Universe · entity
Sunflower Bank, N.A.
Institutional manager (13F) · CIK 1818759
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $348M
| # | Issuer | Value | Shares |
|---|---|---|---|
| 1 | VANGUARD LARGE-CAP ETF | $57M | 191,036 |
| 2 | VANGUARD MUN BD FD INC TAX EXEM | $45M | 896,240 |
| 3 | PIMCO TRUST MULTISECTOR BOND ET | $45M | 1,699,658 |
| 4 | VANGUARD STAR FUNDS VANGUARD TO | $29M | 371,711 |
| 5 | ISHARES CORE U.S. AGGREGATE BO | $26M | 261,519 |
| 6 | ISHARES CORE S&P SMALL CAP ETF | $17M | 134,078 |
| 7 | SPDR S&P 500 ETF TR TR UNIT | $14M | 21,810 |
| 8 | VANGUARD INTL EQUITY INDEX FUND | $14M | 165,448 |
| 9 | EMERSON ELECTRIC CO | $14M | 103,264 |
| 10 | EATON VANCE SHORT DURATION MUNI | $10M | 199,520 |
| 11 | VANGUARD FTSE EMERGING MARKETS | $7M | 123,762 |
| 12 | EXXON MOBIL CORP | $4M | 23,383 |
| 13 | APPLE INC COMMON | $3M | 12,472 |
| 14 | ALPHABET INC CAP STK CLASS C | $3M | 9,929 |
| 15 | ABBVIE INC | $3M | 12,971 |
| 16 | NVIDIA CORP | $3M | 15,068 |
| 17 | JOHNSON & JOHNSON | $3M | 10,343 |
| 18 | ISHARES AGENCY BOND ETF | $3M | 23,035 |
| 19 | ISHARES GNMA BOND ETF | $2M | 55,380 |
| 20 | MICROSOFT CORP | $2M | 6,558 |
| 21 | ISHARES CORE S&P 500 ETF | $2M | 3,679 |
| 22 | ALPHABET INC CLASS A | $2M | 7,929 |
| 23 | AMAZON.COM INC | $2M | 10,772 |
| 24 | COCA-COLA CO | $2M | 28,187 |
| 25 | SPDR PORTFOLIO S&P 600 SMALL CA | $2M | 39,638 |
| 26 | JPMORGAN CHASE & CO | $2M | 6,397 |
| 27 | SPDR BARCLAYS SHORT TERM HIGH Y | $2M | 75,077 |
| 28 | ISHARES RUSSELL 2000 | $2M | 7,538 |
| 29 | MERCK & CO INC NEW | $2M | 15,428 |
| 30 | META PLATFORMS INC. | $2M | 3,140 |
| 31 | BROADCOM INC | $2M | 5,732 |
| 32 | LILLY ELI & COMMON | $2M | 1,921 |
| 33 | GE AEROSPACE | $2M | 6,003 |
| 34 | ISHS INTL SEL DV ETF | $2M | 37,244 |
| 35 | INVESCO AC VAR ETF | $2M | 62,983 |
| 36 | UNION PACIFIC CORP | $1M | 6,075 |
| 37 | ABBOTT LABORATORIES | $1M | 14,100 |
| 38 | APPLIED MATERIALS INC | $1M | 4,171 |
| 39 | SPDR S&P MIDCAP 400 ETF TR | $1M | 2,148 |
| 40 | INTEL CORP | $1M | 29,522 |
| 41 | ISHARES MSCI EAFE | $1M | 13,190 |
| 42 | RAYTHEON TECHNOLOGIES CORP | $1M | 6,558 |
| 43 | VISA COMMON CL A | $1M | 4,168 |
| 44 | HUBBELL INC NPV | $1M | 2,525 |
| 45 | CISCO SYSTEMS INC | $1M | 15,456 |
| 46 | AMERICAN EXPRESS COMMON | $1M | 3,628 |
| 47 | WAL-MART STORES COMMON | $1M | 8,820 |
| 48 | BERKSHIRE HATHAWAY INC DEL CLAS | $1M | 2,268 |
| 49 | TESLA MTRS INC | $1M | 2,870 |
| 50 | CHEVRON CORP | $1M | 4,952 |
Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.