First American Bank - Q3 2020 holdings

$1.69 Billion is the total value of First American Bank's 426 reported holdings in Q3 2020. The portfolio turnover from Q2 2020 to Q3 2020 was 8.6% .

 Value Shares↓ Weighting
SellVANGUARDmutual funds -$60,016,000
+7.3%
193,418
-1.1%
3.55%
+0.8%
PEP SellPEPSICO INC COM$45,820,000
+4.6%
330,590
-0.2%
2.71%
-1.6%
MSFT SellMICROSOFT CORP COM$42,127,000
+2.3%
200,292
-1.0%
2.50%
-3.8%
SellBROWN CAPITAL MGMTmutual funds -$36,865,000
+0.9%
299,453
-4.2%
2.18%
-5.2%
SellT. ROWE PRICEmutual funds -$35,901,000
+8.2%
231,362
-3.6%
2.13%
+1.7%
SellFIRST AMERICAN BALANCED GROWTH$33,953,000
+4.2%
2,316,416
-0.4%
2.01%
-2.0%
AMZN SellAMAZON.COM INC.$30,502,000
+13.2%
9,687
-0.8%
1.81%
+6.4%
SellPRIMECAPmutual funds -$27,936,000
+0.6%
585,043
-5.5%
1.66%
-5.4%
SellMFSmutual funds -$24,154,000
-4.7%
1,873,869
-1.7%
1.43%
-10.4%
SellHARTFORDmutual funds -$23,069,000
+6.3%
626,194
-3.1%
1.37%
-0.1%
SellCLEARBRIDGEmutual funds -$22,770,000
+8.7%
385,873
-0.1%
1.35%
+2.2%
GOOGL SellALPHABET INC$22,107,000
+2.4%
15,084
-1.0%
1.31%
-3.8%
SellVANGUARDmutual funds -$20,760,000
+0.9%
95,127
-6.2%
1.23%
-5.1%
SellVICTORY SYCAMOREmutual funds -$20,583,000
+2.7%
580,455
-2.1%
1.22%
-3.4%
PG SellPROCTER & GAMBLE$16,735,000
+15.3%
120,406
-0.8%
0.99%
+8.4%
AVGO SellBROADCOM INC.$16,144,000
+14.4%
44,313
-0.9%
0.96%
+7.5%
SellHARTFORDmutual funds -$13,973,000
+3.1%
380,425
-6.0%
0.83%
-3.0%
HD SellHOME DEPOT INC COM$13,890,000
+5.6%
50,015
-4.8%
0.82%
-0.7%
LOW SellLOWES COS INC COM$13,865,000
+22.3%
83,592
-0.3%
0.82%
+15.0%
JPM SellJP MORGAN CHASE & CO$13,653,000
+1.6%
141,815
-0.7%
0.81%
-4.5%
FB SellFACEBOOK INC-A$13,237,000
+14.7%
50,542
-0.6%
0.78%
+7.8%
EW SellEDWARDS LIFESCIENCES CORP COM$12,838,000
+15.4%
160,841
-0.1%
0.76%
+8.4%
UNP SellUNION PAC CORP COM$12,440,000
+15.0%
63,189
-1.3%
0.74%
+8.1%
SellVANGUARDmutual funds -$12,380,000
+2.2%
416,987
-2.8%
0.73%
-3.9%
TMO SellTHERMO FISHER SCIENTIFIC$12,141,000
+20.8%
27,499
-0.8%
0.72%
+13.6%
DIS SellDISNEY$11,974,000
+10.0%
96,502
-1.1%
0.71%
+3.4%
SellVANGUARDmutual funds -$11,753,000
+1.0%
159,520
-4.2%
0.70%
-5.0%
JNJ SellJOHNSON & JOHNSON$10,001,000
+4.2%
67,180
-1.6%
0.59%
-2.1%
FRC SellFIRST REPUBLIC BANK$9,889,000
+2.3%
90,677
-0.6%
0.59%
-3.8%
MRK SellMERCK & CO INC NEW$9,762,000
+5.8%
117,694
-1.3%
0.58%
-0.5%
AMGN SellAMGEN INC$9,635,000
+7.1%
37,908
-0.6%
0.57%
+0.7%
CTAS SellCINTAS CORPORATION$9,283,000
+16.7%
27,891
-6.6%
0.55%
+9.8%
WMT SellWAL-MART STORES INC.$8,962,000
+15.6%
64,053
-1.0%
0.53%
+8.8%
GPN SellGLOBAL PAYMENTS$8,905,000
+4.0%
50,149
-0.7%
0.53%
-2.4%
UNH SellUNITED HEALTH GROUP INCORPORATED$8,830,000
+4.4%
28,323
-1.3%
0.52%
-1.9%
APD SellAIR PRODUCTS & CHEMICALS INC.$8,509,000
+22.9%
28,570
-0.4%
0.50%
+15.6%
PNC SellPNC FINANCIAL SERVICES GROUP$8,513,000
+3.9%
77,451
-0.6%
0.50%
-2.3%
LMT SellLOCKHEED MARTIN CORPORATION$8,443,000
-15.9%
22,028
-19.9%
0.50%
-21.0%
TXN SellTEXAS INSTRS INC COM$8,329,000
+11.1%
58,332
-1.2%
0.49%
+4.4%
LLY SellELI LILLY & CO$8,184,000
-11.0%
55,296
-1.2%
0.48%
-16.2%
ABBV SellABBVIE INC$7,872,000
-11.7%
89,878
-1.0%
0.47%
-16.9%
GS SellGOLDMAN SACHS GROUP INC$7,734,000
+0.5%
38,485
-1.1%
0.46%
-5.6%
HON SellHONEYWELL INTL INC$7,525,000
+12.4%
45,717
-1.2%
0.45%
+5.7%
BAC SellBANK OF AMERICA CORP$7,209,000
+0.2%
299,247
-1.3%
0.43%
-5.7%
SellINTERCONTINENTAL EXCHANGE INCcorporate bonds$6,924,000
-2.4%
6,095,000
-1.6%
0.41%
-8.3%
CMCSA SellCOMCAST CORP$6,890,000
+16.5%
148,934
-1.8%
0.41%
+9.4%
BRKB SellBERKSHIRE HATHAWAY INC$6,787,000
+17.9%
31,873
-1.2%
0.40%
+10.7%
PFE SellPFIZER INC COM$6,756,000
+10.6%
184,097
-1.5%
0.40%
+3.9%
NKE SellNIKE INC$6,670,000
+26.5%
53,129
-1.2%
0.40%
+19.0%
FIS SellFIDELITY NATL INFORMATION SVC$6,618,000
+0.9%
44,959
-8.0%
0.39%
-5.1%
SellLOWES COS INC COMcorporate bonds$6,550,000
-1.7%
6,325,000
-1.2%
0.39%
-7.6%
VZ SellVERIZON COMMUNICATIONS$6,441,000
+6.5%
108,288
-1.3%
0.38%0.0%
SellFIRST AMERICAN BANK CONSERVATIVE$6,394,000
-2.8%
508,579
-5.6%
0.38%
-8.7%
T SellAT&T INC.$6,362,000
-5.8%
223,146
-0.1%
0.38%
-11.3%
MMC SellMARSH & MCLENNAN COS INC$6,227,000
+5.7%
54,291
-1.0%
0.37%
-0.5%
CVX SellCHEVRON TEXACO CORP$6,136,000
-21.0%
85,224
-2.1%
0.36%
-25.8%
MDT SellMEDTRONIC PLC NPV$6,116,000
+11.9%
58,858
-1.2%
0.36%
+5.2%
ICE SellINTERCONTINENTAL EXCHANGE INC$5,705,000
+7.9%
57,019
-1.2%
0.34%
+1.5%
SellVANGUARDmutual funds -$5,428,000
+5.2%
173,148
-0.4%
0.32%
-1.2%
INTC SellINTEL CORP COM$5,385,000
-46.1%
103,980
-37.7%
0.32%
-49.3%
SellAMERICAN FUNDSmutual funds -$5,336,000
+8.5%
91,979
-1.1%
0.32%
+1.9%
SellDOWDUPONT INCcorporate bonds$5,261,000
-1.4%
4,791,000
-1.5%
0.31%
-7.1%
BA SellBOEING CO$5,178,000
-10.8%
31,332
-1.0%
0.31%
-16.1%
SellJP MORGAN SMALL CAP EQUITY-R6mutual funds -$4,851,000
-0.8%
85,619
-5.6%
0.29%
-6.8%
SellAMERICAN FUNDSmutual funds -$4,696,000
+7.4%
77,130
-3.4%
0.28%
+1.1%
SellJP MORGAN SMALL CAP EQUITY-Amutual funds -$4,464,000
+3.4%
93,022
-1.6%
0.26%
-2.9%
GOOG SellALPHABET INC$4,382,000
+3.6%
2,982
-0.3%
0.26%
-2.3%
SellFEDERATEDmutual funds -$4,234,000
-7.9%
422,155
-8.2%
0.25%
-13.1%
MAR SellMARRIOTT INTL INC CL A$4,164,000
+5.4%
44,979
-2.4%
0.25%
-0.8%
AEP SellAMERICAN ELECTRIC POWER$4,135,000
+1.3%
50,591
-1.3%
0.24%
-4.7%
SellJP MORGANmutual funds -$3,875,000
-14.6%
385,636
-14.6%
0.23%
-19.9%
ADBE SellADOBE SYSTEMS INCORPORATED$3,817,000
+11.3%
7,783
-1.2%
0.23%
+4.6%
BMY SellBRISTOL MYERS SQUIBB CO COM$3,747,000
+2.0%
62,146
-0.5%
0.22%
-3.9%
STZ SellCONSTELLATION BRANDS INC -$3,755,000
+7.6%
19,813
-0.6%
0.22%
+0.9%
XOM SellEXXON MOBIL CORP COM$3,684,000
-24.0%
107,298
-1.1%
0.22%
-28.8%
SellNATIONAL RURAL UTILITIEScorporate bonds$3,532,000
-2.5%
3,285,000
-3.0%
0.21%
-8.3%
SellMARATHON PETROLEUM CORP-W/Icorporate bonds$3,103,000
-4.1%
3,050,000
-3.2%
0.18%
-9.8%
ETN SellEATON CORP PLC$3,057,000
+14.3%
29,961
-2.0%
0.18%
+7.1%
CSCO SellCISCO SYS INC COM$3,034,000
-17.7%
77,020
-2.6%
0.18%
-22.4%
GILD SellGILEAD SCIENCES, INC.$3,028,000
-17.9%
47,913
-0.0%
0.18%
-22.8%
WEC SellWEC ENERGY GROUP INC$2,986,000
+8.3%
30,813
-2.1%
0.18%
+1.7%
SellAMERICAN FUNDSmutual funds -$2,955,000
-2.6%
134,997
-6.5%
0.18%
-8.4%
SellVANGUARDmutual funds -$2,900,000
+6.3%
78,775
-0.3%
0.17%0.0%
SellBANK OF AMERICA CORPcorporate bonds$2,762,000
-4.2%
2,602,000
-3.7%
0.16%
-9.9%
SellJP MORGANmutual funds -$2,642,000
+8.4%
65,920
-1.5%
0.16%
+1.3%
PEG SellPUBLIC SERVICE ENTERPRISE GROUP$2,587,000
+8.5%
47,113
-2.9%
0.15%
+2.0%
SellPSEG POWER LLCcorporate bonds$2,527,000
-3.4%
2,464,000
-3.0%
0.15%
-9.1%
CMS SellCMS ENERGY CORPORATION$2,531,000
+4.8%
41,209
-0.4%
0.15%
-1.3%
TJX SellTJX COMPANIES, INC$2,504,000
+9.2%
44,988
-0.8%
0.15%
+2.8%
D SellDOMINION ENERGY INC$2,446,000
-4.5%
30,986
-1.8%
0.14%
-9.9%
SellJANUS HENDERSONmutual funds -$2,437,000
+0.7%
413,145
-0.3%
0.14%
-5.3%
TRI SellTHOMSON REUTERS CORPORATION$2,301,000
+14.6%
28,839
-2.3%
0.14%
+7.9%
SellAMERICAN FUNDSmutual funds -$2,280,000
-3.4%
49,704
-8.3%
0.14%
-9.4%
MXIM SellMAXIM INTEGRATED PRODUCTS, INC.$2,200,000
-26.3%
32,542
-33.9%
0.13%
-30.9%
TFC SellTRUIST FINANCIAL CORP.$2,184,000
-2.4%
57,376
-3.8%
0.13%
-8.5%
ADP SellAUTOMATIC DATA PROCESSING INCOM$2,043,000
-59.1%
14,645
-56.3%
0.12%
-61.5%
ABT SellABBOTT LABORATORIES$2,043,000
+18.6%
18,780
-0.3%
0.12%
+11.0%
RSG SellREPUBLIC SERVICES INC$2,001,000
+12.4%
21,440
-1.2%
0.12%
+6.2%
SellBAIRDmutual funds -$2,009,000
-13.1%
201,477
-13.3%
0.12%
-18.5%
KO SellCOCA COLA CO COM$1,929,000
+8.7%
39,082
-1.6%
0.11%
+1.8%
SellCOLOMBIAmutual funds -$1,923,000
-4.5%
82,421
-9.7%
0.11%
-10.2%
SellAMERICAN FUNDSmutual funds -$1,892,000
-14.7%
30,961
-20.0%
0.11%
-20.0%
K SellKELLOGG CO COM$1,836,000
-4.2%
28,429
-2.0%
0.11%
-9.9%
SellVANGUARDmutual funds -$1,754,000
-5.1%
80,769
-8.1%
0.10%
-10.3%
FAST SellFASTENAL CO COM$1,709,000
+4.3%
37,901
-0.9%
0.10%
-1.9%
BOH SellBANK OF HAWAII CORP$1,650,000
-19.6%
32,664
-2.2%
0.10%
-24.0%
PRU SellPRUDENTIAL FINANCIAL, INC.$1,565,000
+2.8%
24,648
-1.3%
0.09%
-3.1%
MA SellMASTERCARD INCORPORATED$1,533,000
+12.7%
4,532
-1.5%
0.09%
+5.8%
SellVANGUARDmutual funds -$1,504,000
-11.2%
103,415
-13.6%
0.09%
-16.8%
RTX SellRAYTHEON TECHNOLOGIES CORP$1,452,000
-11.4%
25,239
-5.1%
0.09%
-16.5%
VLO SellVALERO ENERGY CORPORATION$1,397,000
-28.0%
32,246
-2.2%
0.08%
-32.0%
VFC SellV F. CORPORATION$1,387,000
+12.0%
19,742
-2.9%
0.08%
+5.1%
HPQ SellHP INC$1,249,000
-44.8%
65,736
-49.4%
0.07%
-48.3%
SBUX SellSTARBUCKS CORPORATION$1,207,000
+15.9%
14,053
-0.7%
0.07%
+7.6%
EXC SellEXELON CORPORATION$1,023,000
-73.1%
28,614
-72.7%
0.06%
-74.6%
SellVANGUARDmutual funds -$1,008,000
+6.2%
8,595
-5.8%
0.06%0.0%
SellPHILLIPS 66corporate bonds$976,000
-10.2%
925,000
-9.8%
0.06%
-14.7%
SellVANGUARDmutual funds -$928,000
-12.6%
58,580
-15.6%
0.06%
-17.9%
SellVANGUARDmutual funds -$870,000
+2.7%
21,314
-2.2%
0.05%
-1.9%
SellVICTORY SYCAMOREmutual funds -$875,000
-0.6%
24,674
-5.3%
0.05%
-5.5%
IR SellINGERSOLL-RAND INC$856,000
+25.3%
24,032
-1.0%
0.05%
+18.6%
SellINVESCO OPPENHEIMERmutual funds -$865,000
+0.1%
19,184
-7.6%
0.05%
-5.6%
IBM SellIBM CORP$816,000
-33.9%
6,708
-34.4%
0.05%
-38.5%
SellFORTIVE CORPORATIONcorporate bonds$809,000
-8.7%
800,000
-8.6%
0.05%
-14.3%
SellVANGUARDmutual funds -$804,000
-4.7%
61,208
-9.3%
0.05%
-9.4%
SellUNITED HEALTH GROUP INCORPORATEDcorporate bonds$795,000
-45.5%
775,000
-45.0%
0.05%
-48.9%
TTE SellTOTAL SA$795,000
-13.1%
23,185
-2.6%
0.05%
-19.0%
SellCLEARBRIDGE SMALL CAPmutual funds -$769,000
+8.9%
17,076
-1.9%
0.05%
+4.5%
BMO SellBANK OF MONTREAL$676,000
+9.2%
11,576
-0.8%
0.04%
+2.6%
SellAMERICAN FUNDSmutual funds -$670,000
-11.7%
12,898
-17.2%
0.04%
-16.7%
OKTA SellOKTA INC$638,000
+4.1%
2,985
-2.5%
0.04%
-2.6%
SellINVESCO OPPENHEIMERmutual funds -$611,000
-2.9%
13,389
-10.1%
0.04%
-10.0%
ETR SellENTERGY CORPORATION$572,000
+1.4%
5,805
-3.4%
0.03%
-5.6%
GD SellGENERAL DYNAMICS CORPORATION$579,000
-46.4%
4,181
-42.1%
0.03%
-50.0%
SellEATON VANCEmutual funds -$511,000
-4.3%
38,512
-8.7%
0.03%
-11.8%
SellTOUCHSTONEmutual funds -$511,000
+6.2%
13,092
-1.5%
0.03%0.0%
LW SellLAMB WESTON HOLDINGS INC$483,000
+1.3%
7,293
-2.2%
0.03%
-3.3%
SellJOHN HANCOCK IIImutual funds -$496,000
+0.4%
27,931
-3.2%
0.03%
-6.5%
SellCLEARBRIDGE LARGE CAP GROWTHmutual funds -$451,000
+1.1%
6,852
-10.3%
0.03%
-3.6%
SellPIMCOmutual funds -$437,000
-2.7%
37,334
-4.4%
0.03%
-7.1%
CB SellCHUBB LIMITED$438,000
-15.9%
3,769
-8.3%
0.03%
-21.2%
SellAMERICAN FUNDSmutual funds -$421,000
+8.5%
7,821
-3.6%
0.02%
+4.2%
SellDELAWAREmutual funds -$410,000
-14.4%
8,446
-14.4%
0.02%
-20.0%
SellNUVEENmutual funds -$382,000
-15.9%
23,209
-16.2%
0.02%
-20.7%
SellVICTORY SYCAMOREmutual funds -$323,000
-27.7%
9,113
-31.1%
0.02%
-32.1%
SellVANGUARDmutual funds -$263,000
-0.8%
10,337
-1.7%
0.02%
-5.9%
FLT SellFLEETCOR TECHNOLOGIES INC$270,000
-22.6%
1,135
-18.3%
0.02%
-27.3%
SellAMERICAN FUNDSmutual funds -$180,000
-68.1%
10,846
-70.0%
0.01%
-69.4%
GE ExitGENERAL ELEC CO COM$0-11,500
-100.0%
-0.01%
ExitBLACKROCKmutual funds -$0-11,994
-100.0%
-0.01%
ExitJOHN HANCOCK FUNDS IImutual funds -$0-14,780
-100.0%
-0.01%
ExitLINCOLN NAT'L LIFE INSURANCEinsurance polic$0-1
-100.0%
-0.01%
ExitJOHN HANCOCK LIFE INSURANCE COinsurance polic$0-1
-100.0%
-0.02%
ExitJOHN HANCOCK LIFE INSURANCE COinsurance polic$0-1
-100.0%
-0.02%
ExitANTHEM INCcorporate bonds$0-540,000
-100.0%
-0.03%
ExitMCDONALD'S CORPcorporate bonds$0-625,000
-100.0%
-0.04%
ExitANALOG DEVICES, INC.corporate bonds$0-775,000
-100.0%
-0.05%
ExitAT&T INC.corporate bonds$0-1,017,000
-100.0%
-0.07%
PHM ExitPULTEGROUP INC$0-66,560
-100.0%
-0.14%
ExitECOLAB INC.corporate bonds$0-3,025,000
-100.0%
-0.20%
ExitEXELON GENERATION CO LLCcorporate bonds$0-4,150,000
-100.0%
-0.26%
ExitWASTE MANAGEMENT, INC.corporate bonds$0-4,860,000
-100.0%
-0.31%
Original filings

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

  • View 13F-HR filed 2020-10-09
Signatures

The EDGAR filing(s) were signed by:

Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
APPLE INC.33Q4 20216.5%
PEPSICO INC COM33Q4 20214.0%
BROWN CAPITAL MGMT33Q4 20213.7%
MICROSOFT CORP COM33Q4 20213.6%
FEDERATED MID CAP INDEX FUND 15333Q4 20212.6%
ABBVIE INC33Q4 20212.0%
PROCTER & GAMBLE33Q4 20212.0%
JP MORGAN CHASE & COMPANY33Q4 20211.5%
DISNEY33Q4 20211.3%
LOWES COS INC COM33Q4 20211.5%

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Latest filings
TypeFiled
13F-HR2022-02-07
13F-HR2021-10-28
13F-HR2021-07-13
13F-HR2021-04-08
13F-HR2021-01-06
13F-HR2020-10-09
13F-HR2020-07-13
13F-HR2020-04-07
13F-HR2020-01-24
13F-HR2019-07-19

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