STOCK YARDS BANK & TRUST CO

Holdings as of 2026-06-30, filed 2026-08-19

This is history, not a current position. These holdings describe 2026-06-30, and the report became public 50 days later. The portfolio has changed since.

Aggregates

computed from the positions below
Positions reported
694
Value reported by manager
$3.5B
Sum of our stored positions
$3.5B
should match the line above
Disclosure lag
50 d
quarter end to filing
Top 5 concentration
20.0%
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 INCCOMMON STOCK$146.7M410,43902079K305
ISHARESMUTUAL FUNDS -$138.6M185,025464287200
APPLE INCCOMMON STOCK$127.5M440,768037833100
ELI LILLY COCOMMON STOCK$125.2M104,384532457108
MICROSOFT CORPCOMMON STOCK$106.7M286,149594918104
BROADCOM INCCOMMON STOCK$95.9M253,75511135F101
STOCK YARDS BANCORP INCCOMMON STOCK$89.3M1,167,312861025104
ASML HOLDING NV ADRCOMMON STOCK$88.4M44,448N07059210
ISHARESMUTUAL FUNDS -$82.9M798,030464287465
J P MORGAN CHASE & COCOMMON STOCK$80.8M246,82446625H100
NVIDIA CORPCOMMON STOCK$80.3M401,44967066G104
AMAZON.COM INCCOMMON STOCK$80.1M336,180023135106
PALO ALTO NETWORKS INCCOMMON STOCK$62.9M184,461697435105
VISA INCCOMMON STOCK$61.5M179,14492826C839
ISHARESMUTUAL FUNDS -$58.4M529,564464287499
ISHARESMUTUAL FUNDS -$55.6M185,056464287655
SPDR S&P 500 ETF TRUSTMUTUAL FUNDS -$46.4M62,08178462F103
NEXTERA ENERGY INCCOMMON STOCK$46.1M524,75865339F101
ISHARESMUTUAL FUNDS -$43.5M859,83046434V860
QUANTA SERVICESCOMMON STOCK$43.1M59,86374762E102
COSTCO WHOLESALE CORPCOMMON STOCK$41.9M44,79722160K105
EMCOR GROUP INCCOMMON STOCK$41.6M50,11829084Q100
EXPEDIA GROUP INCCOMMON STOCK$40.7M158,97230212P303
ORACLE CORPCOMMON STOCK$36.4M248,38968389X105
FIRST TRUSTMUTUAL FUNDS -$36M1,330,67333739H101
META PLATFORMS INCCOMMON STOCK$35.2M62,47630303M102
WASTE MANAGEMENT INCCOMMON STOCK$32.6M146,27194106L109
HOME DEPOT INCCOMMON STOCK$31.5M89,381437076102
J P MORGAN CHASE & COCOMMON STOCK$31.3M95,66046625H100
PHILIP MORRIS INTERNATIONALCOMMON STOCK$29.2M161,586718172109
LINDE PLCCOMMON STOCK$28.3M54,615G54950103
BLACKROCK INCCOMMON STOCK$27.3M28,34909290D101
UNITEDHEALTH GROUP INCCOMMON STOCK$22.3M53,69291324P102
CHEVRON CORPCOMMON STOCK$21.5M129,719166764100
EQUINIX INCCOMMON STOCK$21.1M20,28729444U700
APPLE INCCOMMON STOCK$20.9M72,220037833100
CHENIERE ENERGYCOMMON STOCK$20.4M85,41316411R208
AVANTISMUTUAL FUNDS -$19.6M156,970025072877
ALPHABET INCCOMMON STOCK$19.5M55,22402079K107
BERKSHIRE HATHAWAY INCCOMMON STOCK$19.5M26084670108
SERVICENOW INCCOMMON STOCK$19.4M195,48481762P102
MICROSOFT CORPCOMMON STOCK$19.4M51,896594918104
STRYKER CORPCOMMON STOCK$18.5M58,856863667101
ISHARESMUTUAL FUNDS -$17.5M255,179464287234
CHURCHILL DOWNS INCCOMMON STOCK$17.2M191,423171484108
APOLLO GLOBAL MANAGEMENT INCCOMMON STOCK$17.1M144,68703769M106
JOHNSON & JOHNSONCOMMON STOCK$17.1M67,189478160104
BERKSHIRE HATHAWAY INCCOMMON STOCK$16.6M33,210084670702
EXXON MOBIL CORPORATIONCOMMON STOCK$16.6M121,26030231G102
NVIDIA CORPCOMMON STOCK$16M79,78067066G104
ALPHABET INCCOMMON STOCK$15.8M44,10002079K305
EXXON MOBIL CORPORATIONCOMMON STOCK$15.2M111,17130231G102
PROCTER & GAMBLE COCOMMON STOCK$14.4M98,035742718109
CATERPILLAR INCCOMMON STOCK$14.3M13,456149123101
SLB LTDCOMMON STOCK$14.3M306,768806857108
ELI LILLY COCOMMON STOCK$13.7M11,438532457108
VANGUARDMUTUAL FUNDS -$13.7M19,949922908363
ABBVIE INCCOMMON STOCK$12.3M48,78200287Y109
ABBOTT LABORATORIESCOMMON STOCK$12.2M133,955002824100
SPDR GOLD TRUSTMUTUAL FUNDS -$11.9M32,36878463V107
ASML HOLDING NV ADRCOMMON STOCK$11.5M5,786N07059210
CISCO SYSTEMS INCCOMMON STOCK$11.3M96,07517275R102
ISHARESMUTUAL FUNDS -$11.1M89,299464287614
SEMPRA ENERGYCOMMON STOCK$11M118,235816851109
AMERICAN TOWER CORPCOMMON STOCK$10.9M66,34303027X100
VANGUARDMUTUAL FUNDS -$10.8M29,200922908769
PEPSICO INCCOMMON STOCK$10.5M77,711713448108
AMAZON.COM INCCOMMON STOCK$10.4M43,739023135106
BROADCOM INCCOMMON STOCK$10M26,48711135F101
INTUITIVE SURGICAL INCCOMMON STOCK$9.8M24,58846120E602
ISHARESMUTUAL FUNDS -$9.7M26,553464287101
ISHARESMUTUAL FUNDS -$9.5M64,557464287481
COCA COLA COCOMMON STOCK$9.4M115,315191216100
MCDONALDS CORPCOMMON STOCK$9.1M33,664580135101
PROCTER & GAMBLE COCOMMON STOCK$9.1M61,914742718109
ANALOG DEVICES INCCOMMON STOCK$9M22,576032654105
CONSTELLATION BRANDS INCCOMMON STOCK$8.5M61,05621036P108
INVESCOMUTUAL FUNDS -$8.5M11,52046090E103
CHURCHILL DOWNS INCCOMMON STOCK$8.3M92,883171484108
COCA COLA COCOMMON STOCK$8.3M102,175191216100
PALO ALTO NETWORKS INCCOMMON STOCK$8.3M24,328697435105
ISHARESMUTUAL FUNDS -$7.9M76,008464287465
MERCK & COCOMMON STOCK$7.9M61,18658933Y105
MARSH & MCLENNAN COMPANIES INCCOMMON STOCK$7.3M43,559571748102
WALMART INCCOMMON STOCK$7.2M63,679931142103
VISA INCCOMMON STOCK$7M20,43692826C839
EATON CORP PLCCOMMON STOCK$7M16,399G29183103
JOHNSON & JOHNSONCOMMON STOCK$6.9M27,261478160104
SPDR S&P 500 ETF TRUSTMUTUAL FUNDS -$6.8M9,11878462F103
ISHARESMUTUAL FUNDS -$6.8M70,48846429B697
MORGAN STANLEYCOMMON STOCK$6.7M32,234617446448
STOCK YARDS BANCORP INCCOMMON STOCK$6.7M87,742861025104
PHILIP MORRIS INTERNATIONALCOMMON STOCK$6.5M36,005718172109
ISHARESMUTUAL FUNDS -$6.3M57,121464287499
PNC FINANCIAL SERVICESCOMMON STOCK$6.2M25,229693475105
NEXTERA ENERGY INCCOMMON STOCK$6.1M69,82265339F101
BLACKROCKMUTUAL FUNDS -$6.1M117,859092528504
SPDRMUTUAL FUNDS -$6M31,54681369Y803
ISHARESMUTUAL FUNDS -$6M7,949464287200
TJX COMPANIES INCCOMMON STOCK$5.9M39,252872540109
MASTERCARD INCCOMMON STOCK$5.9M11,54257636Q104
ISHARESMUTUAL FUNDS -$5.9M14,903464287648
ISHARESMUTUAL FUNDS -$5.9M60,63446432F842
APPLIED MATERIALSCOMMON STOCK$5.8M7,990038222105
EMCOR GROUP INCCOMMON STOCK$5.7M6,87129084Q100
ISHARESMUTUAL FUNDS -$5.7M74,188464288877
INTEL CORPCOMMON STOCK$5.7M40,568458140100
DEERE & COMPANYCOMMON STOCK$5.6M8,882244199105
EXPEDIA GROUP INCCOMMON STOCK$5.4M21,16130212P303
CHEVRON CORPCOMMON STOCK$5.4M32,448166764100
ARISTA NETWORKS INCCOMMON STOCK$5.3M31,100040413205
COSTCO WHOLESALE CORPCOMMON STOCK$5.3M5,61422160K105
MOTOROLACOMMON STOCK$5.2M12,545620076307
ISHARESMUTUAL FUNDS -$5.2M21,373464287598
ISHARESMUTUAL FUNDS -$5.1M17,070464287655
STATE STREET SPDR S&P 500MUTUAL FUNDS -$5.1M216,02978468R606
INTERNATIONAL BUSINESSCOMMON STOCK$4.9M17,426459200101
QUANTA SERVICESCOMMON STOCK$4.7M6,53374762E102
VANGUARDMUTUAL FUNDS -$4.6M64,956921943858
ISHARESMUTUAL FUNDS -$4.5M17,643464287721
MONDELEZ INTERNATIONAL INCCOMMON STOCK$4.4M76,479609207105
ISHARESMUTUAL FUNDS -$4.3M43,276464287226
ORACLE CORPCOMMON STOCK$4.3M29,08268389X105
ISHARESMUTUAL FUNDS -$4.3M34,192464288885
INVESCOMUTUAL FUNDS -$4.1M19,48746137V357
ZOETIS INCCOMMON STOCK$4.1M57,39198978V103
ISHARESMUTUAL FUNDS -$4.1M49,63246434G103
WASTE MANAGEMENT INCCOMMON STOCK$4.1M18,29894106L109
LOCKHEED MARTIN CORPCOMMON STOCK$4.1M7,995539830109
BLACKSTONE INCCOMMON STOCK$4.1M34,43509260D107
GE AEROSPACECOMMON STOCK$4M10,812369604301
UNION PACIFIC CORPCOMMON STOCK$4M14,738907818108
META PLATFORMS INCCOMMON STOCK$4M7,02630303M102
STARBUCKS CORPCOMMON STOCK$3.9M37,833855244109
LINDE PLCCOMMON STOCK$3.8M7,314G54950103
VANGUARDMUTUAL FUNDS -$3.6M45,116922908629
TAIWAN SEMICONDUCTOR MFG LTD ADRCOMMON STOCK$3.5M7,370874039100
SUNCOR ENERGY INCCOMMON STOCK$3.5M65,033867224107
TESLA INCCOMMON STOCK$3.4M8,18288160R101
BLACKROCK INCCOMMON STOCK$3.4M3,54709290D101
ADVANCED MICRO DEVICES INCCOMMON STOCK$3.4M5,811007903107
CONOCOPHILLIPSCOMMON STOCK$3.4M32,36120825C104
DUKE ENERGY CORPCOMMON STOCK$3.4M26,57826441C204
MICRON TECHNOLOGY INCCOMMON STOCK$3.4M2,908595112103
ISHARESMUTUAL FUNDS -$3.4M21,454464287168
ENBRIDGE INCCOMMON STOCK$3.4M61,83129250N105
VANGUARDMUTUAL FUNDS -$3.3M14,119921908844
AMERICAN WATER WORKS CO INCCOMMON STOCK$3.2M24,553030420103
ISHARESMUTUAL FUNDS -$3.2M14,584464287630
AMGEN INCCOMMON STOCK$3.2M8,835031162100
HOME DEPOT INCCOMMON STOCK$3.2M9,028437076102
RTX CORPCOMMON STOCK$3.2M16,76775513E101
ALTRIA GROUP INCCOMMON STOCK$3.2M43,85402209S103
CATERPILLAR INCCOMMON STOCK$3.1M2,944149123101
ISHARESMUTUAL FUNDS -$3.1M37,511464287457
ILLINOIS TOOL WORKSCOMMON STOCK$3.1M11,354452308109
GE VERNOVA INCCOMMON STOCK$3M2,59536828A101
PNC FINANCIAL SERVICESCOMMON STOCK$3M12,367693475105
AVANTISMUTUAL FUNDS -$3M24,162025072877
DANAHER CORPORATIONCOMMON STOCK$3M15,789235851102
NORFOLK SOUTHERN CORPCOMMON STOCK$3M9,431655844108
MCDONALDS CORPCOMMON STOCK$3M10,932580135101
WILLIAMS COMPANIES INCCOMMON STOCK$2.9M39,394969457100
ISHARESMUTUAL FUNDS -$2.9M17,761464287473
CUMMINS INCCOMMON STOCK$2.8M3,917231021106
STRYKER CORPCOMMON STOCK$2.8M8,824863667101
LOWE'S COMPANIES INCCOMMON STOCK$2.7M12,339548661107
BRISTOL MYERS SQUIBB COCOMMON STOCK$2.7M46,959110122108
ISHARESMUTUAL FUNDS -$2.7M35,060464287507
VERIZON COMMUNICATIONSCOMMON STOCK$2.7M63,61392343V104
WISDOMTREEMUTUAL FUNDS -$2.7M65,54597717W604
INTERNATIONAL BUSINESSCOMMON STOCK$2.6M9,160459200101
ISHARESMUTUAL FUNDS -$2.5M33,094464288240
ALPHABET INCCOMMON STOCK$2.5M7,06902079K107
NETFLIX INCCOMMON STOCK$2.5M34,90664110L106
SHERWIN-WILLIAMS COMPANYCOMMON STOCK$2.5M7,202824348106
CVS HEALTH CORPORATIONCOMMON STOCK$2.5M23,813126650100
PHILLIPS 66COMMON STOCK$2.4M14,389718546104
BERKSHIRE HATHAWAY INCCOMMON STOCK$2.4M4,768084670702
GE AEROSPACECOMMON STOCK$2.4M6,371369604301
MERCK & COCOMMON STOCK$2.4M18,35858933Y105
CHENIERE ENERGYCOMMON STOCK$2.3M9,71716411R208
ABBVIE INCCOMMON STOCK$2.3M9,21600287Y109
QUALCOMM INCCOMMON STOCK$2.3M12,490747525103
BROWN FORMAN CORPCOMMON STOCK$2.3M84,084115637100
PEPSICO INCCOMMON STOCK$2.3M16,917713448108
ISHARESMUTUAL FUNDS -$2.3M15,214464287804
ISHARESMUTUAL FUNDS -$2.2M24,09946434G822
BERKSHIRE HATHAWAY INCCOMMON STOCK$2.2M3084670108
EMERSON ELECTRIC COCOMMON STOCK$2.2M15,688291011104
EQUINIX INCCOMMON STOCK$2.2M2,14829444U700
US BANCORPCOMMON STOCK$2.2M36,366902973304
FIRST TRUSTMUTUAL FUNDS -$2.2M59,98833740F755
WALMART INCCOMMON STOCK$2.2M19,275931142103
MARATHON PETROLEUM CORPCOMMON STOCK$2.1M8,35056585A102
DOLLAR TREE INCCOMMON STOCK$2.1M17,586256746108
YUM BRANDS INCCOMMON STOCK$2.1M13,195988498101
SLB LTDCOMMON STOCK$2M43,953806857108
ISHARESMUTUAL FUNDS -$2M26,745464285204
BANK OF AMERICA CORPCOMMON STOCK$2M35,416060505104
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 2026-08-19