AMERICAN NATIONAL BANK & TRUST

Holdings as of 2026-06-30, filed 2026-07-22

This is history, not a current position. These holdings describe 2026-06-30, and the report became public 22 days later. The portfolio has changed since.

Aggregates

computed from the positions below
Positions reported
631
Value reported by manager
$1.2B
Sum of our stored positions
$1.2B
should match the line above
Disclosure lag
22 d
quarter end to filing
Top 5 concentration
23.8%
of the positions shown
New positions
0
vs previous quarter
Exited
0
vs previous quarter
Option positions
0
puts and calls

Positions

200 largest shown
IssuerClassValueSharesTypeCUSIP
Alphabet IncCAP STK CL A$79.3M221,77502079K305
Apple Computer IncCOM$54.8M189,245037833100
GS ActiveBeta US Small CapACTIVEBETA US$50.1M548,883381430602
Amazon Com IncCOM$45.8M192,069023135106
Broadcom IncCOM$42.3M111,84811135F101
KLA-Tencor Corp CommonCOM NEW$41.1M136,103482480100
Microsoft Corp ComCOM$36.5M97,857594918104
Goldman Sachs Activebeta International Equity Etf Actvbt IntereqyACTIVEBETA INT$35.2M770,380381430107
Berkshire Hathaway Inc Cl B NewCL B NEW$32.1M64,191084670702
Applied Materials Inc. Ordinary SharesCOM$31.1M43,072038222105
Wal Mart Stores Inc ComCOM$29.4M259,611931142103
Caterpillar Inc Del ComCOM$28.4M26,712149123101
Johnson & Johnson ComCOM$23M90,625478160104
Costco Wholesale Corp Ordinary SharesCOM$19.9M21,31422160K105
Abbvie IncCOM$19.4M77,06700287Y109
Lilly Eli & Co ComCOM$19M15,875532457108
Lockheed Martin CorpCOM$19M37,339539830109
Linde Plc. Ordinary SharesSHS$18.3M35,308G54950103
JPMorgan Chase & Co ComCOM$18.1M55,27946625H100
VISA IncCOM CL A$17.5M50,89892826C839
Nvidia CorpCOM$16.3M81,59267066G104
Chevron Corp New ComCOM$15.5M93,328166764100
Goldman Sachs Etf Trust Nasdaq-100 Premium IncomeNASDAQ-100 PREMI$15.2M256,48238149W630
Labcorp Holdings Inc. Ordinary SharesCOM SHS$13.8M49,461504922105
Valero Energy Corp New ComCOM$13.8M53,08391913Y100
Home Depot Inc ComCOM$13.7M38,765437076102
Goldman Sachs Activebeta Em Mkts Equity Etf Gldmn Sach Actvbeta Emrg Mkt EqyACTIVEBETA EME$13.5M259,995381430206
Ishares Core S&P 500 ETFCORE S&P500 ETF$13.1M17,451464287200
Marriott International INC CLASS A CORP COMMONCL A$13M35,184571903202
Amgen Inc ComCOM$12.7M34,999031162100
General Dynamics Corp ComCOM$12.6M35,618369550108
Union Pac Corp ComCOM$12.4M45,528907818108
General ElectricCOM NEW$11.2M30,060369604301
Stryker Corp ComCOM$10.4M32,942863667101
Blackrock Institutional Trust Company N.A. Ishares Russell 1000 EtfRUS 1000 ETF$10.3M25,102464287622
Exxon Mobil Corp ComCOM$10.2M74,31430231G102
Abrdn Bloomberg All Cmdty Lngr Dated Strat K-1 Fr Blmbr Al Cm Ln D Sy K 1 EtfBBRG ALL COMMDY$10M291,558003261203
Nextera Energy IncCOM$9.2M104,36465339F101
Goldman Sachs Physical Gold Etf TrustUNIT$8.7M220,35138150K103
Autozone Inc. Ordinary SharesCOM$8.6M2,693053332102
Ishares Tr Core S&P Mid-Cap ETFCORE S&P MCP ETF$8.1M105,197464287507
Verizon Communications ComCOM$7.9M186,27192343V104
Procter & Gamble Co ComCOM$7.5M51,390742718109
Medtronic Plc, Dublin ShsSHS$7M89,915G5960L103
Air Products & Chemicals IncCOM$6.6M22,567009158106
State Street SPDR S&P 500 ETF TrustTR UNIT$6.5M8,74878462F103
Alphabet Inc Cap Stk Cl CCAP STK CL C$6.3M17,77202079K107
Disney Walt Co ComCOM$6.2M63,980254687106
State Street SPDR Dow Jones Indl Average ETF TrustUT SER 1$5.5M10,62378467X109
McDonalds Corp ComCOM$5M18,634580135101
Fidelity Msci Information Technology Index Etf Infor Tech IndxMSCI INFO TECH I$4.4M15,433316092808
Meta Platforms Inc Ordinary Shares - Class ACL A$4M7,15930303M102
Goldman Sachs Activebeta US Large Cap Equity Etf Actvbeta LrgACTIVEBETA US LG$3.8M26,842381430503
Merck & Co Inc NewCOM$3.5M26,99858933Y105
Ishares Tr Sp Smallcap 600 Index FCORE S&P SCP ETF$3.5M23,372464287804
State Street Real Estate Select Sector SPDR EtfRL EST SEL SEC$3.4M77,75481369Y860
Palantir Technologies Inc Ordinary Shares - Class ACL A$3.4M29,29969608A108
Pepsico Inc ComCOM$3.2M23,804713448108
Ishares Core Total US BondCORE US AGGBD ET$3.2M32,166464287226
International Business Mach ComCOM$3.1M11,127459200101
Duke Energy Corp NewCOM NEW$3M24,09626441C204
Berkshire Hathaway Inc Del Cl ACL A$3M4084670108
Mastercard IncCL A$2.7M5,34957636Q104
Invesco QQQ Trust Series 1 Invsc Srs ETFUNIT SER 1$2.7M3,68446090E103
Lam Research Corp. Ordinary SharesCOM NEW$2.6M5,938512807306
RTX CorporationCOM$2.4M12,80875513E101
Corning Inc ComCOM$2.3M9,055219350105
Motorola Solutions Inc Com NewCOM NEW$2.1M5,161620076307
Lowes Cos Inc ComCOM$2.1M9,668548661107
Unitedhealth Group Inc ComCOM$2.1M5,08991324P102
Illinois Works Inc ComCOM$2.1M7,776452308109
Centerpoint Energy IncCOM$2.1M47,18815189T107
Schwab 5-10 Year Corporate Bond Etf 5 10 Corp5 10YR CORP BD$2M88,144808524698
Vanguard Short-term Corporate Bd ETFSHRT TRM CORP BD$1.9M24,28192206C409
Vanguard Group, Inc. Short-Term Treasury EtfSHORT TERM TREAS$1.9M32,56992206C102
Quest Diagnostics, Inc. Ordinary SharesCOM$1.9M8,77374834L100
Old Republic International Corp COMMONCOM$1.8M45,068680223104
Welltower INC CORP COMMONCOM$1.8M7,99295040Q104
Yum Brands Inc ComCOM$1.8M11,206988498101
Fastenal CO CORP COMMONCOM$1.7M35,564311900104
Fidelity Msci Consumer Discretionary Index Etf Cons Discr IndxMSCI CONSM DIS$1.6M15,641316092204
Fidelity Msci Industrials Index Etf IndxMSCI INDL INDX$1.6M16,072316092709
Fidelity Msci Communication Services Index Etf Comm SrvMSCI COMMNTN SVC$1.6M22,478316092873
Texas Instrs Inc ComCOM$1.6M5,235882508104
T-Mobile US INC T Mobile CORP COMMONCOM$1.5M9,233872590104
Automatic Data Processing IncomCOM$1.5M6,528053015103
LP Enterprise PartnersCOM$1.5M39,521293792107
Conocophillips ComCOM$1.4M13,92120825C104
Waste Mgmt Inc Del ComCOM$1.4M6,42894106L109
Seagate Technology Plc Holdings CORP COMMONORD SHS$1.4M1,479G7997R103
Tesla Mtrs IncCOM$1.4M3,30288160R101
Marathon Petroleum CorpCOM$1.4M5,35456585A102
Intel Corp ComCOM$1.4M9,716458140100
Eaton Corp PLCSHS$1.4M3,171G29183103
Ishares Trust S&P Smallcap 600 Value Index FDSP SMCP600VL ETF$1.3M9,800464287879
Fidelity Msci Health Care Index Etf IndxMSCI HLTH CARE I$1.3M17,267316092600
Ishares Tr Russell 2000RUSSELL 2000 ETF$1.3M4,172464287655
Freeport-McMoran Inc.CL B$1.2M19,73035671D857
Vanguard S&P 500 ETFS&P 500 ETF SHS$1.2M1,793922908363
Fidelity Msci Financials Index Etf IndxMSCI FINLS IDX$1.2M16,018316092501
Packaging Corp Of America COMMONCOM$1.2M5,080695156109
Bank of America Corporation ComCOM$1.2M21,046060505104
Prologis IncCOM$1.2M8,80874340W103
Kroger Co ComCOM$1.2M20,853501044101
Garmin LTDSHS$1.1M4,799H2906T109
American Tower Corp ReitCOM$1.1M6,93003027X100
Vanguard Russell 1000 Growth EtfVNG RUS1000GRW$1.1M8,59092206C680
Cummins IncCOM$1.1M1,502231021106
Ishares Russell 1000 Value Index FundRUS 1000 VAL ETF$1.1M4,381464287598
3M Co ComCOM$1.1M6,53188579Y101
EOG Resources Inc ComCOM$1M8,03226875P101
Philip Morris Intl IncCOM$1M5,660718172109
Altria Group Inc ComCOM$1M14,11202209S103
Vanguard Total Stock MarketTOTAL STK MKT$1M2,710922908769
Blackrock Institutional Trust Company N.A. Ishares Russell Mid-Cap EtfRUS MID CAP ETF$966.4K8,760464287499
AT&T IncCOM$941.4K45,47800206R102
Ishares Gold Trust EtfISHARES NEW$939.4K12,441464285204
Ishares Msci Eafe Index FundMSCI EAFE ETF$932.1K8,973464287465
Colgate Palmolive Co ComCOM$920K10,035194162103
Allegion Plc CORP COMMONORD SHS$909.8K6,476G0176J109
T. Rowe Price Group INC T CORP COMMONCOM$903.7K7,94974144T108
American Express Co ComCOM$867.9K2,566025816109
Oracle Corp ComCOM$860.8K5,87468389X105
Fidelity Msci Consumer Staples Index Etf Cons Stpls IndxCONSMR STAPLES$849.2K16,165316092303
Vanguard Mid-cap Index Fund Mid Cap EtfMID CAP ETF$835.8K10,374922908629
Ishares 1500 Index FundCORE S&P TTL STK$790.5K4,812464287150
Vanguard Value Index Fund EtfVALUE ETF$789.3K3,622922908744
Masco Corp COMMONCOM$763.6K9,385574599106
Dell Technologies INC CLASS C CORP COMMONCL C$758.9K1,75924703L202
Northrop Grumman Corp ComCOM$757.8K1,488666807102
Qualcomm Inc ComCOM$756.1K4,092747525103
Fidelity Covington Trust Msci Materials Index EtfMSCI MATLS INDEX$727.2K12,431316092881
Realty Income CorpCOM$725.7K11,713756109104
Sun Communities, Inc. Ordinary SharesCOM$719.5K6,000866674104
Regions Financial Corp. Ordinary SharesCOM$701.8K23,2397591EP100
Morgan Stanley CORP COMMONCOM NEW$700.3K3,350617446448
Fidelity Msci Utilities Index Etf IndxMSCI UTILS INDEX$668.1K11,438316092865
Vanguard Tax-exempt Bond Index Fund Muni Bnd Tax Exempt EtfTAX EXEMPT BD$654.8K12,947922907746
Abbott Labs ComCOM$651K7,175002824100
Cintas Corp CommonCOM$644.8K3,791172908105
Omnicom Group INC CORP COMMONCOM$637.1K8,748681919106
Cincinnati Financial Corp. Ordinary SharesCOM$629.5K3,400172062101
Pentair PLCSHS$614.6K8,018G7S00T104
Blackstone Group INC CORP COMMONCOM$606.9K5,15809260D107
Southern CompanyCOM$598.6K6,254842587107
Taiwan Semiconductor Mfg Co LTDSPONSORED ADS$591.2K1,238874039100
Cisco Sys Inc ComCOM$590.4K5,02717275R102
Oneok Inc New ComCOM$571.1K6,569682680103
Fidelity Msci Energy Index Etf IndxMSCI ENERGY IDX$569.8K19,280316092402
Monolithic Power Systems INC CORP COMMONCOM$551.5K399609839105
Brookfield Infrastructure Partners L.P UnitLP INT UNIT$550.1K15,075G16252101
Goldman Sachs Hedge Ind VIP ETFHEDGE IND ETF$540.2K2,863381430545
Pfizer Inc ComCOM$536.3K22,270717081103
Blackrock Institutional Trust Company N.A. Ishares Core Msci Emerging Markets EtfCORE MSCI EMKT$535.7K6,46746434G103
Servicenow Inc CommonCOM$517.3K5,21181762P102
Danaher Corp ComCOM$511.2K2,684235851102
Kimberly Clark Corp ComCOM$509.5K4,642494368103
CEF Ishares Russell 2000 ValueRUS 2000 VAL ETF$499.9K2,260464287630
Coca Cola Co ComCOM$493.3K6,070191216100
Dorchester Minerals Lpcom UnitsCOM UNIT$484.5K19,19025820R105
Comcast CorpCL A$481.7K19,62420030N101
Occidental Pete Corp Del ComCOM$480K9,883674599105
Mercury General Corp COMMONCOM$479.8K4,500589400100
Gilead Sciences Inc. ComCOM$452K3,578375558103
Vici Properties Inc Ordinary SharesCOM$445.3K16,773925652109
Rockwell Automation Inc CommonCOM$430.7K870773903109
Ishares Msci Usa Quality Factor Etf Qlty FactMSCI USA QLT FCT$430.1K1,96046432F339
Advanced Micro Devices INC CORP COMMONCOM$427.5K736007903107
Nasdaq Stock MarketCOM$426.8K5,415631103108
Intuit CommonCOM$424.6K1,627461202103
Otis Worldwide Corp COMMONCOM$423.1K5,90968902V107
Vanguard Ftse Developed Market ETFVAN FTSE DEV MKT$412.9K5,795921943858
Vanguard Small CapSMALL CP ETF$408.3K1,347922908751
Mplx Lp COMMON UntCOM UNIT REP LTD$401.4K7,12655336V100
Micron Technology INC CORP COMMONCOM$397.1K344595112103
Omega Healthcare Investors, Inc. Ordinary SharesCOM$389.9K8,177681936100
NXP Semiconductors N.v., Eindhoven ShsCOM$388.4K1,382N6596X109
Southern Copper CorpCOM$386K2,20284265V105
Devon Energy Corp New ComCOM$385.4K9,32925179M103
Ge Vernova INC CORP COMMONCOM$385.4K32836828A101
Campbells Co (The) Ordinary SharesCOM$385K17,290134429109
The Hershey CompanyCOM$382.3K2,179427866108
Manulife Finl Corp CommonCOM$382K9,42956501R106
Ares Capital Corp COMMONCOM$370.6K20,00004010L103
Moodys Corp CommonCOM$370.5K818615369105
Vanguard REIT Viper VNQREAL ESTATE ETF$360.6K3,740922908553
State Street Select Industrial SelectSector Spdr EtfINDL$359.7K1,94281369Y704
Williams Cos Inc Del ComCOM$357.4K4,808969457100
Deere & Co ComCOM$352.7K556244199105
TJX Cos Inc New ComCOM$351K2,317872540109
Cabot Corp COMMONCOM$336K3,700127055101
Booking Holdings IncCOM$334.2K1,87509857L108
State Street Energy Select Sector Spdr EtfENERGY$319.9K6,02481369Y506
Resmed INC CORP COMMONCOM$314.1K1,612761152107
Emerson Elec Co ComCOM$313.5K2,190291011104
Main Street Capital Corporation Ordinary SharesCOM$311.3K6,00056035L104
Halliburton Co ComCOM$305.6K9,000406216101
Analog Devices Inc ComCOM$300.3K756032654105
Brown-Forman Corp Brown Forman CLASS B COMMONCL B$296.4K11,122115637209
State Street Technology Select Sect SPDR EtfTECHNOLOGY$293.6K1,54181369Y803
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 2026-07-22