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Amarillo National Bank

Filed: 19 Oct 21, 3:46pm

The Securities and Exchange Commission has not necessarily reviewed the information in this filing and has not determined if it is accurate and complete.
The reader should not assume that the information is accurate and complete.

UNITED STATES SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 13F

FORM 13F INFORMATION TABLE

OMB APPROVAL
OMB Number:3235-0006
Expires:Oct 31, 2018
Estimated average burden
hours per response:23.8

COLUMN 1COLUMN 2COLUMN 3COLUMN 4COLUMN 5COLUMN 6COLUMN 7COLUMN 8
VALUESHRS ORSH/PUT/INVESTMENTOTHERVOTING AUTHORITY
NAME OF ISSUERTITLE OF CLASSCUSIP(x$1000)PRN AMTPRNCALLDISCRETIONMANAGERSOLESHAREDNONE
ARK Fintech InnovationCom00214Q7085,643114,324SH SOLE0114,0750249
ARK Fintech InnovationCom00214Q7084609,321SH DFND09,1120209
ARK Fintech InnovationCom00214Q70812250SH OTR025000
Abbott LaboratoriesCom0028241002351,990SH OTR01,99000
Abbvie Inc ComCom00287Y1091211,123SH SOLE01,12300
Abbvie Inc ComCom00287Y1091641,516SH OTR01,51600
Alphabet Inc Cap Stk CL C CapCom02079K10714153SH SOLE05300
Alphabet Inc Cap Stk CL C CapCom02079K1071,908716SH DFND071600
Alphabet Inc Cap Stk CL A Cap StkCom02079K305529198SH SOLE019800
Alphabet Inc Cap Stk CL A Cap StkCom02079K3052,286855SH DFND085500
Amazon Com IncCom02313510622368SH SOLE06800
Amazon Com IncCom0231351063,7451,140SH DFND01,14000
American Express CoCom0258161091,3938,313SH DFND08,31300
Amplify Lithium & Battery TechCom0321088055,213302,710SH SOLE0302,0550655
Amplify Lithium & Battery TechCom03210880544025,542SH DFND024,9910552
Amplify Lithium & Battery TechCom03210880511661SH OTR066100
Analog Devices IncCom0326541052441,457SH OTR01,45700
Apple Computer IncCom0378331008906,293SH SOLE06,29300
Apple Computer IncCom0378331005,12036,187SH DFND036,18700
Apple Computer IncCom0378331005674,004SH OTR04,00400
Atmos Energy CorporationCom0495601056367,209SH SOLE07,20900
Atmos Energy CorporationCom0495601052,12124,047SH OTR024,04700
Berkshire Hathaway Inc-CL BCom0846707021,5195,567SH SOLE05,56700
Boeing CompanyCom0970231058854,022SH SOLE04,02200
Boeing CompanyCom097023105131595SH OTR059500
Caterpillar IncCom1491231011,1736,111SH SOLE06,11100
Caterpillar IncCom149123101140730SH OTR073000
Chevron CorpCom1667641002752,706SH SOLE02,70600
Chevron CorpCom1667641005265,184SH DFND05,18400
Cisco Systems IncCom17275R1021182,161SH SOLE02,16100
Cisco Systems IncCom17275R1021773,260SH OTR03,26000
Coca-Cola Company - CommonCom1912161002344,454SH SOLE04,45400
Colgate Palmolive CoCom1941621035176,837SH SOLE06,83700
Colgate Palmolive CoCom19416210356747SH DFND074700
Costco Whsl Corp New ComCom22160K1053885SH SOLE08500
Costco Whsl Corp New ComCom22160K105222494SH DFND049400
Danaher Corp DECom2358511027192,363SH SOLE02,36300
Deere & Co - CommonCom2441991051,2483,724SH SOLE03,72400
Digital Rlty Tr IncCom25386810317120SH SOLE012000
Digital Rlty Tr IncCom2538681032411,667SH OTR01,66700
Dollar Tree Inc Com StkCom2567461089569,986SH DFND09,98600
Dominos PizzaCom25754A2012,5575,362SH DFND05,36200
Duke Realty CorpCom2644115052104,380SH OTR04,38000
Defiance 5G Next Gen ConnectivityCom26922A2895,722157,556SH SOLE0157,2130343
Defiance 5G Next Gen ConnectivityCom26922A28947513,091SH DFND012,8020289
Defiance 5G Next Gen ConnectivityCom26922A28913345SH OTR034500
North Shore Global Uranium MiningCom3015057156,68887,026SH SOLE086,8350191
North Shore Global Uranium MiningCom3015057155467,100SH DFND06,9400160
North Shore Global Uranium MiningCom30150571515192SH OTR019200
Exxon Mobil Corp ComCom30231G1022784,729SH SOLE04,72900
Exxon Mobil Corp ComCom30231G10250856SH DFND085600
Exxon Mobil Corp ComCom30231G10245767SH OTR076700
FaceBook IncCom30303M1023531,041SH SOLE01,04100
FaceBook IncCom30303M1023,77611,126SH DFND011,12600
Fundamental Investors Fund ACom3608021024596,092SH SOLE06,09200
General Mills IncCom3703341042394,000SH SOLE04,00000
General Mills IncCom370334104871,457SH OTR01,45700
Global X Autonomous & Electric VehiclesCom37954Y6245,805211,714SH SOLE0211,2530461
Global X Autonomous & Electric VehiclesCom37954Y62448017,507SH DFND017,1200387
Global X Autonomous & Electric VehiclesCom37954Y62413465SH OTR046500
Home Depot IncCom437076102103315SH SOLE031500
Home Depot IncCom4370761023351,021SH DFND01,02100
Honeywell International IncCom438516106161759SH SOLE075900
Honeywell International IncCom43851610685402SH DFND040200
Illinois Tools Wks IncCom45230810961294SH SOLE029400
Illinois Tools Wks IncCom452308109186902SH OTR090200
Intel CorpCom4581401001923,605SH SOLE03,60500
Intel CorpCom45814010053810,101SH DFND010,10100
Intel CorpCom4581401001492,794SH OTR02,79400
Intercontinetal Exchange GroupCom45866F1043302,870SH SOLE02,87000
iShares JD Select DividendCom4642871684,07635,531SH SOLE035,53100
iShares JD Select DividendCom4642871683,63431,680SH DFND031,68000
iShares JD Select DividendCom4642871681,40112,215SH OTR012,21500
iShares Core S&P 500 ETFCom46428720041,14495,501SH SOLE095,50100
iShares Core S&P 500 ETFCom4642872005,24212,167SH DFND012,16700
iShares Core S&P 500 ETFCom4642872004,0859,483SH OTR09,48300
iShares Core US Aggregate Bond ETFCom46428722646,553405,407SH SOLE0405,40700
iShares Core US Aggregate Bond ETFCom46428722613,188114,844SH DFND0114,84400
iShares MSCI Emerging Markets ETFCom46428723412,628250,663SH SOLE0250,66300
iShares MSCI Emerging Markets ETFCom46428723415306SH DFND030600
iShares S&P 500 Growth ETFCom46428730916,435222,369SH SOLE0222,36900
iShares S&P 500 Growth ETFCom4642873098,170110,538SH DFND0110,53800
iShares S&P 500 Growth ETFCom4642873094,12955,860SH OTR055,86000
iShares S&P 500 Value ETFCom46428740825,835177,658SH SOLE0177,65800
iShares S&P 500 Value ETFCom46428740817,374119,476SH DFND0119,47600
iShares S&P 500 Value ETFCom4642874083,08021,179SH OTR021,17900
iShares Barclay 20 plus Yr Treasury Bond FundCom4642874323082,135SH SOLE02,13500
iShares Barclays 7-10 Year Treasury Bond FundCom4642874409187,968SH SOLE07,96800
iShares Barclays 1-3 Year Treasury Bond FundCom46428745794811,006SH SOLE011,00600
iShares MSCI EAFE Index FundCom4642874654,49157,567SH SOLE057,56700
iShares MSCI EAFE Index FundCom4642874652,94437,738SH DFND037,73800
iShares MSCI EAFE Index FundCom4642874651,12814,462SH OTR014,46200
iShares Russell Midcap ValueCom4642874738077,123SH SOLE07,12300
iShares Russell Midcap ValueCom4642874732,07118,283SH DFND018,28300
iShares Russell Midcap ValueCom4642874735855,165SH OTR05,16500
iShares Russell Midcap GrwthCom4642874818637,700SH SOLE07,70000
iShares Russell Midcap GrwthCom4642874811,44712,911SH DFND012,91100
iShares Russell Midcap GrwthCom4642874817396,592SH OTR06,59200
iShares Russell Mid-Cap ETFCom46428749914,933190,916SH SOLE0137,738053,178
iShares Russell Mid-Cap ETFCom4642874995,60971,712SH DFND071,71200
iShares Russell Mid-Cap ETFCom46428749965832SH OTR083200
iShares S&P Midcap 400Com4642875071,1894,520SH SOLE04,52000
iShares NASDAQ BiotechnologyCom46428755686530SH SOLE053000
iShares NASDAQ BiotechnologyCom4642875563,12619,335SH DFND019,33500
iShares Russell 2000 ValueCom4642876305263,283SH SOLE03,28300
iShares Russell 2000 ValueCom46428763095594SH DFND059400
iShares Russell 2000 ETFCom4642876557,86335,945SH SOLE035,94500
iShares Russell 2000 ETFCom4642876555,27824,127SH DFND024,12700
iShares Russell 2000 ETFCom4642876552,1869,994SH OTR09,99400
iShares S&P Smallcap 600Com4642878044033,691SH SOLE03,69100
iShares DJ US Total MarketCom4642878462632,438SH SOLE02,43800
iShares Global Clean EnergyCom46428822410,949505,733SH SOLE0504,62901,104
iShares Global Clean EnergyCom46428822488941,062SH DFND040,1340929
iShares Global Clean EnergyCom464288224241,113SH OTR01,11300
iShares iBoxx $ High Yield Corp Bd ETFCom4642885136,42573,441SH SOLE073,44100
MFC iShares Inc MSCI Singapore ETF NewCom46434G7802038,900SH OTR08,90000
iShares Core MSCI Intl Dev Mkts ETFCom46435G32612,055180,404SH SOLE0180,40400
iShares Core International Aggt Bd ETFCom46435G67222,918416,547SH SOLE0416,54700
iShares Cybersecurity & TechCom46435U1355,969137,368SH SOLE0137,0690300
iShares Cybersecurity & TechCom46435U13549911,473SH DFND011,2200253
iShares Cybersecurity & TechCom46435U13513300SH OTR030000
JP Morgan Chase & Co ComCom46625H1006513,974SH SOLE03,97400
JP Morgan Chase & Co ComCom46625H1004,21825,768SH DFND025,76800
Johnson & JohnsonCom4781601042661,647SH SOLE01,64700
Johnson & JohnsonCom4781601046614,091SH DFND04,09100
Eli Lilly CompanyCom53245710870302SH SOLE030200
Eli Lilly CompanyCom5324571082891,250SH OTR01,25000
Lincoln National CorporationCom5341871096178,981SH SOLE08,98100
Mastercard Inc Class ACom57636Q1042,6537,632SH DFND07,63200
Matador Resources CoCom57648520546412,207SH SOLE012,20700
Matador Resources CoCom5764852051,48439,018SH DFND039,01800
Merck & Co Inc New ComCom58933Y1051011,344SH SOLE01,34400
Merck & Co Inc New ComCom58933Y1051151,534SH DFND01,53400
Microsoft Corp.Com5949181043251,152SH SOLE01,15200
Microsoft Corp.Com5949181044,26515,129SH DFND015,12900
Micron TechnologyCom59511210388012,400SH DFND012,40000
Mundus Group IncCom6261373017360,206SH DFND0360,20600
Netflix IncCom64110L1063,5285,780SH DFND05,78000
Nike Inc Cl BCom6541061031,2808,812SH DFND08,81200
Oracle SystemsCom68389X1052993,436SH SOLE03,43600
Oracle SystemsCom68389X1051,92422,086SH DFND022,08600
Oshkosh Truck CorporationCom6882392012472,415SH SOLE02,41500
PayPal IncCom70450Y1034201,613SH SOLE01,61300
Pfizer IncCom7170811034,07494,725SH SOLE094,72500
Pfizer IncCom71708110313300SH DFND030000
Pioneer Natural Resources CoCom7237871074082,450SH SOLE02,45000
Pioneer Natural Resources CoCom723787107528SH DFND02800
Procter & Gamble - CommonCom7427181091811,296SH SOLE01,29600
Procter & Gamble - CommonCom7427181096244,462SH DFND04,46200
Procter & Gamble - CommonCom742718109129922SH OTR092200
Qualcomm IncCom74752510325190SH SOLE019000
Qualcomm IncCom7475251038046,230SH DFND06,23000
S&P Depositary ReceiptCom78462F10311,73427,342SH SOLE027,34200
S&P Depositary ReceiptCom78462F10315,45436,012SH DFND036,01200
S&P Depositary ReceiptCom78462F1032,8346,603SH OTR06,60300
MFC Spdr Gold Tr Gold ShsCom78463V107530SH SOLE03000
MFC Spdr Gold Tr Gold ShsCom78463V1072001,215SH OTR01,21500
Salesforce.com IncCom79466L3021,1974,413SH DFND04,41300
Health Care Select SectorCom81369Y20927215SH SOLE021500
Health Care Select SectorCom81369Y2092,23717,572SH DFND017,57200
Consumer Staples SpdrCom81369Y3084,65067,550SH DFND067,55000
Industrial Select Sector SpdrCom81369Y70428290SH SOLE029000
Industrial Select Sector SpdrCom81369Y7041,91019,524SH DFND019,52400
Southwest AirlinesCom84474110815300SH SOLE030000
Southwest AirlinesCom8447411081,65532,180SH DFND032,18000
Starbucks CorpCom8552441091611,460SH SOLE01,46000
Starbucks CorpCom8552441092,28620,725SH DFND020,72500
3M Co ComCom88579Y1012121,211SH SOLE01,21100
Tyson Foods Inc - Cl ACom9024941034705,950SH SOLE05,95000
Union Pacific Corporation - CommonCom90781810883424SH SOLE042400
Union Pacific Corporation - CommonCom907818108133681SH DFND068100
Unitedhealth Group IncCom91324P10296246SH SOLE024600
Unitedhealth Group IncCom91324P1025771,477SH DFND01,47700
Vanguard Index Total Stock Mkt ETFCom9229087694812,168SH SOLE02,16800
Viatris IncCom92556V10617713,097SH SOLE013,09700
Viatris IncCom92556V106137SH DFND03700
Visa Inc Class ACom92826C8395962,674SH SOLE02,67400
Visa Inc Class ACom92826C8391,9328,675SH DFND08,67500
Wal-Mart Stores IncCom93114210342300SH SOLE030000
Wal-Mart Stores IncCom9311421031,1538,272SH DFND08,27200
Wal-Mart Stores IncCom931142103135971SH OTR097100
Wells Fargo & Co New Com StkCom9497461013066,599SH SOLE06,59900
Wisdomtree Dvd Ex-Fin FundCom97717W4066617,031SH OTR07,03100
Xcel Energy Inc ComCom98389B1006249,985SH SOLE09,98500
Zoetis IncCom98978V1039915,105SH SOLE05,10500
Zoetis IncCom98978V1031790SH DFND09000