Fund Holdings

Trust Co of Kansas

Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
ASML Holdings NV ADR
N Y REGISTRY SHS
6,4706,156-3148,54612,2476.28%+3,701
Service Now(NOW)16,54342,602+26,0591,7304,2302.17%+2,500
Taiwan Semiconductor Manufacturing Co Ltr ADR(TSM)35,16129,771-5,39011,88314,2187.29%+2,335
T Rowe Price Blue Chip Growth ETF
PRICE BLUE CHIP
895,598832,998-62,60039,56841,72521.40%+2,157
Alphabet Inc. Class A(GOOG)38,85136,704-2,14711,17213,1176.73%+1,945
Meta Platforms Inc Ordinary Shares - Class A(META)3,7526,957+3,2052,1473,9192.01%+1,772
Visa Inc(V)16,00118,521+2,5204,8366,3543.26%+1,518
Booking Holding, Inc.(BKNG)91829,898+28,9803,8655,3292.73%+1,464
Amazon.com, Inc.(AMZN)32,42132,032-3896,7527,6353.92%+883
Applied Materials, Inc.2,0021,827-1756841,3210.68%+637
Apple Inc(AAPL)17,95417,701-2534,5575,1222.63%+565
Microsoft Corp(MSFT)21,58922,575+9867,9928,4214.32%+429
Texas Instruments(TXN)0949+94902830.15%+283
Caterpillar, Inc(CAT)1,085985-1007691,0490.54%+280
Intel Corp(INTC)01,868+1,86802610.13%+261
Mastercard Inc(MA)0505+50502590.13%+259
Deere & Co(DE)9,3748,720-6545,2805,5312.84%+251
Williams-Sonoma, Inc. Ordinary Shares(WSM)01,000+1,00002330.12%+233
iShares Core S&P 500 ETF0299+29902240.11%+224
Ishares Trust Expanded Tech Sector Etf01,340+1,34002190.11%+219
Johnson & Johnson(JNJ)0807+80702050.11%+205
Invesco QQQ Trust Series 1 ETF1,0681,066-26167850.40%+169
GE Aerospace (previously General Electric Co)(GE)2,7462,534-2127799470.49%+168
GE Vernova Inc.(GEV)680640-405947520.39%+158
Evergy Inc.(EVRG)3,7265,059+1,3333054370.22%+132
Alphabet Inc. Class C(GOOG)1,2631,363+1003624820.25%+120
Abbvie Inc(ABBV)1,7862,008+2223885050.26%+117
Union Pacific Corporation(UNP)1,5361,786+2503734860.25%+113
Berkshire Hathaway Inc. Cl A3302,1542,2471.15%+93
Merck & Co Inc(MRK)60,52357,331-3,1927,2807,3673.78%+87
Cisco Systems Inc(CSCO)3,4172,930-4872653440.18%+79
Broadcom Inc.(AVGO)1,0601,06003284000.21%+72
D R Horton Inc Com(DHI)2,0002,00002743260.17%+52
Eaton Corp PLC(ETN)71571502563050.16%+49
NGL Energy Partners LP Units(NGL)13,00013,00001602070.11%+47
SPDR S&P 500 ETF Trust(SPY)41841802723120.16%+40
Colgate Palmolive(CL)15,31114,636-6751,3051,3420.69%+37
Procter & Gamble Co(PG)3,8373,956+1195545800.30%+26
Phillips 66 Corp(PSX)1,2141,425+2112212410.12%+20
Humacyte Inc Ordinary Shares24,00024,000015190.01%+4
Costco Whsl Corp(COST)376396+203753700.19%-5
Amgen Inc(AMGN)1,2001,150-504224160.21%-6
Sempra Energy(SRE)2,2002,20002142040.10%-10
NVIDIA Corp(NVDA)1,8441,484-3603222970.15%-25
JPMorgan Chase & Co Com(JPM)899724-1752642370.12%-27
Danaher Corp(DHR)2,1831,933-2504143680.19%-46
Home Depot Inc.(HD)931716-2153062530.13%-53
CBOE Global Markets Inc(CBOE)1,5751,57504433820.20%-61
Oracle Corporation(ORCL)1,9311,431-5002842100.11%-74
Chevron Corporation(CVX)2,0222,072+504183430.18%-75
CME Group Inc(CME)1,1371,13703362510.13%-85
Wal-Mart Stores Inc(WMT)5,5655,225-3406925920.30%-100
Pepsico Inc(PEP)4,2013,951-2506525350.27%-117
Walt Disney Company(DIS)45,08742,936-2,1514,3454,1332.12%-212
Emerson Electric Co(EMR)1,7480-1,7482290-229
iShares iBonds Dec 2026 Term Corp ETF
IBONDS DEC2026
13,5760-13,5763290-329
iShares iBonds Dec 2027 Term Corp ETF
IBONDS 27 ETF
15,0150-15,0153640-364
Lowes(LOW)19,70819,359-3494,6574,2682.19%-389
RTX Corporation(RTX)46,62544,374-2,2518,9948,4194.32%-575
Berkshire Hathaway Cl B New22,18919,539-2,65010,6339,7775.02%-856
Lockheed Martin Corp(LMT)12,80812,172-6367,7416,2013.18%-1,540
Nike Inc. Class B(NKE)42,9970-42,9972,2710-2,271
Exxon Mobil Corp59,86856,408-3,46010,1577,7123.96%-2,445
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