Fund HoldingsCitizens National Bank Trust Department

Total Portfolio Value
$679.72M
Total Bought
$23.73M
Total Sold
$94.91M
Net Transaction
-$71.18M
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
Applied Matls Inc33,45232,440-1,01211,43423,4543.45%+12,021
Micron Tech Inc(MU)13,88813,000-8884,69215,0062.21%+10,314
Caterpillar, Inc(CAT)20,30819,944-36414,38721,2383.12%+6,851
Alphabet Inc Cap Stk Cl C(GOOG)096,962+96,962034,2605.04%+34,260
Apple Inc(AAPL)152,949152,183-76638,81744,0366.48%+5,219
Dell Technologies Inc(DELL)20,75919,972-7873,4078,6171.27%+5,210
Broadcom Inc(AVGO)076,917+76,917029,0554.27%+29,055
Advanced Micro Devices Inc(AMD)09,841+9,84105,7170.84%+5,717
Unitedhealth Group Inc(UNH)016,924+16,92407,0341.03%+7,034
Amazon Com Inc(AMZN)074,508+74,508017,7582.61%+17,758
Corning Inc.(GLW)20,72020,040-6802,8175,1190.75%+2,302
Taiwan Semiconductor Manufacturing Co. Ltd.(TSM)15,61815,769+1515,2787,5311.11%+2,253
Ishares Trust 0-3 Month Treasury Bond Etf016,650+16,65001,6760.25%+1,676
Eaton Corp. PLC(ETN)26,44726,053-3949,45911,1021.63%+1,642
Blackrock Institutional Trust Company N.A. Ishares Core S&p Small-Cap Etf69,41769,045-3728,62910,2401.51%+1,611
Nvidia Corp Com(NVDA)054,983+54,983011,0021.62%+11,002
Abbvie Inc. Com(ABBV)041,402+41,402010,4181.53%+10,418
J.P. Morgan Chase and Co.(JPM)040,309+40,309013,1941.94%+13,194
iShares Tr S P Midcap 400 Index FD132,290132,190-1008,93410,1931.50%+1,260
VISA Inc(V)023,572+23,57208,0871.19%+8,087
Cisco Systems(CSCO)027,270+27,27003,2030.47%+3,203
Amphenol Corp. Ordinary Shares - Class A05,819+5,81901,0260.15%+1,026
Qualcomm Inc(QCOM)017,855+17,85503,2990.49%+3,299
Vistra Corp Ordinary Shares(VST)020,280+20,28003,2170.47%+3,217
Philip Morris Intl Inc(PM)64,42063,677-74310,65111,5201.69%+869
Abbott Laboratories025,885+25,88502,3490.35%+2,349
Intel Corporation(INTC)8,5008,430-703751,1770.17%+802
Fedex Freight Holding Company Inc. Ordinary Shares05,278+5,27807970.12%+797
Arista Networks Inc Ordinary Shares(ANET)12,08012,065-151,4832,0500.30%+566
J.P. Morgan Exchange-Traded Fund Trust JPMorgan Income Etf
INCOME ETF
79,62591,267+11,6423,6684,2030.62%+535
Berkshire Hathaway Inc Class B023,784+23,784011,9011.75%+11,901
Vanguard Information Tech ETF
INF TECH ETF
020,004+20,00402,3910.35%+2,391
Eli Lilly(LLY)01,809+1,80902,1700.32%+2,170
American Express(AXP)09,162+9,16203,0990.46%+3,099
AFLAC Inc.(AFL)075,624+75,62408,8671.30%+8,867
Microsoft Corporation(MSFT)037,580+37,580014,0182.06%+14,018
iShares Edge MSCI USA Momentum Factor ETF
MSCI USA MMENTM
4,5124,547+351,0831,5590.23%+476
Coca Cola(KO)88,25088,200-506,7117,1681.05%+457
Freeport-McMoRan Inc Ordinary Shares(FCX)75,24577,558+2,3134,4234,8780.72%+455
Altria Group Inc(MO)67,87667,801-754,4794,8780.72%+399
Palo Alto Networks Incorporated(PANW)02,200+2,20007500.11%+750
Union Pacific(UNP)13,67613,646-303,3183,7120.55%+394
Goldman Sachs Group(GS)02,427+2,42702,4550.36%+2,455
International Business Machines(IBM)9,4449,44402,2892,6560.39%+367
iShares Tr Expnd Tec SC ETF07,094+7,09401,1600.17%+1,160
Schwab Strategic Trust Fundamental U.S. Large Company Etf48,20854,677+6,4691,3431,7000.25%+358
iShares International Equity Factor ETF
INTL EQTY FACTOR
135,154137,225+2,0715,2665,6210.83%+355
Citigroup Inc(C)013,393+13,39301,8740.28%+1,874
Nuveen Muni Value Fund(NUV)0169,770+169,77001,5650.23%+1,565
CSX Corp(CSX)66,63264,694-1,9382,7353,0750.45%+340
Norfolk Southern(NSC)012,080+12,08003,8000.56%+3,800
Ati INC CORP COMMON(ATI)6,4076,40709321,2630.19%+331
Merck(MRK)46,08145,606-4755,5435,8600.86%+317
Johnson & Ordinary Shares(JNJ)53,79853,024-77413,15013,4671.98%+316
Wisdomtree US Quality Div Growth Fund(WT)046,698+46,69804,4650.66%+4,465
SPDR Series Trust SP Metals Mng
ST STR SP METAL
02,855+2,85503050.04%+305
General Electric Co(GE)03,243+3,24301,2120.18%+1,212
Vanguard Index Fds S P 500 ETF03,040+3,04002,0880.31%+2,088
Vanguard Dividend Appreciation013,163+13,16303,1150.46%+3,115
Alphabet Inc Cap Class A(GOOG)03,634+3,63401,2990.19%+1,299
SPDR Nuveen Bloomberg Municipal Bond ETF
ST STR NUVEE ETF
05,500+5,50002520.04%+252
Uber Technologies INC CORP COMMON(UBER)027,087+27,08701,9550.29%+1,955
Ge Vernova Inc. Ordinary Shares(GEV)80780707049480.14%+244
Home Depot Inc.(HD)012,070+12,07004,2570.63%+4,257
Delta Air Lines Inc De Com New(DAL)08,065+8,06507550.11%+755
Chubb Limited
COM
15,61415,584-305,0895,3100.78%+221
Thermo Fisher Scientific Inc(TMO)05,567+5,56702,7910.41%+2,791
Honeywell(HON)11,92112,450+5292,6952,8910.43%+197
Sector SPDR Tr SBI Int-Utilities
ST STR UTIL ETF
04,200+4,20001900.03%+190
Amcor Plc Ordinary Shares
COM NEW
31,47432,957+1,4831,2511,4290.21%+178
Boeing Co.(BA)09,237+9,23702,0000.29%+2,000
American Electric Power Co Inc26,99427,024+303,5383,6970.54%+159
Dupont DE Nemours Inc Ordinary Shares01,146+1,14601550.02%+155
Berkshire Hathaway Inc Class A05+503,7440.55%+3,744
iShares Edge MSCI Min Vol USA ETF
MSCI USA MIN ETF
01,520+1,52001470.02%+147
Aercap Holdings NV Shs(AER)014,348+14,34802,0920.31%+2,092
Lam Research Corp. Ordinary Shares(LRCX)0603+60302610.04%+261
British American Tobacco PLC(BTI)41,33641,143-1932,4172,5410.37%+124
Spdr Series Trust State Street S&p Biotech Etf
ST STR SP BIOT
0776+77601230.02%+123
Nucor Corp(NUE)02,275+2,27505070.07%+507
Bank of America Corp014,531+14,53108280.12%+828
SPDR S P Dividend ETF
ST STR SP DIV
0768+76801170.02%+117
iShares Inc Core MSCI Emkt
CORE MSCI EMKT
08,428+8,42806980.10%+698
Automatic Data Processing Inc07,383+7,38301,6530.24%+1,653
iShares Russell 2000 Grwth ETF01,340+1,34005280.08%+528
Valero Energy Corp(VLO)8,6788,628-502,1442,2470.33%+103
Blackrock Institutional Trust Company N.A. Ishares Core Dividend Etf
CORE DIVID ETF
06,474+6,47403990.06%+399
Ishares Russell 100001,900+1,90007780.11%+778
Procter and Gamble Co.(PG)47,27247,242-306,8286,9281.02%+100
Allstate Corporation(ALL)4,8624,648-2141,0081,1060.16%+98
Boston Scientific Corp. Ordinary Shares(BSX)02,309+2,3090990.01%+99
Amrize Ltd. Registered Shares(AMRZ)22,67324,822+2,1491,2301,3150.19%+85
Gen Dynamics(GD)7,1347,13402,4492,5270.37%+79
Dte Energy Co. Ordinary Shares(DTB)2,8783,267+3894214980.07%+77
Booking Holdings INC CORP COMMON(BKNG)05,875+5,87501,0470.15%+1,047
Ishares Msci Usa Quality Factor Etf Qlty Fact
MSCI USA QLT FCT
02,606+2,60605720.08%+572
3M Company(MMM)04,704+4,70407620.11%+762
Wells Fargo Co(WFC)023,082+23,08201,9070.28%+1,907
Hancock Whitney Corp(HWC)6,0786,07803874540.07%+68
iShares Tr Expanded Tech08,723+8,72307900.12%+790
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