Fund HoldingsFirst American Bank

Total Portfolio Value
$1.79B
Total Bought
$164.03M
Total Sold
$161.54M
Net Transaction
+$2.48M
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
APPLE INC.(AAPL)0641,048+641,0480185,49410.37%+185,494
BROADCOM INC(AVGO)0317,853+317,8530120,0696.71%+120,069
ALPHABET INC(GOOG)0283,954+283,9540101,4775.67%+101,477
APPLIED MATERIALS INC COM39,28339,615+33213,42728,6421.60%+15,215
ELI LILLY & CO(LLY)049,397+49,397059,2483.31%+59,248
PALO ALTO NETWORKS INC(PANW)063,561+63,561021,6761.21%+21,676
NVIDIA CORPORATION(NVDA)0384,366+384,366076,9084.30%+76,908
AMAZON.COM INC.(AMZN)0252,219+252,219060,1143.36%+60,114
GOLDMAN SACHS GROUP INC(GS)039,055+39,055039,4992.21%+39,499
VANGUARD28,70332,914+4,21117,15122,6061.26%+5,454
VISA INC.(V)0121,064+121,064041,5362.32%+41,536
CISCO SYS INC(CSCO)82,78793,823+11,0366,42311,0200.62%+4,597
JP MORGAN CHASE & CO(JPM)0136,259+136,259044,6022.49%+44,602
TAIWAN SEMICONDUCTOR-SPR ADR(TSM)29,92230,750+82810,11214,6850.82%+4,573
ANALOG DEVICES, INC.(ADI)57,70257,686-1618,35722,9111.28%+4,554
VERTIV HOLDINGS CO(VRT)65,68462,463-3,22116,45920,9141.17%+4,455
HONEYWELL INTL INC019,946+19,94604,4440.25%+4,444
HONEYWELL AEROSPACE INC.019,946+19,94604,3880.25%+4,388
ABBVIE INC(ABBV)0119,744+119,744030,1321.68%+30,132
SEAGATE
ORD SHS
04,089+4,08903,9460.22%+3,946
UNITED HEALTH GROUP INC(UNH)023,464+23,46409,7520.54%+9,752
EATON CORP PLC(ETN)52,18652,131-5518,66522,2141.24%+3,549
ARISTA NETWORKS INC(ANET)029,745+29,74505,0530.28%+5,053
TEXAS INSTRS INC COM(TXN)32,18632,184-26,2499,5930.54%+3,344
ALPHABET INC(GOOG)044,131+44,131015,5930.87%+15,593
MICRON TECHNOLOGY, INC.(MU)02,519+2,51902,9080.16%+2,908
CUMMINS INC(CMI)16,10216,145+438,66311,5150.64%+2,852
ADVANCED MICRO DEVICES, INC.(AMD)04,355+4,35502,5300.14%+2,530
MARRIOTT INTL INC CL A(MAR)53,34353,622+27917,44719,8721.11%+2,425
ISHARES043,896+43,89602,1690.12%+2,169
AMPHENOL CORP21,24127,226+5,9852,6844,8000.27%+2,117
BANK OF AMERICA CORP0247,454+247,454014,1000.79%+14,100
STANDARDAERO INC.(SARO)068,550+68,55002,0500.11%+2,050
EQT CORPORATION(EQT)35,98280,280+44,2982,2904,2680.24%+1,979
TRANE TECHNOLOGIES(TT)26,71926,530-18911,13513,0300.73%+1,896
SOMNIGROUP INTERNATIONAL(SGI)021,968+21,96801,7220.10%+1,722
THOMSON REUTERS CORP(TRI)020,358+20,35801,6630.09%+1,663
PNC FINANCIAL SERVICES GROUP(PNC)046,563+46,563011,4650.64%+11,465
AMRIZE LTD.(AMRZ)58,57290,061+31,4893,2814,8000.27%+1,519
VANGUARD9,99413,298+3,3042,6184,0310.23%+1,413
SPDR S&P 500 ETF TRUST(SPY)014,453+14,453010,7930.60%+10,793
UNION PAC CORP COM(UNP)47,77747,143-63411,59212,8230.72%+1,231
BOEING CO(BA)057,977+57,977012,5500.70%+12,550
U S. BANCORP(USB)018,204+18,20401,1000.06%+1,100
AMERICAN TOWER CORPORATION REIT(AMT)06,485+6,48501,0610.06%+1,061
HOME DEPOT INC(HD)056,326+56,326019,8651.11%+19,865
ASML HOLDING NV
N Y REGISTRY SHS
450824+3745941,6390.09%+1,045
EDWARDS LIFESCIENCES CORP COM0143,763+143,763013,0050.73%+13,005
FIDELITY
ENH MID COR ETF
11,03034,265+23,2353971,3900.08%+994
VANGUARD3,52515,226+11,7012601,1180.06%+858
FEDERATED HERMES
MDT SMALL CAP
022,421+22,42108370.05%+837
DT MIDSTREAM INC(DTM)18,31122,498+4,1872,4663,3010.18%+835
COHERENT CORP(COHR)02,073+2,07308180.05%+818
VANGUARD13,37857,774+44,3963,8424,6550.26%+813
VANGUARD02,181+2,18108070.05%+807
PHILIP MORRIS INTL INC(PM)23,63025,841+2,2113,9074,6750.26%+768
VANGUARD08,839+8,83907400.04%+740
CATERPILLAR INC DEL COM(CAT)2,0432,04301,4472,1760.12%+728
JOHNSON CTLS INTL PLC NPV
SHS
43,94844,281+3335,7556,4700.36%+715
LAMAR ADVERTISING COMPANY(LAMR)015,365+15,36502,3970.13%+2,397
DUPONT DE NEMOURS INC04,907+4,90706660.04%+666
BERKSHIRE HATHAWAY INC034,088+34,088017,0570.95%+17,057
WALKER DUNLOP INC.(WD)011,108+11,10806080.03%+608
AMERICAN HEALTHCARE REIT INC.(AHR)82,67286,242+3,5703,8994,4980.25%+599
AMERICAN ELECTRIC POWER93,36393,824+46112,23812,8360.72%+598
MERCK & CO INC NEW(MRK)67,75768,055+2988,1508,7450.49%+595
VANGUARD07,587+7,58705910.03%+591
NEXTERA ENERGY(NEE)30,91439,002+8,0882,8713,4230.19%+552
MARVELL TECHNOLOGY INC(MRVL)01,799+1,79905360.03%+536
VANGUARD34,68334,408-2753,9654,4870.25%+522
VANGUARD022,603+22,60303,1090.17%+3,109
CAPITAL GROUP
SHS
013,916+13,91605060.03%+506
SLIDE INSURANCE HOLDINGS INC.(SLDE)0363,375+363,37507,0390.39%+7,039
ISHARES TRUST09,532+9,53209600.05%+960
DEERE & CO(DE)7,0456,985-603,9684,4310.25%+462
HEALTHEQUITY INC(HQY)019,797+19,79701,7880.10%+1,788
VANGUARD01,793+1,79304360.02%+436
ISHARES
CORE HIGH DV ETF
015,750+15,75004320.02%+432
US FOODS HOLDING CORP(USFD)44,65744,443-2144,1184,5440.25%+427
AGILENT TECHNOLOGIES INC(A)013,369+13,36901,7760.10%+1,776
CROWDSTRIKE HOLDINGS INC(CRWD)0500+50003820.02%+382
BANK OF MONTREAL9,3609,297-631,2671,6430.09%+376
QNITY ELECTRONICS INC.(Q)7,6087,580-288781,2380.07%+360
QUALCOMM INC COM(QCOM)05,400+5,40009980.06%+998
GLACIER BANCORP INC(GBCI)37,63538,280+6451,6811,9740.11%+293
GALLAGHER ARTHUR J & CO COM(AJG)018,679+18,67904,2880.24%+4,288
VISTRA ENERGY CORPORATION(VST)26,50726,946+4393,9854,2740.24%+290
AUTOMATIC DATA PROCESSING INC014,328+14,32803,2090.18%+3,209
LINDE PLC(LIN)10,53710,589+525,2245,4950.31%+271
CULLEN/FROST BANKERS, INC.(CFR)14,80914,80902,0302,2880.13%+258
VANGUARD
VNG RUS1000GRW
3,2884,840+1,5523616190.03%+258
NUCOR CORP COM(NUE)01,156+1,15602580.01%+258
MORGAN STANLEY(MS)01,141+1,14102390.01%+239
PROLOGIS INC(PLD)39,41440,195+7815,2105,4450.30%+235
PROCTER & GAMBLE(PG)138,598138,091-50720,01920,2501.13%+231
ILLINOIS TOOL(ITW)21,95321,925-285,7145,9300.33%+216
ILLUMINA, INC.(ILMN)03,901+3,90106860.04%+686
ISHARES02,986+2,98608970.05%+897
RALLIANT CORP.(RAL)05,404+5,40403980.02%+398
NORTHERN TRUST CORPORATION(NTRS)04,992+4,99208680.05%+868
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