0001085041-14-000001.txt : 20140130
0001085041-14-000001.hdr.sgml : 20140130
20140130095842
ACCESSION NUMBER: 0001085041-14-000001
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 2
CONFORMED PERIOD OF REPORT: 20131231
FILED AS OF DATE: 20140130
DATE AS OF CHANGE: 20140130
EFFECTIVENESS DATE: 20140130
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: FIRST NATIONAL BANK SIOUX FALLS
CENTRAL INDEX KEY: 0001085041
IRS NUMBER: 460189380
STATE OF INCORPORATION: SD
FISCAL YEAR END: 1231
FILING VALUES:
FORM TYPE: 13F-HR
SEC ACT: 1934 Act
SEC FILE NUMBER: 028-04915
FILM NUMBER: 14559140
BUSINESS ADDRESS:
STREET 1: TRUST DEPT
STREET 2: 100 SOUTH PHILLIP AVE
CITY: SIOUX FALLS
STATE: SD
ZIP: 57104
BUSINESS PHONE: 6053355189
MAIL ADDRESS:
STREET 1: 100 SOUTH PHILLIP AVE
STREET 2: TRUST DEPT
CITY: SIOUX FALLS
STATE: SD
ZIP: 57104
13F-HR
1
primary_doc.xml
13F-HR
LIVE
false
true
false
0001085041
XXXXXXXX
12-31-2013
12-31-2013
FIRST NATIONAL BANK SIOUX FALLS
100 SOUTH PHILLIP AVE
TRUST DEPT
SIOUX FALLS
SD
57104
13F HOLDINGS REPORT
028-04915
N
Amy Knobloch
Trust Operations Manager
605-335-5249
THE FIRST NATIONAL BANK IN SIOUX FALLS, Amy Knobloch
Sioux Falls
SD
01-29-2014
0
232
38187
false
INFORMATION TABLE
2
form13fInfoTable_12312013.xml
AFLAC Corp
COM
001055102
280
4196
SH
SOLE
4196
0
0
AT&T Inc
COM
00206R102
496
14115
SH
SOLE
14115
0
0
AT&T Inc
COM
00206R102
73
2069
SH
SOLE
0
0
2069
Abbott Laboratories
COM
002824100
154
4022
SH
SOLE
4022
0
0
AbbVie Inc
COM
00287Y109
280
5297
SH
SOLE
5297
0
0
Abraxas Pete Corp
COM
003830106
41
12685
SH
SOLE
12685
0
0
Alliant Energy Corp
COM
018802108
134
2588
SH
SOLE
2588
0
0
Altria Group Inc
COM
02209S103
173
4515
SH
SOLE
4515
0
0
American Elec Pwr Inc Com
COM
025537101
94
2000
SH
SOLE
2000
0
0
American States Water Company
COM
029899101
17
600
SH
SOLE
600
0
0
Amgen, Inc
COM
031162100
12
100
SH
SOLE
100
0
0
Anadarko Petroleum Corporation
COM
032511107
85
1070
SH
SOLE
1070
0
0
Anheuser Busch
SPONSORED ADR
03524A108
642
6028
SH
SOLE
0
0
6028
Apache Corp
COM
037411105
79
925
SH
SOLE
925
0
0
Apple Computer Inc
COM
037833100
247
440
SH
SOLE
440
0
0
Apple Computer Inc
COM
037833100
8
15
SH
SOLE
15
0
0
Atwood Oceanics Inc
COM
050095108
369
6918
SH
SOLE
6918
0
0
Automatic Data Processing Inc
COM
053015103
171
2117
SH
SOLE
2117
0
0
BP Amoco P L C ADR Sponsored
SPONSORED ADR
055622104
66
1361
SH
SOLE
1361
0
0
BP Amoco P L C ADR Sponsored
SPONSORED ADR
055622104
16
328
SH
OTR
328
0
0
Bank of America Corp
COM
060505104
129
8304
SH
SOLE
8304
0
0
Bank of New York Mellon Corp
COM
064058100
47
1351
SH
SOLE
1351
0
0
Baxter International Inc
COM
071813109
14
200
SH
SOLE
200
0
0
Baxter International Inc
COM
071813109
70
1000
SH
SOLE
0
0
1000
Berkshire Hathaway Inc Class B
CL B NEW
084670702
777
6556
SH
SOLE
6556
0
0
Berkshire Hathaway Inc Class B
CL B NEW
084670702
166
1401
SH
OTR
1401
0
0
Biglari Holdings Inc
COM
08986R101
6
5
SH
SOLE
5
0
0
Black Hills Corp
COM
092113109
755
14383
SH
SOLE
14383
0
0
Boeing Co
COM
097023105
45
328
SH
SOLE
328
0
0
Breitburn Energy Partners L.P.
COM UT LTD PTN
106776107
24
1200
SH
SOLE
1200
0
0
Bristol Myers Squibb Co
COM
110122108
76
1425
SH
SOLE
1425
0
0
Buckeye Partners L P
UNIT LTD PARTN
118230101
85
1200
SH
SOLE
1200
0
0
Cas Medical Systems Inc
COM PAR $0.004
124769209
3
2000
SH
SOLE
2000
0
0
CSX Corp
COM
126408103
9
300
SH
SOLE
300
0
0
CVR Energy Inc
COM
12662P108
5
124
SH
SOLE
124
0
0
CVS Caremark Corp
COM
126650100
318
4445
SH
SOLE
4445
0
0
Caterpillar Inc
COM
149123101
97
1065
SH
SOLE
1065
0
0
Caterpillar Inc
COM
149123101
105
1160
SH
SOLE
0
0
1160
Cedar Fair LP Depositary Unit
DEPOSITRY UNIT
150185106
50
1000
SH
SOLE
1000
0
0
Centerpoint Energy Inc
COM
15189T107
1
58
SH
SOLE
58
0
0
CenturyLink Inc
COM
156700106
65
2046
SH
SOLE
2046
0
0
Chevron
COM
166764100
1219
9763
SH
SOLE
9763
0
0
Cisco Systems Inc
COM
17275R102
170
7576
SH
SOLE
7576
0
0
Citigroup Inc New
COM NEW
172967424
9
182
SH
SOLE
182
0
0
Citigroup Inc New
COM NEW
172967424
3
60
SH
OTR
60
0
0
Coca-Cola Company
COM
191216100
115
2780
SH
SOLE
2780
0
0
Colgate Palmolive Co
COM
194162103
9
136
SH
SOLE
136
0
0
Comcast Corp
CL A
20030N101
9
171
SH
SOLE
171
0
0
Conagra Inc
COM
205887102
7
200
SH
SOLE
200
0
0
Conocophillips
COM
20825C104
337
4767
SH
SOLE
4767
0
0
Consolidated Edison Inc
COM
209115104
72
1300
SH
SOLE
1300
0
0
Continental Resources Inc
COM
212015101
6
56
SH
OTR
56
0
0
Crown Holdings
COM
228368106
40
900
SH
SOLE
900
0
0
Daktronics Inc
COM
234264109
8
487
SH
SOLE
487
0
0
Daktronics Inc
COM
234264109
13
800
SH
SOLE
800
0
0
Deere & Co
COM
244199105
81
885
SH
SOLE
885
0
0
Diageo P L C
SPON ADR NEW
25243Q205
7
50
SH
SOLE
50
0
0
Diamond Hill Investment Group
COM NEW
25264R207
2
20
SH
SOLE
20
0
0
Walt Disney Productions
COM DISNEY
254687106
271
3550
SH
SOLE
3550
0
0
DIRECTV
COM
25490A309
45
645
SH
SOLE
645
0
0
Dow Chemical Co
COM
260543103
19
426
SH
SOLE
426
0
0
Dr Pepper Snapple Group Inc
COM
26138E109
44
906
SH
SOLE
0
0
906
EMC Corp Massachusetts
COM
268648102
8
300
SH
SOLE
300
0
0
Edison International
COM
281020107
3
72
SH
SOLE
72
0
0
El Paso Pipeline Partners LP
COM UNIT LPI
283702108
61
1700
SH
SOLE
1700
0
0
Emerson Electric Co
COM
291011104
208
2958
SH
SOLE
2958
0
0
Emerson Electric Co
COM
291011104
28
400
SH
SOLE
400
0
0
Emerson Electric Co
COM
291011104
126
1800
SH
SOLE
0
0
1800
Empire District Electric Company
COM
291641108
23
1000
SH
SOLE
1000
0
0
Enbridge Inc
COM
29250N105
87
2000
SH
SOLE
2000
0
0
Energy Transfer Partners LP
UNIT LTD PARTN
29273R109
115
2000
SH
SOLE
2000
0
0
Enterprise Products Partners LP
COM
293792107
99
1500
SH
SOLE
1500
0
0
Equifax Inc
COM
294429105
40
585
SH
SOLE
585
0
0
Exelon Corp Com
COM
30161N101
33
1204
SH
SOLE
1204
0
0
Expedia Inc
COM NEW
30212P303
2
34
SH
SOLE
34
0
0
Express Scripts Hldgs
COM
30219G108
24
343
SH
SOLE
343
0
0
Exxon Mobil Corp
COM
30231G102
1124
11108
SH
SOLE
11108
0
0
Exxon Mobil Corp
COM
30231G102
136
1345
SH
SOLE
0
0
1345
Ford Motor Co
COM PAR $0.01
345370860
5
300
SH
SOLE
300
0
0
Frontier Communications Corp
COM
35906A108
2
529
SH
SOLE
529
0
0
General Dynamics Corp
COM
369550108
65
685
SH
SOLE
685
0
0
General Electric Co
COM
369604103
846
30189
SH
SOLE
30189
0
0
General Electric Co
COM
369604103
132
4700
SH
OTR
4700
0
0
General Electric Co
COM
369604103
177
6325
SH
SOLE
0
0
6325
General Mills Inc
COM
370334104
10
200
SH
SOLE
200
0
0
General Motors Co
COM
37045V100
41
1000
SH
SOLE
0
0
1000
Glaxosmithkline PLC-ADR
SPONSORED ADR
37733W105
13
250
SH
SOLE
250
0
0
Goldman Sachs Group Inc
COM
38141G104
117
660
SH
SOLE
660
0
0
HCP Inc
COM
40414L109
73
2000
SH
SOLE
2000
0
0
Halliburton Co
COM
406216101
435
8566
SH
SOLE
8566
0
0
Healthcare Services Group
COM
421906108
28
1000
SH
SOLE
1000
0
0
Health Care REIT Inc
COM
42217K106
37
700
SH
SOLE
700
0
0
Hewlett-Packard Inc
COM
428236103
38
1357
SH
SOLE
1357
0
0
Hewlett-Packard Inc
COM
428236103
35
1200
SH
OTR
0
0
1200
Honda Motor Co Limited
AMERN SHS
438128308
39
940
SH
OTR
0
0
940
Honeywell International Inc
COM
438516106
37
410
SH
SOLE
410
0
0
Hospira Inc
COM
441060100
15
356
SH
SOLE
356
0
0
Hospitality Properties Trust
COM SH BEN INT
44106M102
32
1200
SH
SOLE
1200
0
0
Illinois Tool Works Inc
COM
452308109
62
740
SH
SOLE
740
0
0
Ingles Markets Inc
CL A
457030104
41
1500
SH
SOLE
1500
0
0
Ingredion Inc
COM
457187102
27
400
SH
SOLE
400
0
0
Intel Corp
COM
458140100
245
9448
SH
SOLE
9448
0
0
International Business Machines
COM
459200101
375
1998
SH
SOLE
1998
0
0
International Business Machines
COM
459200101
57
305
SH
OTR
305
0
0
International Business Machines
COM
459200101
164
875
SH
SOLE
0
0
875
iShares MSCI Pacific ex-Japan Index Fund
MSCI PAC JP ETF
464286665
53
1125
SH
SOLE
1125
0
0
IShares MSCI Emerging Markets
MSCI EMG MKT ETF
464287234
7
170
SH
SOLE
170
0
0
IShares Natural Resources
NA NAT RES
464287374
201
4639
SH
SOLE
4639
0
0
IShares Msci Eafe Index Fund
MSCI EAFE ETF
464287465
113
1685
SH
SOLE
1685
0
0
IShares Russell MidCap Growth
RUS MD CP GR ETF
464287481
2
19
SH
SOLE
19
0
0
IShares Russell MidCap Index
RUS MID-CAP ETF
464287499
84
557
SH
SOLE
557
0
0
IShares Russell 1000 Growth Index Fund
RUS 1000 GRW ETF
464287614
2607
30326
SH
SOLE
30326
0
0
IShares Russell 1000 Growth Index Fund
RUS 1000 GRW ETF
464287614
51
598
SH
SOLE
598
0
0
I Shares S&P Small Cap 600
CORE S&P SCP ETF
464287804
74
677
SH
SOLE
677
0
0
I Shares S&P Small Cap 600
CORE S&P SCP ETF
464287804
19
175
SH
SOLE
175
0
0
J P Morgan Chase & Co Com
COM
46625H100
365
6233
SH
SOLE
6233
0
0
Johnson & Johnson
COM
478160104
534
5828
SH
SOLE
5828
0
0
Johnson & Johnson
COM
478160104
44
485
SH
OTR
485
0
0
Johnson & Johnson
COM
478160104
76
835
SH
SOLE
0
0
835
Johnson Controls
COM
478366107
39
766
SH
SOLE
766
0
0
Kellogg Co
COM
487836108
9
149
SH
SOLE
149
0
0
Kimberly-Clark Corp
COM
494368103
150
1432
SH
SOLE
1432
0
0
Kinder Morgan Energy Partners L P Ut Ltd Pt Int
UT LTD PARTNER
494550106
217
2689
SH
SOLE
2689
0
0
Kraft Foods Inc
COM
50076Q106
34
638
SH
SOLE
638
0
0
Legacy Reserves Lp
UNIT LP INT
524707304
28
1000
SH
SOLE
1000
0
0
Eli Lilly & Co
COM
532457108
4
88
SH
SOLE
88
0
0
Linn Energy LLC
UNIT LTD LIAB
536020100
29
950
SH
SOLE
950
0
0
Lockheed Martin Corp
COM
539830109
36
240
SH
OTR
0
0
240
Lorillard Inc
COM
544147101
25
500
SH
SOLE
500
0
0
MDU Res Group Inc
COM
552690109
17
541
SH
SOLE
541
0
0
Macquarie Infrastructure Company LLC
MEMBERSHIP INT
55608B105
54
1000
SH
SOLE
1000
0
0
Magellan Midstream Partnres
COM UNIT RP LP
559080106
76
1200
SH
SOLE
1200
0
0
Marathon Oil Corp
COM
565849106
34
955
SH
SOLE
955
0
0
Marathon Petroleum Corp
COM
56585A102
23
250
SH
SOLE
250
0
0
Mastercard Inc
CL A
57636Q104
245
294
SH
SOLE
294
0
0
Mattel Inc
COM
577081102
272
5720
SH
SOLE
5720
0
0
McDonalds Corp
COM
580135101
153
1579
SH
SOLE
1579
0
0
Medtronic Inc
COM
585055106
123
2150
SH
SOLE
2150
0
0
Merck and Co Inc
COM
58933Y105
74
1473
SH
SOLE
1473
0
0
Microsoft Corp
COM
594918104
404
10787
SH
SOLE
10787
0
0
Microchip Technology Inc
COM
595017104
69
1535
SH
SOLE
1535
0
0
Mondelez International Inc
CL A
609207105
15
415
SH
SOLE
415
0
0
Moody's Corp
COM
615369105
1
17
SH
SOLE
17
0
0
Morgan Stanley
COM NEW
617446448
59
1870
SH
SOLE
1870
0
0
National Fuel Gas Company
COM
636180101
414
5802
SH
SOLE
5802
0
0
Newmont Mining Corp
COM
651639106
3
139
SH
SOLE
139
0
0
Nextera Energy Inc
COM
65339F101
188
2200
SH
SOLE
2200
0
0
Novartis Ag
SPONSORED ADR
66987V109
35
429
SH
SOLE
429
0
0
Nuveen Multi-Strategy Income and Growth Fund 2
COM SHS
67073D102
18
1800
SH
SOLE
1800
0
0
Oracle Corp
COM
68389X105
253
6620
SH
SOLE
6620
0
0
Oracle Corp
COM
68389X105
77
2000
SH
SOLE
0
0
2000
PNC Financial Services Group Inc
COM
693475105
8
100
SH
SOLE
100
0
0
Pembina Pipeline Corp
COM
706327103
45
1275
SH
SOLE
1275
0
0
Pepsico Inc
COM
713448108
368
4438
SH
SOLE
4438
0
0
Pepsico Inc
COM
713448108
17
200
SH
SOLE
200
0
0
Pepsico Inc
COM
713448108
310
3739
SH
SOLE
0
0
3739
Pfizer Inc
COM
717081103
289
9436
SH
SOLE
9436
0
0
Philip Morris Intl
COM
718172109
244
2795
SH
SOLE
2795
0
0
Phillips 66
COM
718546104
154
1999
SH
SOLE
1999
0
0
Pitney Bowes Inc
COM
724479100
61
2600
SH
SOLE
2600
0
0
Plains All American Pipeline, L.P.
UNIT LTD PARTN
726503105
47
900
SH
SOLE
900
0
0
Procter & Gamble Co
COM
742718109
510
6269
SH
SOLE
6269
0
0
Procter & Gamble Co
COM
742718109
28
350
SH
SOLE
350
0
0
Prudential Financial Inc
COM
744320102
14
157
SH
SOLE
157
0
0
Qualcomm Inc
COM
747525103
639
8605
SH
SOLE
8605
0
0
Raven Industries Inc
COM
754212108
4810
116922
SH
SOLE
116922
0
0
Raven Industries Inc
COM
754212108
190
4629
SH
SOLE
4629
0
0
Regal Entertainment Group
CL A
758766109
23
1200
SH
SOLE
1200
0
0
Republic Services Inc
COM
760759100
20
611
SH
SOLE
611
0
0
Rio Tinto Plc
SPONSORED ADR
767204100
6
100
SH
SOLE
100
0
0
Royal Dutch Shell PLC ADR
SPONS ADR A
780259206
51
720
SH
SOLE
720
0
0
Ryman Hospitality PPTY
COM
78377T107
1
29
SH
SOLE
29
0
0
SLM Corp
COM
78442P106
3
100
SH
SOLE
0
0
100
Standard & Poors Dep Rec Amex Index
TR UNIT
78462F103
206
1115
SH
SOLE
1115
0
0
SPDR S&P Emerging Markets
EMERG MKTS ETF
78463X509
5
76
SH
SOLE
76
0
0
SPDR Dow Jones Industrial Ave ETF Trust
UT SER 1
78467X109
117
705
SH
OTR
0
0
705
SPDR S&P MidCap 400 ETF Trust
UTSER1 S&PDCRP
78467Y107
15
61
SH
SOLE
61
0
0
SPDR S&P MidCap 400 ETF Trust
UTSER1 S&PDCRP
78467Y107
353
1445
SH
SOLE
1445
0
0
Schlumberger Ltd
COM
806857108
72
800
SH
SOLE
800
0
0
Materials SPDR Trust
SBI MATERIALS
81369Y100
135
2916
SH
SOLE
2916
0
0
Sempra Energy
COM
816851109
10
110
SH
SOLE
110
0
0
Sempra Energy
COM
816851109
104
1160
SH
SOLE
0
0
1160
Simon Property Group Inc
COM
828806109
9
57
SH
SOLE
57
0
0
A O Smith Corp
COM
831865209
426
7890
SH
SOLE
7890
0
0
Southern Co
COM
842587107
54
1325
SH
SOLE
1325
0
0
Spectra Energy Corp
COM
847560109
10
275
SH
SOLE
275
0
0
Stonemor Partners LP
COM UNITS
86183Q100
64
2500
SH
SOLE
2500
0
0
Summit Hotel Properties, Inc OP
COM
866082100
14
1534
SH
SOLE
1534
0
0
Sysco Corp
COM
871829107
18
500
SH
SOLE
500
0
0
TCF Financial Corp
COM
872275102
169
10400
SH
OTR
0
0
10400
TJX Companies Inc
COM
872540109
140
2200
SH
SOLE
2200
0
0
Target Corp
COM
87612E106
80
1263
SH
SOLE
1263
0
0
Target Corp
COM
87612E106
3
50
SH
SOLE
50
0
0
Teva Pharmaceutical Industries Ltd
ADR
881624209
92
2295
SH
SOLE
2295
0
0
Textron Inc
COM
883203101
8
210
SH
OTR
0
0
210
Thermo Electron Corp
COM
883556102
8
75
SH
SOLE
75
0
0
Thomson Reuters Corp
COM
884903105
11
300
SH
SOLE
300
0
0
3M Co
COM
88579Y101
197
1408
SH
SOLE
1408
0
0
Toll Brothers Inc
COM
889478103
122
3300
SH
SOLE
3300
0
0
Tortoise Energy Infrastructure Corp
COM
89147L100
5
110
SH
SOLE
110
0
0
Total American Dep Shs
SPONSORED ADR
89151E109
12
195
SH
SOLE
195
0
0
The Travelers Companies Inc
COM
89417E109
45
496
SH
SOLE
496
0
0
Tupperware Corp
COM
899896104
46
483
SH
SOLE
483
0
0
US Bancorp
COM NEW
902973304
31
766
SH
SOLE
766
0
0
Union Pacific Corp
COM
907818108
929
5530
SH
SOLE
5530
0
0
United Parcel Service Inc Cl B
CL B
911312106
13
125
SH
SOLE
125
0
0
United Technologies Corp
COM
913017109
228
2000
SH
SOLE
2000
0
0
UnitedHealth Group Inc
COM
91324P102
15
200
SH
SOLE
200
0
0
Valeant Pharmaceuticals
COM
91911K102
1
10
SH
SOLE
10
0
0
Vanguard Dividend Appreciation ETF
DIV APP ETF
921908844
22
292
SH
SOLE
292
0
0
Vanguard Total International
VG TL INTL STK F
921909768
79
1500
SH
SOLE
1500
0
0
Vanguard Whitehall Funds High Dividend Yield Etf Shs
HIGH DIV YLD
921946406
507
8137
SH
SOLE
8137
0
0
Vanguard Whitehall Funds High Dividend Yield Etf Shs
HIGH DIV YLD
921946406
12
187
SH
OTR
187
0
0
Vanguard FTSE Emerging Markets EFT
FTSE EMR MKT ETF
922042858
44
1071
SH
SOLE
0
0
1071
Vanguard Natural Resources, LLC
COM UNIT
92205F106
30
1000
SH
SOLE
1000
0
0
Vectren Corp
COM
92240G101
194
5478
SH
SOLE
5478
0
0
Verizon Communications Com
COM
92343V104
103
2095
SH
SOLE
2095
0
0
Viacom Inc Cl B
CL B
92553P201
40
465
SH
SOLE
465
0
0
Visa Inc
COM CL A
92826C839
114
514
SH
SOLE
514
0
0
Wal Mart Stores Inc
COM
931142103
122
1556
SH
SOLE
1556
0
0
Walgreen Co
COM
931422109
62
1079
SH
SOLE
1079
0
0
Waste Management Inc
COM
94106L109
27
599
SH
SOLE
599
0
0
Wells Fargo & Co
COM
949746101
3406
75030
SH
SOLE
75030
0
0
Westar Energy Inc
COM
95709T100
32
1000
SH
SOLE
1000
0
0
Weyerhaeuser Co
COM
962166104
9
270
SH
SOLE
270
0
0
Williams Partners L.P.
COM UNIT L P
96950F104
46
900
SH
SOLE
900
0
0
Windstream Corp
COM
97382A101
41
5120
SH
SOLE
5120
0
0
Xcel Energy Inc Com
COM
98389B100
139
4992
SH
SOLE
4992
0
0
Zimmer Holdings Inc
COM
98956P102
9
100
SH
SOLE
100
0
0
Invesco Ltd
SHS
G491BT108
18
490
SH
SOLE
490
0
0
Golar LNG LTD
SHS
G9456A100
22
600
SH
SOLE
600
0
0
CNH INDL NV
SHS
N20944109
61
5359
SH
SOLE
0
0
5359