AMARILLO NATIONAL BANK

Holdings as of 2026-06-30, filed 2026-07-15

This is history, not a current position. These holdings describe 2026-06-30, and the report became public 15 days later. The portfolio has changed since.

Aggregates

computed from the positions below
Positions reported
156
Value reported by manager
$623.8M
Sum of our stored positions
$623.8M
should match the line above
Disclosure lag
15 d
quarter end to filing
Top 5 concentration
37.8%
of the positions shown
New positions
0
vs previous quarter
Exited
0
vs previous quarter
Option positions
0
puts and calls

Positions

156 largest shown
IssuerClassValueSharesTypeCUSIP
iShares Core S&P 500 ETFCom$81.7M109,030464287200
iShares Core MSCI Intl Dev Mkts ETFCom$53.7M602,84846435G326
iShares Core US Aggregate Bond ETFCom$39.5M398,894464287226
iShares S&P 500 Value ETFCom$31M136,740464287408
iShares Core International Aggt Bd ETFCom$30.2M596,65146435G672
iShares MSCI Emerging Markets ETFCom$26.6M389,337464287234
S&P Depositary ReceiptCom$26.2M35,13878462F103
iShares S&P 500 Value ETFCom$25M109,895464287408
iShares S&P 500 Growth ETFCom$22M159,894464287309
iShares iBoxx $ High Yield Corp Bd ETFCom$17.3M215,898464288513
iShares Russell Mid-Cap ETFCom$15.8M143,093464287499
iShares Russell 2000 ETFCom$15M49,807464287655
iShares S&P 500 Growth ETFCom$12.5M90,779464287309
iShares MSCI Emerging Markets ETFCom$10.8M157,830464287234
Nvidia CorpCom$9.3M46,52767066G104
Apple Computer IncCom$8.9M30,722037833100
Wal-Mart Stores IncCom$8.4M74,177931142103
JP Morgan Chase & Co ComCom$8.3M25,50546625H100
iShares MSCI EAFE Index FundCom$8.1M77,694464287465
iShares Russell Mid-Cap ETFCom$7.7M69,494464287499
iShares Core S&P 500 ETFCom$7.5M9,979464287200
Microsoft Corp.Com$6M16,174594918104
iShares Core S&P 500 ETFCom$6M8,038464287200
iShares S&P 500 Growth ETFCom$5.7M41,550464287309
Amazon Com IncCom$5.3M22,120023135106
Alphabet Inc Cap Stk CL C CapCom$5M14,05702079K107
Alphabet Inc Cap Stk CL A Cap StkCom$4.9M13,83902079K305
S&P Depositary ReceiptCom$4.9M6,62078462F103
iShares Core US Aggregate Bond ETFCom$4.9M49,638464287226
iShares Russell 2000 ETFCom$4.8M16,012464287655
Atmos Energy CorporationCom$4.2M24,235049560105
iShares S&P 500 Value ETFCom$4.1M17,966464287408
iShares MSCI EAFE Index FundCom$4M38,027464287465
Prosperity Bancshares IncCom$3.9M53,521743606105
iShares JD Select DividendCom$3.8M24,247464287168
Exxon Hldgs Corp ComCom$3.6M26,15830233Q108
Caterpillar IncCom$3.6M3,346149123101
State Street Industrial Select Sec SPDR EFTCom$3.5M18,92081369Y704
Apple Computer IncCom$3.4M11,755037833100
iShares Russell Midcap ValueCom$3M18,209464287473
Global X FdsCom$3M33,41937954Y889
iShares JD Select DividendCom$2.9M18,739464287168
Dimensional U.S. Equity Market ETFCom$2.8M34,02825434V401
iShares Russell 2000 ETFCom$2.6M8,589464287655
S&P Depositary ReceiptCom$2.4M3,25178462F103
Nvidia CorpCom$2.3M11,53367066G104
Home Bancshares Inc ComCom$2.2M77,520436893200
Alphabet Inc Cap Stk CL A Cap StkCom$2.2M6,04702079K305
iShares S&P Midcap 400Com$2.1M27,845464287507
Oracle SystemsCom$1.9M13,13868389X105
iShares Russell Midcap GrwthCom$1.7M11,780464287481
Microsoft Corp.Com$1.7M4,476594918104
iShares JD Select DividendCom$1.6M10,369464287168
Berkshire Hathaway Inc-CL BCom$1.5M3,059084670702
American Express CoCom$1.4M4,027025816109
Wal-Mart Stores IncCom$1.3M11,743931142103
JP Morgan Chase & Co ComCom$1.3M4,06346625H100
iShares MSCI EAFE Index FundCom$1.3M12,699464287465
Mastercard Inc Class ACom$1.3M2,53957636Q104
Visa Inc Class ACom$1.3M3,73792826C839
Deere & Co - CommonCom$1.2M1,941244199105
Eli Lilly CompanyCom$1.2M1,000532457108
Apple Computer IncCom$1.2M4,004037833100
Visa Inc Class ACom$1.1M3,17692826C839
Dimensional ETF Trust US Mktwide ValueCom$1M19,08425434V724
WisdomTree U.S. Al Enhanced Value FundCom$922K7,03197717W406
Amazon Com IncCom$862.6K3,619023135106
Inspire Global Hope ETFCom$841.4K17,64466538H658
iShares Russell Midcap GrwthCom$818.4K5,590464287481
Eli Lilly CompanyCom$810.8K676532457108
iShares Barclays 1-3 Year Treasury Bond FundCom$788.6K9,604464287457
Chevron CorpCom$781.7K4,716166764100
Caterpillar IncCom$777.4K730149123101
Berkshire Hathaway IncCom$748.9K1084670108
Atmos Energy CorporationCom$746.3K4,332049560105
iShares Russell Midcap ValueCom$721.4K4,383464287473
J P Morgan Sustainable Municipal Inc. ACom$716.6K14,20746654Q815
Johnson & JohnsonCom$652.4K2,569478160104
iShares Tr Core MSCI EAFECom$640.5K6,63246432F842
iShares Barclays 7-10 Year Treasury Bond FundCom$640.2K6,770464287440
Analog Devices IncCom$578.7K1,457032654105
Wells Fargo & Co New Com StkCom$550.7K6,664949746101
Colgate Palmolive CoCom$527.2K5,750194162103
Dimensional ETF Trust US Small CapCom$500.3K6,07625434V500
Wal-Mart Stores IncCom$499.8K4,413931142103
Xcel Energy Inc ComCom$490.6K6,10998389B100
iShares Russell 2000 ValueCom$484.6K2,191464287630
CLI CapitalCom$466.7K93,333125627109
Broadcom Inc ComCom$445K1,17811135F101
Texas InstrumentsCom$423.3K1,420882508104
Coca-Cola Company - CommonCom$408K5,020191216100
Alphabet Inc Cap Stk CL C CapCom$392.9K1,11202079K107
Abbvie Inc ComCom$381.5K1,51600287Y109
Dimensional ETF Trust US Target ValueCom$381.3K5,45525434V609
Oneok Inc Com NewCom$376.7K4,333682680103
Unitedhealth Group IncCom$369.9K89091324P102
Vanguard Index Total Stock Mkt ETFCom$356K962922908769
Cisco Systems IncCom$352.5K3,00117275R102
Pfizer IncCom$349.5K14,513717081103
Valero Energy Corp Com Stk NewCom$325.6K1,25091913Y100
Intel CorpCom$309.3K2,215458140100
Digital Rlty Tr IncCom$299.4K1,667253868103
Vanguard Growth ETFCom$287.4K3,336922908736
Home Depot IncCom$282.5K801437076102
Prologis Inc ComCom$281.8K2,08074340W103
RTX CorporationCom$280.2K1,47775513E101
Danaher Corp DECom$264.8K1,390235851102
Vanguard Dividend Appreciation Index FundCom$257.9K1,090921908844
Western Digital CorpCom$256.1K401958102105
Marvell Technology GroupCom$253.2K850573874104
Meta Platforms Inc.Com$247.3K43930303M102
Illinois Tools Wks IncCom$244K902452308109
Starbucks CorpCom$231.9K2,269855244109
Advanced Micro Devices IncCom$231.2K398007903107
Xcel Energy Inc ComCom$224.8K2,80098389B100
AT&T Inc ComCom$224.4K10,83900206R102
State Street Technology Select Sec SPDR ETFCom$223.3K1,17281369Y803
International Business MachsCom$219.9K782459200101
iShares S&P Smallcap 600Com$219.5K1,480464287804
Costco Whsl Corp New ComCom$216.1K23122160K105
Dimensional ETF Trust US Core Equity 2Com$205.5K4,63225434V708
Vanguard Mid Cap ETFCom$204.6K2,540922908629
Philip Morris Intl IncCom$204.4K1,130718172109
Farmers National Banc CorpCom$204.4K14,000309627107
Corning IncCom$204.3K800219350105
Intercontinental Exchange GroupCom$203.9K1,65645866F104
Qualcomm IncCom$203.1K1,099747525103
Merck & Co Inc New ComCom$191.2K1,48858933Y105
Lowe's CompaniesCom$189.4K859548661107
Prosperity Bancshares IncCom$181.9K2,491743606105
Abbott LaboratoriesCom$180.6K1,990002824100
Oracle SystemsCom$179.8K1,22768389X105
Procter & Gamble - CommonCom$172.7K1,178742718109
Merck & Co Inc New ComCom$169K1,31558933Y105
Abbvie Inc ComCom$155.5K61800287Y109
Intel CorpCom$153.6K1,100458140100
Procter & Gamble - CommonCom$135.2K922742718109
Analog Devices IncCom$105.6K266032654105
Exxon Hldgs Corp ComCom$102.8K75230233Q108
Illinois Tools Wks IncCom$95.7K354452308109
iShares Russell Mid-Cap ETFCom$91.8K832464287499
American Express CoCom$81.2K240025816109
State Street Industrial Select Sec SPDR EFTCom$76.5K41381369Y704
Aberdeen Municipal Income FundCom$64.6K11,502552738106
Corning IncCom$51.1K200219350105
iShares Russell Midcap GrwthCom$49.2K336464287481
Mastercard Inc Class ACom$47.3K9257636Q104
Lowe's CompaniesCom$44.1K200548661107
Unitedhealth Group IncCom$41.6K10091324P102
Digital Rlty Tr IncCom$40.4K225253868103
Johnson & JohnsonCom$25.4K100478160104
Pfizer IncCom$24.1K1,000717081103
Abbott LaboratoriesCom$23.9K263002824100
Coca-Cola Company - CommonCom$16.3K200191216100
Cisco Systems IncCom$11.7K10017275R102
AT&T Inc ComCom$9K43700206R102
Values are shown exactly as filed. Before 2023 managers reported in thousands of dollars and afterwards in whole dollars; the reporting unit is not always determinable from the document, so nothing is converted automatically.

Source: U.S. Securities and Exchange Commission, Form 13F · as of 2026-07-15

AMARILLO NATIONAL BANK — 156 positions reported for 2026Q2 — Tapewire