Sunflower Bank, N.A. Portfolio Stock Holdings

Sunflower Bank, N.A. disclosed 155 stock positions valued at approximately $392.4 million in its latest SEC 13F filing. The largest holdings include VANGUARD LARGE-CAP ETF, VANGUARD MUN BD FD INC TAX EXEM, and PIMCO TRUST MULTISECTOR BOND ET. The filing reflects positions held as of March 31, 2026 and was filed on April 10, 2026.

Report Period
March 31, 2026
No. of Stocks
155
Portfolio Value
$392.4M
Holdings by Sector
Sunflower Bank, N.A. Portfolio Holdings in Q1 2026

153 holdings in the latest reporting period.

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CompanySymbolSectorPortfolio %SharesChange (Shares)Change %Value
VANGUARD LARGE-CAP ETFVVOther14.55%191,036+4,675+2.51%$57,091,108
VANGUARD MUN BD FD INC TAX EXEMVTEBOther11.40%896,240+22,074+2.53%$44,713,413
PIMCO TRUST MULTISECTOR BOND ETPYLDOther11.35%1,699,658+80,781+4.99%$44,531,040
VANGUARD STAR FUNDS VANGUARD TOVXUSOther7.30%371,711+457+0.12%$28,662,636
ISHARES CORE U.S. AGGREGATE BOAGGOther6.62%261,519-20,348-7.22%$25,960,991
ISHARES CORE S&P SMALL CAP ETFIJROther4.25%134,078+790+0.59%$16,667,236
SPDR S&P 500 ETF TR TR UNITSPYOther3.61%21,810+367+1.71%$14,183,915
VANGUARD INTL EQUITY INDEX FUNDVGKOther3.48%165,448+1,549+0.95%$13,637,879
EMERSON ELECTRIC COEMRIndustrials3.45%103,264-14-0.01%$13,529,649
VANGUARD FTSE EMERGING MARKETSVWOOther1.70%123,762-287-0.23%$6,689,336
EXXON MOBIL CORPXOMEnergy1.01%23,383-4,074-14.84%$3,967,160
APPLE INC COMMONAAPLTechnology0.81%12,472-496-3.82%$3,165,269
ALPHABET INC CAP STK CLASS CGOOGCommunication Services0.73%9,929-563-5.37%$2,848,233
ABBVIE INCABBVHealthcare0.72%12,971-25-0.19%$2,821,063
NVIDIA CORPNVDATechnology0.67%15,068+427+2.92%$2,627,859
JOHNSON & JOHNSONJNJHealthcare0.64%10,343-274-2.58%$2,528,243
ISHARES AGENCY BOND ETFAGZOther0.64%23,035--$2,527,170
ISHARES GNMA BOND ETFGNMAOther0.63%55,380--$2,454,995
MICROSOFT CORPMSFTTechnology0.62%6,558-715-9.83%$2,427,575
ISHARES CORE S&P 500 ETFIVVOther0.61%3,679-4-0.11%$2,403,160
ALPHABET INC CLASS AGOOGLCommunication Services0.58%7,929+640+8.78%$2,280,063
AMAZON.COM INCAMZNConsumer Cyclical0.57%10,772-91-0.84%$2,243,484
COCA-COLA COKOConsumer Defensive0.55%28,187-1,071-3.66%$2,143,621
SPDR PORTFOLIO S&P 600 SMALL CASPSMOther0.49%39,638-2,947-6.92%$1,915,308
JPMORGAN CHASE & COJPMFinancial Services0.48%6,397+9+0.14%$1,881,742
SPDR BARCLAYS SHORT TERM HIGH YSJNKOther0.48%75,077-2,382-3.08%$1,875,424
ISHARES RUSSELL 2000IWMOther0.48%7,538--$1,869,424
MERCK & CO INC NEWMRKHealthcare0.47%15,428-6-0.04%$1,855,835
META PLATFORMS INC.METACommunication Services0.46%3,140-7-0.22%$1,796,489
BROADCOM INCAVGOTechnology0.45%5,732+817+16.62%$1,774,112
LILLY ELI & COMMONLLYHealthcare0.45%1,921-101-5.00%$1,766,878
GE AEROSPACEGEIndustrials0.43%6,003+22+0.37%$1,703,472
ISHS INTL SEL DV ETFIDVOther0.40%37,244-1,337-3.47%$1,585,104
INVESCO AC VAR ETFVRIGOther0.40%62,983-11,298-15.21%$1,576,780
UNION PACIFIC CORPUNPIndustrials0.38%6,075-34-0.56%$1,473,916
ABBOTT LABORATORIESABTHealthcare0.37%14,100-470-3.23%$1,447,647
APPLIED MATERIALS INCAMATTechnology0.36%4,171-34-0.81%$1,425,606
SPDR S&P MIDCAP 400 ETF TRMDYOther0.34%2,148--$1,324,801
INTEL CORPINTCTechnology0.33%29,522+35+0.12%$1,302,806
ISHARES MSCI EAFEEFAOther0.33%13,190--$1,281,145
RAYTHEON TECHNOLOGIES CORPRTXIndustrials0.32%6,558--$1,265,039
VISA COMMON CL AVFinancial Services0.32%4,168-50-1.19%$1,259,737
HUBBELL INC NPVHUBBIndustrials0.32%2,525--$1,239,119
CISCO SYSTEMS INCCSCOTechnology0.31%15,456+51+0.33%$1,199,231
AMERICAN EXPRESS COMMONAXPFinancial Services0.28%3,628+2+0.06%$1,097,397
WAL-MART STORES COMMONWMTConsumer Defensive0.28%8,820-390-4.23%$1,096,150
BERKSHIRE HATHAWAY INC DEL CLASBRK-BFinancial Services0.28%2,268-14-0.61%$1,086,826
TESLA MTRS INCTSLAConsumer Cyclical0.27%2,870-27-0.93%$1,066,922
CHEVRON CORPCVXEnergy0.26%4,952-508-9.30%$1,024,569
TECH SELECT SEC SPDRXLKOther0.25%7,504--$997,282
GE VERNOVAGEVUtilities0.25%1,141--$995,979
VANGUARD INFORMATION TECHNOLOGYVGTOther0.25%1,404+130+10.20%$979,599
MASTERCARD CL AMAFinancial Services0.24%1,923-37-1.89%$960,846
ISHARES TR MSCIACWIOther0.24%6,731-150-2.18%$931,368
JPMORGAN ULTRA-SHORT MUNICIPALJMSTOther0.20%15,563-7,455-32.39%$793,402
CATERPILLAR INC.CATIndustrials0.20%1,114-215-16.18%$789,225
CAPITAL ONE FINL CORP COMMONCOFFinancial Services0.20%4,255-61-1.41%$776,240
KROGER COKRConsumer Defensive0.19%10,543--$762,891
ISHARES AAA-A RATED CORP BOND EQLTAOther0.19%15,900--$756,681
VANGUARD INDEX FUNDS VANGUARD EVXFOther0.19%3,605--$741,909
S&P GLOBAL INC COMSPGIFinancial Services0.19%1,735+93+5.66%$737,965
AT&T INCTCommunication Services0.18%24,721-266-1.06%$716,661
COSTCO WHOLESALE CORP NEW COMMOCOSTConsumer Defensive0.18%717+6+0.84%$714,440
SPDR SER TR NUVEEN BLOOMBERG BASHMOther0.18%14,851--$710,323
ORACLE CORPORCLTechnology0.17%4,597-143-3.02%$676,265
KLA CORPORATION COM NEWKLACTechnology0.17%456+3+0.66%$671,419
THE HOME DEPOT INCHDConsumer Cyclical0.17%2,011-44-2.14%$661,398
WELLS FARGO & COWFCFinancial Services0.17%8,185-85-1.03%$651,608
ADVANCED MICRO DEVICES INCAMDTechnology0.16%3,179-31-0.97%$646,704
JP MORGAN INTL BOND OPPORTUNITIJPIBOther0.15%12,622-1,304-9.36%$603,584
UNITEDHEALTH GROUP INCUNHHealthcare0.15%2,211-18-0.81%$598,274
ISHARES MSCI EMERGEEMOther0.15%10,400--$590,616
TARGET CORPTGTConsumer Defensive0.15%4,803+33+0.69%$582,124
NETFLIX INC COMMONNFLXCommunication Services0.15%5,929+331+5.91%$570,073
BANK AMER CORP COMMONBACFinancial Services0.14%11,635-351-2.93%$567,206
TERADYNE INCTERTechnology0.14%1,905-14-0.73%$564,756
ANALOG DEVICES INCADITechnology0.14%1,765+7+0.40%$561,517
MICRON TECHNOLOGY INC COMMONMUTechnology0.14%1,632-36-2.16%$551,355
DELL TECHNOLOGIES INCDELLTechnology0.14%3,336-4-0.12%$547,538
SALESFORCE INCCRMTechnology0.13%2,706+77+2.93%$505,129
PHILIP MORRIS INTL INC COMMONPMConsumer Defensive0.12%2,916+30+1.04%$482,131
VERIZON COMMUNICATIONS INC COMMVZCommunication Services0.12%9,377+54+0.58%$470,726
NEXTERA ENERGY INCNEEUtilities0.12%4,912+76+1.57%$456,227
AUTOMATIC DATA PROCESSING INCADPTechnology0.11%2,208-342-13.41%$448,621
PROCTER & GAMBLE COPGConsumer Defensive0.11%3,088-271-8.07%$446,031
SCHWAB STRATEGIC US DIVIDEND EQSCHDOther0.11%14,501--$444,891
HEWLETT PACKARD ENTERPRISE COMMHPETechnology0.11%18,630+1,804+10.72%$443,580
AON PLCAONFinancial Services0.11%1,352-4-0.29%$436,399
EATON CORP PLCETNOther0.11%1,205+17+1.43%$430,992
ISHARES S&P GLO INDSEXIOther0.11%2,375--$429,899
AMERIPRISE FINL INC COMMONAMPFinancial Services0.11%938+1+0.11%$416,847
INTERNATIONAL BUSINESS MACHINESIBMTechnology0.10%1,633+588+56.27%$395,823
MOODYS CORPMCOFinancial Services0.10%890+2+0.23%$388,263
CONOCOPHILLIPSCOPEnergy0.10%2,854+80+2.88%$376,728
MCDONALDS CORP COMMONMCDConsumer Cyclical0.09%1,199-195-13.99%$372,637
PROLOGIS INCPLDReal Estate0.09%2,806+42+1.52%$370,897
CHUBB LIMITED COM NPVCBFinancial Services0.09%1,134+154+15.71%$369,605
AMGEN INCAMGNHealthcare0.09%1,031+80+8.41%$362,757
WASTE MGMT INC DEL COMMONWMIndustrials0.09%1,564+11+0.71%$359,391
MORGAN STANLEYMSFinancial Services0.09%2,180+5+0.23%$358,763