Ames National Corp

Ames National Corp as of March 31, 2025

Portfolio Holdings for Ames National Corp

Ames National Corp holds 62 positions in its portfolio as reported in the March 2025 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
iShares Core S&P 500 Index Core S&p500 Etf (IVV) 20.4 $30M 54k 561.90
Vanguard Short-Term Bond Short Trm Bond (BSV) 7.6 $11M 145k 78.28
Vanguard Total Bond Market Total Bnd Mrkt (BND) 7.4 $11M 149k 73.45
iShares Core US Aggregate Bond Core Us Aggbd Et (AGG) 7.3 $11M 110k 98.92
Microsoft Corporation (MSFT) 4.8 $7.1M 19k 375.39
iShares Russell Mid-Cap Index Rus Mid Cap Etf (IWR) 3.5 $5.2M 62k 85.07
Vanguard Total International Vg Tl Intl Stk F (VXUS) 3.2 $4.7M 76k 62.10
Vanguard Short-Term Inflation-Protected Securities Strm Infproidx (VTIP) 3.1 $4.6M 93k 49.90
Apple (AAPL) 2.8 $4.2M 19k 222.13
iShares Russell 2000 Index Russell 2000 Etf (IWM) 2.4 $3.6M 18k 199.49
Goeppinger Enterprises 2.2 $3.3M 1.2k 2777.75
Home Depot (HD) 2.1 $3.1M 8.5k 366.49
Technology Select Sector SPDR Technology (XLK) 2.0 $3.0M 15k 206.48
Vanguard Total Stock Market Total Stk Mkt (VTI) 1.9 $2.8M 10k 274.84
iShares Core S&P Mid-Cap Core S&p Mcp Etf (IJH) 1.8 $2.7M 46k 58.35
Berkshire Hathaway B Cl B New (BRK.B) 1.8 $2.6M 4.9k 532.58
JPMorgan Chase & Co. (JPM) 1.5 $2.2M 9.1k 245.30
Johnson & Johnson (JNJ) 1.5 $2.2M 13k 165.84
Procter & Gamble Company (PG) 1.3 $1.9M 11k 170.42
Automatic Data Processing (ADP) 1.2 $1.8M 6.0k 305.53
McDonald's Corporation (MCD) 1.2 $1.8M 5.7k 312.37
Travelers Companies (TRV) 1.2 $1.7M 6.6k 264.46
Alphabet C Cap Stk Cl C (GOOG) 1.1 $1.7M 11k 156.23
iShares Core S&P Small-Cap Core S&p Scp Etf (IJR) 1.1 $1.6M 16k 104.57
Vanguard S&P 500 S&p 500 Etf Shs (VOO) 1.0 $1.5M 3.0k 513.91
Chevron Corporation (CVX) 1.0 $1.5M 9.0k 167.29
UnitedHealth (UNH) 0.8 $1.1M 2.2k 523.75
Exxon Mobil Corporation (XOM) 0.7 $1.1M 9.1k 118.93
iShares Preferred and Income Securities Pfd And Incm Sec (PFF) 0.6 $906k 30k 30.73
Cisco Systems (CSCO) 0.6 $902k 15k 61.71
Union Pacific Corporation (UNP) 0.6 $890k 3.8k 236.24
Wal-Mart Stores (WMT) 0.6 $868k 9.9k 87.79
Merck & Co (MRK) 0.6 $867k 9.7k 89.76
General Dynamics Corporation (GD) 0.5 $749k 2.7k 272.58
Ames National Corporation (ATLO) 0.5 $745k 43k 17.52
Blackrock (BLK) 0.5 $730k 771.00 946.48
Visa Com Cl A (V) 0.5 $727k 2.1k 350.46
Qualcomm (QCOM) 0.5 $673k 4.4k 153.61
Pepsi (PEP) 0.4 $657k 4.4k 149.94
Blackstone Group Inc Com Cl A (BX) 0.4 $545k 3.9k 139.78
Norfolk Southern (NSC) 0.4 $521k 2.2k 236.85
Casey's General Stores (CASY) 0.4 $521k 1.2k 434.04
PPG Industries (PPG) 0.3 $503k 4.6k 109.35
Deere & Company (DE) 0.3 $497k 1.1k 469.35
SPDR S&P 500 Tr Unit (SPY) 0.3 $491k 878.00 559.39
Verizon Communications (VZ) 0.3 $454k 10k 45.36
AFLAC Incorporated (AFL) 0.3 $449k 4.0k 111.19
Alphabet A Cap Stk Cl A (GOOGL) 0.3 $443k 2.9k 154.64
Vanguard High Dividend Yield High Div Yld (VYM) 0.3 $439k 3.4k 128.96
SYSCO Corporation (SYY) 0.3 $417k 5.6k 75.04
Pfizer (PFE) 0.3 $410k 16k 25.34
Nike CL B (NKE) 0.3 $402k 6.3k 63.48
At&t (T) 0.3 $397k 14k 28.28
Air Products & Chemicals (APD) 0.3 $379k 1.3k 294.92
Alliant Energy Corporation (LNT) 0.2 $370k 5.7k 64.35
Coca-Cola Company (KO) 0.2 $354k 4.9k 71.62
Walt Disney Company (DIS) 0.2 $319k 3.2k 98.70
Abbott Laboratories (ABT) 0.2 $308k 2.3k 132.65
Raytheon Technologies Corp (RTX) 0.2 $302k 2.3k 132.46
Emerson Electric (EMR) 0.2 $241k 2.2k 109.64
Wells Fargo & Company (WFC) 0.2 $225k 3.1k 71.79
DNP Select Income Fund (DNP) 0.1 $137k 14k 9.89