0001272164-21-000001.txt : 20210106
0001272164-21-000001.hdr.sgml : 20210106
20210106132652
ACCESSION NUMBER: 0001272164-21-000001
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 2
CONFORMED PERIOD OF REPORT: 20201231
FILED AS OF DATE: 20210106
DATE AS OF CHANGE: 20210106
EFFECTIVENESS DATE: 20210106
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: 21509834
MAIL ADDRESS:
STREET 1: 2732 MIDWESTERN PARKWAY
CITY: WICHITA FALLS
STATE: TX
ZIP: 76308
13F-HR
1
primary_doc.xml
13F-HR
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0001272164
XXXXXXXX
12-31-2020
12-31-2020
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
01-06-2021
0
221
387651
false
INFORMATION TABLE
2
Dec-2020-Info_Table.xml
INFORMATION TABLE
AT&T Inc
COM
00206R102
45
1560
SH
SOLE
1560
0
0
Abbott Labs Com
COM
002824100
212
1932
SH
SOLE
1932
0
0
Abbvie Inc
COM
00287Y109
4362
40711
SH
SOLE
40711
0
0
Activision Blizzard Inc
COM
00507V109
139
1500
SH
SOLE
1500
0
0
Advanced Micro Devices INC CORP COMMON
COM
007903107
22
240
SH
SOLE
240
0
0
Alcoa Corp COMMON
COM
013872106
6
266
SH
SOLE
266
0
0
Alphabet Inc
CAP STK CL A
02079K305
11369
6487
SH
SOLE
6487
0
0
Altria Group Inc Com
COM
02209S103
7
180
SH
SOLE
180
0
0
Amazon Com Inc
COM
023135106
18177
5581
SH
SOLE
5581
0
0
American Water Works Company INC CORP COMMON
COM
030420103
51
335
SH
SOLE
335
0
0
Amgen Inc Com
COM
031162100
5557
24168
SH
SOLE
24168
0
0
Apache Corp Com
COM
037411105
43
3000
SH
SOLE
3000
0
0
Apple Computer Inc
COM
037833100
15984
120463
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SOLE
120463
0
0
Applied Materials INC Material CORP COMMON
COM
038222105
6040
69988
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0
Arconic Corp (Pittsburgh) COMMON
COM
03966V107
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200
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0
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Automatic Data Processing Incom
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485
2751
SH
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2751
0
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Autozone INC CORP COMMON
COM
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Avery Dennison Corp COMMON
COM
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BP PLC-Spns ADR Sponsored ADR
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Biogen Idec Inc
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Blackrock Muniyield Fund Inc Cf
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53
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Blackrock Munienhanced Fund Inc Cf
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21
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Boeing Co Com
COM
097023105
3521
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16447
0
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Bristol-Myers Squibb Co Com
COM
110122108
328
5295
SH
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5295
0
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Broadcom Inc
COM
11135F101
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20304
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20304
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Brown-Forman Corp Brown Forman CLASS B COMMON
CL B
115637209
120
1505
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1505
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0
C.H. Robinson Worldwide INC CH CORP COMMON
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12541W209
763
8131
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Cigna Corp New
COM
125523100
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36
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36
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Cabot Corp COMMON
COM
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180
4000
SH
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4000
0
0
Cabot Oil & Gas Corp
COM
127097103
39
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SH
SOLE
2400
0
0
Caterpillar Inc Del Com
COM
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4471
24561
SH
SOLE
24561
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Celanese Corp Series A
COM
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18
135
SH
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135
0
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The Chemours Co.
COM
163851108
30
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SH
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0
0
Chevron Corp New Com
COM
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52513
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Cisco Sys Inc Com
COM
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13560
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Coca Cola Co Com
COM
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439
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SH
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Colgate Palmolive Co Com
COM
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814
9519
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Columbia Sportswear CO CORP COMMON
COM
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87
1000
SH
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Comcast Corp
CL A
20030N101
25
482
SH
SOLE
482
0
0
Concho Resources Inc
COM
20605P101
7
112
SH
SOLE
112
0
0
Conocophillips Com
COM
20825C104
168
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4208
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Contango Oil & Gas Co
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68
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Coresite Realty Corp
COM
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Corteva INC CORP COMMON
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Costco Wholesale Corp COMMON
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Dana Holding Corp
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Deere & Co Com
COM
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132
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SH
SOLE
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0
Denbury Inc Warranty Exp 9/16/23
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15
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Dermtech Inc
COM
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Devon Energy Corp New Com
COM
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178
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Diamondback Energy INC CORP COMMON
COM
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Disney Walt Co Com
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Docusign INC CORP COMMON
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Dow INC CORP COMMON
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Dupont De Nemours INC CORP COMMON
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EOG Resources Inc Com
COM
26875P101
20
398
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COM
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Energy Transfer Partners LP
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14162
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Exelon Corporation
COM
30161N101
42
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Exxon Mobil Corp Com
COM
30231G102
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Facebook Inc
CL A
30303M102
55
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SH
SOLE
200
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Fastenal CO CORP COMMON
COM
311900104
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FedEx Corp Com
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31428X106
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Flaherty & Crumrine Dynamic Preferred And Income Fund INC Dyn Prf Cf
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33848W106
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FOX Corp
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35137L105
3
114
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114
0
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General Dynamics Corp Com
COM
369550108
5
35
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35
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General Elec Co Com
COM
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General Mls Inc Com
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Goldman Sachs Group Inc Com
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Goldman Sachs Access HY Corp
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W Grainger INC Ww CORP COMMON
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Greenbrier Companies Inc
COM
393657101
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45
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Guaranty Bancshares Inc
COM
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HP INC
COM
40434L105
962
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39129
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Halliburton Co Com
COM
406216101
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136
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Hanesbrands Inc Common
COM
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The Hershey Company
COM
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114
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SH
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750
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0
Hewlett Packard Enterprise Co
COM
42824C109
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SOLE
1029
0
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Home Depot Inc Com
COM
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Howmet Aerospace INC CORP COMMON
COM
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Idacorp Inc
COM
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SH
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Illinois Works Inc Com
COM
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Independent Bank Group Inc
COM
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156
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Intel Corp Com
COM
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International Business Mach Com
COM
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515
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1641
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Intuit Common
COM
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10573
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Ishares Select Dividend Etf
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RUSSELL 3000 ETF
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S&P MC 400VL ETF
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U.S. TECH ETF
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CORE S&P SCP ETF
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EAFE SML CP ETF
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U.S. MED DVC ETF
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EAFE VALUE ETF
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116
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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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194
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Laboratory Corp Amer Hldgs Com New
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Lam Research Corp COMMON
COM
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Lilly Eli & Co Com
COM
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Lincoln National Corp
COM
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Lockheed Martin Corp
COM
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Lowes Cos Inc Com
COM
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24
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149
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Mplx Lp COMMON Unt
COM UNIT REP LTD
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SH
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74
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Manulife Finl Corp Common
COM
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165
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SH
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McDonalds Corp Com
COM
580135101
558
2602
SH
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2602
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Merck & Co Inc New
COM
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235
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Microsoft Corp Com
COM
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Moodys Corp Common
COM
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48
165
SH
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165
0
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Motorola Solutions Inc Com New
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620076307
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35
SH
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35
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0
Mr Cooper Group Inc
COM
62482R107
256
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8263
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Ngl Energy Partners Lp Unt
COM UNIT REPST
62913M107
1
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272
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Netapp Inc Com
COM
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13065
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Nextera Energy Inc
COM
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Nikola Corp
COM
654110105
8
500
SH
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500
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Norfolk Southern Corp Com
COM
655844108
69
291
SH
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291
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Nortonlifelock INC CORP COMMON
COM
668771108
2
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90
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0
Novartis AG Spnsrd ADR
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66987V109
14
150
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150
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Nuveen Intermediate Duration
COM
670677103
10
680
SH
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680
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Nuveen Mun Value Fund 2
COM
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Nuveen Nasdaq 100 Dynami
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168
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6445
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Nuveen Amt-free Municipal Credit Income Fund Amt Free Mncpl Crdt Incm Cf
COM
67071L106
23
1342
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SOLE
1342
0
0
OGE Energy Corp
COM
670837103
127
4000
SH
SOLE
4000
0
0
Oracle Corp Com
COM
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24
375
SH
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375
0
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PG&E Corp Common
COM
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12
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SH
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1000
0
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PPG Inds Inc Com
COM
693506107
31
218
SH
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218
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Paypal Holdings Inc
COM
70450Y103
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10200
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10200
0
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Pepsico Inc Com
COM
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Pfizer Inc Com
COM
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6176
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0
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Philip Morris Intl Inc
COM
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21
250
SH
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250
0
0
Phillips 66
COM
718546104
3
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SH
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50
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T. Rowe Price Group INC T CORP COMMON
COM
74144T108
796
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SH
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5258
0
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Procter & Gamble Co Com
COM
742718109
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SH
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50388
0
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Proshares Ultrapro Short S&P 500 ETF
ULTRAPRO SHORT S
74347B268
19
3189
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3189
0
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Raytheon Technologies Corp
COM
75513E101
244
3416
SH
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3416
0
0
Resmed INC CORP COMMON
COM
761152107
4
20
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20
0
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Robert Half International Inc
COM
770323103
670
10729
SH
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10729
0
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Rockwell Automation Inc Common
COM
773903109
5
20
SH
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20
0
0
Roper Industries Inc
COM
776696106
5315
12330
SH
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12330
0
0
SPDR Tr Unit Ser 1
TR UNIT
78462F103
1438
3847
SH
SOLE
3847
0
0
SPDR Barclays Cap Conv ETF
BLMBRG BRC CNVRT
78464A359
250
3017
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3017
0
0
SPDR Ser Tr S&P Divid ETF
S&P DIVID ETF
78464A763
11
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SH
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0
0
SPDR Dow Jones Indl Average
UT SER 1
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42
136
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136
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0
Sabine Royalty Tr Unit Sh Ben Int
UNIT BEN INT
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1015
35985
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35985
0
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Salesforce.com INC CORP COMMON
COM
79466L302
178
800
SH
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800
0
0
Schlumberger LTD Com
COM
806857108
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166
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166
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85
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Financial Select Sector SPDR Fund
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239
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COM
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Silvercorp Metals Inc
COM
82835P103
84
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12500
0
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Simon Ppty Group Inc New Com
COM
828806109
101
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SH
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Skyworks Solutions Inc Common
COM
83088M102
5
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SH
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35
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0
A. O. Smith Corp A O COMMON
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831865209
805
14685
SH
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14685
0
0
Southwest Airls Co Com
COM
844741108
33
700
SH
SOLE
700
0
0
Square Inc
CL A
852234103
218
1000
SH
SOLE
1000
0
0
Starbucks Corp Com
COM
855244109
899
8404
SH
SOLE
8404
0
0
Stryker Corp Com
COM
863667101
6972
28452
SH
SOLE
28452
0
0
Suncoke Energy INC CORP COMMON
COM
86722A103
3
674
SH
SOLE
674
0
0
Target Corp Com
COM
87612E106
11346
64274
SH
SOLE
64274
0
0
Teladoc Health Inc
COM
87918A105
160
800
SH
SOLE
800
0
0
Texas Instrs Inc Com
COM
882508104
5259
32043
SH
SOLE
32043
0
0
Thermo Fisher Scientific Inccom
COM
883556102
47
100
SH
SOLE
100
0
0
3M Co Com
COM
88579Y101
862
4934
SH
SOLE
4934
0
0
Union Pac Corp Com
COM
907818108
6988
33562
SH
SOLE
33562
0
0
United Parcel Service
CL B
911312106
5
30
SH
SOLE
30
0
0
United Rentals Inc
COM
911363109
2
10
SH
SOLE
10
0
0
Unitedhealth Group Inc Com
COM
91324P102
13035
37171
SH
SOLE
37171
0
0
Valero Energy Corp New Com
COM
91913Y100
2593
45840
SH
SOLE
45840
0
0
Vanguard Whitehall ETF High Dividend Yield
HIGH DIV YLD
921946406
31
340
SH
SOLE
340
0
0
Vanguard Total Intl Bond Index ETF
INTL BD IDX ETF
92203J407
818
13972
SH
SOLE
13972
0
0
Vanguard Ftse Allworld Ex- US
ALLWRLD EX US
922042775
14
246
SH
SOLE
246
0
0
Vanguard Russell 1000 Growth Etf
VNG RUS1000GRW
92206C680
1085
4379
SH
SOLE
4379
0
0
Vanguard REIT Viper VNQ
REAL ESTATE ETF
922908553
475
5587
SH
SOLE
5587
0
0
Vanguard Mid-cap Index Fund Mid Cap Etf
MID CAP ETF
922908629
9
45
SH
SOLE
45
0
0
Vanguard Growth Index Fund Etf
GROWTH ETF
922908736
22
87
SH
SOLE
87
0
0
Vanguard Value Index Fund Etf
VALUE ETF
922908744
36
300
SH
SOLE
300
0
0
Vanguard Small Cap
SMALL CP ETF
922908751
22
114
SH
SOLE
114
0
0
Vanguard Total Stock Market
TOTAL STK MKT
922908769
147
756
SH
SOLE
756
0
0
Verizon Communications Com
COM
92343V104
9167
156042
SH
SOLE
156042
0
0
VISA Inc
COM CL A
92826C839
9534
43590
SH
SOLE
43590
0
0
Westinghouse Air Brake Technologies Corp Wabtec COMMON
COM
929740108
1
15
SH
SOLE
15
0
0
Wal Mart Stores Inc Com
COM
931142103
11040
76589
SH
SOLE
76589
0
0
Waste Mgmt Inc Del Com
COM
94106L109
59
500
SH
SOLE
500
0
0
Western Asset High Income Opportunity FD Inc
COM
95766K109
37
7500
SH
SOLE
7500
0
0
The Western Union Co
COM
959802109
425
19360
SH
SOLE
19360
0
0
XCEL Energy Inc Com
COM
98389B100
64
964
SH
SOLE
964
0
0
Xilinx Inc
COM
983919101
462
3260
SH
SOLE
3260
0
0
Yum Brands Inc Com
COM
988498101
5
50
SH
SOLE
50
0
0
Zimmer Biomet Holdings Inc
COM
98956P102
49
320
SH
SOLE
320
0
0
Accenture Plc, Dublin Shsclass A
SHS CLASS A
G1151C101
9121
34917
SH
SOLE
34917
0
0
Medtronic Plc, Dublin Shs
SHS
G5960L103
8329
71106
SH
SOLE
71106
0
0
APTIV PLC
SHS
G6095L109
36
280
SH
SOLE
280
0
0
Seagate Technology Plc CORP COMMON
SHS
G7945M107
114
1835
SH
SOLE
1835
0
0
Garmin LTD
SHS
H2906T109
756
6320
SH
SOLE
6320
0
0
Lyondellbasell Industries
SHS - A -
N53745100
533
5820
SH
SOLE
5820
0
0