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Size ($ in 1000's)
At 03/31/2024: $755,245 At 12/31/2023: $636,723
American National Bank holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from American National Bank 13F filings.
Link to 13F filings: SEC filings
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As of 03/31/2024, below is a summary of the American National Bank top holdings by largest position size, as per the latest 13f filing made by American National Bank.
In the American National Bank-top-holdings-table below, each of the top holdings by name is presented in the first column, followed by the amount of shares
held by American National Bank in that top holding, then the share count change between reporting periods, and finally the American National Bank top holding position size
for that row.
Entity | Amount | Change
12/31/2023 to 03/31/2024 |
Position Size
($ in 1000's) |
Microsoft Corp Com |
99,893 |
+3,084 |
$42,027 | MSFT | 99,893 | +3,084 | $42,027 | Amazon Com Inc |
202,648 |
+14,925 |
$36,554 | AMZN | 202,648 | +14,925 | $36,554 | Alphabet Inc |
237,409 |
+44,262 |
$35,832 | GOOGL | 237,409 | +44,262 | $35,832 | GS ActiveBeta US Small Cap |
504,448 |
+20,288 |
$33,067 | GSSC | 504,448 | +20,288 | $33,067 | Apple Computer Inc |
192,245 |
+23,827 |
$32,966 | AAPL | 192,245 | +23,827 | $32,966 | Berkshire Hathaway Inc Cl B New |
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$26,991 | BRK.B | 56,642 | +3,332 | $23,819 | BRK.A | 5 | UNCH | $3,172 | Lockheed Martin Corp |
36,577 |
+7,731 |
$16,638 | LMT | 36,577 | +7,731 | $16,638 | Goldman Sachs Activebeta International Equity Etf Actvbt Intereqy (GSIE) |
441,519 |
+11,071 |
$15,140 | GSIE | 441,519 | +11,071 | $15,140 | Costco Wholesale Corp COMMON |
20,504 |
+119 |
$15,022 | COST | 20,504 | +119 | $15,022 | Wal Mart Stores Inc Com |
241,009 |
+164,491 |
$14,502 | WMT | 241,009 | +164,491 | $14,502 | Home Depot Inc Com |
34,885 |
+1,671 |
$13,382 | HD | 34,885 | +1,671 | $13,382 | Broadcom Inc |
9,874 |
-282 |
$13,087 | AVGO | 9,874 | -282 | $13,087 | Unitedhealth Group Inc Com |
24,833 |
+4,130 |
$12,285 | UNH | 24,833 | +4,130 | $12,285 | Exxon Mobil Corp Com |
102,590 |
+11,955 |
$11,925 | XOM | 102,590 | +11,955 | $11,925 | VISA Inc |
42,531 |
+1,993 |
$11,870 | V | 42,531 | +1,993 | $11,870 | Chevron Corp New Com |
75,037 |
+13,451 |
$11,836 | CVX | 75,037 | +13,451 | $11,836 | Fiserv Inc Common |
73,692 |
+2,015 |
$11,777 | FI | 73,692 | +2,015 | $11,777 | Procter & Gamble Co Com |
72,294 |
-4,627 |
$11,730 | PG | 72,294 | -4,627 | $11,730 | Johnson & Johnson Com |
73,938 |
+3,743 |
$11,696 | JNJ | 73,938 | +3,743 | $11,696 | Abbvie Inc |
61,208 |
+1,816 |
$11,146 | ABBV | 61,208 | +1,816 | $11,146 | Linde Plc CORP COMMON |
23,606 |
+4,095 |
$10,961 | LIN | 23,606 | +4,095 | $10,961 | Accenture Plc Dublin Shsclass A |
31,342 |
+1,241 |
$10,863 | ACN | 31,342 | +1,241 | $10,863 | Autozone INC CORP COMMON |
3,271 |
+251 |
$10,309 | AZO | 3,271 | +251 | $10,309 | JPMorgan Chase & Co Com |
50,501 |
-787 |
$10,115 | JPM | 50,501 | -787 | $10,115 | Laboratory Corp Amer Hldgs Com New |
45,561 |
+12,754 |
$9,953 | LH | 45,561 | +12,754 | $9,953 | Ishares Core S&P 500 ETF (IVV) |
18,926 |
+849 |
$9,950 | IVV | 18,926 | +849 | $9,950 | Stryker Corp Com |
26,800 |
+854 |
$9,591 | SYK | 26,800 | +854 | $9,591 | Union Pac Corp Com |
37,609 |
+2,345 |
$9,249 | UNP | 37,609 | +2,345 | $9,249 | Caterpillar Inc Del Com |
24,862 |
+329 |
$9,110 | CAT | 24,862 | +329 | $9,110 | Amgen Inc Com |
31,955 |
+11,297 |
$9,085 | AMGN | 31,955 | +11,297 | $9,085 | Roper Industries Inc |
15,650 |
+398 |
$8,777 | ROP | 15,650 | +398 | $8,777 | Ishares Russell 1000 Index Fund Etf (IWB) |
29,760 |
UNCH |
$8,572 | IWB | 29,760 | UNCH | $8,572 | KLA Tencor Corp Common |
11,678 |
-313 |
$8,158 | KLAC | 11,678 | -313 | $8,158 | Marriott International INC CLASS A CORP COMMON |
30,794 |
+303 |
$7,770 | MAR | 30,794 | +303 | $7,770 | Valero Energy Corp New Com |
40,943 |
+3,911 |
$6,989 | VLO | 40,943 | +3,911 | $6,989 | Air Products & Chemicals Inc |
28,751 |
+19,364 |
$6,966 | APD | 28,751 | +19,364 | $6,966 | Intuit Common |
10,442 |
+331 |
$6,787 | INTU | 10,442 | +331 | $6,787 | Ishares Tr Core S&P Mid Cap ETF (IJH) |
110,835 |
+88,337 |
$6,732 | IJH | 110,835 | +88,337 | $6,732 | Applied Materials INC Material CORP COMMON |
30,154 |
+1,211 |
$6,219 | AMAT | 30,154 | +1,211 | $6,219 | Pepsico Inc Com |
31,543 |
+1,693 |
$5,520 | PEP | 31,543 | +1,693 | $5,520 | Target Corp Com |
30,120 |
+1,239 |
$5,338 | TGT | 30,120 | +1,239 | $5,338 | Goldman Sachs Activebeta US Large Cap Equity Etf Actvbeta Lrg (GSLC) |
51,146 |
+8,920 |
$5,308 | GSLC | 51,146 | +8,920 | $5,308 | SPDR Tr Unit Ser 1 (SPY) |
10,027 |
-375 |
$5,245 | SPY | 10,027 | -375 | $5,245 | McDonalds Corp Com |
18,593 |
+4,010 |
$5,242 | MCD | 18,593 | +4,010 | $5,242 | Lilly Eli & Co Com |
6,495 |
-224 |
$5,053 | LLY | 6,495 | -224 | $5,053 | SPDR Dow Jones Indl Average (DIA) |
12,409 |
-643 |
$4,936 | DIA | 12,409 | -643 | $4,936 | Nvidia Corp |
5,226 |
-337 |
$4,722 | NVDA | 5,226 | -337 | $4,722 | Medtronic Plc Dublin Shs |
52,379 |
+9,918 |
$4,565 | MDT | 52,379 | +9,918 | $4,565 | Nextera Energy Inc |
68,046 |
+3,123 |
$4,349 | NEE | 68,046 | +3,123 | $4,349 | Merck & Co Inc New |
29,815 |
-1,072 |
$3,934 | MRK | 29,815 | -1,072 | $3,934 |
See Full List: All Stocks Held By American National Bank
— Including: Biggest new positions Biggest exits Biggest increased positions Biggest decreased positions
See Details: Top 10 Stocks Held By American National Bank
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