc$3,406,052
-11.7%
19,8940.0%2.04%
-17.0%
V  Visa Inc$2,956,089
-3.1%
12,8520.0%1.77%
-8.9%
RSP  Invesco S&P 500 Equal Weight ETFexchange traded fund$2,431,967
-5.3%
17,1640.0%1.45%
-10.9%
BX  Blackstone Inc$1,788,488
+15.2%
16,6930.0%1.07%
+8.4%
 Minnehaha Banshares Inc-Common$1,752,6000.0%9,2000.0%1.05%
-5.9%
CAT  Caterpillar Inc$1,629,810
+11.0%
5,9700.0%0.97%
+4.4%
IWP  IShares Russell MidCap Growthexchange traded fund$1,396,742
-5.5%
15,2900.0%0.84%
-11.0%
ORCL  Oracle Corp$1,356,623
-11.1%
12,8080.0%0.81%
-16.3%
MA  Mastercard Inc$1,287,895
+0.7%
3,2530.0%0.77%
-5.3%
CSX  CSX Corp$1,245,375
-9.8%
40,5000.0%0.74%
-15.2%
UNP  Union Pacific Corp$1,029,553
-0.5%
5,0560.0%0.62%
-6.4%
VUG  Vanguard Growth Vipers Fund ETFexchange traded fund$949,817
-3.8%
3,4880.0%0.57%
-9.4%
SHW  Sherwin Williams Co$938,839
-3.9%
3,6810.0%0.56%
-9.7%
BAC  Bank of America Corp$894,861
-4.6%
32,6830.0%0.54%
-10.1%
VNQ  Vanguard Real Estate ETFexchange traded fund$885,373
-9.5%
11,7020.0%0.53%
-14.8%
KKR  KKR & Company Inc$864,063
+10.0%
14,0270.0%0.52%
+3.4%
FB  Meta Platforms Inc$842,090
+4.6%
2,8050.0%0.50%
-1.6%
UNH  UnitedHealth Group Inc$819,309
+4.9%
1,6250.0%0.49%
-1.2%
DFAU  Dimensional US Core Equity Market ETFexchange traded fund$813,083
-3.4%
27,1480.0%0.49%
-9.0%
VYM  Vanguard Whitehall Funds High Dividend Yield Etfexchange traded fund$716,421
-2.6%
6,9340.0%0.43%
-8.4%
IWO  IShares Russell 2000 Growth Fundexchange traded fund$708,090
-7.6%
3,1590.0%0.42%
-13.1%
IEFA  Ishares Core MSCI EAFE ETFexchange traded fund$683,461
-4.7%
10,6210.0%0.41%
-10.3%
LLY  Eli Lilly & Co$669,801
+14.5%
1,2470.0%0.40%
+7.8%
PG  Procter & Gamble Co$654,328
-3.9%
4,4860.0%0.39%
-9.5%
BMY  Bristol Myers Squibb Co$649,758
-9.2%
11,1950.0%0.39%
-14.7%
IJH  IShares Core S&P Mid-Cap ETFexchange traded fund$577,245
-4.6%
2,3150.0%0.34%
-10.2%
TJX  TJX Companies Inc$568,832
+4.8%
6,4000.0%0.34%
-1.4%
VBR  Vanguard Small-Cap Value ETFexchange traded fund$564,276
-3.6%
3,5380.0%0.34%
-9.4%
ORLY  O'Reilly Automotive Inc$559,857
-4.9%
6160.0%0.34%
-10.4%
LMT  Lockheed Martin Corp$558,230
-11.2%
1,3650.0%0.33%
-16.3%
CSCO  Cisco Systems Inc$533,676
+3.9%
9,9270.0%0.32%
-2.1%
BKH  Black Hills Corp$474,686
-16.0%
9,3830.0%0.28%
-20.9%
ATVI  Activision Blizzard Inc$446,802
+11.1%
4,7720.0%0.27%
+4.7%
MNST  Monster Beverage$445,840
-7.8%
8,4200.0%0.27%
-13.4%
IBM  International Business Machines$431,142
+4.9%
3,0730.0%0.26%
-1.1%
EXPE  Expedia Group Inc$430,420
-5.8%
4,1760.0%0.26%
-11.4%
GOOG  Alphabet Inc Cap Stk Class C$427,194
+9.0%
3,2400.0%0.26%
+2.4%
IVV  IShares Core S&P 500 ETFexchange traded fund$427,283
-3.7%
9950.0%0.26%
-9.6%
NOW  Servicenow Inc$413,630
-0.5%
7400.0%0.25%
-6.4%
TGT  Target Corp$404,907
-16.2%
3,6620.0%0.24%
-21.2%
DFAI  Dimensional International Core Equity Market ETFexchange traded fund$400,266
-4.4%
15,3300.0%0.24%
-10.2%
MCD  McDonalds Corp$400,165
-11.7%
1,5190.0%0.24%
-17.0%
PSX  Phillips 66$382,558
+26.0%
3,1840.0%0.23%
+18.7%
MRK  Merck and Co Inc$382,562
-10.8%
3,7160.0%0.23%
-15.8%
CMI  Cummins Inc$365,536
-6.8%
1,6000.0%0.22%
-12.4%
ADBE  Adobe Systems Inc$362,029
+4.3%
7100.0%0.22%
-1.8%
NKE  Nike$350,639
-13.4%
3,6670.0%0.21%
-18.3%
GD  General Dynamics Corp$351,784
+2.7%
1,5920.0%0.21%
-3.7%
LOW  Lowes Companies Inc$327,140
-7.9%
1,5740.0%0.20%
-13.7%
WM  Waste Management Inc$320,886
-12.1%
2,1050.0%0.19%
-17.2%
HD  Home Depot Inc$322,103
-2.7%
1,0660.0%0.19%
-8.6%
SPG  Simon Property Group Inc$320,309
-6.5%
2,9650.0%0.19%
-12.0%
VNO  Vornado Realty Trust$297,357
+25.0%
13,1110.0%0.18%
+17.9%
COP  Conocophillips$295,906
+15.6%
2,4700.0%0.18%
+8.6%
EA  Electronic Arts Inc$273,790
-7.2%
2,2740.0%0.16%
-12.3%
UBER  Uber Technologies Inc$270,191
+6.5%
5,8750.0%0.16%0.0%
CRM  Salesforce, Inc$268,481
-4.0%
1,3240.0%0.16%
-10.1%
SHOO  Steven Madden LTD$257,337
-2.8%
8,1000.0%0.15%
-8.3%
AEP  American Electric Power Inc$253,868
-10.7%
3,3750.0%0.15%
-15.6%
AMZN  Amazon Com Inc$236,443
-2.5%
1,8600.0%0.14%
-8.4%
IAU  iShares Gold Trustexchange traded fund$227,435
-3.8%
6,5000.0%0.14%
-9.3%
DE  Deere & Co$225,673
-6.9%
5980.0%0.14%
-12.3%
EPD  Enterprise Products Partners LP$221,697
+3.9%
8,1000.0%0.13%
-2.9%
PYPL  Paypal Holdings Inc$219,167
-12.4%
3,7490.0%0.13%
-17.6%
AVGO  Broadcom Inc$209,306
-4.2%
2520.0%0.12%
-10.1%
K  KELLANOVA$206,440
-11.7%
3,4690.0%0.12%
-16.9%
 Envirochem, Inc$30.0%27,5000.0%0.00%
Original filings

The following EDGAR filing(s) were analyzed to create this report:

  • View 13F-HR filed 2023-10-12
Signatures

The EDGAR filing(s) were signed by:

Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
IShares Russell 1000 Growth Index Fund EFT42Q3 20238.7%
Wells Fargo & Co42Q3 202311.8%
Berkshire Hathaway Inc Class B42Q3 20235.7%
Union Pacific Corp42Q3 20236.6%
Microsoft Corp42Q3 20234.8%
Chevron Corp42Q3 20237.1%
Exxon Mobil Corp42Q3 20235.6%
Johnson & Johnson42Q3 20235.5%
Apple Computer Inc42Q3 20234.4%
J P Morgan Chase & Co Com42Q3 20232.9%

View FIRST NATIONAL BANK SIOUX FALLS's complete holdings history.

Latest filings
TypeFiled
13F-HR2024-04-15
13F-HR2024-02-01
13F-HR2023-10-12
13F-HR2023-07-18
13F-HR2023-04-18
13F-HR2023-01-27
13F-HR2022-10-14
13F-HR2022-07-22
13F-HR2022-04-08
13F-HR2022-01-25

View FIRST NATIONAL BANK SIOUX FALLS's complete filings history.

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