Universe · entity

Community Bank of Raymore

Institutional manager (13F) · CIK 1599923
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $141M
#IssuerValueShares
1JPMORGAN CHASE & CO$16M54,576
2CATERPILLAR INC$12M16,803
3REALTY INCOME CORP$9M139,452
4NRG ENERGY INC$6M44,000
5GATX CORP$6M36,998
6VANGUARD INDEX FDS$6M9,667
7VANGUARD INDEX FDS$5M10,750
8BANK AMERICA CORP$5M94,266
9APPLE INC$4M17,227
10GREENBRIER COS INC$4M81,473
11EXXON MOBIL CORP$4M24,861
12UNION PAC CORP$4M16,609
13US BANCORP$4M68,424
14RYDER SYS INC$3M16,837
15AGREE RLTY CORP$3M40,024
16ABBVIE INC$3M12,423
17TYSON FOODS INC$3M40,963
18MICROSOFT CORP$3M7,077
19EVERGY INC$2M29,914
20GE AEROSPACE$2M7,825
21HOME DEPOT INC$2M6,139
22BERKSHIRE HATHAWAY INC DEL$2M3,952
23AT&T INC$2M64,232
24FREEPORT MCMORAN INC$2M29,615
25GE VERNOVA INC$2M1,956
26FORD MTR CO$2M147,600
27CSX CORP$2M41,027
28IRON MTN INC DEL$2M15,871
29WALMART INC$2M12,800
30CONOCOPHILLIPS$1M10,665
31HONEYWELL INTL INC$1M6,068
32KRAFT HEINZ CO$1M58,820
33ALPHABET INC$1M4,479
34PFIZER INC$1M45,220
35OMEGA HEALTHCARE INVS INC$1M26,540
36LXP INDUSTRIAL TRUST$1M24,790
37QUALCOMM INC$1M8,902
38GE HEALTHCARE TECHNOLOGIES I$1M15,795
39VANGUARD INDEX FDS$1M3,484
40TARGET CORP$1M8,700
41DUKE ENERGY CORP NEW$991k7,565
42SOUTHERN CO$864k8,950
43TEXAS INSTRS INC$861k4,435
44NEXTERA ENERGY INC$853k9,186
45PROCTER & GAMBLE CO$836k5,785
46NUCOR CORP$803k4,750
47ALLSTATE CORP$769k3,708
48V F CORP$719k42,320
49CORTEVA INC$710k8,476
50JOHNSON & JOHNSON$664k2,717
All filings on EDGAR ↗

Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.