West Bancorporation
WEST DES MOINES, IAfiles as WEST BANCORPORATION INC
$234m in 95 US stocks at the end of 30 June 2026. The top 10 are 57.2% of the money. It changed about 7.3% of the portfolio this quarter.
Value
$234m
Stocks
95
Top 10 share
57.2%
Turnover
7.3%
What changed this quarter
New
Bought for the first time this quarter.
- Micron TechnologyMU0.2% of the fund
- FlexFLEX<0.1% of the fund
- Vanguard BD Index FDSBSV<0.1% of the fund
- Taiwan Semiconductor ManufacturingTSM<0.1% of the fund
- Vanguard World FDVFH<0.1% of the fund
Added
Bought more of a stock they already held.
- Vanguard Whitehall FDSVYM6.4% of the fund+7%
- Vanguard Whitehall FDSVYMI6.2% of the fund+11%
- Ishares TRIWR5.4% of the fund+8%
- Vanguard Index FDSVO5.4% of the fund+144%
- Vanguard Index FDSVUG4.8% of the fund+38%
- Vanguard Index FDSVB3.2% of the fund+4%
- Vanguard Tax-Managed FDSVEA2.8% of the fund+7%
- Invesco QQQ TRQQQ2.5% of the fund+34%
- Vanguard Index FDSVTV2.0% of the fund+38%
- Adams Diversified Equity FundADX0.5% of the fund+6%
- Principal Financial GroupPFG0.5% of the fund+10%
- Invesco Exchange Traded FD TRSP0.4% of the fund+13%
- Johnson & JohnsonJNJ0.3% of the fund+39%
- Altria GroupMO0.2% of the fund+20%
- ChevronCVX0.2% of the fund+27%
- Nushares ETF TRNUSC0.2% of the fund+6%
- BroadcomAVGO0.2% of the fund+8%
- VisaV0.1% of the fund+3%
Cut
Sold some of their stake.
- Ishares TRIWD7.3% of the fund-4%
- Ishares TRIVV4.1% of the fund-4%
- AppleAAPL2.0% of the fund-4%
- MicrosoftMSFT1.4% of the fund-5%
- Vanguard Intl Equity Index FVEU1.3% of the fund-7%
- Ishares TRIWM1.3% of the fund-11%
- JPMorgan ChaseJPM0.9% of the fund-5%
- AlphabetGOOG0.9% of the fund-12%
- Schwab Strategic TRSCHD0.7% of the fund-5%
- NvidiaNVDA0.6% of the fund-13%
- Ishares TRIEFA0.6% of the fund-7%
- Costco WholesaleCOST0.5% of the fund-4%
- Amazon.comAMZN0.5% of the fund-16%
- Meta PlatformsMETA0.4% of the fund-6%
- Vanguard Specialized FundsVIG0.4% of the fund-57%
- WalmartWMT0.4% of the fund-5%
- Southern CompanySO0.3% of the fund-16%
- Wells Fargo & CompanyWFC0.3% of the fund-3%
- Lam ResearchLRCX0.3% of the fund-12%
- Eli LillyLLY0.3% of the fund-10%
- FastenalFAST0.2% of the fund-14%
- Ishares TREFA0.2% of the fund-9%
- Vanguard Index FDSVBK0.2% of the fund-11%
- PfizerPFE0.2% of the fund-9%
- Abbott LaboratoriesABT0.2% of the fund-8%
Sold out
Sold their entire stake.
- PepsiCoPEP-100%
- Wisdomtree TRDON-100%
- L3harris TechnologiesLHX-100%
- AT&TT-100%
- Emerson ElectricEMR-100%
- Public Service Enterprise GroupPEG-100%
- Ishares TRIDV-100%
- EOG ResourcesEOG-100%
Holdings
- Ishares TRIWF
- Share
- 7.8%
- Value
- $18m
- Shares
- 147,096
Held
- Ishares TRIWD
- Share
- 7.3%
- Value
- $17m
- Shares
- 70,539
-4%
- Vanguard Whitehall FDSVYM
- Share
- 6.4%
- Value
- $15m
- Shares
- 94,584
+7%
- Vanguard Whitehall FDSVYMI
- Share
- 6.2%
- Value
- $14m
- Shares
- 147,657
+11%
- Ishares TRIWR
- Share
- 5.4%
- Value
- $13m
- Shares
- 114,958
+8%
- Vanguard Index FDSVO
- Share
- 5.4%
- Value
- $13m
- Shares
- 155,999
+144%
- Vanguard Index FDSVOO
- Share
- 5.1%
- Value
- $12m
- Shares
- 17,468
Held
- Vanguard Index FDSVUG
- Share
- 4.8%
- Value
- $11m
- Shares
- 129,076
+38%
- Ishares TRIVV
- Share
- 4.1%
- Value
- $10m
- Shares
- 12,811
-4%
- State STR Spdr S&P 500 ETF TSPY
- Share
- 4.0%
- Value
- $9m
- Shares
- 12,676
Held
- Vanguard Index FDSVB
- Share
- 3.2%
- Value
- $7m
- Shares
- 24,582
+4%
- Vanguard Tax-Managed FDSVEA
- Share
- 2.8%
- Value
- $7m
- Shares
- 92,168
+7%
- Invesco QQQ TRQQQ
- Share
- 2.5%
- Value
- $6m
- Shares
- 8,078
+34%
- Vanguard Index FDSVTV
- Share
- 2.0%
- Value
- $5m
- Shares
- 21,664
+38%
- Vanguard Intl Equity Index FVEU
- Share
- 1.3%
- Value
- $3m
- Shares
- 36,958
-7%
- Ishares TRIWM
- Share
- 1.3%
- Value
- $3m
- Shares
- 9,898
-11%
- Ishares TRACWI
- Share
- 1.2%
- Value
- $3m
- Shares
- 17,531
Held
- Schwab Strategic TRSCHD
- Share
- 0.7%
- Value
- $2m
- Shares
- 51,986
-5%
- Ishares TRIEFA
- Share
- 0.6%
- Value
- $1m
- Shares
- 14,920
-7%
- Adams Diversified Equity FundADX
- Share
- 0.5%
- Value
- $1m
- Shares
- 49,490
+6%
- Invesco Exchange Traded FD TRPG
- Share
- 0.5%
- Value
- $1m
- Shares
- 17,164
Held
- Invesco Exchange Traded FD TRSP
- Share
- 0.4%
- Value
- $1m
- Shares
- 4,922
+13%
- Vanguard Specialized FundsVIG
- Share
- 0.4%
- Value
- $978,897
- Shares
- 4,137
-57%
- Vanguard Admiral FDSVOOV
- Share
- 0.3%
- Value
- $756,275
- Shares
- 3,450
Held
- Ishares TRITOT
- Share
- 0.3%
- Value
- $741,351
- Shares
- 4,513
Held
- Vanguard Index FDSVOT
- Share
- 0.3%
- Value
- $710,003
- Shares
- 2,318
Held
- Invesco Exchange Traded FD TPRF
- Share
- 0.3%
- Value
- $699,256
- Shares
- 12,942
Held
- Goldman Sachs ETF TRGSLC
- Share
- 0.2%
- Value
- $514,919
- Shares
- 3,629
Held
- Ishares TREFA
- Share
- 0.2%
- Value
- $447,619
- Shares
- 4,309
-9%
- Vanguard Index FDSVBK
- Share
- 0.2%
- Value
- $443,960
- Shares
- 1,214
-11%
- Nushares ETF TRNUSC
- Share
- 0.2%
- Value
- $442,238
- Shares
- 8,485
+6%
- Vanguard Index FDSVOE
- Share
- 0.2%
- Value
- $393,422
- Shares
- 1,991
Held
- Spdr Series TrustSDY
- Share
- 0.2%
- Value
- $355,492
- Shares
- 2,336
-13%
- Spdr Gold TRGLD
- Share
- 0.1%
- Value
- $344,067
- Shares
- 934
Held
- Ishares TRIJR
- Share
- 0.1%
- Value
- $339,927
- Shares
- 2,292
Held
- Ishares Gold TRIAU
- Share
- 0.1%
- Value
- $299,095
- Shares
- 3,961
Held
- DBX ETF TRSNPE
- Share
- 0.1%
- Value
- $277,850
- Shares
- 4,035
Held
- Vanguard Index FDSVBR
- Share
- 0.1%
- Value
- $269,962
- Shares
- 1,111
-33%
- Vanguard World FDVCR
- Share
- 0.1%
- Value
- $269,695
- Shares
- 680
Held
- Ishares TRIJK
- Share
- 0.1%
- Value
- $251,450
- Shares
- 2,140
Held
- J P Morgan Exchange Traded FJEPI
- Share
- 0.1%
- Value
- $234,392
- Shares
- 4,150
-65%
- Select Sector Spdr TRXLI
- Share
- <0.1%
- Value
- $232,834
- Shares
- 1,257
Held
- Flexshares TRQDEF
- Share
- <0.1%
- Value
- $231,825
- Shares
- 2,664
Held
- Vanguard BD Index FDSBSV
- Share
- <0.1%
- Value
- $224,848
- Shares
- 2,886
New
- Vanguard World FDVDE
- Share
- <0.1%
- Value
- $224,444
- Shares
- 1,495
Held
- Ishares TRIWS
- Share
- <0.1%
- Value
- $210,359
- Shares
- 1,278
-42%
- Vanguard World FDVFH
- Share
- <0.1%
- Value
- $201,348
- Shares
- 1,530
New
| Company | Share of fund | Value | Shares | Change |
|---|---|---|---|---|
| Ishares TRIWF | 7.8% | $18m | 147,096 | Held |
| Ishares TRIWD | 7.3% | $17m | 70,539 | -4% |
| Vanguard Whitehall FDSVYM | 6.4% | $15m | 94,584 | +7% |
| Vanguard Whitehall FDSVYMI | 6.2% | $14m | 147,657 | +11% |
| Ishares TRIWR | 5.4% | $13m | 114,958 | +8% |
| Vanguard Index FDSVO | 5.4% | $13m | 155,999 | +144% |
| Vanguard Index FDSVOO | 5.1% | $12m | 17,468 | Held |
| Vanguard Index FDSVUG | 4.8% | $11m | 129,076 | +38% |
| West BancorporationWTBA | 4.7% | $11m | 415,411 | Held |
| Ishares TRIVV | 4.1% | $10m | 12,811 | -4% |
| State STR Spdr S&P 500 ETF TSPY | 4.0% | $9m | 12,676 | Held |
| Vanguard Index FDSVB | 3.2% | $7m | 24,582 | +4% |
| Vanguard Tax-Managed FDSVEA | 2.8% | $7m | 92,168 | +7% |
| Invesco QQQ TRQQQ | 2.5% | $6m | 8,078 | +34% |
| AppleAAPL | 2.0% | $5m | 16,400 | -4% |
| Vanguard Index FDSVTV | 2.0% | $5m | 21,664 | +38% |
| Brookfield Asset ManagementBAM | 1.8% | $4m | 93,091 | Held |
| MicrosoftMSFT | 1.4% | $3m | 8,703 | -5% |
| Vanguard Intl Equity Index FVEU | 1.3% | $3m | 36,958 | -7% |
| Ishares TRIWM | 1.3% | $3m | 9,898 | -11% |
| Ishares TRACWI | 1.2% | $3m | 17,531 | Held |
| JPMorgan ChaseJPM | 0.9% | $2m | 6,244 | -5% |
| AlphabetGOOG | 0.9% | $2m | 5,629 | -12% |
| Schwab Strategic TRSCHD | 0.7% | $2m | 51,986 | -5% |
| NvidiaNVDA | 0.6% | $1m | 7,251 | -13% |
| Ishares TRIEFA | 0.6% | $1m | 14,920 | -7% |
| Adams Diversified Equity FundADX | 0.5% | $1m | 49,490 | +6% |
| Principal Financial GroupPFG | 0.5% | $1m | 11,714 | +10% |
| AbbVieABBV | 0.5% | $1m | 4,940 | Held |
| Costco WholesaleCOST | 0.5% | $1m | 1,255 | -4% |
| Amazon.comAMZN | 0.5% | $1m | 4,902 | -16% |
| Invesco Exchange Traded FD TRPG | 0.5% | $1m | 17,164 | Held |
| Invesco Exchange Traded FD TRSP | 0.4% | $1m | 4,922 | +13% |
| Meta PlatformsMETA | 0.4% | $993,080 | 1,763 | -6% |
| Cisco SystemsCSCO | 0.4% | $984,902 | 8,385 | Held |
| Vanguard Specialized FundsVIG | 0.4% | $978,897 | 4,137 | -57% |
| McDonald'sMCD | 0.4% | $908,782 | 3,362 | Held |
| WalmartWMT | 0.4% | $899,624 | 7,943 | -5% |
| Berkshire HathawayBRK-B | 0.4% | $854,666 | 1,708 | Held |
| Southern CompanySO | 0.3% | $792,957 | 8,285 | -16% |
| Wells Fargo & CompanyWFC | 0.3% | $789,625 | 9,555 | -3% |
| Vanguard Admiral FDSVOOV | 0.3% | $756,275 | 3,450 | Held |
| Ishares TRITOT | 0.3% | $741,351 | 4,513 | Held |
| Lam ResearchLRCX | 0.3% | $738,394 | 1,704 | -12% |
| Ross StoresROST | 0.3% | $731,991 | 3,439 | Held |
| Eli LillyLLY | 0.3% | $724,456 | 604 | -10% |
| Vanguard Index FDSVOT | 0.3% | $710,003 | 2,318 | Held |
| Invesco Exchange Traded FD TPRF | 0.3% | $699,256 | 12,942 | Held |
| AlphabetGOOGL | 0.3% | $683,291 | 1,912 | Held |
| Johnson & JohnsonJNJ | 0.3% | $608,512 | 2,396 | +39% |
| Altria GroupMO | 0.2% | $564,664 | 7,848 | +20% |
| Goldman Sachs ETF TRGSLC | 0.2% | $514,919 | 3,629 | Held |
| FastenalFAST | 0.2% | $475,785 | 9,906 | -14% |
| ChevronCVX | 0.2% | $474,571 | 2,863 | +27% |
| Ishares TREFA | 0.2% | $447,619 | 4,309 | -9% |
| Vanguard Index FDSVBK | 0.2% | $443,960 | 1,214 | -11% |
| Nushares ETF TRNUSC | 0.2% | $442,238 | 8,485 | +6% |
| International Business MachinesIBM | 0.2% | $440,094 | 1,565 | Held |
| PfizerPFE | 0.2% | $432,838 | 17,975 | -9% |
| BroadcomAVGO | 0.2% | $428,746 | 1,135 | +8% |
| Abbott LaboratoriesABT | 0.2% | $427,658 | 4,713 | -8% |
| ExxonMobil HoldingsXOM | 0.2% | $395,531 | 2,893 | -4% |
| Vanguard Index FDSVOE | 0.2% | $393,422 | 1,991 | Held |
| Micron TechnologyMU | 0.2% | $385,533 | 334 | New |
| Honeywell InternationalHON | 0.2% | $359,882 | 1,513 | Held |
| Spdr Series TrustSDY | 0.2% | $355,492 | 2,336 | -13% |
| Spdr Gold TRGLD | 0.1% | $344,067 | 934 | Held |
| AmphenolAPH | 0.1% | $341,708 | 1,938 | -23% |
| Ishares TRIJR | 0.1% | $339,927 | 2,292 | Held |
| EverpureP | 0.1% | $338,718 | 4,299 | Held |
| ChemedCHE | 0.1% | $302,731 | 650 | Held |
| VisaV | 0.1% | $301,233 | 878 | +3% |
| Procter & GamblePG | 0.1% | $299,879 | 2,045 | -40% |
| Ishares Gold TRIAU | 0.1% | $299,095 | 3,961 | Held |
| DBX ETF TRSNPE | 0.1% | $277,850 | 4,035 | Held |
| CortevaCTVA | 0.1% | $276,259 | 3,262 | -25% |
| Vanguard Index FDSVBR | 0.1% | $269,962 | 1,111 | -33% |
| Vanguard World FDVCR | 0.1% | $269,695 | 680 | Held |
| American Electric PowerAEP | 0.1% | $265,548 | 1,941 | -22% |
| Ishares TRIJK | 0.1% | $251,450 | 2,140 | Held |
| Monster BeverageMNST | 0.1% | $237,705 | 2,473 | -24% |
| Philip Morris InternationalPM | 0.1% | $236,088 | 1,305 | -19% |
| J P Morgan Exchange Traded FJEPI | 0.1% | $234,392 | 4,150 | -65% |
| Select Sector Spdr TRXLI | <0.1% | $232,834 | 1,257 | Held |
| FlexFLEX | <0.1% | $231,922 | 1,431 | New |
| Flexshares TRQDEF | <0.1% | $231,825 | 2,664 | Held |
| Vanguard BD Index FDSBSV | <0.1% | $224,848 | 2,886 | New |
| Vanguard World FDVDE | <0.1% | $224,444 | 1,495 | Held |
| Caseys General StoresCASY | <0.1% | $216,183 | 272 | -24% |
| Uber TechnologiesUBER | <0.1% | $211,934 | 2,937 | -9% |
| Ishares TRIWS | <0.1% | $210,359 | 1,278 | -42% |
| Factset Research SystemsFDS | <0.1% | $207,532 | 902 | -3% |
| MastercardMA | <0.1% | $205,440 | 400 | -32% |
| Taiwan Semiconductor ManufacturingTSM | <0.1% | $205,355 | 430 | New |
| Vanguard World FDVFH | <0.1% | $201,348 | 1,530 | New |
Over time and by industry
Value over time
Jun '25
Dec '25
Jun '26
Value is up 47.7% since 30 June 2025.
Where the money is
Financial services8.9%
Technology5.8%
Health care1.6%
Media & telecom1.6%
Everyday goods1.6%
Retail & consumer1.2%
Utilities0.5%
Industrials0.4%
Energy0.4%
Materials0.1%
Other78.0%
From the fund's 13F filings. They list US stocks and options only, 45 days after each quarter, and leave out cash, bonds, shorts and foreign shares.