Ames National Top Holdings and 13F Report (2026) About Ames NationalAmes National NASDAQ: ATLO has filed 13-F forms with the SEC as an investor. Ames National is itself a publicly traded company. Ames National Corporation operates as a multi-bank holding company that provides banking products and services primarily in Boone, Clarke, Hancock, Marshall, Polk, Story, and Union counties in central, north central, and south-central Iowa. For more information on Ames National stock, visit the Ames National stock profile here.Investment ActivityAmes National has $166.64 million in total holdings as of March 31, 2026.Ames National owns shares of 67 different stocks, but just 18 companies or ETFs make up 80% of its holdings.Approximately 4.00% of the portfolio was purchased this quarter.About 4.47% of the portfolio was sold this quarter.This quarter, Ames National has purchased 66 new stocks and bought additional shares in 13 stocks.Ames National sold shares of 31 stocks and completely divested from 3 stocks this quarter.Largest Holdings iShares Core S&P 500 ETF $41,526,519Vanguard Short-Term Bond ETF $12,786,281Vanguard Total Bond Market ETF $12,462,392iShares Core U.S. Aggregate Bond ETF $12,293,895Vanguard Total International Stock ETF $6,027,689 Largest New Holdings this Quarter 00032Q104 - Aadi Bioscience $1,333,269 Holding482480100 - KLA $220,862 Holding863667101 - Stryker $218,167 Holding031162100 - Amgen $209,058 Holding Largest Purchases this Quarter Aadi Bioscience 4,571 shares (about $1.33M)Vanguard Total Bond Market ETF 14,865 shares (about $1.09M)Vanguard Short-Term Bond ETF 12,986 shares (about $1.02M)iShares Core U.S. Aggregate Bond ETF 9,985 shares (about $991.21K)iShares Core S&P 500 ETF 1,319 shares (about $861.58K) Largest Sales this Quarter Travelers Companies 5,326 shares (about $1.55M)Alliant Energy 18,233 shares (about $1.31M)AT&T 27,700 shares (about $803.20K)Wells Fargo & Company 8,000 shares (about $617.52K)Union Pacific 1,430 shares (about $344.20K) Sector Allocation Over TimeMap of 500 Largest Holdings ofAmes National Selling Neutral Buying Latest 13F Holdings and Changes Since Previous Quarterly FilingIssuer NameHoldings ValueApproximate Purchase/SaleChange in SharesShares Held% of PortfolioSectorIVViShares Core S&P 500 ETF$41,526,519$861,584 â–²2.1%63,57324.9%ETFBSVVanguard Short-Term Bond ETF$12,786,281$1,018,217 â–²8.7%163,0727.7%ETFBNDVanguard Total Bond Market ETF$12,462,392$1,094,659 â–²9.6%169,2347.5%ETFAGGiShares Core U.S. Aggregate Bond ETF$12,293,895$991,211 â–²8.8%123,8437.4%FinanceVXUSVanguard Total International Stock ETF$6,027,689$36,242 â–¼-0.6%78,1703.6%ETFMSFTMicrosoft$5,865,087$27,002 â–²0.5%15,8563.5%Computer and TechnologyIWRiShares Russell Mid-Cap ETF$5,280,755$72,922 â–¼-1.4%54,3123.2%ETFVTIPVanguard Short-Term Inflation-Protected Securities ETF$4,807,388$283,716 â–²6.3%96,2442.9%ManufacturingAAPLApple$4,486,3420.0%17,6812.7%Computer and TechnologyIWMiShares Russell 2000 ETF$3,948,160$50,096 â–¼-1.3%15,9202.4%FinanceIJHiShares Core S&P Mid-Cap ETF$3,904,315$166,191 â–²4.4%57,8162.3%ETFGoeppinger Enterprises Inc$3,421,1800.0%1,2022.1%COMVTIVanguard Total Stock Market ETF$3,261,784$19,566 â–¼-0.6%10,1692.0%ETFXLKTechnology Select Sector SPDR Fund$3,254,7210.0%24,4902.0%ETFGOOGAlphabet$2,738,079$40,160 â–¼-1.4%9,5451.6%Computer and TechnologyJNJJohnson & Johnson$2,710,008$292,835 â–¼-9.8%11,0961.6%MedicalIJRiShares Core S&P Small-Cap ETF$2,628,659$108,150 â–²4.3%21,1461.6%ETFHDHome Depot$2,580,596$67,565 â–¼-2.6%7,8681.5%Retail/WholesaleBRK.BBerkshire Hathaway$2,237,331$14,269 â–²0.6%4,7041.3%FinanceJPMJPMorgan Chase & Co.$2,169,867$95,234 â–¼-4.2%7,4051.3%FinanceCVXChevron$1,762,920$91,343 â–¼-4.9%8,4921.1%EnergyXOMExxonMobil$1,490,9270.0%8,7650.9%EnergyMCDMcDonald's$1,384,5690.0%4,4550.8%Retail/WholesaleAADIAadi Bioscience$1,333,269$1,333,269 â–²New Holding4,5710.8%MedicalATLOAmes National$1,313,838$338,640 â–¼-20.5%46,5570.8%FinancePGProcter & Gamble$1,266,945$75,783 â–¼-5.6%8,7770.8%Consumer StaplesADPAutomatic Data Processing$1,154,672$54,859 â–¼-4.5%5,6830.7%Computer and TechnologyWal-Mart$990,885$55,926 â–¼-5.3%7,9730.6%COMUNPUnion Pacific$982,527$344,197 â–¼-25.9%4,0820.6%TransportationCSCOCisco Systems$978,2900.0%12,6060.6%Computer and TechnologyMRKMerck & Co., Inc.$944,016$30,049 â–¼-3.1%7,8540.6%MedicalCASYCasey's General Stores$873,4320.0%1,2000.5%Retail/WholesaleGOOGLAlphabet$819,7810.0%2,8630.5%Computer and TechnologyVOOVanguard S&P 500 ETF$685,331$46,564 â–²7.3%1,1480.4%ETFVVisa$627,808$42,819 â–²7.3%2,0820.4%Business ServicesGDGeneral Dynamics$604,7540.0%1,7620.4%AerospaceVYMVanguard High Dividend Yield ETF$585,7360.0%3,9550.4%Financial ServicesBlackRock$542,405$48,086 â–¼-8.1%5640.3%COMSPYSPDR S&P 500 ETF Trust$538,482$32,517 â–¼-5.7%8280.3%FinancePPGPPG Industries$488,4420.0%4,5700.3%Basic MaterialsPEPPepsiCo$468,975$776 â–¼-0.2%3,0200.3%Consumer StaplesBXBlackstone$448,4610.0%3,9000.3%FinancePFEPfizer$446,914$19,876 â–²4.7%15,9420.3%MedicalQCOMQualcomm$439,6550.0%3,4140.3%Computer and TechnologyRTXRTX$429,7810.0%2,2280.3%AerospaceUNHUnitedHealth Group$410,215$8,929 â–¼-2.1%1,5160.2%MedicalTAT&T$407,022$803,199 â–¼-66.4%14,0370.2%Computer and TechnologyAFLAflac$404,830$21,393 â–¼-5.0%3,6900.2%FinanceDEDeere & Company$373,579$10,142 â–²2.8%6630.2%IndustrialsAPDAir Products and Chemicals$373,2800.0%1,2850.2%Basic MaterialsNSCNorfolk Southern$368,225$254,925 â–¼-40.9%1,3000.2%TransportationVZVerizon Communications$359,610$305,942 â–¼-46.0%7,1630.2%Computer and TechnologyKOCocaCola$349,602$15,210 â–¼-4.2%4,5970.2%Consumer StaplesSYYSysco$337,034$12,126 â–¼-3.5%4,7250.2%Consumer StaplesABBVAbbVie$311,2210.0%1,4650.2%MedicalLNTAlliant Energy$299,898$1,306,581 â–¼-81.3%4,1850.2%UtilitiesNKENIKE$290,352$32,801 â–¼-10.2%5,4970.2%Consumer DiscretionaryPFFiShares Preferred and Income Securities ETF$285,008$67,462 â–¼-19.1%9,4000.2%ETFCATCaterpillar$271,3400.0%3830.2%IndustrialsDISWalt Disney$243,263$4,626 â–¼-1.9%2,5240.1%Consumer DiscretionaryABTAbbott Laboratories$239,7640.0%2,3250.1%MedicalVEAVanguard FTSE Developed Markets ETF$233,8280.0%3,6490.1%ETFWFCWells Fargo & Company$231,570$617,520 â–¼-72.7%3,0000.1%FinanceKLACKLA$220,862$220,862 â–²New Holding1500.1%Computer and TechnologySYKStryker$218,167$218,167 â–²New Holding6650.1%MedicalTRVTravelers Companies$211,760$1,553,490 â–¼-88.0%7260.1%FinanceAMGNAmgen$209,058$209,058 â–²New Holding5950.1%MedicalCOPConocoPhillips$0$354,501 â–¼-100.0%00.0%EnergyDNPDNP Select Income Fund$0$179,820 â–¼-100.0%00.0%FinanceCOFCapital One Financial$0$156,807 â–¼-100.0%00.0%FinanceShowing largest 100 holdings. 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