0001309148-24-000003.txt : 20240207 0001309148-24-000003.hdr.sgml : 20240207 20240207105257 ACCESSION NUMBER: 0001309148-24-000003 CONFORMED SUBMISSION TYPE: 13F-HR PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20231231 FILED AS OF DATE: 20240207 DATE AS OF CHANGE: 20240207 EFFECTIVENESS DATE: 20240207 FILER: COMPANY DATA: COMPANY CONFORMED NAME: Hills Bank & Trust Co CENTRAL INDEX KEY: 0001309148 ORGANIZATION NAME: IRS NUMBER: 421186944 FILING VALUES: FORM TYPE: 13F-HR SEC ACT: 1934 Act SEC FILE NUMBER: 028-11079 FILM NUMBER: 24602818 BUSINESS ADDRESS: STREET 1: 590 WEST FOREVERGREEN ROAD CITY: NORTH LIBERTY STATE: IA ZIP: 52317 BUSINESS PHONE: 319-665-5778 MAIL ADDRESS: STREET 1: 590 WEST FOREVERGREEN ROAD CITY: NORTH LIBERTY STATE: IA ZIP: 52317 FORMER COMPANY: FORMER CONFORMED NAME: Hillstrust DATE OF NAME CHANGE: 20041118 13F-HR 1 primary_doc.xml X0202 13F-HR LIVE false false false 0001309148 XXXXXXXX 12-31-2023 12-31-2023 false Hills Bank & Trust Co
590 West Forevergreen Road North Liberty IA 52317
13F HOLDINGS REPORT 028-11079 N
Joni McFarland Vice President 319-665-5778 Joni McFarland North Liberty IA 02-07-2024 0 429 1022790825 false
INFORMATION TABLE 2 information_table.xml INFORMATION TABLE 3M CoCOM88579Y1011366501250SHDFND1250003M CoCOM88579Y10192375845SHSOLE84500ADVANCED MICRO DEVCOM0079031078900626038SHSOLE603800ALPHABET INCCAP STK CL A02079K305558840SHDFND4000ALPHABET INCCAP STK CL A02079K3053620762592SHSOLE259200ALTRIA GROUP INCCOM02209S1032083965166SHDFND516600ALTRIA GROUP INCCOM02209S103862072137SHSOLE213700AMER EXPRESS COCOM0258161096613103530SHSOLE353000ANALOG DEVICES INCCOM03265410518819529478SHSOLE947800ANSYS, INC.COM03662Q10525318146977SHDFND697700ANSYS, INC.COM03662Q1058792582423SHSOLE242300APPLIED MATERIALSCOM038222105111180686SHSOLE68600AT&T INCCOM00206R102515313071SHDFND307100AT&T INCCOM00206R10295827257108SHSOLE5710800AUTOMATIC DATA PROCESSINGCOM05301510312566405394SHSOLE539400AbbVie IncCOM00287Y10924950161SHDFND16100AbbVie IncCOM00287Y1097390524769SHSOLE476900Abbott LaboratoriesCOM002824100451341SHDFND4100Abbott LaboratoriesCOM002824100477879943416SHSOLE4341600Accenture PLCSHS CLASS AG1151C1018688532476SHSOLE247600Adobe IncCOM00724F10117641462957SHSOLE295700Aflac IncCOM0010551026661058074SHSOLE807400Akamai Technologies IncCOM00971T1011775251500SHDFND150000Akamai Technologies IncCOM00971T10160832514SHSOLE51400Alliant Energy CorpCOM018802108207303340410SHDFND4041000Alliant Energy CorpCOM0188021082109464112SHSOLE411200Allstate Corp/TheCOM0200021014511563223SHDFND322300Allstate Corp/TheCOM0200021014714533368SHSOLE336800Alphabet IncCAP STK CL C02079K107160251511371SHDFND1137100Alphabet IncCAP STK CL C02079K10717327062122948SHSOLE12294800Amazon.com IncCOM023135106203219813375SHDFND1337500Amazon.com IncCOM023135106832372954783SHSOLE5478300American Tower CorpCOM03027X10013300376161SHDFND616100American Tower CorpCOM03027X100386036617882SHSOLE1788200American Water Works Co IncCOM0304201033963SHDFND300American Water Works Co IncCOM0304201031384581049SHSOLE104900Ameriprise Financial IncCOM03076C106364257959SHSOLE95900Amgen IncCOM031162100115208400SHDFND40000Amgen IncCOM03116210061636214SHSOLE21400Aon PLCSHS CL AG0403H1086396622198SHSOLE219800Apple IncCOM0378331007087033681SHDFND368100Apple IncCOM03783310027428016142461SHSOLE14246100AstraZeneca PLCSPONSORED ADR0463531081144281699SHSOLE169900BECTON DICKINSONCOM0758871091072944SHDFND4400BECTON DICKINSONCOM07588710917763027285SHSOLE728500BERKSHIRE HATHAWAYCL A08467010810852502SHDFND200BERKSHIRE HATHAWAYCL A08467010816278753SHSOLE300BK OF AMERICA CORPCOM060505104707072100SHDFND210000BK OF AMERICA CORPCOM0605051041703035058SHSOLE505800BOEING COCOM097023105260710SHDFND1000BOEING COCOM09702310523800869131SHSOLE913100BP PLCSPONSORED ADR055622104531001500SHDFND150000BP PLCSPONSORED ADR0556221041215993435SHSOLE343500BRISTOL-MYRS SQUIBCOM11012210887217SHDFND1700BRISTOL-MYRS SQUIBCOM110122108206332940213SHSOLE4021300Bath & Body Works IncCOM07083010498901122915SHSOLE2291500Berkshire Hathaway IncCL B NEW0846707028181782294SHDFND229400Berkshire Hathaway IncCL B NEW0846707029447922649SHSOLE264900Bio-Techne CorpCOM09073M104106511713804SHDFND1380400Bio-Techne CorpCOM09073M1043858005000SHSOLE500000Biogen IncCOM09062X1035182SHDFND200Biogen IncCOM09062X10310397384018SHSOLE401800BlackLine IncCOM09239B1093652745850SHDFND585000BlackLine IncCOM09239B1091186361900SHSOLE190000BlackRock Fund AdvisorsMSCI EAFE ETF46428746577128310236SHDFND1023600BlackRock Fund AdvisorsMSCI EAFE ETF46428746512386485164386SHSOLE16438600BlackRock Fund AdvisorsRUS MD CP GR ETF4642874811580481513SHSOLE151300BlackRock Fund AdvisorsCORE S&P MCP ETF4642875072813071015SHSOLE101500BlackRock Fund AdvisorsCORE S&P SCP ETF4642878043759523473SHDFND347300BlackRock Fund AdvisorsCORE S&P SCP ETF464287804754231969675SHSOLE6967500BlackRock Fund AdvisorsMSCI KLD400 SOC4642885706626627278SHSOLE727800BlackRock Fund AdvisorsU.S. INSRNCE ETF46428878612215122SHDFND12200BlackRock Fund AdvisorsU.S. INSRNCE ETF464288786153351115316SHSOLE1531600BlackRock Fund AdvisorsMSCI USA ESG SLC4642888026633666600SHSOLE660000BlackRock Fund AdvisorsUS HLTHCR PR ETF464288828472618SHDFND1800BlackRock Fund AdvisorsUS HLTHCR PR ETF46428882819875027570SHSOLE757000BlackRock Fund AdvisorsCORE MSCI EMKT46434G10359208911706SHSOLE1170600BlackRock Fund AdvisorsIBONDS DEC25 ETF46434VBD12026858186SHSOLE818600BlackRock Fund AdvisorsESG AWARE MSCI46435U6632857597518SHSOLE751800BlackRock Fund AdvisorsIBONDS 26 TRM TS46436E8581750017657SHSOLE765700BlackRock IncCOM09247X10115489141908SHSOLE190800Blackstone IncCOM09260D107197754715105SHSOLE1510500CBRE Group IncCL A12504L109115413012398SHDFND1239800CBRE Group IncCL A12504L1092969573190SHSOLE319000CDW Corp/DECOM12514G10813736956043SHSOLE604300CINTAS CORPCOM172908105132585220SHSOLE22000CISCO SYSTEMSCOM17275R1022311294575SHDFND457500CISCO SYSTEMSCOM17275R102219059843361SHSOLE4336100COGNIZANT TECHNOLOCL A1924461026033347988SHSOLE798800CONOCOPHILLIPSCOM20825C1044961994275SHSOLE427500CVS Health CorpCOM126650100663384SHDFND8400CVS Health CorpCOM126650100445981956482SHSOLE5648200CarMax IncCOM1431301024129385381SHDFND538100CarMax IncCOM14313010257632751SHSOLE75100Caterpillar IncCOM14912310129567100SHDFND10000Caterpillar IncCOM149123101174741591SHSOLE59100Cboe Global Markets IncCOM12503M108208468811675SHDFND1167500Cencora IncCOM03073E10513957626796SHSOLE679600Charles Schwab Corp/TheCOM808513105426662SHDFND6200Charles Schwab Corp/TheCOM808513105115246916751SHSOLE1675100Charles Schwab Investment Management IncUS BRD MKT ETF80852410255670010000SHSOLE1000000Chevron CorpCOM1667641001491601000SHDFND100000Chevron CorpCOM166764100441215329580SHSOLE2958000Chipotle Mexican Grill IncCOM16965610535859531568SHSOLE156800Cigna Group/TheCOM125523100105406352SHDFND35200Cigna Group/TheCOM1255231004931941647SHSOLE164700Cincinnati Financial CorpCOM1720621011034601000SHSOLE100000Clorox Co/TheCOM189054109356525SHDFND2500Clorox Co/TheCOM1890541093215402255SHSOLE225500CoStar Group IncCOM22160N1095967866829SHDFND682900CoStar Group IncCOM22160N1091633321869SHSOLE186900Coca-Cola Co/TheCOM191216100150530825544SHSOLE2554400Comcast CorpCL A20030N1012456045601SHDFND560100Comcast CorpCL A20030N101289467066013SHSOLE6601300Consolidated Edison IncCOM2091151041000671100SHDFND110000Consolidated Edison IncCOM20911510425017275SHSOLE27500Constellation Brands IncCL A21036P1082971111229SHSOLE122900Copart IncCOM21720410654556611134SHSOLE1113400Costco Wholesale CorpCOM22160K1052112332SHDFND3200Costco Wholesale CorpCOM22160K10558087048800SHSOLE880000Crowdstrike Holdings IncCL A22788C1055093631995SHDFND199500Crowdstrike Holdings IncCL A22788C10552085204SHSOLE20400DEERE & COCOM24419910589971225SHDFND22500DEERE & COCOM24419910531701697928SHSOLE792800DIAGEOSPON ADR NEW25243Q2051685291157SHSOLE115700DISCOVER FINL SVCSCOM2547091081828751627SHDFND162700DISCOVER FINL SVCSCOM25470910812701113SHSOLE11300DUKE ENERGY CORPCOM NEW26441C2044153314280SHDFND428000DUKE ENERGY CORPCOM NEW26441C20493061959SHSOLE95900DWS Xtrackers ETFs/USAXTRACKRS S&P 50023306X4071291144510SHSOLE451000Danaher CorpCOM23585110219802708560SHDFND856000Danaher CorpCOM235851102243971210546SHSOLE1054600Danaher CorpNone92338C10388339010739SHDFND1073900Danaher CorpNone92338C1032823163432SHSOLE343200Dimensional ETF TrustUS CORE EQUITY 225434V7082380788145SHSOLE814500Donaldson Co IncCOM2576511098496130SHDFND13000Donaldson Co IncCOM257651109162172624816SHSOLE2481600Dover CorpCOM2600031082076441350SHSOLE135000DuPont de Nemours IncCOM26614N10297101012622SHSOLE1262200EBAY INCCOM2786421031536303522SHSOLE352200ECOLAB INCCOM27886510012141006121SHDFND612100ECOLAB INCCOM2788651005760082904SHSOLE290400EL PASO ENERGY CAP TRSTPFD CV TR SEC 282836782094196148909SHSOLE890900EMERSON ELECTRICCOM2910111042919903000SHDFND300000EMERSON ELECTRICCOM2910111044133614247SHSOLE424700EOG Resources IncCOM26875P101749962SHDFND6200EOG Resources IncCOM26875P101200414216570SHSOLE1657000ESTEE LAUDER COSCL A518439104365625SHDFND2500ESTEE LAUDER COSCL A5184391043970692715SHSOLE271500EXPEDTRS INTL WASHCOM3021301092033931599SHSOLE159900Eaton Corp PLCSHSG29183103227575945SHSOLE94500Edwards Lifesciences CorpCOM28176E1083695084846SHSOLE484600Eli Lilly & CoCOM5324571081457325SHDFND2500Eli Lilly & CoCOM53245710818187103120SHSOLE312000Eversource EnergyCOM30040W1084372247084SHDFND708400Eversource EnergyCOM30040W108382762SHSOLE6200Exxon Mobil CorpCOM30231G1026268756270SHDFND627000Exxon Mobil CorpCOM30231G102432653543274SHSOLE4327400FACEBOOK INCCL A30303M1022017657SHDFND5700FACEBOOK INCCL A30303M102480713113581SHSOLE1358100FEDEX CORPCOM31428X106159877632SHSOLE63200FISERV INCCOM33773810828162212SHDFND21200FISERV INCCOM337738108671227250529SHSOLE5052900FREEPORT-MCMOR C&GCL B35671D857104198624477SHSOLE2447700Fastenal CoCOM311900104382078258990SHDFND5899000Fastenal CoCOM3119001049574366147821SHSOLE14782100Fortive CorpCOM34959J1081100031494SHDFND149400Fortive CorpCOM34959J1082220683016SHSOLE301600GE HealthCare Technologies IncCOMMON STOCK36266G107154620SHDFND2000GE HealthCare Technologies IncCOMMON STOCK36266G1071207741562SHSOLE156200GEN DYNAMICS CORPCOM369550108259710SHDFND1000GEN DYNAMICS CORPCOM36955010817268066650SHSOLE665000GENERAL MILLS INCCOM3703341042495513831SHSOLE383100GSK PLCSPONSORED ADR37733W20478878521284SHSOLE2128400General Electric CoCOM NEW369604301791362SHDFND6200General Electric CoCOM NEW3696043016238554888SHSOLE488800Genuine Parts CoCOM3724601051385001000SHDFND100000Guidewire Software IncCOM40171V1003700823394SHDFND339400Guidewire Software IncCOM40171V10018319168SHSOLE16800HALLIBURTONCOM406216101135002237345SHSOLE3734500HEICO CorpCL A4228062088046445649SHDFND564900HEICO CorpCL A42280620861534432SHSOLE43200HERSHEY CO (THE)COM4278661081890501014SHSOLE101400Heartland Express IncCOM42234710418573713025SHDFND25013000Heartland Express IncCOM42234710471405550074SHSOLE5007400Home Depot Inc/TheCOM437076102142779412SHDFND41200Home Depot Inc/TheCOM4370761021154427433312SHSOLE3331200Honeywell International IncCOM438516106209710SHDFND1000Honeywell International IncCOM43851610620645959845SHSOLE984500Hormel Foods CorpCOM4404521002140776667SHSOLE666700Howard Hughes Holdings IncNone44267T1023782174421SHDFND442100IDEXX Laboratories IncCOM45168D104346351624SHDFND62400IDEXX Laboratories IncCOM45168D1046105551100SHSOLE110000ILLINOIS TOOL WKSCOM452308109219244837SHDFND83700ILLINOIS TOOL WKSCOM452308109687723526255SHSOLE2625500INTERCONTINENTAL EXCHANGECOM45866F10418879147SHDFND14700INTERCONTINENTAL EXCHANGECOM45866F104772699160165SHSOLE6016500INTL BUSINESS MCHNCOM459200101163610SHDFND1000INTL BUSINESS MCHNCOM459200101237703614534SHSOLE1453400ISHARESSELECT DIVID ETF4642871682603462221SHSOLE222100ISHARESCORE S&P500 ETF464287200281324589SHSOLE58900ISHARESS&P 500 VAL ETF4642874082371861364SHSOLE136400ISHARESCORE MSCI EAFE46432F8424543206458SHSOLE645800ISHARES TRMSCI EMG MKT ETF46428723456832814134SHSOLE1413400ISHARES TRUSTTIPS BD ETF4642871761091021015SHDFND101500ISHARES TRUSTRUS 1000 VAL ETF464287598119806725SHDFND72500ISHARES/USARUS 1000 GRW ETF464287614116720385SHSOLE38500ISHARES/USANATIONAL MUN ETF4642884144456744111SHSOLE411100Illumina IncCOM4523271094738343403SHDFND340300Illumina IncCOM452327109126708910SHSOLE91000Intel CorpCOM45814010057084011360SHDFND1136000Intel CorpCOM458140100229702845712SHSOLE4571200Intuit IncCOM461202103379393607SHDFND60700Intuit IncCOM46120210325004SHSOLE400Intuitive Surgical IncCOM NEW46120E60221847436476SHDFND647600Intuitive Surgical IncCOM NEW46120E6026386221893SHSOLE189300Invesco Capital Management LLCS&P500 EQL WGT46137V3572398561520SHSOLE152000Invesco Capital Management LLCBIOTECHNOLOGY46137V787329250SHDFND5000Invesco Capital Management LLCBIOTECHNOLOGY46137V7874632507036SHSOLE703600Invesco Capital Management LLCBULSHS 2024 CB46138J8412001839585SHSOLE958500Invesco ETFs/USAUNIT SER 146090E103117123286SHSOLE28600Invesco ETFs/USABULSHS 2029 MUNI46138J4785549871236215SHSOLE23621500Invesco ETFs/USABULSHS 2025 MUNI46138J5281478266025SHSOLE602500Invesco ETFs/USAINVSCO BLSH 2846138J6436104301SHDFND30100Invesco ETFs/USAINVSCO BLSH 2846138J64317722104873871SHSOLE87282701044Invesco ETFs/USABULSHS 2027 CB46138J7836051311SHDFND31100Invesco ETFs/USABULSHS 2027 CB46138J78318221925936619SHSOLE93554401075Invesco ETFs/USABULSHS 2026 CB46138J7918087419SHDFND41900Invesco ETFs/USABULSHS 2026 CB46138J791352511801826486SHSOLE182541901067JP Morgan ETFs/USAINTL BD OPP ETF46641Q8529949018208182SHSOLE20818200JPMorgan Chase & CoCOM46625H10058174342SHDFND34200JPMorgan Chase & CoCOM46625H1001064860062602SHSOLE6260200Johnson & JohnsonCOM4781601046274304003SHDFND400300Johnson & JohnsonCOM478160104488997531198SHSOLE3119800KIMBERLY-CLARK CPCOM49436810360755500SHDFND50000KIMBERLY-CLARK CPCOM4943681031288011060SHSOLE106000KLA CorpCOM NEW48248010028861554965SHSOLE496500KRAFT FOODS INCCL A6092071053069584238SHDFND423800KRAFT FOODS INCCL A609207105329274045461SHSOLE4546100Kinsale Capital Group IncCOM49714P1083422781022SHDFND102200LKQ CorpCOM5018892081881973938SHSOLE393800LOWE'S COS INCCOM5486611072092094SHDFND9400LOWE'S COS INCCOM5486611073040031366SHSOLE136600Lockheed Martin CorpCOM539830109287354634SHSOLE63400MARSH & MCLENNANCOM571748102284215SHDFND1500MARSH & MCLENNANCOM571748102190057410031SHSOLE1003100MASTERCARD INCCL A57636Q10414241173339SHDFND333900MASTERCARD INCCL A57636Q104611146214329SHSOLE1432900MCDONALD'S CORPCOM5801351011927365SHDFND6500MCDONALD'S CORPCOM580135101727072224521SHSOLE2452100MICROSOFT CORPCOM59491810421073285604SHDFND560400MICROSOFT CORPCOM5949181042824398875109SHSOLE7510900MOODYS CORPCOM6153691056842611752SHDFND175200MOODYS CORPCOM6153691056018531541SHSOLE154100MORGAN STANLEYCOM NEW6174464483059533281SHDFND328100MORGAN STANLEYCOM NEW6174464483717883987SHSOLE398700Markel Group IncCOM570535104904476637SHDFND63700Markel Group IncCOM570535104232864164SHSOLE16400Masco CorpCOM574599106167525SHDFND2500Masco CorpCOM574599106112077616733SHSOLE1673300Matador Resources CoCOM576485205852901500SHDFND150000Matador Resources CoCOM5764852053980207000SHSOLE700000Merck & Co IncCOM58933Y10512537115SHDFND11500Merck & Co IncCOM58933Y1051751951607SHSOLE160700Microchip Technology IncCOM5950171041254401391SHSOLE139100MidWestOne Financial Group IncCOM5985111031325324925SHDFND492500MidWestOne Financial Group IncCOM59851110324219900SHSOLE90000Middleby Corp/TheCOM5962781016328314300SHSOLE430000Monolithic Power Systems IncCOM609839105154541245SHDFND24500NEXTERA ENERGYCOM65339F10195295015689SHSOLE1568900NIKE INCCL B65410610315091139SHDFND13900NIKE INCCL B654106103628924357928SHSOLE5792800NVIDIA CorpCOM67066G1043466570SHDFND7000NVIDIA CorpCOM67066G1041406821028408SHSOLE2840800Norfolk Southern CorpCOM655844108283712SHDFND1200Norfolk Southern CorpCOM655844108306017512946SHSOLE1294600Northern Trust Investments IncMORNSTAR UPSTR33939L40725348619SHDFND61900Northern Trust Investments IncMORNSTAR UPSTR33939L407423314071033734SHSOLE103373400Northern Trust Investments IncGLB QLT R/E IDX33939L7874468SHDFND800Northern Trust Investments IncGLB QLT R/E IDX33939L7879302409166772SHSOLE16677200Novartis AGSPONSORED ADR66987V109252425SHDFND2500Novartis AGSPONSORED ADR66987V1091451951438SHSOLE143800ORACLE CORPCOM68389X1054586214350SHDFND435000ORACLE CORPCOM68389X105355942233761SHSOLE3376100Old Dominion Freight Line IncCOM679580100352637870SHDFND87000Old Dominion Freight Line IncCOM6795801003404884SHSOLE8400PEPSICO INCCOM71344810854009318SHDFND31800PEPSICO INCCOM713448108607704535781SHSOLE3578100PHILIP MORRIS INTLCOM7181721094629684921SHDFND492100PHILIP MORRIS INTLCOM7181721092505352663SHSOLE266300Palo Alto Networks IncCOM6974351052683491SHDFND9100Palo Alto Networks IncCOM697435105662624822471SHSOLE2247100PayPal Holdings IncCOM70450Y1036878112SHDFND11200PayPal Holdings IncCOM70450Y1034905437988SHSOLE798800Paychex IncCOM7043261075842354905SHDFND490500Paychex IncCOM7043261075089574273SHSOLE427300Pfizer IncCOM7170811031075593736SHDFND373600Pfizer IncCOM717081103191427666491SHSOLE6649100Pfizer IncCL A98978V103175659890SHDFND89000Phillips 66COM7185461043436342581SHSOLE258100Pool CorpCOM73278L1054090761026SHSOLE102600Principal Financial Group IncCOM74251V1021102951402SHSOLE140200Procter & Gamble Co/TheCOM742718109687243346898SHDFND4689800Procter & Gamble Co/TheCOM7427181091213468482808SHSOLE8280800QUALCOMM IncCOM747525103149836710360SHDFND1036000QUALCOMM IncCOM7475251034528373131SHSOLE313100Quanta Services IncCOM74762E102132933616SHSOLE61600Quest Diagnostics IncCOM74834L1002468051790SHSOLE179000ROCKWELL AUTOMATIONCOM773903109222614717SHSOLE71700ROPER INDUSTRIES INCCOM776696106533721979SHSOLE97900RTX CorpCOM75513E1012589833078SHSOLE307800S&P Global IncCOM78409V10421215444816SHDFND481600S&P Global IncCOM78409V1047612191728SHSOLE172800SALESFORCE.COM INCCOM79466L302394715SHDFND1500SALESFORCE.COM INCCOM79466L302439864816716SHSOLE1671600SEI INVESTMENTSCOM7841171031157251821SHSOLE182100SELECT SECTOR SPDRSBI MATERIALS81369Y10019845232SHDFND23200SELECT SECTOR SPDRSBI MATERIALS81369Y100258245330190SHSOLE3019000SELECT SECTOR SPDRSBI CONS STPLS81369Y308132715318425SHSOLE1842500SELECT SECTOR SPDRSBI INT-UTILS81369Y88649081775SHDFND77500SELECT SECTOR SPDRSBI INT-UTILS81369Y88677192912189SHSOLE1218900SSGA FUNDS MANAGEMENT INCPRTFLO S&P500 VL78464A5087671288164514SHSOLE16451400SSGA FUNDS MANAGEMENT INCPORTFOLIO S&P40078464A847350872SHDFND7200SSGA FUNDS MANAGEMENT INCPORTFOLIO S&P40078464A84714964007307143SHSOLE30714300SSGA Funds ManagementDJ GLB RL ES ETF78463X74910359237SHDFND23700SSGA Funds ManagementDJ GLB RL ES ETF78463X7498233128188358SHSOLE18835800SSgA Funds Management IncPORTFOLIO S&P50078464A854149633126768SHSOLE2676800STARBUCKS CORPCOM855244109652968SHDFND6800STARBUCKS CORPCOM8552441092873582993SHSOLE299300STATE STREET ETF/USAUTSER1 S&PDCRP78467Y1078995851773SHDFND177300STATE STREET ETF/USAUTSER1 S&PDCRP78467Y10761064705120353SHSOLE12035300SUNCOR ENERGY INCCOM8672241071658395176SHDFND517600SUNCOR ENERGY INCCOM8672241071518064738SHSOLE473800Schlumberger NVCOM STK806857108166532SHDFND3200Schlumberger NVCOM STK806857108175145833656SHSOLE3365600Sherwin-Williams Co/TheCOM824348106271665871SHDFND87100Sherwin-Williams Co/TheCOM82434810683277267SHSOLE26700SiteOne Landscape Supply IncCOM82982L1032544751566SHDFND156600Southern Co/TheCOM84258710777643911073SHDFND1107300Southern Co/TheCOM8425871073911995579SHSOLE557900State Street ETF/USATR UNIT78462F10336456287670SHDFND767000State Street ETF/USATR UNIT78462F103102229199215079SHSOLE21507900State Street Global Advisors IncS&P GBLINF ETF78463X85515031281SHDFND28100State Street Global Advisors IncS&P GBLINF ETF78463X8559912178185309SHSOLE18530900State Street Global Advisors IncS&P 500 ESG ETF78468R5311093092366SHSOLE236600Stericycle IncCOM8589121081466482959SHSOLE295900Stryker CorpCOM8636671015857441956SHSOLE195600T Rowe Price Group IncCOM74144T108121183611253SHSOLE1125300TEXAS INSTRUMENTSCOM882508104122049716SHSOLE71600TJX Cos Inc/TheCOM8725401094695SHDFND500TJX Cos Inc/TheCOM872540109396506742267SHSOLE4226700TRANSDIGM INCCOM89364110011512011138SHDFND113800TRANSDIGM INCCOM893641100221540219SHSOLE21900Target CorpCOM87612E1069977SHDFND700Target CorpCOM87612E1061673441175SHSOLE117500Thermo Fisher Scientific IncCOM88355610211995852260SHDFND226000Thermo Fisher Scientific IncCOM883556102531639310016SHSOLE1001600Trimble IncCOM8962391002192904122SHSOLE412200Truist Financial CorpCOM89832Q109156208542310SHSOLE4231000Tyler Technologies IncCOM902252105275541659SHSOLE65900US BancorpCOM NEW90297330464738214958SHDFND1495800US BancorpCOM NEW9029733046400160147878SHSOLE14787800Uber Technologies IncCOM90353T1001451822358SHSOLE235800Union Pacific CorpCOM907818108982540SHDFND4000Union Pacific CorpCOM9078181088790743579SHSOLE357900United Rentals IncCOM911363109280976490SHSOLE49000UnitedHealth Group IncCOM91324P102147412280SHSOLE28000VANGUARDS&P 500 ETF SHS922908363514281311774SHDFND1177400VANGUARDS&P 500 ETF SHS9229083636608781513SHSOLE151300VANGUARD ETF/USADIV APP ETF921908844127800750SHDFND75000VANGUARD ETF/USADIV APP ETF9219088441816461066SHSOLE106600VANGUARD ETF/USAVG TL INTL STK F921909768185520032008SHDFND3200800VANGUARD ETF/USAVG TL INTL STK F92190976818141313SHSOLE31300VANGUARD ETF/USAFTSE EMR MKT ETF9220428581510433675SHDFND367500VANGUARD ETF/USAFTSE EMR MKT ETF92204285811790316286869SHSOLE28686900VANGUARD ETF/USATOTAL STK MKT92290876921385389015SHSOLE901500VERIZON COMMUNCOM92343V1042585846859SHDFND685900VERIZON COMMUNCOM92343V10466627217673SHSOLE1767300VISA INCCOM CL A92826C839302500711619SHDFND1161900VISA INCCOM CL A92826C83912582724833SHSOLE483300Vanguard ETF/USATOTAL BND MRKT921937835331045SHDFND4500Vanguard ETF/USATOTAL BND MRKT92193783524443386332337SHSOLE33233700Vanguard ETF/USAVAN FTSE DEV MKT921943858768801605SHDFND160500Vanguard ETF/USAVAN FTSE DEV MKT92194385838872095811526SHSOLE81152600Vanguard ETF/USAMID CAP ETF922908629535123SHDFND2300Vanguard ETF/USAMID CAP ETF922908629101198435SHSOLE43500Vanguard Group Inc/TheEXTEND MKT ETF922908652165604710072SHDFND1007200Vanguard Group Inc/TheEXTEND MKT ETF922908652141237859SHSOLE85900Veeva Systems IncCL A COM9224751087327313806SHDFND380600Veeva Systems IncCL A COM92247510873928384SHSOLE38400Verisk Analytics IncCOM92345Y1063453921446SHDFND144600Verisk Analytics IncCOM92345Y1063203111341SHSOLE134100Vulcan Materials CoCOM92916010914297096298SHDFND629800Vulcan Materials CoCOM92916010949034216SHSOLE21600WASTE MANAGEMENTCOM94106L109143280800SHDFND80000WEC Energy Group IncCOM92939U1061157341375SHSOLE137500WELLS FARGO & COCOM9497461014922100SHDFND10000WELLS FARGO & COCOM9497461012118924305SHSOLE430500WELLS FARGO & COMPANYPERP PFD CNV A94974680410760690SHSOLE9000WILLSCOT MOBIL MINI HLCOM CL A97137810457115812835SHDFND1283500WILLSCOT MOBIL MINI HLCOM CL A97137810421894492SHSOLE49200WW Grainger IncCOM38480210431821703840SHSOLE384000Walmart IncCOM9311421034988053164SHSOLE316400Walt Disney Co/TheCOM2546871061407621559SHDFND155900Walt Disney Co/TheCOM254687106241959126798SHSOLE2679800Waste Connections IncCOM94106B10113008888715SHDFND871500Waste Connections IncCOM94106B1012704771812SHSOLE181200Werner Enterprises IncCOM9507551081059252500SHDFND250000Weyerhaeuser CoCOM NEW962166104423851219SHDFND121900Weyerhaeuser CoCOM NEW962166104710352043SHSOLE204300Workiva IncCOM CL A98139A1051203131185SHDFND118500Xcel Energy IncCOM98389B1003119035038SHDFND503800Xcel Energy IncCOM98389B10046928758SHSOLE75800YUM BRANDS INCCOM9884981013800902909SHSOLE290900ZIMMER HLDGS INCCOM98956P1022432SHDFND200ZIMMER HLDGS INCCOM98956P102309312725416SHSOLE2541600iShares ETFs/USACORE US AGGBD ET4642872261700151713SHSOLE171300iShares ETFs/USAIBONDS DEC24 ETF46434VBG476182330583SHSOLE3058300iShares ETFs/USAIBONDS DEC 2646435U2596249124244958SHSOLE24495800iShares ETFs/USAIBONDS DEC 2746435U2837397493291068SHSOLE29106800iShares ETFs/USAIBONDS DEC 2846435U3257078783276623SHSOLE27662300iShares ETFs/USAIBONDS DEC 2546435U4325995321225855SHSOLE22585500iShares ETFs/USAESG AWR US AGRGT46435U5492153074510SHSOLE451000iShares ETFs/USAIBONDS DEC46435U697114138744018SHSOLE4401800iShares ETFs/USAIBONDS 27 TRM TS46436E8411440786435SHSOLE643500iShares ETFs/USAIBONDS 25 TRM TS46436E8667962342SHDFND34200iShares ETFs/USAIBONDS 25 TRM TS46436E866361526531552949SHSOLE155294900iShares ETFs/USAIBONDS 24 TRM TS46436E8747874330SHDFND33000iShares ETFs/USAIBONDS 24 TRM TS46436E874379690621591327SHSOLE159132700