0001272164-18-000001.txt : 20180111
0001272164-18-000001.hdr.sgml : 20180111
20180111144148
ACCESSION NUMBER: 0001272164-18-000001
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 2
CONFORMED PERIOD OF REPORT: 20171231
FILED AS OF DATE: 20180111
DATE AS OF CHANGE: 20180111
EFFECTIVENESS DATE: 20180111
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: AMERICAN NATIONAL BANK
CENTRAL INDEX KEY: 0001272164
IRS NUMBER: 751511306
STATE OF INCORPORATION: TX
FISCAL YEAR END: 1231
FILING VALUES:
FORM TYPE: 13F-HR
SEC ACT: 1934 Act
SEC FILE NUMBER: 028-10767
FILM NUMBER: 18523465
MAIL ADDRESS:
STREET 1: 2732 MIDWESTERN PARKWAY
CITY: WICHITA FALLS
STATE: TX
ZIP: 76308
13F-HR
1
primary_doc.xml
13F-HR
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0001272164
XXXXXXXX
12-31-2017
12-31-2017
AMERICAN NATIONAL BANK
2732 MIDWESTERN PARKWAY
WICHITA FALLS
TX
76308
13F HOLDINGS REPORT
028-10767
N
Michael Boyle
Sr. Vice President
9408672924
Michael Boyle
Wichita Falls
TX
01-11-2018
0
325
354354
false
INFORMATION TABLE
2
Dec-2017-Info_Table.xml
INFORMATION TABLE
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COM
001055102
6530
74390
SH
SOLE
74385
0
5
AFLAC Inc Com
COM
001055102
873
9940
SH
DFND
8695
1107
138
Agco Corp Del Common
COM
001084102
3
46
SH
SOLE
46
0
0
Abbott Labs Com
COM
002824100
392
6866
SH
SOLE
6866
0
0
Affiliated Managers Group
COM
008252108
3224
15708
SH
SOLE
15671
0
37
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COM
008252108
453
2206
SH
DFND
1914
292
0
Agrium Inc Usd
COM
008916108
1
8
SH
SOLE
8
0
0
Agrium Inc Usd
COM
008916108
7
60
SH
DFND
60
0
0
Allete Inc Common New
COM NEW
018522300
3
45
SH
SOLE
45
0
0
Amazon Com Inc
COM
023135106
7069
6045
SH
SOLE
6035
0
10
Amazon Com Inc
COM
023135106
906
775
SH
DFND
686
89
0
American Elec Pwr Inc Com
COM
025537101
2
32
SH
SOLE
32
0
0
American Express Co Com
COM
025816109
32
325
SH
SOLE
325
0
0
American Water Works Company INC CORP COMMON
COM
030420103
409
4473
SH
SOLE
4473
0
0
Amgen Inc Com
COM
031162100
4186
24070
SH
SOLE
24070
0
0
Amgen Inc Com
COM
031162100
510
2935
SH
DFND
2567
329
39
Apple Computer Inc
COM
037833100
6775
40035
SH
SOLE
40025
0
10
Apple Computer Inc
COM
037833100
797
4707
SH
DFND
4003
640
64
BB&T Corporation
COM
054937107
1
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SH
SOLE
15
0
0
BP PLC-Spns ADR Sponsored ADR
SPONSORED ADR
055622104
59
1393
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SOLE
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Baidu Inc
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47
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DFND
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Bank of America Corporation Com
COM
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SH
DFND
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0
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Bank of The Ozarks
COM
063904106
10
200
SH
SOLE
200
0
0
Becton Dickinson & Co Com
COM
075887109
26
120
SH
SOLE
120
0
0
Berkshire Hathaway Inc Del Cl A
CL A
084670108
2678
9
SH
SOLE
9
0
0
Berkshire Hathaway Inc Del Cl A
CL A
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298
1
SH
DFND
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SOLE
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Berkshire Hathaway Inc Cl B New
CL B NEW
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DFND
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627
107
Boeing Co Com
COM
097023105
5474
18560
SH
SOLE
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30
Boeing Co Com
COM
097023105
672
2279
SH
DFND
1984
295
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Bristol-Myers Squibb Co Com
COM
110122108
399
6519
SH
SOLE
6519
0
0
British American Tobacco
SPONSORED ADR
110448107
2
34
SH
SOLE
34
0
0
CVS Corp Delaware
COM
126650100
56
767
SH
SOLE
767
0
0
Carnival Corp Paired CTF
UNIT 99/99/9999
143658300
51
765
SH
SOLE
765
0
0
Caterpillar Inc Del Com
COM
149123101
9
59
SH
DFND
59
0
0
Celanese Corp Series A
COM SER A
150870103
4313
40278
SH
SOLE
40200
0
78
Celanese Corp Series A
COM SER A
150870103
552
5158
SH
DFND
4548
610
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Cerner Corp Common
COM
156782104
4
54
SH
SOLE
54
0
0
Chevron Corp New Com
COM
166764100
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48636
SH
SOLE
48589
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47
Chevron Corp New Com
COM
166764100
730
5833
SH
DFND
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657
30
Citigroup Inc Com New
COM NEW
172967424
63
853
SH
SOLE
853
0
0
Coca Cola Co Com
COM
191216100
900
19607
SH
SOLE
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0
0
Coca Cola Co Com
COM
191216100
121
2635
SH
DFND
2635
0
0
Colgate Palmolive Co Com
COM
194162103
16
215
SH
DFND
215
0
0
Corning Inc Com
COM
219350105
47
1472
SH
SOLE
1472
0
0
Crown Holdings Inc Holding Co
COM
228368106
113
2000
SH
SOLE
2000
0
0
Cullen Frost BK Inc
COM
229899109
9
93
SH
SOLE
93
0
0
Cummins Inc
COM
231021106
33
184
SH
SOLE
184
0
0
Danaher Corp Com
COM
235851102
19
200
SH
SOLE
200
0
0
Deere & Co Com
COM
244199105
5
30
SH
SOLE
30
0
0
Denbury Resources Inc
COM NEW
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13
5837
SH
SOLE
5837
0
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Dineequity
COM
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400
SH
DFND
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Disney Walt Co Com
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SOLE
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Disney Walt Co Com
COM DISNEY
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Dollar Tree Inc
COM
256746108
15
140
SH
DFND
140
0
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Dunkin Brands Group
COM
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26
400
SH
DFND
400
0
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Ebay Inc Com
COM
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52
1373
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SOLE
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Ecolab Inc
COM
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19
145
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DFND
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Electronic Arts
COM
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SOLE
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Fiserv Inc Common
COM
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SOLE
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Fiserv Inc Common
COM
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Ford Mtr Co Del
COM PAR $0.01
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125
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SH
SOLE
10000
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General Elec Co Com
COM
369604103
1178
67495
SH
SOLE
67482
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13
General Elec Co Com
COM
369604103
162
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SH
DFND
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458
45
General Mls Inc Com
COM
370334104
244
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SH
SOLE
4115
0
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Gilead Sciences Inc. Com
COM
375558103
2079
29017
SH
SOLE
28957
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60
Gilead Sciences Inc. Com
COM
375558103
254
3550
SH
DFND
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560
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Greenbrier Companies Inc
COM
393657101
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SH
SOLE
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Greenbrier Companies Inc
COM
393657101
293
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Halliburton Co Com
COM
406216101
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109
SH
SOLE
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0
0
Halliburton Co Com
COM
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DFND
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Home Depot Inc Com
COM
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4431
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SOLE
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Honeywell Intl Inc Com
COM
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5612
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SOLE
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Intel Corp Com
COM
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SH
SOLE
15646
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Intel Corp Com
COM
458140100
18
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International Business Mach Com
COM
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Intuit Common
COM
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ETF Ishares Comex Gold
ISHARES
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SOLE
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Ishares Msci Eafe Index Fund
MSCI EAFE ETF
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MSCI EAFE ETF
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Ishares Tr Nasdaq Biotechnology ETF
NASDAQ BIOTECH
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S&P MC 400GR ETF
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Ishares Tr Russell 2000
RUSSELL 2000 ETF
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SOLE
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S&P MC 400VL ETF
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Ishares Tr Sp Smallcap 600 Index F
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SOLE
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Ishares Tr 1-3 Yr Cr Bd Etf
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SOLE
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Ishares US Medical Devices ETF
U.S. MED DVC ETF
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130
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SH
SOLE
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Johnson & Johnson Com
COM
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SOLE
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Johnson & Johnson Com
COM
478160104
906
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SH
DFND
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740
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Kansas City Southern CORP COMMON
COM NEW
485170302
31
298
SH
SOLE
298
0
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Kraft Heinz Co
COM
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SH
SOLE
5045
0
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Leggett & Platt Inc Com
COM
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42
875
SH
SOLE
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Lilly Eli & Co Com
COM
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SH
SOLE
4450
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Lockheed Martin Corp
COM
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SOLE
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Lowes Cos Inc Com
COM
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300
SH
SOLE
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McDonalds Corp Com
COM
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SH
SOLE
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McDonalds Corp Com
COM
580135101
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SH
DFND
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Microsoft Corp Com
COM
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SOLE
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Microsoft Corp Com
COM
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Microchip Technology Inc Common
COM
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Mondelez International Cl A
CL A
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SH
SOLE
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Moodys Corp Common
COM
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SH
SOLE
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National Retail Properties Incorporated
COM
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Norfolk Southern Corp Com
COM
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Nuveen Nasdaq 100 Dynami
COM SHS
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SH
SOLE
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Occidental Pete Corp Del Com
COM
674599105
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100
SH
DFND
100
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Panhandle Oil and Gas Inc
CL A
698477106
14
700
SH
DFND
700
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Pembina Pipeline Corp
COM
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200
SH
SOLE
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Pembina Pipeline Corp
COM
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Pepsico Inc Com
COM
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SOLE
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Pepsico Inc Com
COM
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Pfizer Inc Com
COM
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SOLE
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Pfizer Inc Com
COM
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Philip Morris Intl Inc
COM
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SOLE
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Phillips 66
COM
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COM NEW
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Priceline.Com Inc
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Procter & Gamble Co Com
COM
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Procter & Gamble Co Com
COM
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Qualcomm Inc Com
COM
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123
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SOLE
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Raytheon Co Com New
COM NEW
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SOLE
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Roper Industries Inc
COM
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SOLE
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Roper Industries Inc
COM
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Royal Dutch ADR Ea Rep
SPON ADR B
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Royal Dutch Shell PLC
SPONS ADR A
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Sabine Royalty Tr Unit Sh Ben Int
UNIT BEN INT
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Sanderson Farms, Inc.
COM
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SOLE
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Sanderson Farms, Inc.
COM
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304
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SH
DFND
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COM
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SH
SOLE
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Schlumberger LTD Com
COM
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DFND
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Schwab Charles Corp New Com
COM
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34
655
SH
SOLE
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Southwest Airls Co Com
COM
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610
SH
SOLE
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Starbucks Corp Com
COM
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SOLE
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Starbucks Corp Com
COM
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300
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DFND
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State Str Corp Com
COM
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Suntrust Bks Inc Com
COM
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Suntrust Bks Inc Com
COM
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420
6496
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Texas Instrs Inc Com
COM
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330
3160
SH
SOLE
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Trimble Navigation LTD
COM
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SH
SOLE
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UDR Inc
COM
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SOLE
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US Bancorp Del Com New
COM NEW
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SH
SOLE
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Under Armour Inc Class C
CL C
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Union Pac Corp Com
COM
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United Parcel Service
CL B
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COM
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COM
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COM
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United Technologies Corp Com
COM
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DIV APP ETF
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Alibaba Group Holding Ltd ADR Rep 1 CORP COMMON
SPONSORED ADS
01609W102
28
160
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160
0
0
Alphabet Inc Cap Stk Cl C
CAP STK CL C
02079K107
1504
1437
SH
SOLE
1430
0
7
Alphabet Inc Cap Stk Cl C
CAP STK CL C
02079K107
426
407
SH
DFND
403
0
4
Alphabet Inc
CAP STK CL A
02079K305
6049
5742
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5738
0
4
Alphabet Inc
CAP STK CL A
02079K305
889
844
SH
DFND
747
90
7
Altria Group Inc Com
COM
02209S103
463
6482
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6482
0
0
American Airlines Group
COM
02376R102
2495
47946
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47936
0
10
American Airlines Group
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02376R102
255
4896
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DFND
4156
667
73
Aqua America Inc
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03836W103
22
562
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562
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0
Bok Finl Corp Common New
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05561Q201
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5
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5
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Baker Hughes A GE Co
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05722G100
326
10292
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05722G100
69
2165
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2165
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Biogen Idec Inc
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09062X103
12
38
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38
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Black Knight Inc
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09215C105
13
293
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293
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31
60
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2
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Canadian Pacific Railway
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110
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14040H105
4176
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25
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14040H105
542
5439
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602
57
Centene Corp Del Common
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15135B101
5
54
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54
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Cisco Sys Inc Com
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17275R102
5082
132683
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Cisco Sys Inc Com
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17275R102
594
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13153
2114
240
Comcast Corp
CL A
20030N101
32
794
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794
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Coresite Realty Corp
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21870Q105
473
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Costco Wholesale Corp COMMON
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22160K105
23
125
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125
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D R Horton Inc
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23331A109
29
575
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575
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Danaher Corp Conv 0.0 01/22/2021-10
DBCV 1/2
235851AF9
46
13000
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Devon Energy Corp New Com
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25179M103
12
295
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Diageo PLC Sponsored ADR
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58
400
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400
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400
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Diamondback Energy INC CORP COMMON
COM
25278X109
56
440
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440
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DowDuPont Inc
COM
26078J100
275
3868
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3868
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EOG Resources Inc Com
COM
26875P101
22
200
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200
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East West Bancorp Inc. Com
COM
27579R104
189
3102
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3102
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Enduro Royalty Trust
TR UNIT
29269K100
129
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41000
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Exxon Mobil Corp Com
COM
30231G102
7466
89269
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SOLE
89169
0
100
Exxon Mobil Corp Com
COM
30231G102
2681
32054
SH
DFND
30923
1089
42
Facebook Inc
CL A
30303M102
4461
25282
SH
SOLE
25227
0
55
Facebook Inc
CL A
30303M102
600
3402
SH
DFND
2997
405
0
Fidelity National Title Group
FNF GROUP COM
31620R303
38
958
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958
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Fortune Brands Home & Sec
COM
34964C106
33
480
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DFND
480
0
0
General Motors Co
COM
37045V100
3590
87579
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87434
0
145
General Motors Co
COM
37045V100
442
10778
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DFND
9552
1200
26
Hd Supply Hldgs Inc. Common
COM
40416M105
2489
62173
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62033
0
140
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COM
40416M105
330
8238
SH
DFND
7033
1205
0
Hilton Worldwide Holdings INC CORP COMMON
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43300A203
18
230
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230
0
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Independent Bank Group Inc
COM
45384B106
323
4776
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4776
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0
Intuitive Surgical Inc
COM NEW
46120E602
109
300
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300
0
0
ETF Ishares Silver Tr
ISHARES
46428Q109
63
3933
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3933
0
0
Ishares Tr Core Msci Eafe Etf
CORE MSCI EAFE
46432F842
42
641
SH
SOLE
641
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0
Ishares Core Msci Emerging Markets Etf
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46434G103
2
38
SH
SOLE
38
0
0
JPMorgan Chase & Co Com
COM
46625H100
5683
53139
SH
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53129
0
10
JPMorgan Chase & Co Com
COM
46625H100
658
6150
SH
DFND
5397
670
83
Jones Lang Lasalle Inc
COM
48020Q107
12
78
SH
SOLE
78
0
0
Kinder Morgan Inc Del
COM
49456B101
3068
169805
SH
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169435
0
370
Kinder Morgan Inc Del
COM
49456B101
439
24299
SH
DFND
21494
2805
0
Laboratory Corp Amer Hldgs Com New
COM NEW
50540R409
4840
30345
SH
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30345
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0
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50540R409
694
4348
SH
DFND
3820
461
67
Manulife Finl Corp Common
COM
56501R106
258
12362
SH
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12362
0
0
McKesson Corp Com
COM
58155Q103
1799
11533
SH
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11499
0
34
McKesson Corp Com
COM
58155Q103
249
1599
SH
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1372
227
0
Merck & Co Inc New
COM
58933Y105
473
8409
SH
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8409
0
0
Metlife Inc Com
COM
59156R108
26
507
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507
0
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Molina Healthcare Inc
COM
60855R100
36
470
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DFND
470
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0
Nexstar Media Group, Inc.
CL A
65336K103
2534
32408
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32330
0
78
Nexstar Media Group, Inc.
CL A
65336K103
352
4507
SH
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3976
531
0
Nextera Energy Inc
COM
65339F101
456
2919
SH
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2919
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Nutanix Inc Cl A
CL A
67059N108
363
10299
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10299
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0
Oracle Corp Com
COM
68389X105
10
218
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218
0
0
PNM Resources Inc
COM
69349H107
22
539
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539
0
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Paypal Holdings Inc
COM
70450Y103
42
569
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569
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Powershares DB Commodity Index
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514
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Powershares DB Commodity Index
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1
47
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47
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Proshares Ultrashort Lehman Bros
PSHS ULTSH 20YRS
74347B201
77
2281
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2281
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Proshares Ultra S&P 500
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74347R107
70
642
SH
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642
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Sm Energy CO CORP COMMON
COM
78454L100
41
1870
SH
DFND
1870
0
0
SPDR Tr Unit Ser 1
TR UNIT
78462F103
1458
5463
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5463
0
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SPDR Gold Trust
GOLD SHS
78463V107
156
1261
SH
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1261
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SPDR Index SPDR DJ Intl REIT ETF
DJ INTL RL ETF
78463X863
20
489
SH
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489
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0
SPDR Barclays Cap Conv ETF
BLMBRG BRC CNVRT
78464A359
2036
40235
SH
SOLE
40235
0
0
SPDR Ser Tr S&P Divid ETF
S&P DIVID ETF
78464A763
104
1100
SH
SOLE
1100
0
0
SPDR Doubleline Cap Total Rtn ETF
SPDR TR TACTIC
78467V848
1391
28603
SH
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28603
0
0
SPDR Doubleline Cap Total Rtn ETF
SPDR TR TACTIC
78467V848
17
359
SH
DFND
359
0
0
Spdr Ser Tr Bloomberg Barclays Invt Gradefltg Rate Etf
BLOMBERG BRC INV
78468R200
834
27195
SH
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27195
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0
Spdr Ser Tr Bloomberg Barclays Invt Gradefltg Rate Etf
BLOMBERG BRC INV
78468R200
3
100
SH
DFND
100
0
0
Salesforce.com INC CORP COMMON
COM
79466L302
22
215
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215
0
0
Health Care Select Sector
SBI HEALTHCARE
81369Y209
62
752
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752
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0
Select Sec Amex Consumer Staples in
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81369Y308
22
389
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389
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0
Select Sec Sbi Consumer Discretinary
SBI CONS DISCR
81369Y407
66
671
SH
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671
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0
Financial Select Sector SPDR Fund
SBI INT-FINL
81369Y605
64
2305
SH
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2305
0
0
Select Sec Amex Industrial Select
SBI INT-INDS
81369Y704
40
530
SH
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530
0
0
Technology Select Sect SPDR
TECHNOLOGY
81369Y803
117
1835
SH
SOLE
1835
0
0
Silvercorp Metals Inc
COM
82835P103
26
10000
SH
SOLE
10000
0
0
Silvercorp Metals Inc
COM
82835P103
7
2500
SH
DFND
2500
0
0
Spectrum Brands Hldgs Inc Common
COM
84763R101
2254
20057
SH
SOLE
20022
0
35
Spectrum Brands Hldgs Inc Common
COM
84763R101
236
2096
SH
DFND
1781
315
0
Tesla Mtrs Inc
COM
88160R101
3
10
SH
SOLE
10
0
0
3M Co Com
COM
88579Y101
518
2200
SH
SOLE
2200
0
0
Twenty-First Century Fox Inc
CL A
90130A101
12
345
SH
SOLE
345
0
0
Unitedhealth Group Inc Com
COM
91324P102
6884
31224
SH
SOLE
31169
0
55
Unitedhealth Group Inc Com
COM
91324P102
820
3718
SH
DFND
3268
450
0
Valero Energy Corp New Com
COM
91913Y100
4373
47579
SH
SOLE
47569
0
10
Valero Energy Corp New Com
COM
91913Y100
617
6710
SH
DFND
5854
782
74
Vanguard Total Intl Bond Index ETF
INTL BD IDX ETF
92203J407
403
7412
SH
SOLE
7412
0
0
Vanguard Scottsdale Funds Vanguard Short-term Corporate Bd Index Fund
SHRT TRM CORP BD
92206C409
63
795
SH
SOLE
795
0
0
Verizon Communications Com
COM
92343V104
5739
108422
SH
SOLE
108382
0
40
Verizon Communications Com
COM
92343V104
683
12903
SH
DFND
11257
1493
153
VISA Inc
COM CL A
92826C839
7044
61781
SH
SOLE
61776
0
5
VISA Inc
COM CL A
92826C839
1035
9073
SH
DFND
8018
933
122
WMHI Corp Exch Under Reorg
COM
92936P100
70
82070
SH
SOLE
82070
0
0
WMHI Corp Exch Under Reorg
COM
92936P100
15
17101
SH
DFND
17101
0
0
WEC Energy Group Inc
COM
92939U106
30
457
SH
SOLE
457
0
0
Waste Connections Inc Common
COM
94106B101
5
65
SH
SOLE
65
0
0
Western Asset High Income Opportunity FD Inc
COM
95766K109
145
28507
SH
SOLE
28507
0
0
Workday INC CLASS A CORP COMMON
CL A
98138H101
10
95
SH
SOLE
95
0
0
XCEL Energy Inc Com
COM
98389B100
28
579
SH
DFND
579
0
0
Zimmer Biomet Holdings Inc
COM
98956P102
5
45
SH
SOLE
45
0
0
Allergan PLC Shs
SHS
G0177J108
2660
16259
SH
SOLE
16247
0
12
Allergan PLC Shs
SHS
G0177J108
314
1920
SH
DFND
1648
253
19
Accenture Plc, Dublin Shsclass A
SHS CLASS A
G1151C101
6163
40255
SH
SOLE
40177
0
78
Accenture Plc, Dublin Shsclass A
SHS CLASS A
G1151C101
813
5309
SH
DFND
4658
651
0
Bunge LTD
COM
G16962105
2607
38862
SH
SOLE
38792
0
70
Bunge LTD
COM
G16962105
289
4304
SH
DFND
3729
575
0
Delphi Technologies PLC
SHS
G2709G107
653
12449
SH
SOLE
12425
0
24
Delphi Technologies PLC
SHS
G2709G107
87
1651
SH
DFND
1462
189
0
Eaton Corp PLC
SHS
G29183103
24
301
SH
SOLE
301
0
0
Lazard Ltd CLASS A CORP COMMON
SHS A
G54050102
28
530
SH
SOLE
530
0
0
Medtronic Plc, Dublin Shs
SHS
G5960L103
4581
56727
SH
SOLE
56641
0
86
Medtronic Plc, Dublin Shs
SHS
G5960L103
668
8270
SH
DFND
7372
877
21
APTIV PLC
SHS
G6095L109
3207
37806
SH
SOLE
37731
0
75
APTIV PLC
SHS
G6095L109
425
5008
SH
DFND
4440
568
0
Nordic American Tanker Shippcom
COM
G65773106
10
4225
SH
SOLE
4225
0
0
Lyondellbasell Industries
SHS - A -
N53745100
3506
31784
SH
SOLE
31754
0
30
Lyondellbasell Industries
SHS - A -
N53745100
554
5021
SH
DFND
4431
557
33
Sensata Technologies Holding
SHS
N7902X106
3510
68669
SH
SOLE
68519
0
150
Sensata Technologies Holding
SHS
N7902X106
476
9320
SH
DFND
8030
1290
0
Broadcom Ltd, Singapore Shs
SHS
Y09827109
2634
10253
SH
SOLE
10233
0
20
Broadcom Ltd, Singapore Shs
SHS
Y09827109
313
1218
SH
DFND
1070
148
0