Fund HoldingsFIRST NATIONAL BANK SIOUX FALLS

Total Portfolio Value
$365.53M
Total Bought
$0
Total Sold
$0
Net Transaction
$0
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
Abbott Laboratories03,870+3,87003690.10%+369
AbbVie Inc(ABBV)06,420+6,42001,3420.37%+1,342
Air Products & Chemicials Inc1,1781,17803503500.10%0
Alphabet Inc Cap Stk Class C(GOOG)3,2133,21301,0691,0690.29%0
Alphabet Inc Capital Stock Class A(GOOG)9,5519,55103,2093,2090.88%0
Amazon Com Inc(AMZN)23,61123,61105,8965,8961.61%0
American Electric Power Inc3,3753,37504544540.12%0
Americold Realty Trust Inc(COLD)50,42050,42006256250.17%0
Apollo Global Management Inc(APO)029,920+29,92003,6150.99%+3,615
Apple Inc(AAPL)022,230+22,23005,8551.60%+5,855
Armstrong World Industries(AWI)02,360+2,36004100.11%+410
ASML Holding NV
N Y REGISTRY SHS
97697601,3771,3770.38%0
Automatic Data Processing Inc01,313+1,31302630.07%+263
Avantis International Equity ETF284,980284,980025,69125,6917.03%0
Avantis Intl Small Cap Value ETF84,95684,95609,0429,0422.47%0
Avantis US Large Cap Value ETF225,021225,021019,03919,0395.21%0
Avantis US Mid Cap Value ETF36,72336,72302,8162,8160.77%0
Avantis US Small Cap Value ETF76,99976,99908,9108,9102.44%0
Bank of America Corp028,646+28,64601,5330.42%+1,533
Berkshire Hathaway Inc Class B011,139+11,13905,2921.45%+5,292
Black Hills Corp5,4835,48304214210.12%0
Blackrock Inc(BLK)0225+22502310.06%+231
Blackstone Inc(BX)016,168+16,16802,0720.57%+2,072
Bristol Myers Squibb Co(BMY)9,1959,19505425420.15%0
Broadcom Inc(AVGO)1,5741,57406276270.17%0
Cambria US EW ETF
CAMB US EQUA ETF
51,14451,14402,6622,6620.73%0
Cardinal Health Inc(CAH)1,3501,35002882880.08%0
Caterpillar Inc(CAT)5,6515,65104,3664,3661.19%0
CENCORA, INC.01,000+1,00003220.09%+322
Chevron Corp(CVX)4,8524,85209139130.25%0
Cisco Systems Inc(CSCO)8,4778,47707167160.20%0
Coca-Cola Company(KO)8,9698,96906746740.18%0
Cognizant Technology Solutions Corp(CTSH)04,000+4,00002420.07%+242
Cohen & Steers Inc(CNS)4,3784,37802832830.08%0
Conocophillips(COP)2,5722,57203133130.09%0
CSX Corp(CSX)40,50040,50001,7301,7300.47%0
Cummins Inc(CMI)1,6001,60009749740.27%0
Danaher Corp(DHR)04,521+4,52108760.24%+876
Deere & Co(DE)58158103393390.09%0
Dimensional California Municipal Bond ETF
CALIF MUN BD ETF
4,1464,14602082080.06%0
Dimensional International Core Equity Market ETF
INTL CORE EQT MK
111,562111,56204,6014,6011.26%0
Dimensional US Core Equity Market ETF
US CORE EQT MKT
19,40719,40709419410.26%0
Dimensional US Marketwide Value ETF
US MKTWIDE VALUE
134,254134,25406,7776,7771.85%0
Dimensional US Small Cap ETF
US SMALL CAP ETF
144,794144,794010,92910,9292.99%0
Dimensional World EX US Core Equity 2 ETF
WORLD EX US CORE
308,472308,472011,23811,2383.07%0
Dollar General(DG)02,963+2,96303660.10%+366
Dollar Tree Inc(DLTR)04,618+4,61804610.13%+461
Ebay Inc(EBAY)2,4132,41302462460.07%0
Electronic Arts Inc(EA)2,2742,27404624620.13%0
Eli Lilly & Co(LLY)01,157+1,15701,0460.29%+1,046
Elm Market Navigator ETF
ELM MAR NAV ETF
64,79764,79701,8371,8370.50%0
Emerson Electric Co(EMR)2,0992,09902952950.08%0
Envirochem, Inc27,50027,5000000.00%0
Evergy Inc(EVRG)2,6912,69102212210.06%0
Expedia Group Inc(EXPE)04,003+4,00301,0180.28%+1,018
Exxon Mobil Corp13,27513,27502,0172,0170.55%0
Fair Isaac Corp(FICO)52252205595590.15%0
GE Vernova LLC(GEV)41941904104100.11%0
General Dynamics Corp(GD)1,4051,40504714710.13%0
General Electric(GE)01,663+1,66304960.14%+496
Hingham Institution For Saving1,2301,23003703700.10%0
Home Depot Inc(HD)01,363+1,36304600.13%+460
Huntington Bancshares Inc(HBAN)015,866+15,86602630.07%+263
International Business Machines(IBM)02,129+2,12905340.15%+534
Invesco QQQ Trust Series 1 ETF0325+32502080.06%+208
Invesco S&P 500 Equal Weight ETF
S&P500 EQL WGT
56,62156,621011,36011,3603.11%0
Invesco S&P Spin-Off ETF
S&P SPIN OFF
1,7671,76702192190.06%0
Ishares Core MSCI EAFE ETF
CORE MSCI EAFE
9,3519,35108998990.25%0
iShares Core MSCI International
CORE MSCI INTL
247,915247,915022,00522,0056.02%0
IShares Core S&P 500 ETF1,1431,14308068060.22%0
IShares Core S&P Mid-Cap ETF12,25912,25908768760.24%0
iShares Gold Trust(IAU)2,4742,47402232230.06%0
IShares Msci Eafe Index Fund5,4965,49605665660.15%0
IShares MSCI Emerging Markets7,8397,83904904900.13%0
IShares National Muni Bond ETF011,870+11,87001,2700.35%+1,270
IShares Russell 1000 Growth Index Fund06,247+6,24702,9310.80%+2,931
IShares Russell 2000 Growth Fund3,1593,15901,1011,1010.30%0
IShares Russell MidCap Growth015,290+15,29002,0650.56%+2,065
iShares S&P 500 Growth ETF10,96710,96701,3881,3880.38%0
J P Morgan Chase & Co(JPM)07,954+7,95402,4650.67%+2,465
Johnson & Johnson(JNJ)4,2684,26801,0011,0010.27%0
JPMorgan Mortgage-Backed Securities ETF
MORTGAGE BACKED
611,824611,824031,24631,2468.55%0
KKR & Company Inc(KKR)013,403+13,40301,3670.37%+1,367
Lockheed Martin Corp(LMT)99399306036030.17%0
Long Pond Real Estate Select ETF28,64628,64607987980.22%0
Lowes Companies Inc(LOW)02,114+2,11405120.14%+512
Marathon Petroleum Corp(MPC)1,6481,64803733730.10%0
Mastercard Inc(MA)3,6403,64001,8871,8870.52%0
McDonalds Corp(MCD)1,3391,33904114110.11%0
Merck and Co Inc(MRK)2,1702,17002512510.07%0
Meta Platforms Inc(META)1,9571,95701,3251,3250.36%0
Microsoft Corp(MSFT)07,384+7,38403,1030.85%+3,103
Monster Beverage(MNST)08,310+8,31006260.17%+626
Nextera Energy Inc(NEE)4,5484,54804184180.11%0
NVIDIA Corp(NVDA)01,809+1,80903590.10%+359
Oracle Corp(ORCL)012,065+12,06502,1520.59%+2,152
O'Reilly Automotive Inc(ORLY)08,426+8,42607810.21%+781
Pepsico Inc(PEP)8,0208,02001,2701,2700.35%0
Philip Morris International(PM)05,455+5,45508520.23%+852
Phillips 66(PSX)2,8852,88504714710.13%0
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