0001272164-15-000001.txt : 20150205
0001272164-15-000001.hdr.sgml : 20150205
20150205172637
ACCESSION NUMBER: 0001272164-15-000001
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 2
CONFORMED PERIOD OF REPORT: 20141231
FILED AS OF DATE: 20150205
DATE AS OF CHANGE: 20150205
EFFECTIVENESS DATE: 20150205
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: 15581223
MAIL ADDRESS:
STREET 1: 2732 MIDWESTERN PARKWAY
CITY: WICHITA FALLS
STATE: TX
ZIP: 76308
13F-HR
1
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0001272164
XXXXXXXX
12-31-2014
12-31-2014
AMERICAN NATIONAL BANK
2732 MIDWESTERN PARKWAY
WICHITA FALLS
TX
76308
13F HOLDINGS REPORT
028-10767
N
Michael Boyle
Sr. Vice President
940-397-2427
Michael Boyle
Wichita Falls
TX
02-05-2015
0
347
262162
false
INFORMATION TABLE
2
Dec-2014-Info_Table.xml
INFORMATION TABLE
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COM
001055102
5407
88502
SH
SOLE
88332
0
170
AFLAC Inc Com
COM
001055102
849
13892
SH
DFND
12300
1320
272
Abbott Labs Com
COM
002824100
776
17234
SH
SOLE
17234
0
0
Abbott Labs Com
COM
002824100
234
5190
SH
DFND
4879
92
219
Affiliated Managers Group
COM
008252108
580
2733
SH
SOLE
2733
0
0
Agrium Inc Usd
COM
008916108
9
100
SH
SOLE
100
0
0
Amazon Com Inc
COM
023135106
50
162
SH
SOLE
162
0
0
Amgen Inc Com
COM
031162100
1175
7379
SH
SOLE
7379
0
0
Amgen Inc Com
COM
031162100
537
3370
SH
DFND
3047
261
62
Anthem Inc
COM
036752103
6
49
SH
SOLE
49
0
0
Apache Corp Com
COM
037411105
2
34
SH
DFND
22
12
0
Apple Computer Inc
COM
037833100
6175
55944
SH
SOLE
55804
0
140
Apple Computer Inc
COM
037833100
1202
10888
SH
DFND
9718
962
208
Archer Daniels Midland Co Com
COM
039483102
578
11111
SH
SOLE
11111
0
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ATMOS Energy Corp
COM
049560105
17
312
SH
SOLE
312
0
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Atwood Oceanics Inc
COM
050095108
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SH
DFND
47
12
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DFND
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Baker Hughes Inc Com
COM
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100
SH
SOLE
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Ball Corp Com
COM
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23
334
SH
SOLE
334
0
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Bank of The Ozarks
COM
063904106
8
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SH
SOLE
200
0
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Baxter Intl Inc Com
COM
071813109
28
382
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SOLE
382
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CL A
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SOLE
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Boeing Co Com
COM
097023105
24
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SH
SOLE
186
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Breitburn Energy Partners LP
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SH
SOLE
150
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CF Industries Holdings, Inc
COM
125269100
3480
12770
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SOLE
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CF Industries Holdings, Inc
COM
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Cnooc LTD Sponsored
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2407
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CVS Corp Delaware
COM
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58
602
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Cabot Oil & Gas Corp
COM
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556
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SOLE
556
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Calamos Strategic Total Return Fund
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Casella Waste Systems
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Celanese Corp Series A
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277
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SOLE
277
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Chambers Street Properties
COM
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SOLE
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Chevron Corp New Com
COM
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Chevron Corp New Com
COM
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Chubb Corporation Com
COM
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Coca Cola Co Com
COM
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Coca Cola Co Com
COM
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Colgate Palmolive Co Com
COM
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SOLE
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Conagra Foods Inc
COM
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SH
SOLE
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Crown Holdings Inc Holding Co
COM
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Cullen Frost BK Inc
COM
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SOLE
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Cummins Inc
COM
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SOLE
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Danaher Corp Com
COM
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334
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SOLE
334
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Deere & Co Com
COM
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Disney Walt Co Com
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Discover Financial Services
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COM
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Du Pont E I DE Nemours & Co Com
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COM
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LP Enterprise Partners
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Forestar Group Inc
COM
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Gap Inc Del Com
COM
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General Elec Co Com
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General Mls Inc Com
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CL A
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Gilead Sciences Inc. Com
COM
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Greenbrier Companies Inc
COM
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COM
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Halliburton Co Com
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Halliburton Co Com
COM
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COM
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SOLE
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Hewlett Packard Co Com
COM
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Home Depot Inc Com
COM
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Honeywell Intl Inc Com
COM
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Intel Corp Com
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International Business Mach Com
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MC 400GR ETF
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MC 400VL ETF
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COM
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Johnson & Johnson Com
COM
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Kimberly Clark Corp Com
COM
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Kirby Corporation
COM
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268
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Kroger Co Com
COM
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L Brands Inc
COM
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Leggett & Platt Inc Com
COM
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Lilly Eli & Co Com
COM
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SOLE
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Lilly Eli & Co Com
COM
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LINN Energy LLC
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SOLE
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Lockheed Martin Corp
COM
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Lorillard Inc
COM
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Manitowoc Co Inc
COM
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Marathon Oil Corp
COM
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Martin Marietta Materials
COM
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McDonalds Corp Com
COM
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McDonalds Corp Com
COM
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DFND
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Mead Johnson Nutrition Common
COM
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Medtronic Inc Com
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Medtronic Inc Com
COM
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Microsoft Corp Com
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Modine Manufacturing Co.
COM
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Monster Beverage Corp
COM
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Murphy Oil Corp
COM
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National Instrument Corp
COM
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National Oilwell Varco Inc
COM
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COM
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COM
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Noble Energy Inc
COM
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Norfolk Southern Corp Com
COM
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Northern Trust Corp
COM
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Northrop Grumman Corp Com
COM
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Occidental Pete Corp Del Com
COM
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Open Text Corp
COM
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PPG Inds Inc Com
COM
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Paccar Inc.
COM
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Pall Corporation
COM
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Panhandle Oil and Gas Inc
CL A
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SOLE
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Pembina Pipeline Corp
COM
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Penney J C Inc Com
COM
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COM
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Perkinelmer Inc Com
COM
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Permian Basin Royalty Trust
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SOLE
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Pfizer Inc Com
COM
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COM
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COM
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COM
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Raytheon Co Com New
COM NEW
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COM
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Ross Stores Inc
COM
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COM
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COM
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COM
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COM
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Tejon Ranch Co
COM
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ADR
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COM
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COM
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COM
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Trimble Navigation LTD
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COM
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COM
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Vanguard Total Stock Market
TOTAL STK MKT
922908769
6067
57234
SH
SOLE
56609
0
625
Vanguard Total Stock Market
TOTAL STK MKT
922908769
179
1693
SH
DFND
1693
0
0
Wal Mart Stores Inc Com
COM
931142103
6329
73691
SH
SOLE
73496
0
195
Wal Mart Stores Inc Com
COM
931142103
944
10989
SH
DFND
9471
1263
255
Walgreen Co Com
COM
931422109
25
334
SH
SOLE
334
0
0
Weingarten Realty Investors
SH BEN INT
948741103
10
275
SH
SOLE
275
0
0
Wells Fargo & Co New Com
COM
949746101
1045
19055
SH
SOLE
19055
0
0
Wells Fargo & Co New Com
COM
949746101
353
6439
SH
DFND
5839
600
0
Western Digital Corp
COM
958102105
8
76
SH
SOLE
76
0
0
Whiting Petroleum
COM
966387102
2
51
SH
SOLE
40
11
0
World Fuel Services Corp
COM
981475106
167
3550
SH
SOLE
3550
0
0
Target Corp Com
COM
87612E106
3444
45369
SH
SOLE
45184
0
185
Target Corp Com
COM
87612E106
932
12284
SH
DFND
10896
1152
236
Dr Pepper Snapple Group Inc
COM
26138E109
6
80
SH
SOLE
80
0
0
Total S.A. ADR
SPONSORED ADR
89151E109
21
405
SH
SOLE
405
0
0
Travelers Cos Inc
COM
89417E109
115
1086
SH
SOLE
1086
0
0
AES Corp Com
COM
00130H105
517
37565
SH
SOLE
37565
0
0
Alerian Energy Infrastructu RE ETF
ALERIAN ENERGY
00162Q676
2082
73318
SH
SOLE
73218
0
100
Alerian Energy Infrastructu RE ETF
ALERIAN ENERGY
00162Q676
427
15019
SH
DFND
13395
1583
41
AMC Networks Inc
A
00164V103
2823
44274
SH
SOLE
44154
0
120
AMC Networks Inc
A
00164V103
542
8493
SH
DFND
7528
800
165
AT&T Inc
COM
00206R102
363
10815
SH
SOLE
10815
0
0
AT&T Inc
COM
00206R102
12
368
SH
DFND
300
0
68
Abbvie Inc
COM
00287Y109
3684
56295
SH
SOLE
56295
0
0
Abbvie Inc
COM
00287Y109
891
13619
SH
DFND
12304
1092
223
Activision Blizzard Inc
COM
00507V109
5
242
SH
SOLE
242
0
0
Adobe Sys Inc Com
COM
00724F101
32
445
SH
SOLE
445
0
0
Aetna Inc
COM
00817Y108
4
49
SH
SOLE
49
0
0
Alere Inc
COM
01449J105
61
1597
SH
SOLE
1597
0
0
American Airlines Group
COM
02376R102
4759
88731
SH
SOLE
88476
0
255
American Airlines Group
COM
02376R102
911
16996
SH
DFND
15034
1634
328
Ameriprise Finl Inc Com
COM
03076C106
4
29
SH
SOLE
29
0
0
Anheuser Busch Inbev SA/NV Sponsored ADR
SPONSORED ADR
03524A108
2296
20444
SH
SOLE
20444
0
0
Athenahealth Inc
COM
04685W103
25
173
SH
SOLE
173
0
0
Athersys Incorporated
COM
04744L106
0
2
SH
SOLE
2
0
0
Biogen Idec Inc
COM
09062X103
34
100
SH
SOLE
100
0
0
LP The Blackstone Group
COM UNIT LTD
09253U108
17
500
SH
DFND
500
0
0
CME Group Inc
COM
12572Q105
26
294
SH
SOLE
294
0
0
Capital One Finl Corp Com
COM
14040H105
1380
16715
SH
SOLE
16715
0
0
Cardinal Health Inc Com
COM
14149Y108
8
94
SH
SOLE
94
0
0
Cisco Sys Inc Com
COM
17275R102
4307
154839
SH
SOLE
154389
0
450
Cisco Sys Inc Com
COM
17275R102
538
19338
SH
DFND
15631
3105
602
Cliffs Natural Resources Inc
COM
18683K101
0
22
SH
SOLE
22
0
0
Comcast Corp
A
20030N101
52
898
SH
SOLE
898
0
0
Conocophillips Com
COM
20825C104
224
3246
SH
SOLE
3246
0
0
Conocophillips Com
COM
20825C104
301
4361
SH
DFND
4250
0
111
Coresite Realty Corp
COM
21870Q105
75
1933
SH
SOLE
1933
0
0
D R Horton Inc
COM
23331A109
18
720
SH
DFND
720
0
0
Danaher Corp Conv 0.0% 01/22/2021-10
NOTE 1/2
235851AF9
32
13000
SH
SOLE
13000
0
0
Devon Energy Corp New Com
COM
25179M103
18
295
SH
SOLE
295
0
0
Directv Com Cl A
COM
25490A309
3218
37115
SH
SOLE
37001
0
114
Directv Com Cl A
COM
25490A309
592
6823
SH
DFND
5936
738
149
Duke Energy Corp New
COM NEW
26441C204
10
125
SH
SOLE
125
0
0
EOG Resources Inc Com
COM
26875P101
35
383
SH
SOLE
383
0
0
East West Bancorp Inc. Com
COM
27579R104
108
2797
SH
SOLE
2797
0
0
Energen Corp
COM
29265N108
1312
20583
SH
SOLE
20583
0
0
Energen Corp
COM
29265N108
360
5639
SH
DFND
4991
540
108
Engility Holdings Inc
COM
29285W104
0
5
SH
SOLE
5
0
0
Envision Healthcare Holdings
COM
29413U103
525
15126
SH
SOLE
15126
0
0
Exxon Mobil Corp Com
COM
30231G102
6317
68334
SH
SOLE
68334
0
0
Exxon Mobil Corp Com
COM
30231G102
833
9007
SH
DFND
8183
750
74
Facebook Inc
A
30303M102
21
270
SH
DFND
270
0
0
Fortune Brands Home & Sec
COM
34964C106
27
600
SH
DFND
600
0
0
Freeport Copper and Gold Class B Common
CL B
35671D857
2253
96460
SH
SOLE
96185
0
275
Freeport Copper and Gold Class B Common
CL B
35671D857
418
17903
SH
DFND
15747
1816
340
General Motors Co
COM
37045V100
2224
63705
SH
SOLE
63605
0
100
General Motors Co
COM
37045V100
318
9095
SH
DFND
7431
1420
244
Genworth Financial Inc
COM CL A
37247D106
1
107
SH
DFND
85
22
0
Goldman Sachs Group Inc Com
COM
38141G104
2744
14158
SH
SOLE
14158
0
0
Goldman Sachs Group Inc Com
COM
38141G104
562
2899
SH
DFND
2523
277
99
Google Inc Cl A
A
38259P508
2431
4581
SH
SOLE
4581
0
0
Google Inc Cl A
A
38259P508
393
740
SH
DFND
696
31
13
Google Inc - C
C
38259P706
1666
3165
SH
SOLE
3165
0
0
Google Inc - C
C
38259P706
390
740
SH
DFND
696
31
13
Halyard Health Inc
COM
40650V100
2
33
SH
SOLE
33
0
0
IPG Photonics Corp
COM
44980X109
85
1141
SH
SOLE
1141
0
0
Intel Corp Conv 2.95% 12/15/2035
SDCV 2.950%12/1
458140AD2
34
26000
SH
SOLE
26000
0
0
Intuitive Surgical Inc
COM NEW
46120E602
53
100
SH
SOLE
100
0
0
ETF Ishares Silver Tr
ISHARES
46428Q109
98
6500
SH
SOLE
6500
0
0
JPMorgan Chase & Co Com
COM
46625H100
4369
69813
SH
SOLE
69698
0
115
JPMorgan Chase & Co Com
COM
46625H100
778
12429
SH
DFND
10972
1210
247
Jefferies Group Inc Conv 3.875% 11/01/2029-17
DBCV 3.875%11/0
472319AG7
7
7000
SH
SOLE
7000
0
0
Jones Lang Lasalle Inc
COM
48020Q107
65
434
SH
SOLE
434
0
0
KKR & Co LP
COM UNITS
48248M102
45
1937
SH
SOLE
1937
0
0
Kinder Morgan Inc Del
COM
49456B101
273
6450
SH
SOLE
6450
0
0
Kinder Morgan Inc Del
COM
49456B101
85
2000
SH
DFND
2000
0
0
Knowles Corporation
COM
49926D109
0
16
SH
SOLE
16
0
0
Laboratory Corp Amer Hldgs Com New
COM NEW
50540R409
4430
41059
SH
SOLE
40939
0
120
Laboratory Corp Amer Hldgs Com New
COM NEW
50540R409
865
8016
SH
DFND
7080
781
155
Macys Inc Common
COM
55616P104
33
500
SH
SOLE
500
0
0
Manulife Finl Corp Common
COM
56501R106
263
13790
SH
SOLE
13790
0
0
McKesson Corp Com
COM
58155Q103
358
1727
SH
SOLE
1727
0
0
McKesson Corp Com
COM
58155Q103
28
135
SH
DFND
135
0
0
Merck & Co Inc New
COM
58933Y105
284
5000
SH
SOLE
5000
0
0
Metlife Inc Com
COM
59156R108
2
37
SH
SOLE
37
0
0
Molina Healthcare Inc
COM
60855R100
32
590
SH
DFND
590
0
0
Monsanto Co New Com
COM
61166W101
26
221
SH
SOLE
221
0
0
News Corp (2013) Cl A
A
65249B109
1
35
SH
SOLE
35
0
0
Nexstar Broadcasting
CL A
65336K103
1744
33684
SH
SOLE
33604
0
80
Nexstar Broadcasting
CL A
65336K103
325
6284
SH
DFND
5522
632
130
Now Inc
COM
67011P100
1
25
SH
SOLE
25
0
0
Oracle Corp Com
COM
68389X105
5552
123454
SH
SOLE
123099
0
355
Oracle Corp Com
COM
68389X105
898
19977
SH
DFND
17142
2370
465
PNM Resources Inc
COM
69349H107
69
2321
SH
SOLE
2321
0
0
ETF Powershares
WATER RESOURCE
73935X575
5
200
SH
SOLE
200
0
0
Powershare S&P 500 Buywrite Portfolio
S&P 500 BUYWRT
73936G308
4
200
SH
SOLE
200
0
0
Powershares National AMT- Free
INSUR NATL MUN
73936T474
4
150
SH
SOLE
150
0
0
Proshares Ultrashort Lehman Bros
PSHS ULTSH 20YRS
74347B201
6
125
SH
SOLE
125
0
0
Proshares Ultra S&P 500
PSHS ULT S&P 500
74347R107
23
176
SH
SOLE
176
0
0
QLIK Technologies
COM
74733T105
9
300
SH
SOLE
300
0
0
Range Resources Corp
COM
75281A109
12
221
SH
SOLE
221
0
0
SBA Communications Corp 1.875% 05/01/2013
COM
78388J106
0
96
SH
SOLE
96
0
0
SPDR Gold Trust
GOLD SHS
78463V107
81
716
SH
SOLE
716
0
0
SPDR Index SPDR DJ Intl REIT ETF
DJ INTL RL ETF
78463X863
313
7519
SH
SOLE
7519
0
0
SPDR Barclays Cap Conv ETF
BRC CNV SECS ETF
78464A359
813
17333
SH
SOLE
17333
0
0
Materials Select Sector SPDR Fund
SBI MATERIALS
81369Y100
3
60
SH
SOLE
60
0
0
Health Care Select Sector
SBI HEALTHCARE
81369Y209
12
172
SH
SOLE
172
0
0
Select Sec Amex Consumer Staples in
SBI CONS STPLS
81369Y308
9
191
SH
SOLE
191
0
0
Select Sec Sbi Consumer Discretinary
SBI CONS DISCR
81369Y407
13
186
SH
SOLE
186
0
0
Select Sec Shs Ben Int Usd 0.001 Energy
SBI INT-ENERGY
81369Y506
7
94
SH
SOLE
94
0
0
Select Sector SPDR Trust
SBI INT-FINL
81369Y605
15
615
SH
SOLE
615
0
0
Select Sec Amex Industrial Select
SBI INT-INDS
81369Y704
10
178
SH
SOLE
178
0
0
Technology Select Sect SPDR
TECHNOLOGY
81369Y803
19
462
SH
SOLE
462
0
0
Silvercorp Metals Inc
COM
82835P103
20
15000
SH
SOLE
15000
0
0
Sonic Automotive "A"
CL A
83545G102
109
4043
SH
SOLE
4043
0
0
Spansion Inc
COM CL A NEW
84649R200
99
2894
SH
SOLE
2894
0
0
3M Co Com
COM
88579Y101
41
248
SH
SOLE
248
0
0
Twenty-First Century Fox Inc
CL A
90130A101
5
142
SH
SOLE
142
0
0
Therapeutics Corp
COM
91307C102
60
466
SH
SOLE
466
0
0
Unitedhealth Group Inc Com
COM
91324P102
830
8209
SH
SOLE
8209
0
0
Unumprovident Corp Com
COM
91529Y106
5
135
SH
SOLE
135
0
0
Valero Energy Corp New Com
COM
91913Y100
3001
60622
SH
SOLE
60452
0
170
Valero Energy Corp New Com
COM
91913Y100
558
11275
SH
DFND
9983
1076
216
Vanguard Group Inc Be
ENERGY ETF
92204A306
107
957
SH
SOLE
957
0
0
Verizon Communications Com
COM
92343V104
6892
147318
SH
SOLE
146988
0
330
Verizon Communications Com
COM
92343V104
1171
25041
SH
DFND
22163
2391
487
Viacom Inc New Class B
B
92553P201
1206
16023
SH
SOLE
16023
0
0
Viacom Inc New Class B
B
92553P201
19
250
SH
DFND
250
0
0
Viewpoint Financial Group Inc
COM
92672A101
5
190
SH
SOLE
190
0
0
VISA Inc
CL A
92826C839
6401
24412
SH
SOLE
24357
0
55
VISA Inc
CL A
92826C839
817
3117
SH
DFND
2618
414
85
Wendys Company
COM
95058W100
181
20000
SH
SOLE
20000
0
0
Wesco Intl Inc 6.0% 09/15/2029
DBCV 6.000% 9/1
95082PAH8
3
1000
SH
SOLE
1000
0
0
Western Asset High Income Opportunity FD Inc
COM
95766K109
81
15000
SH
SOLE
15000
0
0
Western Asset Managed High Income FD Inc
COM
95766L107
72
14000
SH
SOLE
14000
0
0
XCEL Energy Inc Com
COM
98389B100
21
579
SH
SOLE
579
0
0
Actavis PLC Europe
SHS
G0083B108
3155
12256
SH
SOLE
12221
0
35
Actavis PLC Europe
SHS
G0083B108
575
2232
SH
DFND
1962
217
53
Delphi Automotive
SHS
G27823106
3141
43198
SH
SOLE
43113
0
85
Delphi Automotive
SHS
G27823106
471
6480
SH
DFND
5705
645
130
Endo Health Solutions Inc
SHS
G30401106
68
946
SH
SOLE
946
0
0
Gaslog LTD
SHS
G37585109
55
2700
SH
SOLE
2700
0
0
Helen of Troy Limited F
COM
G4388N106
2409
37025
SH
SOLE
36950
0
75
Helen of Troy Limited F
COM
G4388N106
342
5264
SH
DFND
4587
562
115
Michael Kors Holdings LTD
SHS
G60754101
4
47
SH
SOLE
47
0
0
Nabors Industries LTD
SHS
G6359F103
1
86
SH
SOLE
86
0
0
Caesarstone Sdot-Yam LTD
ORD SHS
M20598104
3
51
SH
SOLE
51
0
0
Lyondellbasell Industries
SHS - A -
N53745100
225
2829
SH
SOLE
2829
0
0
Sensata Technologies Holding
SHS
N7902X106
636
12138
SH
SOLE
12138
0
0