West Bancorporation Inc Portfolio Stock Holdings

West Bancorporation Inc disclosed 95 stock positions valued at approximately $233.8 million in its latest SEC 13F filing. The largest holdings include ISHARES Tr, ISHARES Tr, and Vanguard Whitehall FDS. The filing reflects positions held as of June 30, 2026 and was filed on July 23, 2026.

Report Period
June 30, 2026
No. of Stocks
95
Portfolio Value
$233.8M
Holdings by Sector
West Bancorporation Inc Portfolio Holdings in Q2 2026

95 holdings in the latest reporting period.

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CompanySymbolSectorPortfolio %SharesChange (Shares)Change %Value
ISHARES TrIWFOther7.81%147,096+110,190+298.57%$18,264,910
ISHARES TrIWDOther7.31%70,539-2,592-3.54%$17,100,770
Vanguard Whitehall FDSVYMOther6.39%94,584+6,038+6.82%$14,947,110
Vanguard Whitehall FDSVYMIOther6.20%147,657+14,416+10.82%$14,499,917
ISHARES TrIWROther5.42%114,958+8,882+8.37%$12,682,167
Vanguard Index FDSVOOther5.38%155,999+140,040+877.50%$12,568,839
Vanguard Index FDSVOOOther5.13%17,468-11-0.06%$11,997,197
Vanguard Index FDSVUGOther4.75%129,076+113,522+729.86%$11,118,607
West Bancorporation INCWTBAFinancial Services4.71%415,411-2,750-0.66%$11,020,854
ISHARES TrIVVOther4.10%12,811-491-3.69%$9,594,030
SPDR S&P 500 EFT TrustSPYOther4.05%12,676--$9,466,057
Vanguard Index FDSVBOther3.19%24,582+910+3.84%$7,451,296
Vanguard Tax-Managed FDSVEAOther2.81%92,168+6,159+7.16%$6,566,970
Invesco Qqq TrustQQQOther2.54%8,078+2,027+33.50%$5,948,639
Apple INCAAPLTechnology2.03%16,400-709-4.14%$4,745,504
Vanguard Index FDSVTVOther2.02%21,664+6,014+38.43%$4,721,236
Brookfield Asset Management Ltd Mngmt ABAMFinancial Services1.79%93,091--$4,175,131
Microsoft CorpMSFTTechnology1.39%8,703-480-5.23%$3,246,393
Vanguard Intl Equity Index FVEUOther1.32%36,958-2,953-7.40%$3,095,232
ISHARES TrIWMOther1.27%9,898-1,189-10.72%$2,973,854
ISHARES MSCI ACWI Index FundACWIOther1.18%17,531-350-1.96%$2,751,841
JPMORGAN Chase & COJPMFinancial Services0.87%6,244-356-5.39%$2,043,849
Alphabet INCGOOGCommunication Services0.85%5,629-735-11.55%$1,988,895
Schwab Strategic TrustSCHDOther0.70%51,986-2,534-4.65%$1,648,476
Nvidia CorpNVDATechnology0.62%7,251-1,123-13.41%$1,450,853
ISHARES TrIEFAOther0.62%14,920-1,145-7.13%$1,440,974
Adams Diversified Equity FDADXFinancial Services0.54%49,490+2,600+5.54%$1,264,470
Principal Financial Group INCPFGFinancial Services0.54%11,714+1,104+10.41%$1,262,535
Abbvie INCABBVHealthcare0.53%4,940--$1,243,102
Costco Wholesale CorpCOSTConsumer Defensive0.50%1,255-55-4.20%$1,174,015
Amazon com INCAMZNConsumer Cyclical0.50%4,902-940-16.09%$1,168,343
Invesco Exch Traded FD TR IIRPGOther0.47%17,164--$1,095,921
Invesco Exchange Traded FD TRSPOther0.45%4,922+575+13.23%$1,047,254
Meta Platforms INC AMETACommunication Services0.42%1,763-117-6.22%$993,080
Cisco Systems INCCSCOTechnology0.42%8,385--$984,902
Vanguard specialized FundsVIGOther0.42%4,137-5,573-57.39%$978,897
Mcdonalds CorpMCDConsumer Cyclical0.39%3,362--$908,782
Walmart INCWMTConsumer Defensive0.38%7,943-457-5.44%$899,624
Berkshire Hathaway INCBRK-BFinancial Services0.37%1,708+30+1.79%$854,666
Southern COSOUtilities0.34%8,285-1,531-15.60%$792,957
Wells Fargo COWFCFinancial Services0.34%9,555-271-2.76%$789,625
Vanguard Admiral FDS INCVOOVOther0.32%3,450--$756,275
ISHARES TrITOTOther0.32%4,513--$741,351
Lam Research Corp.LRCXOther0.32%1,704-238-12.26%$738,394
Ross Stores INCROSTConsumer Cyclical0.31%3,439--$731,991
Eli Lilly And COLLYHealthcare0.31%604-66-9.85%$724,456
Vanguard Mid-cap Growth Index Fund Mid Cap EtfVOTOther0.30%2,318--$710,003
Invesco Exchange Traded FD TPRFOther0.30%12,942--$699,256
Alphabet INCGOOGLCommunication Services0.29%1,912--$683,291
Johnson & JohnsonJNJHealthcare0.26%2,396+666+38.50%$608,512
Altria Group INCMOConsumer Defensive0.24%7,848+1,332+20.44%$564,664
Goldman Sachs Equity EtfGSLCOther0.22%3,629--$514,919
Fastenal CoFASTIndustrials0.20%9,906-1,626-14.10%$475,785
Chevron CorpCVXEnergy0.20%2,863+600+26.51%$474,571
ISHARES TrEFAOther0.19%4,309-422-8.92%$447,619
Vanguard Small-cap Growth Index Fund Small Cap EtfVBKOther0.19%1,214-153-11.19%$443,960
Nushares ETF TrNUSCOther0.19%8,485+499+6.25%$442,238
International Business Machines CorpIBMTechnology0.19%1,565--$440,094
Pfizer INCPFEHealthcare0.19%17,975-1,800-9.10%$432,838
Broadcom INCAVGOTechnology0.18%1,135+80+7.58%$428,746
Abbott LaboratoriesABTHealthcare0.18%4,713-429-8.34%$427,658
Exxon Mobil CorpXOMEnergy0.17%2,893-125-4.14%$395,531
Vanguard Mid-cap Value Index Fund Mid Cap EtfVOEOther0.17%1,991--$393,422
Micron Technology IncMUTechnology0.16%334+334+100.00%$385,533
Honeywell International INCHONIndustrials0.15%1,513+21+1.41%$359,882
SPDR SER TRSDYOther0.15%2,336-349-13.00%$355,492
SPDR Gold TrustGLDOther0.15%934--$344,067
Amphenol Corp AAPHTechnology0.15%1,938-582-23.10%$341,708
ISHARES TrIJROther0.15%2,292+34+1.51%$339,927
Pure Storage INC APSTGTechnology0.14%4,299--$338,718
Chemed Corp NewCHEHealthcare0.13%650--$302,731
Visa INCVFinancial Services0.13%878+23+2.69%$301,233
Procter & Gamble COPGConsumer Defensive0.13%2,045-1,365-40.03%$299,879
Ishares Gold TrustIAUOther0.13%3,961--$299,095
DBX ETF TRSNPEOther0.12%4,035--$277,850
Corteva INCCTVABasic Materials0.12%3,262-1,068-24.67%$276,259
Vanguard Small Cap Value EtfVBROther0.12%1,111-551-33.15%$269,962
Vanguard World FDVCROther0.12%680--$269,695
American Electric Power Company INCAEPUtilities0.11%1,941-540-21.77%$265,548
ISHARES TrIJKOther0.11%2,140--$251,450
Monster Beverage CorpMNSTConsumer Defensive0.10%2,473-799-24.42%$237,705
Philip Morris International INCPMConsumer Defensive0.10%1,305-312-19.29%$236,088
J P MORGAN Exchange Traded FJEPIOther0.10%4,150-7,800-65.27%$234,392
Industrial Select Sector SPDRXLIOther0.10%1,257--$232,834
Flextronics IntlFLEXOther0.10%1,431+1,431+100.00%$231,922
Flexshares TRQDEFOther0.10%2,664--$231,825
Vanguard Short-Term Bond ETFBSVOther0.10%2,886+2,886+100.00%$224,848
Vanguard Energy Index Fund EtfVDEOther0.10%1,495--$224,444
Caseys General Stores INCCASYConsumer Cyclical0.09%272-85-23.81%$216,183
Uber Technologies INCUBERTechnology0.09%2,937-305-9.41%$211,934
ISHARES Russell Mid-Cap Value ETFIWSOther0.09%1,278-930-42.12%$210,359
Factset Resh Sys IncFDSFinancial Services0.09%902-30-3.22%$207,532
Mastercard INCMAFinancial Services0.09%400-188-31.97%$205,440
Taiwan Semiconductor Manufacturing CO LtdTSMTechnology0.09%430+430+100.00%$205,355
Vanguard Financials EtfVFHOther0.09%1,530--$201,348
West Bancorporation Inc Portfolio Stock Holdings | InsiderSet