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.

Added

Bought more of a stock they already held.

  • Vanguard Whitehall FDSVYM
    6.4% of the fund
    +7%
  • Vanguard Whitehall FDSVYMI
    6.2% of the fund
    +11%
  • Ishares TRIWR
    5.4% of the fund
    +8%
  • Vanguard Index FDSVO
    5.4% of the fund
    +144%
  • Vanguard Index FDSVUG
    4.8% of the fund
    +38%
  • Vanguard Index FDSVB
    3.2% of the fund
    +4%
  • Vanguard Tax-Managed FDSVEA
    2.8% of the fund
    +7%
  • Invesco QQQ TRQQQ
    2.5% of the fund
    +34%
  • Vanguard Index FDSVTV
    2.0% of the fund
    +38%
  • Adams Diversified Equity FundADX
    0.5% of the fund
    +6%
  • Principal Financial GroupPFG
    0.5% of the fund
    +10%
  • Invesco Exchange Traded FD TRSP
    0.4% of the fund
    +13%
  • Johnson & JohnsonJNJ
    0.3% of the fund
    +39%
  • Altria GroupMO
    0.2% of the fund
    +20%
  • ChevronCVX
    0.2% of the fund
    +27%
  • Nushares ETF TRNUSC
    0.2% of the fund
    +6%
  • BroadcomAVGO
    0.2% of the fund
    +8%
  • VisaV
    0.1% of the fund
    +3%

Cut

Sold some of their stake.

Sold out

Sold their entire stake.

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%

  • West BancorporationWTBA
    Share
    4.7%
    Value
    $11m
    Shares
    415,411

    Held

  • 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%

  • AppleAAPL
    Share
    2.0%
    Value
    $5m
    Shares
    16,400

    -4%

  • Vanguard Index FDSVTV
    Share
    2.0%
    Value
    $5m
    Shares
    21,664

    +38%

  • Brookfield Asset ManagementBAM
    Share
    1.8%
    Value
    $4m
    Shares
    93,091

    Held

  • MicrosoftMSFT
    Share
    1.4%
    Value
    $3m
    Shares
    8,703

    -5%

  • 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

  • JPMorgan ChaseJPM
    Share
    0.9%
    Value
    $2m
    Shares
    6,244

    -5%

  • AlphabetGOOG
    Share
    0.9%
    Value
    $2m
    Shares
    5,629

    -12%

  • Schwab Strategic TRSCHD
    Share
    0.7%
    Value
    $2m
    Shares
    51,986

    -5%

  • NvidiaNVDA
    Share
    0.6%
    Value
    $1m
    Shares
    7,251

    -13%

  • Ishares TRIEFA
    Share
    0.6%
    Value
    $1m
    Shares
    14,920

    -7%

  • Adams Diversified Equity FundADX
    Share
    0.5%
    Value
    $1m
    Shares
    49,490

    +6%

  • Principal Financial GroupPFG
    Share
    0.5%
    Value
    $1m
    Shares
    11,714

    +10%

  • AbbVieABBV
    Share
    0.5%
    Value
    $1m
    Shares
    4,940

    Held

  • Costco WholesaleCOST
    Share
    0.5%
    Value
    $1m
    Shares
    1,255

    -4%

  • Amazon.comAMZN
    Share
    0.5%
    Value
    $1m
    Shares
    4,902

    -16%

  • 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%

  • Meta PlatformsMETA
    Share
    0.4%
    Value
    $993,080
    Shares
    1,763

    -6%

  • Cisco SystemsCSCO
    Share
    0.4%
    Value
    $984,902
    Shares
    8,385

    Held

  • Vanguard Specialized FundsVIG
    Share
    0.4%
    Value
    $978,897
    Shares
    4,137

    -57%

  • McDonald'sMCD
    Share
    0.4%
    Value
    $908,782
    Shares
    3,362

    Held

  • WalmartWMT
    Share
    0.4%
    Value
    $899,624
    Shares
    7,943

    -5%

  • Berkshire HathawayBRK-B
    Share
    0.4%
    Value
    $854,666
    Shares
    1,708

    Held

  • Southern CompanySO
    Share
    0.3%
    Value
    $792,957
    Shares
    8,285

    -16%

  • Wells Fargo & CompanyWFC
    Share
    0.3%
    Value
    $789,625
    Shares
    9,555

    -3%

  • 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

  • Lam ResearchLRCX
    Share
    0.3%
    Value
    $738,394
    Shares
    1,704

    -12%

  • Ross StoresROST
    Share
    0.3%
    Value
    $731,991
    Shares
    3,439

    Held

  • Eli LillyLLY
    Share
    0.3%
    Value
    $724,456
    Shares
    604

    -10%

  • 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

  • AlphabetGOOGL
    Share
    0.3%
    Value
    $683,291
    Shares
    1,912

    Held

  • Johnson & JohnsonJNJ
    Share
    0.3%
    Value
    $608,512
    Shares
    2,396

    +39%

  • Altria GroupMO
    Share
    0.2%
    Value
    $564,664
    Shares
    7,848

    +20%

  • Goldman Sachs ETF TRGSLC
    Share
    0.2%
    Value
    $514,919
    Shares
    3,629

    Held

  • FastenalFAST
    Share
    0.2%
    Value
    $475,785
    Shares
    9,906

    -14%

  • ChevronCVX
    Share
    0.2%
    Value
    $474,571
    Shares
    2,863

    +27%

  • 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%

  • International Business MachinesIBM
    Share
    0.2%
    Value
    $440,094
    Shares
    1,565

    Held

  • PfizerPFE
    Share
    0.2%
    Value
    $432,838
    Shares
    17,975

    -9%

  • BroadcomAVGO
    Share
    0.2%
    Value
    $428,746
    Shares
    1,135

    +8%

  • Abbott LaboratoriesABT
    Share
    0.2%
    Value
    $427,658
    Shares
    4,713

    -8%

  • ExxonMobil HoldingsXOM
    Share
    0.2%
    Value
    $395,531
    Shares
    2,893

    -4%

  • Vanguard Index FDSVOE
    Share
    0.2%
    Value
    $393,422
    Shares
    1,991

    Held

  • Micron TechnologyMU
    Share
    0.2%
    Value
    $385,533
    Shares
    334

    New

  • Honeywell InternationalHON
    Share
    0.2%
    Value
    $359,882
    Shares
    1,513

    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

  • AmphenolAPH
    Share
    0.1%
    Value
    $341,708
    Shares
    1,938

    -23%

  • Ishares TRIJR
    Share
    0.1%
    Value
    $339,927
    Shares
    2,292

    Held

  • EverpureP
    Share
    0.1%
    Value
    $338,718
    Shares
    4,299

    Held

  • ChemedCHE
    Share
    0.1%
    Value
    $302,731
    Shares
    650

    Held

  • VisaV
    Share
    0.1%
    Value
    $301,233
    Shares
    878

    +3%

  • Procter & GamblePG
    Share
    0.1%
    Value
    $299,879
    Shares
    2,045

    -40%

  • 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

  • CortevaCTVA
    Share
    0.1%
    Value
    $276,259
    Shares
    3,262

    -25%

  • 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

  • American Electric PowerAEP
    Share
    0.1%
    Value
    $265,548
    Shares
    1,941

    -22%

  • Ishares TRIJK
    Share
    0.1%
    Value
    $251,450
    Shares
    2,140

    Held

  • Monster BeverageMNST
    Share
    0.1%
    Value
    $237,705
    Shares
    2,473

    -24%

  • Philip Morris InternationalPM
    Share
    0.1%
    Value
    $236,088
    Shares
    1,305

    -19%

  • 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

  • FlexFLEX
    Share
    <0.1%
    Value
    $231,922
    Shares
    1,431

    New

  • 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

  • Caseys General StoresCASY
    Share
    <0.1%
    Value
    $216,183
    Shares
    272

    -24%

  • Uber TechnologiesUBER
    Share
    <0.1%
    Value
    $211,934
    Shares
    2,937

    -9%

  • Ishares TRIWS
    Share
    <0.1%
    Value
    $210,359
    Shares
    1,278

    -42%

  • Factset Research SystemsFDS
    Share
    <0.1%
    Value
    $207,532
    Shares
    902

    -3%

  • MastercardMA
    Share
    <0.1%
    Value
    $205,440
    Shares
    400

    -32%

  • Taiwan Semiconductor ManufacturingTSM
    Share
    <0.1%
    Value
    $205,355
    Shares
    430

    New

  • Vanguard World FDVFH
    Share
    <0.1%
    Value
    $201,348
    Shares
    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.