West Bancorporation Inc

NameWEST BANCORPORATION INC
Qtr Ending20221231 (Historical)
# Holdings259
AUM$ 137.66M
AUM - prev qtr$ 134.73M
Deposit/Withdraw$ -14.77M
Qtr Return 13.90 %
automated analysis found + corrected what appeared to be errors in 90 of the holdings in this filing

Holdings

Now Buy/Sell TickerTypeName
$ 461.00K   $ -8.00K   T com At&t Inc*
$ 925.00K   $ -61.00K   ABT com Abbott Labs*
$ 907.00K   $ -27.00K   ABBV com Abbvie Inc*
$ 254.00K   $ 0.00K   LNT com Alliant Energy Corporation*
$ 575.00K   $ -11.00K   GOOG cap stk cl c Alphabet Inc*
$ 306.00K   $ -15.00K   MO com Altria Groupinc*
$ 17.85M   $ -1.13M   AEL com American Equity Investment Lif*
$ 245.00K   $ -21.00K   BUD sponsored adr Anheuser-busch Inbev Sa Sponso*
$ 2.54M   $ -18.00K   AAPL com Apple Inc*
$ 582.00K   $ 0.00K   ADM com Archer Daniels Midland Co*
$ 334.00K   $ -29.00K   BAC com Bank of America Corp*
$ 550.00K   $ 0.00K   BRK.B cl b new Berkshire Hathwy Inc*
$ 385.00K   $ -7.00K   BLK com Blackrock Inc*
$ 479.00K   $ 0.00K   BX com Blackstone Inc*
$ 1.84M   $ 0.00K   CASY com Caseys General Stores Inc*
$ 366.00K   $ 0.00K   CVX com Chevron Corporation*
$ 729.00K   $ -35.00K   CSCO com Cisco Systems*
$ 271.00K   $ 30.00K   KO com Coca-cola Co*
$ 303.00K   $ -6.00K   CTVA com Corteva Inc*
$ 843.00K   $ -127.00K   COST com Costco Wholesale Corp-new*
$ 252.00K   $ -9.00K   DHR com Danaher Corp*
$ 252.00K   $ -70.00K   DEO spon adr new Diageo Plc*
$ 276.00K   $ -9.00K   DOW com Dow Inc*
$ 344.00K   $ -12.00K   DD com Dupont De Nemours Inc*
$ 313.00K   $ -10.00K   EOG com Eog Resourcesinc*
$ 208.00K   $ 15.00K   XOM com Exxon Mobil Corporation*
$ 312.00K   $ -2.00K   HPQ com Hp Inc*
$ 1.17M   $ -93.00K   HD com Home Depot Inc*
$ 1.54M   $ 0.00K   HON com Honeywell International Inc*
$ 260.00K   $ -13.00K   INTC com Intel Corp*
$ 536.00K   $ -7.00K   IBM com Intl Business Machines Corp*
$ 588.00K   $ 34.00K   RSP s&p500 eql wgt Invesco S&P 500 Equal Weight ETF*
$ 326.00K   $ 0.00K   ITOT core s&p ttl stk Ishares Core S&P Total Us Stock Market ETF*
$ 4.20M   $ -568.00K   IVV core s&p500 etf Ishares Core S&P 500 ETF*
$ 721.00K   $ -105.00K   EFA msci eafe etf Ishares Msci Eafe ETF*
$ 2.24M   $ 274.00K   IWS rus mdcp val etf Ishares Russell Mid-cap Value ETF*
$ 8.12M   $ -468.00K   IWR rus mid cap etf Ishares Russell Mid-cap ETF*
$ 9.19M   $ -157.00K   IWD rus 1000 val etf Ishares Russell 1000 Value ETF*
$ 6.84M   $ -476.00K   IWF rus 1000 grw etf Ishares Russell 1000 Growth ETF*
$ 1.94M   $ 125.00K   IWN rus 2000 val etf Ishares Russell 2000 Value ETF*
$ 3.82M   $ -178.00K   IWM russell 2000 etf Ishares Russell 2000 ETF*
$ 291.00K   $ 81.00K   IJR core s&p scp etf Ishares Core S&P Small-cap ETF*
$ 467.00K   $ -394.00K   IDV intl sel div etf Ishares International Select Dividend ETF*
$ 1.07M   $ 6.00K   IEFA core msci eafe Ishares Core Msci Eafe ETF*
$ 781.00K   $ -11.00K   JPM com Jpmorgan Chase & Co Com Stk*
$ 187.00K   $ 0.00K   JNJ com Johnson and Johnson*
$ 187.00K   $ 0.00K   LUMN com Lumen Technologies Inc*
$ 230.00K   $ -13.00K   MA cl a Mastercard Incorporated Cl a C*
$ 1.02M   $ 203.00K   MCD com Mcdonalds Corp*
$ 1.18M   $ -52.00K   MRK com Merck & Co Inc*
$ 244.00K   $ -14.00K   MET com Metlife Inc*
$ 2.99M   $ -102.00K   MSFT com Microsoft Corp*
$ 218.00K   $ 0.00K   MDLZ cl a Mondelez Intl Inc*
$ 345.00K   $ -10.00K   NVDA com Nvidia Corp*
$ 346.00K   $ -41.00K   PAYX com Paychex Inc*
$ 1.02M   $ -19.00K   PEP com Pepsico Inc*
$ 1.16M   $ -184.00K   PFE com Pfizer Inc*
$ 230.00K   $ -22.00K   PNW com Pinnacle West Cap Corp*
$ 216.00K   $ -13.00K   PXD com Pioneer Nat Res Co*
$ 1.07M   $ -4.00K   PFG com Principal Financial Group*
$ 384.00K   $ 0.00K   PG com Procter & Gamble*
$ 214.00K   $ -1.00K   PEG com Pub Svc Enterprise Group Inc*
$ 260.00K   $ -11.00K   RTX com Raytheon Technologies Corp*
$ 478.00K   $ 0.00K   ROST com Ross Stores Inc*
$ 4.96M   $ 0.00K   SPY tr unit SPDR S&P 500 ETF Trust*
$ 227.00K   $ 0.00K   GLD gold shs SPDR Gold Shares*
$ 1.27M   $ 25.00K   SDY s&p divid etf SPDR S&P Dividend ETF*
$ 1.98M   $ 1.31M   SCHD us dividend eq Schwab Us Dividend Equity ETF*
$ 1.10M   $ 0.00K   SO com Southern Co*
$ 255.00K   $ -8.00K   TMO com Thermo Fisher Scientific Inc*
$ 323.00K   $ 0.00K   MMM com 3m Company*
$ 216.00K   $ -82.00K   TSCO com Tractor Supply Co*
$ 308.00K   $ -27.00K   UPS cl b United Parcel Serviceinccl B*
$ 303.00K   $ -30.00K   UNH com Unitedhealth Group Inc*
$ 1.49M   $ 27.00K   VIG div app etf Vanguard Dividend Appreciation ETF*
$ 510.00K   $ 0.00K   VOOV 500 val idx fd Vanguard S&P 500 Value ETF*
$ 2.70M   $ -616.00K   VEA van ftse dev mkt Vanguard Ftse Developed Markets ETF*
$ 4.82M   $ -108.00K   VYM high div yld Vanguard High Dividend Yield ETF*
$ 2.38M   $ -832.00K   VTIP strm infproidx Vanguard Sht Trm Inflt-prot Fd ETF*
$ 329.00K   $ -358.00K   VWO ftse emr mkt etf Vanguard Ftse Emerging Markets ETF*
$ 3.03M   $ -9.00K   VOO s&p 500 etf shs Vanguard S&P 500 ETF*
$ 1.08M   $ -16.00K   VO mid cap etf Vanguard Mid-cap ETF*
$ 2.75M   $ -134.00K   VTV value etf Vanguard Value ETF*
$ 2.69M   $ -32.00K   VB small cp etf Vanguard Small-cap ETF*
$ 551.00K   $ 0.00K   VTI total stk mkt Vanguard Total Stock Market ETF*
$ 706.00K   $ -18.00K   VZ com Verizon Communications*
$ 606.00K   $ 0.00K   WFC com Wells Fargo & Co*
$ 8.39M   $ -91.00K   WTBA cap stk West Bancorporation*
$ 3.61M   $ 761.00K   DON us midcap divid Wisdomtree Us Midcap Dividend Fund*
$ 2.29M   $ 314.00K   DES us smallcap divd Wisdomtree Us Smallcap Dividend Fund*
$ SOLD   $ -20.00K   ARKK innovation etf Ark Innovation ETF
$ SOLD   $ -1.00K   ATVI com Activision Blizzard Inc
$ SOLD   $ -9.00K   ASIX com Advansix Inc
$ SOLD   $ -10.00K   GOOGL cap stk cl a Alphabet Inc
$ SOLD   $ -315.00K   AMZN com Amazon Com Inc
$ SOLD   $ -173.00K   AEP com American Electric Power Inc
$ SOLD   $ -202.00K   AMT com American Tower Corp
$ SOLD   $ -166.00K   ABC com Amerisourcebergen Corp
$ SOLD   $ -26.00K   AMGN com Amgen Inc
$ SOLD   $ -176.00K   APH cl a Amphenol Corp
$ SOLD   $ -14.00K   ARI com Apollo Commerical Real Estate
$ SOLD   $ -4.00K   ARCC com Ares Capital Corp
$ SOLD   $ -7.00K   ALV com Autoliv Inc
$ SOLD   $ -19.00K   BP sponsored adr Bp Plc Ads
$ SOLD   $ -18.00K   SAN adr Banco Santander Sa
$ SOLD   $ -3.00K   BNS com Bank of Nova Scotia
$ SOLD   $ -115.00K   BBWI com Bath & Body Wks Inc
$ SOLD   $ -2.00K   BKNG com Booking Hldgs Inc
$ SOLD   $ -86.00K   BWA com Borgwarner Inc
$ SOLD   $ -19.00K   AVGO com Broadcom Inc
$ SOLD   $ -93.00K   BAM cl a ltd vt sh Brookfield Asset Management In
$ SOLD   $ -17.00K   BIPC com sb vtg shs a Brookfield Infrastructure Corp
$ SOLD   $ -114.00K   CBRE cl a Cbre Group Inc
$ SOLD   $ -144.00K   CVS com Cvs Health Corporation
$ SOLD   $ -16.00K   CARR com Carrier Global Corp
$ SOLD   $ -10.00K   CE com Celanese Corporation Com Stk
$ SOLD   $ -1.00K   CC com Chemours Co Com Stk
$ SOLD   $ -200.00K   CMG com Chipolte Mexican Grill Inc
$ SOLD   $ -4.00K   C com new Citigroup
$ SOLD   $ -25.00K   CTSH cl a Cognizant Tech Solutions Corp
$ SOLD   $ -46.00K   CMCSA cl a Comcast Corp
$ SOLD   $ -51.00K   COP com Conocophillips
$ SOLD   $ -9.00K   ED com Consolidated Ed Inc
$ SOLD   $ -189.00K   CPRT com Copart Inc
$ SOLD   $ -130.00K   GLW com Corning Incorporated
$ SOLD   $ -9.00K   CTMX com Cytomx Therapeutics Inc
$ SOLD   $ -52.00K   DIS com Walt Disney Co-disney Common
$ SOLD   $ -14.00K   DFS com Discover Financial Services
$ SOLD   $ -27.00K   D com Dominion Energy Inc
$ SOLD   $ -115.00K   DUK com new Duke Energy Corporation New Co
$ SOLD   $ -14.00K   EMN com Eastman Chemical Co
$ SOLD   $ -30.00K   EOI com Eaton Vance Enhanced Equity In
$ SOLD   $ -23.00K   EOS com Eaton Vance Enhanced Equity In
$ SOLD   $ -1.00K   EA com Electronic Arts Inc
$ SOLD   $ -80.00K   ENB com Enbridge Inc
$ SOLD   $ -172.00K   EPD com Enterprise Prods Partners Lp
$ SOLD   $ -44.00K   META cl a Meta Platforms Inc
$ SOLD   $ -136.00K   FAST com Fastenal Co
$ SOLD   $ -27.00K   FDX com Fedex Corporation
$ SOLD   $ -135.00K   FFA com First Trust Enhanced Equity In
$ SOLD   $ -4.00K   GTX com Garrett Motion Inc
$ SOLD   $ -142.00K   GNRC com Generac Holdings Inc
$ SOLD   $ -54.00K   GE com new Gen Elec Co Com New
$ SOLD   $ -114.00K   GIS com General Mills Inc
$ SOLD   $ -4.00K   GILD com Gilead Sciences Inc
$ SOLD   $ -20.00K   GSLC activebeta us lg Goldman Sachs Activebeta Us Large Cap Equity ETF
$ SOLD   $ -188.00K   HCA com Hca Healthcare Inc
$ SOLD   $ -4.00K   HAIN com Hain Celestial Group Inc
$ SOLD   $ -27.00K   PDT com sh ben int John Hancock Premium Dividend
$ SOLD   $ -5.00K   HOG com Harley Davidson Inc
$ SOLD   $ -134.00K   HUM com Humana Inc
$ SOLD   $ -2.00K   IMV com Imv Inc
$ SOLD   $ -25.00K   ILMN com Illumina Inc
$ SOLD   $ -3.00K   IPG com Interpublic Group Cos Inc
$ SOLD   $ -32.00K   QQQ unit ser 1 Invesco QQQ
$ SOLD   $ -21.00K   PDBC optimum yield Invesco Optimum Yield Diversified Commodity Strategy No K-1 ETF
$ SOLD   $ -95.00K   ISRG com new Intuitive Surgical Inc
$ SOLD   $ -10.00K   RYE s&p500 eql enr Invesco S&P 500 Equal Weight Energy ETF
$ SOLD   $ -436.00K   DBC unit Invesco Db Commodity Index Tracking Fund
$ SOLD   $ -156.00K   IAU ishares new Ishares Gold Trust Ishares New
$ SOLD   $ -158.00K   DVY select divid etf Ishares Select Dividend ETF
$ SOLD   $ -18.00K   TIP tips bd etf Ishares Tips Bond ETF
$ SOLD   $ -179.00K   IWP rus md cp gr etf Ishares Russell Mid-cap Growth ETF
$ SOLD   $ -28.00K   IJH core s&p mcp etf Ishares Core S&P Mid-cap ETF
$ SOLD   $ -160.00K   IJK s&p mc 400gr etf Ishares S&P Mid-cap 400 Growth ETF
$ SOLD   $ -16.00K   IWB rus 1000 etf Ishares Russell 1000 ETF
$ SOLD   $ -29.00K   IWO rus 2000 grw etf Ishares Russell 2000 Growth ETF
$ SOLD   $ -130.00K   IJJ s&p mc 400vl etf Ishares S&P Mid-cap 400 Value ETF
$ SOLD   $ -9.00K   SLV ishares Ishares Silver Trust
$ SOLD   $ -73.00K   HDV core high dv etf Ishares Core High Dividend ETF
$ SOLD   $ -25.00K   IEMG core msci emkt Ishares Core Msci Emerging Markets ETF
$ SOLD   $ -103.00K   KMB com Kimberly Clark Corp
$ SOLD   $ -37.00K   KHC com Kraft Heinz Co Com
$ SOLD   $ -5.00K   KD common stock Kyndryl Holdings Inc
$ SOLD   $ -18.00K   LRCX com Lam Research Corp
$ SOLD   $ -22.00K   USA sh ben int Liberty All Star Equity Fund
$ SOLD   $ -119.00K   LLY com Eli Lilly and Co
$ SOLD   $ -3.00K   LYV com Live Nation Entertainment Inc
$ SOLD   $ -125.00K   LOW com Lowes Companies Inc
$ SOLD   $ -183.00K   LULU com Lululemon Athletica Inc
$ SOLD   $ -90.00K   MAC com Macerich Company
$ SOLD   $ -5.00K   MMC com Marsh & Mclennan Cos Inc
$ SOLD   $ -75.00K   MAR cl a Marriott Int'l Inc
$ SOLD   $ -45.00K   MAA com Mid-american Apartment Commun
$ SOLD   $ -3.00K   NVS sponsored adr Novartis Ag Ads
$ SOLD   $ -79.00K   OMC com Omnicom Group Inc
$ SOLD   $ -101.00K   OKE com Oneok Inc
$ SOLD   $ -14.00K   OGN common stock Organon & Co
$ SOLD   $ -15.00K   OTIS com Otis Worldwide Corp
$ SOLD   $ -13.00K   PNC com Pnc Finl Svcs Grpinc
$ SOLD   $ -20.00K   SRVR bnchmrk infra Pacer Fds Tr Benchmark Data & Infr
$ SOLD   $ -67.00K   PYPL com Paypal Hldgs Inc
$ SOLD   $ -109.00K   PM com Philip Morris Intl
$ SOLD   $ -137.00K   PSTG cl a Pure Storage Inc
$ SOLD   $ -158.00K   QCOM com Qualcomm Inc
$ SOLD   $ -36.00K   O com Realty Income Corp
$ SOLD   $ -22.00K   REZI com Resideo Technologies Inc
$ SOLD   $ -60.00K   SHEL spon ads Royal Dutch Shell Plc Spons A
$ SOLD   $ -150.00K   SPGI com S&P Global Inc
$ SOLD   $ -10.00K   SLG com Sl Green Rlty Corp
$ SOLD   $ -38.00K   SLY s&p 600 sml cap SPDR S&P 600 Small Cap ETF
$ SOLD   $ -5.00K   XLB sbi materials Materials Select Sector SPDR Fund
$ SOLD   $ -68.00K   XLV sbi healthcare Health Care Select Sector SPDR Fund
$ SOLD   $ -31.00K   XLP sbi cons stpls Consumer Staples Select Sector SPDR Fund
$ SOLD   $ -47.00K   XLY sbi cons discr Consumer Discretionary Select Sector SPDR Fund
$ SOLD   $ -35.00K   XLF financial Financial Select Sector SPDR Fund
$ SOLD   $ -26.00K   XLI sbi int-inds Industrial Select Sector SPDR Fund
$ SOLD   $ -129.00K   XLK technology Technology Select Sector SPDR Fund
$ SOLD   $ -4.00K   XLRE rl est sel sec Real Estate Select Sector SPDR Fund
$ SOLD   $ -120.00K   NOW com Servicenow Inc
$ SOLD   $ -143.00K   LUV com Southwest Airlines Co
$ SOLD   $ -84.00K   SBUX com Starbucks Corporation
$ SOLD   $ -17.00K   BANX com Arrowmark Financial Corp
$ SOLD   $ -18.00K   SYK com Stryker Corp
$ SOLD   $ -20.00K   RJI rog ttl etn 22 Ab Svensk Ekportkredit Elements Linked to the Rogers International Commodity Index-total Return
$ SOLD   $ -3.00K   SYY com Sysco Corp
$ SOLD   $ -23.00K   TJX com Tjx Companies Inc
$ SOLD   $ -3.00K   TGT com Target Corporation
$ SOLD   $ -2.00K   TRP com Tc Energy Corp
$ SOLD   $ -119.00K   USB com new Usbancorp
$ SOLD   $ -1.00K   UL spon adr new Unilever Plc Ads New
$ SOLD   $ -181.00K   UNP com Union Pacific Corporation
$ SOLD   $ -108.00K   VXUS vg tl intl stk f Vanguard Star Fd Vanguard Total Intl
$ SOLD   $ -87.00K   VIOV smlcp 600 val Vanguard S&P Small-cap 600 Value ETF
$ SOLD   $ -80.00K   IVOV midcp 400 val Vanguard S&P Mid-cap 400 Value ETF
$ SOLD   $ -22.00K   VEU allwrld ex us Vanguard Ftse All-world Ex-us ETF
$ SOLD   $ -5.00K   VGK ftse europe etf Vanguard Ftse Europe ETF
$ SOLD   $ -160.00K   VCR consum dis etf Vanguard Consumer Discretionary ETF
$ SOLD   $ -130.00K   VDE energy etf Vanguard Energy ETF
$ SOLD   $ -114.00K   VFH financials etf Vanguard Financials ETF
$ SOLD   $ -140.00K   VHT health car etf Vanguard Health Care ETF
$ SOLD   $ -164.00K   VGT inf tech etf Vanguard Information Technology ETF
$ SOLD   $ -8.00K   VPU utilities etf Vanguard Utilities ETF
$ SOLD   $ -22.00K   VTR com Ventas Inc
$ SOLD   $ -47.00K   VOE mcap vl idxvip Vanguard Mid-cap Value ETF
$ SOLD   $ -123.00K   VNQ real estate etf Vanguard Reit ETF
$ SOLD   $ -8.00K   VBK sml cp grw etf Vanguard Small-cap Growth ETF
$ SOLD   $ -160.00K   VBR sm cp val etf Vanguard Small-cap Value ETF
$ SOLD   $ -81.00K   VXF extend mkt etf Vanguard Extended Market ETF
$ SOLD   $ -68.00K   VUG growth etf Vanguard Growth ETF
$ SOLD   $ -1.00K   VTRS com Viatris Inc
$ SOLD   $ -123.00K   VICI com Vici Pptys Inc
$ SOLD   $ -146.00K   V com cl a Visa Inc
$ SOLD   $ -12.00K   VOD sponsored adr Vodafone Group Plc Newsponsore
$ SOLD   $ -96.00K   WMT com Wal-mart Inc
$ SOLD   $ -41.00K   WBD com ser a Warner Bros Discovery Inc
$ SOLD   $ -46.00K   WY com new Weyerhaeuser Company
$ SOLD   $ -50.00K   WHR com Whirlpool Corporation
$ SOLD   $ -57.00K   DHS us high dividend Wisdomtree Us High Dividend Fund
$ SOLD   $ -14.00K   DFE europe smcp dv Wisdomtree Europe Smallcap Dividend Fund
$ SOLD   $ -102.00K   ACN shs class a Accenture Plc Cl-a Ordinary Sh
$ SOLD   $ -14.00K   ETN shs Eaton Corp
$ SOLD   $ -43.00K   MDT shs Medtronic Plc Ord Shs
$ SOLD   $ -1.00K   PNR shs Pentair Plc
$ SOLD   $ -157.00K   CB com Chubb Ltd
$ SOLD   $ -2.00K   GRMN shs Garmin Ltd
$ SOLD   $ -2.00K   TEL shs Te Connectivity Ltd
$ SOLD   $ -53.00K   CHKP ord Check Point Softwr Technls Ltd
$ SOLD   $ -11.00K   FLEX ord Flex Ltd


Other Filings Available: 2024/q3 2024/q2 2024/q1 2023/q4 2023/q3 2023/q2 2023/q1 2022/q4 2022/q3 2022/q2