The Analysis of Trust Co of Kansas's Holdings
Currently, Trust Co of Kansas holds 55 types of securities in its portfolio with a total value $217.2K. In the most recent quarter, they have increased their positions in NOW (+25.7K shares, valued at $3.9K), TSM (+9.5K shares, valued at $2.9K), LOW (+8.9K shares, valued at $2.2K); decreased their positions in N/A (-3.7K shares, valued at $1.2K), N/A (-8.4K shares, valued at $885.6021606521863), XOM (-2.3K shares, valued at $282.44660556248834). Stock Holdings
TickerCompany NameSharesShares âŗ%Event DateReport DateHistory
TCHP T Rowe Price Blue Chip Growth ETF1.0M shares1.76%2025-12-312026-02-11
TSM Taiwan Semiconductor Manufacturing Co Ltr ADR40.3K shares30.74%2025-12-312026-02-11
MSFT Microsoft Corp24.2K shares0.52%2025-12-312026-02-11
RTX RTX Corporation53.6K shares0.24%2025-12-312026-02-11
AMZN Amazon.com, Inc.38.9K shares0.52%2025-12-312026-02-11
XOM Exxon Mobil Corp69.7K shares-3.26%2025-12-312026-02-11
ASML ASML Holdings NV ADR7.5K shares-0.85%2025-12-312026-02-11
LMT Lockheed Martin Corp14.7K shares-0.61%2025-12-312026-02-11
V Visa Inc18.6K shares-0.83%2025-12-312026-02-11
DIS Walt Disney Company52.1K shares15.99%2025-12-312026-02-11
NKE Nike Inc. Class B92.9K shares26.95%2025-12-312026-02-11
META Meta Platforms Inc Ordinary Shares - Class A9.0K shares46.65%2025-12-312026-02-11
BKNG Bookings Holding, Inc.1.1K shares0.85%2025-12-312026-02-11
LOW Lowes23.1K shares63.23%2025-12-312026-02-11
AAPL Apple Inc19.1K shares-0.05%2025-12-312026-02-11
DE Deere & Co10.9K shares17.15%2025-12-312026-02-11
NOW Service Now29.9K shares611.14%2025-12-312026-02-11
CL Colgate Palmolive15.3K shares0.07%2025-12-312026-02-11
BRK.A Berkshire Hathaway Inc. Cl A1 shares0.00%2025-12-312026-02-11
CAT Caterpillar, Inc1.2K shares0.00%2025-12-312026-02-11
PEP Pepsico Inc4.2K shares-0.80%2025-12-312026-02-11
WMT Wal-Mart Stores Inc5.4K shares0.00%2025-12-312026-02-11
AMAT Applied Materials, Inc.2.2K shares-15.01%2025-12-312026-02-11
PG Procter & Gamble Co3.8K shares-16.11%2025-12-312026-02-11
DHR Danaher Corp2.2K shares0.00%2025-12-312026-02-11
GEV GE Vernova Inc.746 shares0.00%2025-12-312026-02-11
ABBV Abbvie Inc2.1K shares0.00%2025-12-312026-02-11
AMGN Amgen Inc1.3K shares0.00%2025-12-312026-02-11
CBOE CBOE Global Markets Inc1.6K shares0.00%2025-12-312026-02-11
IBDS iShares iBonds Dec 2027 Term Corp ETF15.7K shares0.00%2025-12-312026-02-11
ORCL Oracle Corporation1.9K shares0.00%2025-12-312026-02-11
NVDA NVIDIA Corp2.0K shares-26.38%2025-12-312026-02-11
UNP Union Pacific Corporation1.5K shares0.00%2025-12-312026-02-11
IBDR iShares iBonds Dec 2026 Term Corp ETF14.0K shares0.00%2025-12-312026-02-11
COST Costco Whsl Corp389 shares-1.27%2025-12-312026-02-11
HD Home Depot Inc.931 shares-29.36%2025-12-312026-02-11
CME CME Group Inc1.1K shares0.00%2025-12-312026-02-11
CVX Chevron Corporation2.0K shares0.00%2025-12-312026-02-11
JPM JPMorgan Chase & Co Com899 shares0.00%2025-12-312026-02-11
DHI D R Horton Inc Com2.0K shares0.00%2025-12-312026-02-11
EMR Emerson Electric Co2.2K shares0.00%2025-12-312026-02-11
SPY SPDR S&P 500 ETF Trust418 shares0.00%2025-12-312026-02-11
EVRG Evergy Inc.3.7K shares-3.12%2025-12-312026-02-11
CSCO Cisco Systems Inc3.2K shares0.00%2025-12-312026-02-11
BDX Becton Dickinson & Co1.1K shares0.00%2025-12-312026-02-11
NGL NGL Energy Partners LP Units13.0K shares0.00%2025-12-312026-02-11
HUMA Humacyte Inc Ordinary Shares20.0K shares25.00%2025-12-312026-02-11
Call Option Holdings
No call option holdings data available
Put Option Holdings
No put option holdings data available