Fund Holdings

WEST BANCORPORATION INC

Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
Vanguard Index FDS15,959155,999+140,0404,583,10612,568,8395.38%+7,985,733
Vanguard Index FDS15,554129,076+113,5226,793,83211,118,6074.75%+4,324,775
ISHARES Tr36,906147,096+110,19015,736,71818,264,9107.81%+2,528,192
Invesco Qqq Trust6,0518,078+2,0273,492,5165,948,6392.54%+2,456,123
ISHARES Tr106,076114,958+8,88210,313,76912,682,1675.42%+2,368,398
Vanguard Whitehall FDS133,241147,657+14,41612,556,63214,499,9176.20%+1,943,285
Vanguard Whitehall FDS88,54694,584+6,03813,113,66314,947,1106.39%+1,833,447
Vanguard Index FDS15,65021,664+6,0143,070,5304,721,2362.02%+1,650,706
Vanguard Index FDS17,47917,468-1110,444,57611,997,1975.13%+1,552,621
ISHARES Tr73,13170,539-2,59215,625,90117,100,7707.31%+1,474,869
Vanguard Index FDS23,67224,582+9106,200,1707,451,2963.19%+1,251,126
SPDR S&P 500 EFT Trust(SPY)12,67612,67608,243,7109,466,0574.05%+1,222,347
West Bancorporation INC418,161415,411-2,7509,948,05011,020,8544.71%+1,072,804
Vanguard Tax-Managed FDS86,00992,168+6,1595,511,4576,566,9702.81%+1,055,513
ISHARES Tr13,30212,811-4918,688,9999,594,0304.10%+905,031
Apple INC(AAPL)17,10916,400-7094,342,0934,745,5042.03%+403,411
Micron Technology Inc(MU)0334+3340385,5330.16%+385,533
Cisco Systems INC(CSCO)8,3858,3850650,592984,9020.42%+334,310
Lam Research Corp.(LRCX)1,9421,704-238414,928738,3940.32%+323,466
Principal Financial Group INC(PFG)10,61011,714+1,104956,0671,262,5350.54%+306,468
Invesco Exch Traded FD TR II
S&P500 PUR GWT
17,16417,1640802,2451,095,9210.47%+293,676
ISHARES MSCI ACWI Index Fund17,88117,531-3502,474,1942,751,8411.18%+277,647
Adams Diversified Equity FD46,89049,490+2,6001,026,4221,264,4700.54%+238,048
Flextronics Intl(FLEX)01,431+1,4310231,9220.10%+231,922
Vanguard Short-Term Bond ETF02,886+2,8860224,8480.10%+224,848
ISHARES Tr11,0879,898-1,1892,749,5762,973,8541.27%+224,278
Invesco Exchange Traded FD T
S&P500 EQL WGT
4,3474,922+575834,2761,047,2540.45%+212,978
Taiwan Semiconductor Manufacturing CO Ltd(TSM)0430+4300205,3550.09%+205,355
Vanguard Financials Etf
FINANCIALS ETF
01,530+1,5300201,3480.09%+201,348
Johnson & Johnson(JNJ)1,7302,396+666422,881608,5120.26%+185,631
Abbvie INC(ABBV)4,9404,94001,074,4011,243,1020.53%+168,701
Alphabet INC(GOOG)6,3645,629-7351,825,5771,988,8950.85%+163,318
Altria Group INC(MO)6,5167,848+1,332429,991564,6640.24%+134,673
Alphabet INC(GOOG)1,9121,9120549,815683,2910.29%+133,476
Vanguard Mid-cap Growth Index Fund Mid Cap Etf2,3182,3180596,537710,0030.30%+113,466
Eli Lilly And CO(LLY)670604-66616,246724,4560.31%+108,210
JPMORGAN Chase & CO(JPM)6,6006,244-3561,941,4562,043,8490.87%+102,393
Broadcom INC(AVGO)1,0551,135+80326,533428,7460.18%+102,213
ISHARES Tr4,5134,5130642,787741,3510.32%+98,564
Vanguard Intl Equity Index F39,91136,958-2,9532,997,3163,095,2321.32%+97,916
Pure Storage INC A(P)4,2994,2990253,813338,7180.14%+84,905
Invesco Exchange Traded FD T
RAFI US 1000 ETF
12,94212,9420615,133699,2560.30%+84,123
Nushares ETF Tr
NUVEEN ESG SMLCP
7,9868,485+499359,849442,2380.19%+82,389
Goldman Sachs Equity Etf3,6293,6290454,097514,9190.22%+60,822
International Business Machines Corp(IBM)1,5651,5650379,340440,0940.19%+60,754
ISHARES Tr2,2582,292+34280,692339,9270.15%+59,235
Chemed Corp New(CHE)6506500245,531302,7310.13%+57,200
Vanguard Admiral FDS INC3,4503,4500703,076756,2750.32%+53,199
Berkshire Hathaway INC1,6781,708+30804,098854,6660.37%+50,568
Visa INC(V)855878+23258,415301,2330.13%+42,818
DBX ETF TR4,0354,0350240,284277,8500.12%+37,566
Brookfield Asset Management Ltd Mngmt A(BAM)93,09193,09104,137,8954,175,1311.79%+37,236
ISHARES Tr2,1402,1400215,327251,4500.11%+36,123
Vanguard Small-cap Growth Index Fund Small Cap Etf1,3671,214-153413,176443,9600.19%+30,784
Industrial Select Sector SPDR
ST STR INDL ETF
1,2571,2570203,295232,8340.10%+29,539
Vanguard Mid-cap Value Index Fund Mid Cap Etf1,9911,9910366,901393,4220.17%+26,521
Vanguard World FD
CONSUM DIS ETF
6806800244,140269,6950.12%+25,555
Amphenol Corp A2,5201,938-582318,402341,7080.15%+23,306
Honeywell International INC(HON)1,4921,513+21337,237359,8820.15%+22,645
Flexshares TR
QLT DIV DEF IDX
2,6642,6640212,640231,8250.10%+19,185
Wells Fargo CO(WFC)9,8269,555-271782,248789,6250.34%+7,377
Chevron Corp(CVX)2,2632,863+600468,215474,5710.20%+6,356
Factset Resh Sys Inc(FDS)932902-30202,235207,5320.09%+5,297
Monster Beverage Corp(MNST)3,2722,473-799237,089237,7050.10%+616
Nvidia Corp(NVDA)8,3747,251-1,1231,460,4261,450,8530.62%-9,573
ISHARES Tr4,7314,309-422459,522447,6190.19%-11,903
Ross Stores INC(ROST)3,4393,4390744,991731,9910.31%-13,000
ISHARES Tr
CORE MSCI EAFE
16,06514,920-1,1451,454,3641,440,9740.62%-13,390
Uber Technologies INC(UBER)3,2422,937-305233,197211,9340.09%-21,263
Schwab Strategic Trust54,52051,986-2,5341,672,6741,648,4760.70%-24,198
Philip Morris International INC(PM)1,6171,305-312267,355236,0880.10%-31,267
Vanguard Energy Index Fund Etf
ENERGY ETF
1,4951,4950258,695224,4440.10%-34,251
SPDR SER TR
ST STR SP DIV
2,6852,336-349391,849355,4920.15%-36,357
Caseys General Stores INC(CASY)357272-85259,846216,1830.09%-43,663
Amazon com INC(AMZN)5,8424,902-9401,216,7131,168,3430.50%-48,370
Ishares Gold Trust(IAU)3,9613,9610349,202299,0950.13%-50,107
SPDR Gold Trust(GLD)9349340401,891344,0670.15%-57,824
Fastenal Co(FAST)11,5329,906-1,626535,085475,7850.20%-59,300
American Electric Power Company INC2,4811,941-540325,209265,5480.11%-59,661
Meta Platforms INC A(META)1,8801,763-1171,075,604993,0800.42%-82,524
Corteva INC(CTVA)4,3303,262-1,068362,464276,2590.12%-86,205
Mastercard INC(MA)588400-188293,800205,4400.09%-88,360
Vanguard Small Cap Value Etf1,6621,111-551361,069269,9620.12%-91,107
Abbott Laboratories5,1424,713-429527,929427,6580.18%-100,271
ISHARES Russell Mid-Cap Value ETF2,2081,278-930321,794210,3590.09%-111,435
Exxon Mobil Corp3,0182,893-125512,034395,5310.17%-116,503
Pfizer INC(PFE)19,77517,975-1,800555,282432,8380.19%-122,444
Costco Wholesale Corp(COST)1,3101,255-551,305,3231,174,0150.50%-131,308
Mcdonalds Corp(MCD)3,3623,36201,044,876908,7820.39%-136,094
Walmart INC(WMT)8,4007,943-4571,043,952899,6240.38%-144,328
Microsoft Corp(MSFT)9,1838,703-4803,399,2713,246,3931.39%-152,878
Southern CO(SO)9,8168,285-1,531947,440792,9570.34%-154,483
Procter & Gamble CO(PG)3,4102,045-1,365492,540299,8790.13%-192,661
Eog Resources INC(EOG)1,6650-1,665240,7090-240,709
ISHARES Tr5,7570-5,757245,0180-245,018
Public Service Enterprise Group INC(PEG)3,0390-3,039246,0070-246,007
Emerson Electric CO(EMR)1,9920-1,992260,9920-260,992
AT&T INC(T)9,6980-9,698281,1450-281,145
L3harris Technologies INC(LHX)8490-849293,0320-293,032
Wisdomtree TR(WT)7,0310-7,031369,4090-369,409
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