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Intrust Bank NA

All holdings · as of Mar 31, 2026

407 positions

CompanyClassValueShares% of portfolio
Intuitive Surgical Inc$3.49M7,5670.3%
VERIZON COMMUNICATIONS INC$3.51M69,8480.3%
HOME DEPOT, INC.$3.60M10,9330.3%
CISCO SYSTEMS, INC.$3.63M46,7670.3%
GILEAD SCIENCES, INC.$3.63M26,0510.3%
Monolithic Power Systems Inc$3.69M3,3710.3%
TotalEnergies SE$3.74M41,0900.3%
Williams Cos Inc/The$3.79M52,0580.3%
Constellation Energy Corp$3.81M13,6260.3%
Mastercard Inc$3.81M7,6320.3%
ORACLE CORP$3.93M26,7270.3%
Valero Energy Corp$3.96M16,0290.3%
TAIWAN SEMICONDUCTOR MANUFACTURING CO LTDTSMADR$4.16M12,3120.3%
ConocoPhillips$4.22M32,0030.3%
TJX Cos Inc/The$4.50M28,1670.4%
BANK OF AMERICA CORP /DE$4.68M96,0350.4%
AT&T INC.$4.73M163,1850.4%
SPDR INDEX SHS FDS$4.75M101,1870.4%
Walmart Inc.$4.90M39,3980.4%
RTX Corp$4.97M25,7790.4%
BERKSHIRE HATHAWAY INC DEL$5.03M70.4%
COSTCO WHOLESALE CORP /NEW$5.42M5,4390.4%
APPLIED MATERIALS INC /DE$5.44M15,9130.4%
iShares MSCI UAE ETF$5.63M29,3510.5%
AbbVie Inc.$5.79M26,6260.5%
Blue Owl Capital CorpOBDCCommon Stock$5.84M528,1900.5%
JOHNSON & JOHNSON$6.06M24,8000.5%
VANGUARD INDEX FDS$6.26M20,9500.5%
iShares MSCI UAE ETF$6.32M68,1140.5%
Tesla Inc$7.31M19,6660.6%
Visa Inc$7.54M24,9450.6%
MICRON TECHNOLOGY INC$7.99M23,6610.7%
CHEVRON CORP$8.25M39,8880.7%
LAM RESEARCH CORP$8.52M39,8720.7%
EXXON MOBIL CORP$9.64M56,8460.8%
Warren E. Buffett$10.15M21,1910.8%
Meta Platforms Inc$10.65M18,6110.9%
ELI LILLY & Co$10.71M11,6430.9%
STATE STR SPDR S&P 500 ETF T$12.11M18,6281.0%
JPMORGAN CHASE & CO$12.76M43,3891.0%
Alphabet Inc.$13.86M48,1861.1%
Amazon.com Inc$14.81M71,0881.2%
Alphabet Inc.$14.98M52,2271.2%
Quanta Services Inc$15.82M28,8231.3%
INVESCO QQQ TR$17.42M30,1891.4%
Broadcom Inc.$18.42M59,5081.5%
VANGUARD INDEX FDS$18.89M65,7821.5%
ISHARES TR$19.50M288,6891.6%
ISHARES TR$24.82M174,5272.0%
MICROSOFT CORP$26.38M71,2642.1%
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