West Bancorporation Inc

Holdings as of Mar 31, 2026 · filed Apr 23, 2026

$200427504
Portfolio value
98
Positions
Source: SEC 13-F ↗
Original filing
# Holding Value % Port. Δ Shares Change (QoQ)
1 Ishares Tr $15736718 7.85% +5986 +19.36%
2 Ishares Tr $15625901 7.80% +6274 +9.38%
3 Vanguard Whitehall Fds $13113663 6.54% +14406 +19.43%
4 Vanguard Whitehall Fds $12556632 6.26% +26692 +25.05%
5 Vanguard Index Fds $10444576 5.21% +549 +3.24%
6 Ishares Tr $10313769 5.15% +16222 +18.05%
7 West Bancorporation Inc $9948050 4.96% -3400 -0.81%
8 Ishares Tr $8688999 4.34% +117 +0.89%
9 Spdr S&P 500 Eft Trust $8243710 4.11% Held
10 Vanguard Index Fds $6793832 3.39% +1915 +14.04%
11 Vanguard Index Fds $6200170 3.09% +828 +3.62%
12 Vanguard Tax-Managed Fds $5511457 2.75% +2839 +3.41%
13 Vanguard Index Fds $4583106 2.29% +3555 +28.66%
14 Apple Inc $4342093 2.17% +161 +0.95%
15 Brookfield Asset Management Ltd Mngmt A $4137895 2.06% Held
16 Invesco Qqq Trust $3492516 1.74% Held
17 Microsoft Corp $3399271 1.70% -65 -0.70%
18 Vanguard Index Fds $3070530 1.53% +375 +2.45%
19 Vanguard Intl Equity Index F $2997316 1.50% +7638 +23.67%
20 Ishares Tr $2749576 1.37% -625 -5.34%
21 Ishares Msci Acwi Index Fund $2474194 1.23% +1901 +11.90%
22 Vanguard Specialized Funds $2088233 1.04% -1522 -13.55%
23 Jpmorgan Chase & Co $1941456 0.97% -901 -12.01%
24 Alphabet Inc $1825577 0.91% -5 -0.08%
25 Schwab Strategic Trust $1672674 0.83% -1071 -1.93%
26 Nvidia Corp $1460426 0.73% +12 +0.14%
27 Ishares Tr $1454364 0.73% -1075 -6.27%
28 Costco Wholesale Corp $1305323 0.65% -1 -0.08%
29 Amazon Com Inc $1216713 0.61% -22 -0.38%
30 Meta Platforms Inc A $1075604 0.54% -3 -0.16%
31 Abbvie Inc $1074401 0.54% -75 -1.50%
32 Mcdonalds Corp $1044876 0.52% -59 -1.72%
33 Walmart Inc $1043952 0.52% +390 +4.87%
34 Adams Diversified Equity Fd $1026422 0.51% Held
35 Principal Financial Group Inc $956067 0.48% Held
36 Southern Co $947440 0.47% +1531 +18.48%
37 Invesco Exchange Traded Fd T $834276 0.42% +1872 +75.64%
38 Berkshire Hathaway Inc $804098 0.40% Held
39 Invesco Exch Traded Fd Tr Ii $802245 0.40% Held
40 Wells Fargo Co $782248 0.39% Held
41 Ross Stores Inc $744991 0.37% Held
42 Pepsico Inc $720546 0.36% -719 -13.42%
43 Vanguard Admiral Fds Inc $703076 0.35% Held
44 J P Morgan Exchange Traded F $677326 0.34% -350 -2.85%
45 Cisco Systems Inc $650592 0.32% -1775 -17.47%
46 Ishares Tr $642787 0.32% -45 -0.99%
47 Eli Lilly And Co $616246 0.31% -44 -6.16%
48 Invesco Exchange Traded Fd T $615133 0.31% Held
49 Vanguard Mid-Cap Growth Index Fund Mid Cap Etf $596537 0.30% Held
50 Pfizer Inc $555282 0.28% -1575 -7.38%
51 Alphabet Inc $549815 0.27% Held
52 Fastenal Co $535085 0.27% +1655 +16.76%
53 Abbott Laboratories $527929 0.26% +318 +6.59%
54 Exxon Mobil Corp $512034 0.26% +649 +27.40%
55 Procter & Gamble Co $492540 0.25% Held
56 Chevron Corp $468215 0.23% +275 +13.83%
57 Ishares Tr $459522 0.23% Held
58 Goldman Sachs Equity Etf $454097 0.23% -230 -5.96%
59 Altria Group Inc $429991 0.21% Held
60 Johnson & Johnson $422881 0.21% -9 -0.52%
61 Lam Research Corp. $414928 0.21% -304 -13.54%
62 Vanguard Small-Cap Growth Index Fund Small Cap Etf $413176 0.21% +56 +4.27%
63 Spdr Gold Trust $401891 0.20% Held
64 Spdr Ser Tr $391849 0.20% Held
65 International Business Machines Corp $379340 0.19% Held
66 Wisdomtree Tr $369409 0.18% Held
67 Vanguard Mid-Cap Value Index Fund Mid Cap Etf $366901 0.18% Held
68 Corteva Inc $362464 0.18% Held
69 Vanguard Small Cap Value Etf $361069 0.18% NEW BUY
70 Nushares Etf Tr $359849 0.18% Held
71 Ishares Gold Trust $349202 0.17% Held
72 Honeywell International Inc $337237 0.17% -60 -3.87%
73 Broadcom Inc $326533 0.16% NEW BUY
74 American Electric Power Company Inc $325209 0.16% -116 -4.47%
75 Ishares Russell Mid-Cap Value Etf $321794 0.16% NEW BUY
76 Amphenol Corp A $318402 0.16% -724 -22.32%
77 Mastercard Inc $293800 0.15% -2 -0.34%
78 L3harris Technologies Inc $293032 0.15% -3 -0.35%
79 At&T Inc $281145 0.14% +1300 +15.48%
80 Ishares Tr $280692 0.14% Held
81 Philip Morris International Inc $267355 0.13% Held
82 Emerson Electric Co $260992 0.13% NEW BUY
83 Caseys General Stores Inc $259846 0.13% NEW BUY
84 Vanguard Energy Index Fund Etf $258695 0.13% NEW BUY
85 Visa Inc $258415 0.13% Held
86 Pure Storage Inc A $253813 0.13% Held
87 Public Service Enterprise Group Inc $246007 0.12% -146 -4.58%
88 Chemed Corp New $245531 0.12% Held
89 Ishares Tr $245018 0.12% -247 -4.11%
90 Vanguard World Fd $244140 0.12% Held
91 Eog Resources Inc $240709 0.12% NEW BUY
92 Dbx Etf Tr $240284 0.12% Held
93 Monster Beverage Corp $237089 0.12% -17 -0.52%
94 Uber Technologies Inc $233197 0.12% Held
95 Ishares Tr $215327 0.11% Held
96 Flexshares Tr $212640 0.11% Held
97 Industrial Select Sector Spdr $203295 0.10% NEW BUY
98 Factset Resh Sys Inc $202235 0.10% Held

Closed last quarter

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Holdings disclosed quarterly to the SEC on Form 13-F and may be up to 45 days old. Values as reported. For research only — not investment advice.