What Ames National Corp reported holding on Form 13F for the quarter ended Jun 30, 2026.
CIK 1132651 · Filed Aug 13, 2026
Values are as the managers reported them, in dollars.Open the Form 13F on SEC EDGAR
| Security | Shares | Change | Value | Of portfolio |
|---|---|---|---|---|
iShares Core S&P 500 IndexCORE S&P500 ETF | 62.7K | −1.4% | $46.9M | 25.8% |
Vanguard Short-Term BondSHORT TRM BOND | 170.8K | +4.8% | $13.3M | 7.3% |
Vanguard Total Bond MarketTOTAL BND MRKT | 178.6K | +5.6% | $13.1M | 7.2% |
iShares Core US Aggregate BondCORE US AGGBD ET |
| 131.3K |
| +6.0% |
| $13M |
| 7.1% |
Vanguard Total International StockVG TL INTL STK F | 77.7K | −0.6% | $6.6M | 3.7% |
iShares Russell Mid-Cap IndexRUS MID CAP ETF | 54.1K | −0.3% | $6M | 3.3% |
MSFTMicrosoft Corp | 15.7K | −0.8% | $5.9M | 3.2% |
AAPLApple Inc. | 17.5K | −0.8% | $5.1M | 2.8% |
Vanguard Short-Term Inflation-Protected SecuritiesSTRM INFPROIDX | 100K | +3.9% | $5M | 2.8% |
State Street Technology Select Sector SPDRST STR TECHN ETF | 24.5K | New | $4.7M | 2.6% |
iShares Russell 2000 IndexRUSSELL 2000 ETF | 15.4K | −3.2% | $4.6M | 2.5% |
iShares Core S&P Mid-CapCORE S&P MCP ETF | 57.9K | +0.1% | $4.5M | 2.5% |
Vanguard Total Stock MarketTOTAL STK MKT | 10.2K | ±0% | $3.8M | 2.1% |
GOEPPINGER ENTERPRISES INCCOM | 1.2K | ±0% | $3.4M | 1.9% |
GOOGAlphabet Inc. | 9.4K | −2.0% | $3.3M | 1.8% |
iShares Core S&P Small-CapCORE S&P SCP ETF | 21.2K | +0.0% | $3.1M | 1.7% |
JNJJohnson & Johnson | 11K | −0.6% | $2.8M | 1.5% |
HDHome Depot, Inc. | 7.4K | −6.0% | $2.6M | 1.4% |
JPMJPMorgan Chase & Co | 7.3K | −2.0% | $2.4M | 1.3% |
Berkshire Hathaway BCL B NEW | 4.7K | ±0% | $2.4M | 1.3% |
TRVTravelers Companies, Inc. | 5.2K | +614.5% | $1.7M | 0.9% |
CSCOCisco Systems, Inc. | 12K | −5.0% | $1.4M | 0.8% |
CVXChevron Corp | 8.4K | −1.4% | $1.4M | 0.8% |
ATLOAmes National Corp | 46.6K | ±0% | $1.3M | 0.7% |
Exxon MobilCOM | 8.8K | ±0% | $1.2M | 0.7% |
MCDMcDonald's Corp | 4.3K | −2.5% | $1.2M | 0.6% |
ADPAutomatic Data Processing Inc | 5.2K | −8.4% | $1.2M | 0.6% |
PGPROCTER & GAMBLE Co | 7.6K | −14.0% | $1.1M | 0.6% |
UNPUnion Pacific Corp | 4K | −2.4% | $1.1M | 0.6% |
MRKMerck & Co., Inc. | 7.9K | ±0% | $1M | 0.6% |
CASYCasey's General Stores Inc | 1.2K | ±0% | $953.7K | 0.5% |
GOOGLAlphabet Inc. | 2.6K | −10.5% | $915.9K | 0.5% |
WMTWalmart Inc. | 7.8K | −2.3% | $882.4K | 0.5% |
Vanguard S&P 500S&P 500 ETF SHS | 1.1K | ±0% | $788.5K | 0.4% |
Vanguard High Dividend YieldHIGH DIV YLD | 4K | ±0% | $625K | 0.3% |
GDGeneral Dynamics Corp | 1.8K | ±0% | $624.2K | 0.3% |
SPYSPDR S&P 500 ETF Trust | 828 | ±0% | $618.3K | 0.3% |
UNHUnitedHealth Group Inc | 1.5K | −3.0% | $611.4K | 0.3% |
VVisa Inc. | 1.6K | −22.2% | $555.3K | 0.3% |
PPGPPG Industries Inc | 4.6K | ±0% | $554.3K | 0.3% |
BLKBlackRock, Inc. | 561 | −0.5% | $539.4K | 0.3% |
QCOMQualcomm Inc | 2.7K | −21.1% | $498K | 0.3% |
BXBlackstone Inc. | 3.9K | ±0% | $458.9K | 0.3% |
KLACKLA Corp | 1.5K | +900.0% | $452.6K | 0.2% |
AFLAflac Inc | 3.7K | ±0% | $432.7K | 0.2% |
RTXRTX Corp | 2.2K | ±0% | $422.7K | 0.2% |
DEDeere & Co | 653 | −1.5% | $414.2K | 0.2% |
NSCNorfolk Southern Corp | 1.3K | ±0% | $409K | 0.2% |
CATCaterpillar Inc | 383 | ±0% | $407.9K | 0.2% |
PEPPepsiCo Inc | 2.9K | −2.7% | $397.8K | 0.2% |
KOCoca Cola Co | 4.6K | ±0% | $373.6K | 0.2% |
APDAir Products & Chemicals, Inc. | 1.3K | −1.9% | $369.4K | 0.2% |
ABBVAbbVie Inc. | 1.5K | ±0% | $368.7K | 0.2% |
PFEPfizer Inc | 15K | −5.7% | $363.9K | 0.2% |
LNTAlliant Energy Corp | 4.2K | ±0% | $319.3K | 0.2% |
VZVerizon Communications Inc | 7K | −2.8% | $294.8K | 0.2% |
SYYSysco Corp | 3.5K | −25.4% | $294.6K | 0.2% |
TAT&T Inc. | 14K | ±0% | $290.6K | 0.2% |
Vanguard FTSE Developed MarketsVAN FTSE DEV MKT | 3.6K | ±0% | $260K | 0.1% |
WFCWells Fargo & Company | 3K | ±0% | $247.9K | 0.1% |
CRSCarpenter Technology Corp | 400 | New | $246.7K | 0.1% |
iShares Preferred and Income SecuritiesPFD AND INCM SEC | 7.5K | −20.7% | $227.2K | 0.1% |
INTCIntel Corp | 1.6K | New | $223.4K | 0.1% |
NKENIKE, Inc. | 5.4K | −1.5% | $222.2K | 0.1% |
DISWalt Disney Co | 2.2K | −11.1% | $216K | 0.1% |
AMGNAmgen Inc | 595 | ±0% | $215.5K | 0.1% |
Vanguard Information TechnologyINF TECH ETF | 1.8K | New | $212.3K | 0.1% |
ABTAbbott Laboratories | 2.3K | ±0% | $211K | 0.1% |
SYKStryker Corp | 665 | ±0% | $209.4K | 0.1% |