Fund HoldingsDorsey & Whitney Trust CO LLC

Total Portfolio Value
$1.82B
Total Bought
$125.98M
Total Sold
$144.80M
Net Transaction
-$18.81M
Filing Period:
Securities
SharesValue ($K)
Q4 2025
Q1 2026
Change
Q4 2025
Q1 2026
Weight (%)
Change
iShares U.S. Infrastructure ETF
US INFRASTRUC
051,155+51,15502,9260.16%+2,926
Motorola Solutions Inc(MSI)23,64226,732+3,0909,06211,6010.64%+2,538
Vanguard Total Bond Market ETF51,68585,501+33,8163,8286,2960.35%+2,468
AstraZeneca PLC(AZN)011,570+11,57002,2820.13%+2,282
Littelfuse Inc(LFUS)035,824+35,824012,1570.67%+12,157
Ameriprise Financial Inc(AMP)07,524+7,52403,3440.18%+3,344
Toro Co/The0126,437+126,437011,8140.65%+11,814
Entegris Inc(ENTG)049,251+49,25105,7740.32%+5,774
Verizon Communications Inc(VZ)0176,792+176,79208,8750.49%+8,875
Vanguard ESG International Stock ETF022,279+22,27901,5980.09%+1,598
Exxon Mobil Corp30,87531,140+2653,7155,2830.29%+1,568
Waste Management Inc(WM)013,195+13,19503,0320.17%+3,032
Toyota Motor Corp(TM)07,585+7,58501,5630.09%+1,563
Fastenal Co(FAST)0303,805+303,805014,0970.78%+14,097
PACCAR Inc(PCAR)0220,175+220,175025,4301.40%+25,430
Wec Energy Group Inc(WEC)071,382+71,38208,2640.45%+8,264
iShares Select Dividend ETF015,474+15,47402,3430.13%+2,343
nVent Electric PLC(NVT)083,886+83,88609,9220.55%+9,922
Piper Sandler Cos(PIPR)016,568+16,56801,2680.07%+1,268
State Street Utilities Select Sector SPDR ETF
ST STR UTIL ETF
027,204+27,20401,2480.07%+1,248
Cognex Corp(CGNX)27,86645,812+17,9461,0032,2440.12%+1,242
Chevron Corp(CVX)022,694+22,69404,6950.26%+4,695
Micron Technology Inc(MU)10,81512,222+1,4073,0874,1290.23%+1,042
Taiwan Semiconductor Manufacturing Co Ltd(TSM)27,57727,833+2568,3809,4060.52%+1,026
Honeywell International Inc(HON)043,964+43,96409,9370.55%+9,937
iShares National Muni Bond ETF039,213+39,21304,1620.23%+4,162
Bahl & Gaynor Small/Mid Cap Income Growth ETF
BAHL GAYNOR SML
033,365+33,36509790.05%+979
State Street Energy Select Sector SPDR ETF
ST STR ENERG ETF
041,139+41,13902,5200.14%+2,520
Costco Wholesale Corp(COST)06,743+6,74306,7190.37%+6,719
Alliant Energy Corp(LNT)0153,507+153,507011,0160.61%+11,016
Johnson & Johnson(JNJ)95,43684,566-10,87019,75020,6711.14%+921
Sprouts Farmers Market Inc(SFM)011,909+11,90909190.05%+919
iShares Core MSCI Emerging Markets ETF
CORE MSCI EMKT
157,577163,265+5,68810,59211,3880.63%+795
Applied Materials Inc8,2168,474+2582,1112,8960.16%+785
iShares International Select Dividend ETF018,359+18,35907810.04%+781
Caterpillar Inc(CAT)7,2736,979-2944,1664,9440.27%+778
ASML Holding NV
N Y REGISTRY SHS
3,1553,144-113,3764,1530.23%+777
Zoetis INC(ZTS)9,99416,280+6,2861,2571,9240.11%+667
iShares Core S&P Mid-Cap ETF0109,080+109,08007,3660.41%+7,366
Vanguard Short-Term Treasury ETF
SHORT TERM TREAS
011,199+11,19906560.04%+656
iShares Core MSCI EAFE ETF
CORE MSCI EAFE
075,549+75,54906,8390.38%+6,839
Medpace Holdings Inc(MEDP)02,510+2,51001,2050.07%+1,205
Walmart Inc(WMT)51,12650,592-5345,6966,2880.35%+592
Linde PLC(LIN)04,722+4,72202,3410.13%+2,341
State Street Industrial Select Sector SPDR ETF
ST STR INDL ETF
016,830+16,83002,7220.15%+2,722
ConocoPhillips(COP)014,137+14,13701,8660.10%+1,866
iShares MSCI EAFE Value ETF97,745101,000+3,2556,9807,5090.41%+529
Sandisk Corp/DE(SNDK)0810+81005150.03%+515
Sunbelt Rentals Holdings Inc(SUNB)07,853+7,85305110.03%+511
Intuitive Surgical Inc5,1637,438+2,2752,9243,4290.19%+505
Corning Inc(GLW)09,381+9,38101,2760.07%+1,276
Lam Research Corp(LRCX)11,14711,214+671,9082,3960.13%+488
KLA Corp(KLAC)01,265+1,26501,8630.10%+1,863
GE Vernova Inc(GEV)02,658+2,65802,3200.13%+2,320
Merck & Co Inc(MRK)36,92436,258-6663,8874,3620.24%+475
NextEra Energy Inc(NEE)035,225+35,22503,2720.18%+3,272
Generac Holdings Inc(GNRC)07,486+7,48601,4620.08%+1,462
Graco Inc(GGG)0209,517+209,517017,7360.98%+17,736
CME Group Inc(CME)05,923+5,92301,7490.10%+1,749
Cheniere Energy Inc(LNG)01,552+1,55204400.02%+440
ARM Holdings PLC09,213+9,21301,3940.08%+1,394
Dimensional US High Profitability ETF
US HIGH PROF ETF
44,45657,674+13,2181,6912,1200.12%+429
Coca-Cola Co(KO)044,232+44,23203,3640.19%+3,364
Netflix Inc(NFLX)045,134+45,13404,3400.24%+4,340
Vanguard Short-Term Bond ETF20,25025,549+5,2991,5962,0030.11%+407
Casey's General Stores Inc(CASY)02,543+2,54301,8510.10%+1,851
Schlumberger Ltd(SLB)07,723+7,72303970.02%+397
Deere & Co(DE)03,899+3,89902,1960.12%+2,196
Marathon Petroleum Corp(MPC)04,043+4,04309870.05%+987
Comfort Systems USA Inc(FIX)0782+78201,0780.06%+1,078
Xcel Energy Inc(XEL)017,845+17,84501,4180.08%+1,418
MasTec Inc(MTZ)03,707+3,70701,1930.07%+1,193
Amgen Inc(AMGN)10,30910,676+3673,3743,7560.21%+382
Bristol-Myers Squibb Co(BMY)33,66936,187+2,5181,8162,1950.12%+379
Intel Corp(INTC)031,143+31,14301,3740.08%+1,374
iShares Russell Mid-Cap ETF065,903+65,90306,4080.35%+6,408
Vanguard FTSE Developed Markets ETF0185,580+185,580011,8920.65%+11,892
Lockheed Martin Corp(LMT)02,301+2,30101,3910.08%+1,391
iShares J.P. Morgan USD Emerging Markets Bond ETF03,612+3,61203390.02%+339
Fidelity Total Bond ETF07,223+7,22303300.02%+330
Phillips 66(PSX)06,369+6,36901,1600.06%+1,160
L3Harris Technologies Inc(LHX)03,622+3,62201,2500.07%+1,250
Vanguard Intermediate-Term Corporate Bond ETF
INT-TERM CORP
03,835+3,83503170.02%+317
Schwab U.S. REIT ETF014,520+14,52003120.02%+312
Occidental Petroleum Corp(OXY)04,776+4,77603100.02%+310
Marvell Technology Inc(MRVL)015,835+15,83501,5680.09%+1,568
APA Corp(APA)07,218+7,21803060.02%+306
Analog Devices Inc(ADI)05,568+5,56801,7710.10%+1,771
Target Corp(TGT)016,678+16,67802,0210.11%+2,021
Dow Inc(DOW)07,161+7,16102980.02%+298
Valero Energy Corp(VLO)02,790+2,79006890.04%+689
Darden Restaurants Inc(DRI)01,481+1,48102900.02%+290
Western Digital Corp(WDC)02,459+2,45906650.04%+665
Ciena Corp(CIEN)01,865+1,86507240.04%+724
Total SA(TTE)10,56510,732+1676919760.05%+285
Schwab International Equity ETF080,880+80,88002,0020.11%+2,002
Bunge Global SA(BG)02,177+2,17702770.02%+277
Qnity Electronics Inc(Q)02,304+2,30402660.01%+266
Travelers Cos Inc/The(TRV)05,149+5,14901,5020.08%+1,502
Datadog Inc(DDOG)02,228+2,22802630.01%+263
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