First National Bank Of Hutchinson Portfolio Stock Holdings

First National Bank Of Hutchinson disclosed 90 stock positions valued at approximately $182.1 million in its latest SEC 13F filing. The largest holdings include iShares Core S&P 500 ETF, Apple Inc, and Nvidia Corp. The filing reflects positions held as of June 30, 2026 and was filed on August 3, 2026.

Report Period
June 30, 2026
No. of Stocks
90
Portfolio Value
$182.1M
Holdings by Sector
First National Bank Of Hutchinson Portfolio Holdings in Q2 2026

86 holdings in the latest reporting period.

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CompanySymbolSectorPortfolio %SharesChange (Shares)Change %Value
iShares Core S&P 500 ETFIVVOther17.42%42,374+2,220+5.53%$31,733,465
Apple IncAAPLTechnology5.81%36,582-801-2.14%$10,585,368
Nvidia CorpNVDATechnology5.63%51,277+620+1.22%$10,260,015
Alphabet Inc CGOOGCommunication Services5.60%28,865+178+0.62%$10,198,870
iShares Core S&P Mid-Cap ETFIJHOther4.30%101,634-500-0.49%$7,836,998
SPDR Technology Select Sector EXLKOther4.05%38,758+1,446+3.88%$7,384,174
iShares Core S&P Small-Cap ETFIJROther3.75%46,038-96-0.21%$6,827,896
Microsoft CorpMSFTTechnology3.34%16,291+608+3.88%$6,076,869
Walmart IncWMTConsumer Defensive3.18%51,137+662+1.31%$5,791,776
JPMorgan Chase & CoJPMFinancial Services2.81%15,641+2,206+16.42%$5,119,769
Broadcom IncAVGOTechnology2.49%12,023+102+0.86%$4,541,689
Amazon.com IncAMZNConsumer Cyclical2.49%19,047-968-4.84%$4,539,662
Micron Technology IncMUTechnology1.87%2,957+23+0.78%$3,413,235
Advanced Micro Devices IncAMDTechnology1.80%5,639+22+0.39%$3,275,751
Berkshire Hathaway IncBRK-BFinancial Services1.66%6,043-733-10.82%$3,023,857
Johnson & JohnsonJNJHealthcare1.65%11,866+1,217+11.43%$3,013,608
Lilly (Eli) & CoLLYHealthcare1.50%2,282+143+6.69%$2,737,099
Taiwan Semiconductor ManufacturTSMTechnology1.29%4,919-94-1.88%$2,349,167
Caterpillar IncCATIndustrials1.17%2,007+47+2.40%$2,137,254
Exxon Mobil CorpXOMEnergy1.12%14,885+132+0.89%$2,035,077
Meta Platforms IncMETACommunication Services1.08%3,498-1,707-32.80%$1,970,388
The Kroger CoKRConsumer Defensive1.00%32,901-1,723-4.98%$1,826,992
Applied Materials IncAMATTechnology0.91%2,296+69+3.10%$1,660,008
Automatic Data Processing IncADPTechnology0.84%6,795+100+1.49%$1,521,740
Tjx Companies IncTJXConsumer Cyclical0.71%8,545+8,545+100.00%$1,294,568
EMCOR Group IncEMEIndustrials0.71%1,557+3+0.19%$1,292,123
Procter & Gamble CoPGConsumer Defensive0.66%8,220+1,385+20.26%$1,205,381
Vanguard FTSE Developed MarketsVEAOther0.66%16,816+3,084+22.46%$1,198,140
RTX Corporation ComRTXIndustrials0.66%6,301--$1,195,489
Amphenol CorpAPHTechnology0.65%6,703-2,577-27.77%$1,181,873
Visa Inc Cl AVFinancial Services0.61%3,264-1,673-33.89%$1,119,845
SPDR Financial Select Sector ETXLFOther0.59%20,145+641+3.29%$1,079,974
ConocoPhillipsCOPEnergy0.59%10,304-3,109-23.18%$1,071,203
Costco Wholesale CorpCOSTConsumer Defensive0.57%1,114+16+1.46%$1,042,113
Celestica IncCLSTechnology0.55%2,765+9+0.33%$1,008,672
Monolithic Power Systms IncMPWRTechnology0.53%695-292-29.58%$960,740
GE AerospaceGEIndustrials0.52%2,517+52+2.11%$940,678
SPDR Industrial Select Sector EXLIOther0.49%4,828+148+3.16%$894,290
American Express CoAXPFinancial Services0.48%2,611+2,611+100.00%$883,171
Evercore IncEVRFinancial Services0.48%2,582+2,582+100.00%$881,598
CrowdStrike Holdings IncCRWDTechnology0.48%1,135-10-0.87%$866,164
SPDR Consumer Discretionary SelXLYOther0.46%7,102+222+3.23%$832,922
OReilly Automotive IncORLYConsumer Cyclical0.45%8,983-27-0.30%$827,244
Chevron CorpCVXEnergy0.43%4,721--$782,553
SPDR Health Care Select SectorXLVOther0.43%4,912+177+3.74%$779,338
Mastercard IncMAFinancial Services0.43%1,514-46-2.95%$777,590
Martin Marietta Materials IncMLMBasic Materials0.42%1,329-14-1.04%$766,434
BHP Group LtdBHPBasic Materials0.42%9,188+2,355+34.47%$765,452
Cisco Systems IncCSCOTechnology0.39%6,000--$704,760
KLA CorpKLACTechnology0.37%2,240+2,016+900.00%$675,830
Target CorpTGTConsumer Defensive0.36%5,064+327+6.90%$661,409
Vanguard Real Estate ETFVNQOther0.36%6,840-27-0.39%$659,581
PepsiCo IncPEPConsumer Defensive0.36%4,865-712-12.77%$658,721
SPDR Gold Shares ETFGLDOther0.34%1,685--$620,720
UBS Group AGUBSOther0.33%12,117+227+1.91%$600,518
AAON IncAAONIndustrials0.32%4,622+4,622+100.00%$586,347
Mitsubishi UFJ Financial GroupMUFGFinancial Services0.31%28,583-1,720-5.68%$568,516
CRH Public LimitedCRHOther0.30%5,186-7-0.13%$554,902
Bank of America CorpBACFinancial Services0.30%9,648--$549,743
Coca-Cola CoKOConsumer Defensive0.30%6,673+776+13.16%$542,315
SPDR Energy Select Sector ETFXLEOther0.29%9,954+170+1.74%$528,657
Wells Fargo & Co NewWFCFinancial Services0.27%6,029--$498,236
Tesla IncTSLAConsumer Cyclical0.27%1,152-50-4.16%$484,531
Shell PLCSHELEnergy0.25%5,808-1,690-22.54%$450,352
iShares Russell 1000 Growth ETFIWFOther0.24%3,540+2,655+300.00%$439,562
Alphabet Inc AGOOGLCommunication Services0.22%1,112-96-7.95%$397,395
SPDR Consumer Staples Select SeXLPOther0.19%4,110+173+4.39%$341,418
Amgen IncAMGNHealthcare0.18%922--$333,875
iShares Core S&P US Growth ETFIUSGOther0.17%1,640--$308,468
Nucor CorpNUEBasic Materials0.16%1,340--$298,485
Jefferies Financial Group IncJEFFinancial Services0.16%5,911--$295,432
Vanguard Morningstar Value ETFVTVOther0.16%1,297+1,297+100.00%$282,655
International Business MachinesIBMTechnology0.15%942-2,317-71.10%$264,900
Garmin LtdGRMNOther0.14%1,079--$256,306
iShares Core MSCI EAFE ETFIEFAOther0.14%2,649-625-19.09%$255,840
Schwab Strategic TrSCHAOther0.14%6,843+6,843+100.00%$247,238
Vanguard S&P 500 ETFVOOOther0.13%342+21+6.54%$234,889
3M CoMMMIndustrials0.12%1,395-137-8.94%$225,865
SPDR Utilities Select Sector ETXLUOther0.12%4,977+125+2.58%$225,658
Stonex Group IncSNEXFinancial Services0.12%1,903+1,903+100.00%$225,506
Lam Research CorpLRCXOther0.12%520+520+100.00%$225,332
iShares S&P Mid-Cap 400 GrowthIJKOther0.12%1,900+1,900+100.00%$223,250
Bank of New York Mellon CorpBKFinancial Services0.12%1,500+1,500+100.00%$216,915
Emerson Electric CoEMRIndustrials0.11%1,456+1,456+100.00%$208,426
Quanta Services IncPWRIndustrials0.11%288+288+100.00%$207,372
iShares US Industrials ETFIYJOther0.11%1,208+1,208+100.00%$201,313