0001313871-13-000006.txt : 20130815
0001313871-13-000006.hdr.sgml : 20130815
20130815131111
ACCESSION NUMBER: 0001313871-13-000006
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 2
CONFORMED PERIOD OF REPORT: 20130630
FILED AS OF DATE: 20130815
DATE AS OF CHANGE: 20130815
EFFECTIVENESS DATE: 20130815
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: First National Bank of Hutchinson
CENTRAL INDEX KEY: 0001313871
IRS NUMBER: 480273305
STATE OF INCORPORATION: KS
FISCAL YEAR END: 1231
FILING VALUES:
FORM TYPE: 13F-HR
SEC ACT: 1934 Act
SEC FILE NUMBER: 028-11018
FILM NUMBER: 131041554
BUSINESS ADDRESS:
STREET 1: P.O. BOX 913
CITY: HUTCHINSON
STATE: KS
ZIP: 67504-0913
BUSINESS PHONE: 620-694-2307
MAIL ADDRESS:
STREET 1: P.O. BOX 913
CITY: HUTCHINSON
STATE: KS
ZIP: 67504-0913
13F-HR
1
primary_doc.xml
13F-HR
LIVE
false
false
false
0001313871
XXXXXXXX
06-30-2013
06-30-2013
First National Bank of Hutchinson
P.O. BOX 913
HUTCHINSON
KS
67504-0913
13F HOLDINGS REPORT
028-11018
N
Diane D Krone
Trust Compliance Analyst
6206942307
Diane D Krone
Hutchinson
KS
08-15-2013
0
105
281155
false
INFORMATION TABLE
2
infoTable.xml
3M Co
COM
88579Y101
43
390
SH
SOLE
390
0
0
3M Co
COM
88579Y101
241
2200
SH
OTR
2200
0
0
Abbott Laboratories
COM
002824100
267
7656
SH
SOLE
7656
0
0
AbbVie Inc Common
COM
00287Y109
316
7656
SH
SOLE
7656
0
0
Air Methods Corp
COM PAR .06
009128307
633
18682
SH
SOLE
17014
0
1668
Allstate Corp
COM
020002101
106
2200
SH
SOLE
2200
0
0
Allstate Corp
COM
020002101
119
2468
SH
OTR
2468
0
0
American Express Co
COM
025816109
493
6600
SH
SOLE
6600
0
0
Amtrust Finl Svcs Inc
COM
032359309
558
15618
SH
SOLE
14282
0
1336
Apple Inc
COM
037833100
550
1386
SH
SOLE
1386
0
0
AT&T Inc
COM
00206R102
71
2000
SH
SOLE
2000
0
0
AT&T Inc
COM
00206R102
156
4410
SH
OTR
4410
0
0
Bank of America Corp
COM
060505104
651
50626
SH
SOLE
50626
0
0
Baxter International Inc
COM
071813109
277
4000
SH
SOLE
4000
0
0
Berkshire Hathaway
CL A
084670108
337
2
SH
OTR
2
0
0
Berkshire Hathaway Inc Del Cl B New
CL B NEW
084670702
570
5090
SH
SOLE
5090
0
0
Biogen Idec Inc
COM
09062X103
777
3610
SH
SOLE
3292
0
318
Boeing Co
COM
097023105
205
2000
SH
SOLE
2000
0
0
Canadian National Railway Co
COM
136375102
726
7464
SH
SOLE
6816
0
648
Cerner Corp
COM
156782104
1968
20480
SH
SOLE
18752
0
1728
Chevron Corp New
COM
166764100
391
3304
SH
SOLE
3304
0
0
Coca-Cola Co
COM
191216100
425
10600
SH
SOLE
10600
0
0
Cognizant Technology Solutions Corp Cl A
CL A
192446102
540
8616
SH
SOLE
7848
0
768
Consumer Discretionary Select Sector SPDR
SBI CONS DISCR
81369Y407
2127
37720
SH
SOLE
37720
0
0
Consumer Staples Select Sector SPDR
SBI CONS STPLS
81369Y308
2894
72952
SH
SOLE
72952
0
0
Crane Co
COM
224399105
326
5440
SH
SOLE
5440
0
0
Disney Walt Co
COM DISNEY
254687106
831
13152
SH
SOLE
13152
0
0
Dollar Tree Inc
COM
256746108
889
17482
SH
SOLE
15950
0
1532
Eaton Vance Corp
COM NON VTG
278265103
368
9800
SH
SOLE
9800
0
0
EMC Corp
COM
268648102
619
26202
SH
SOLE
24026
0
2176
Emerson Electric Co
COM
291011104
54
984
SH
SOLE
984
0
0
Emerson Electric Co
COM
291011104
164
3000
SH
OTR
3000
0
0
Energy Select Sector SPDR
SBI INT-ENERGY
81369Y506
2924
37348
SH
SOLE
37348
0
0
Ensco International Ltd ADR
SHS CLASS A
G3157S106
829
14256
SH
SOLE
12986
0
1270
Entergy Corp New
COM
29364G103
251
3600
SH
SOLE
3600
0
0
Express Scripts Holding Co
COM
30219G108
1086
17596
SH
SOLE
16174
0
1422
Exxon Mobil Corp
COM
30231G102
2383
26380
SH
SOLE
26380
0
0
Exxon Mobil Corp
COM
30231G102
289
3200
SH
OTR
3200
0
0
Financial Select Sector SPDR
SBI INT-FINL
81369Y605
3423
176046
SH
SOLE
176046
0
0
FMC Technologies Inc
COM
30249U101
1008
18106
SH
SOLE
16502
0
1604
Gartner Inc Common
COM
366651107
554
9724
SH
SOLE
8770
0
954
Gilead Sciences Inc
COM
375558103
583
11380
SH
SOLE
10402
0
978
Groupe CGI Inc Cl A
CL A SUB VTG
39945C109
527
17996
SH
SOLE
16442
0
1554
Health Care Select Sector SPDR
SBI HEALTHCARE
81369Y209
3494
73390
SH
SOLE
73390
0
0
Honeywell International Inc
COM
438516106
758
9558
SH
SOLE
8706
0
852
IHS Inc Cl A
CL A
451734107
390
3738
SH
SOLE
3444
0
294
Industrial Select Sector SPDR
SBI INT-INDS
81369Y704
2794
65524
SH
SOLE
65524
0
0
International Business Machines Corp
COM
459200101
451
2360
SH
SOLE
2360
0
0
International Business Machines Corp
COM
459200101
54
284
SH
OTR
284
0
0
Intuit Inc
COM
461202103
570
9334
SH
SOLE
8462
0
872
Intuitive Surgical Inc
COM NEW
46120E602
441
872
SH
SOLE
808
0
64
iShares Barclays 1-3 Year Credit Bond
BARCLYS 1-3YR CR
464288646
16027
152590
SH
SOLE
149266
0
3324
iShares Barclays 1-3 Year Credit Bond
BARCLYS 1-3YR CR
464288646
5
48
SH
OTR
48
0
0
iShares Core S&P 500 ETF
CORE S&P500 ETF
464287200
55877
347320
SH
SOLE
340602
0
6718
iShares Core S&P 500 ETF
CORE S&P500 ETF
464287200
3287
20434
SH
OTR
20434
0
0
iShares Core S&P Mid-Cap ETF
CORE S&P MCP ETF
464287507
20591
178274
SH
SOLE
175112
0
3162
iShares Core S&P Mid-Cap ETF
CORE S&P MCP ETF
464287507
1125
9742
SH
OTR
9742
0
0
iShares Core S&P Small-Cap ETF
CORE S&P SCP ETF
464287804
21105
233694
SH
SOLE
229516
0
4178
iShares Core S&P Small-Cap ETF
CORE S&P SCP ETF
464287804
1150
12732
SH
OTR
12732
0
0
iShares Dow Jones International Select Dividend Index Fund
DJ INTL SEL DIVD
464288448
20503
644144
SH
SOLE
634164
0
9980
iShares Dow Jones International Select Dividend Index Fund
DJ INTL SEL DIVD
464288448
965
30332
SH
OTR
30332
0
0
iShares Invest Grade Corp Bond
IBOXX INV CPBD
464287242
30359
267128
SH
SOLE
262334
0
4794
iShares Invest Grade Corp Bond
IBOXX INV CPBD
464287242
6
50
SH
OTR
50
0
0
iShares MSCI EAFE Index Fund
MSCI EAFE INDEX
464287465
1064
18572
SH
SOLE
18572
0
0
iShares MSCI EAFE Index Fund
MSCI EAFE INDEX
464287465
56
980
SH
OTR
980
0
0
Johnson & Johnson
COM
478160104
619
7212
SH
SOLE
7212
0
0
Johnson & Johnson
COM
478160104
86
1000
SH
OTR
1000
0
0
JPMorgan Chase & Co
COM
46625H100
243
4600
SH
SOLE
4600
0
0
JPMorgan Chase & Co
COM
46625H100
48
900
SH
OTR
900
0
0
Kirby Corp
COM
497266106
1005
12634
SH
SOLE
11474
0
1160
Kroger (The) Co
COM
501044101
21924
634748
SH
SOLE
634748
0
0
Kroger (The) Co
COM
501044101
1928
55830
SH
OTR
55830
0
0
Materials Select Sector SPDR
SBI MATERIALS
81369Y100
690
17998
SH
SOLE
17998
0
0
McDonalds Corp
COM
580135101
769
7770
SH
SOLE
7770
0
0
Mettler Toledo International Inc
COM
592688105
788
3918
SH
SOLE
3636
0
282
Micros Systems Inc
COM
594901100
602
13946
SH
SOLE
12548
0
1398
Middleby Corp
COM
596278101
511
3006
SH
SOLE
2740
0
266
NIC Inc
COM
62914B100
306
18500
SH
SOLE
17164
0
1336
Novo-Nordisk Spons ADR
ADR
670100205
704
4540
SH
SOLE
4162
0
378
Oceaneering International Inc
COM
675232102
1167
16158
SH
SOLE
14704
0
1454
Panera Bread Co Cl A
CL A
69840W108
547
2942
SH
SOLE
2702
0
240
Park Sterling Corp
COM
70086Y105
65
11000
SH
SOLE
11000
0
0
Pepsico Inc
COM
713448108
386
4720
SH
SOLE
4720
0
0
Petsmart Inc
COM
716768106
999
14906
SH
SOLE
13724
0
1182
Philip Morris International Inc
COM
718172109
401
4634
SH
SOLE
4634
0
0
Praxair Inc
COM
74005P104
461
4000
SH
SOLE
4000
0
0
Procter & Gamble Co
COM
742718109
375
4868
SH
SOLE
4868
0
0
Quanta Services Inc
COM
74762E102
647
24462
SH
SOLE
22224
0
2238
Ross Stores Inc
COM
778296103
1015
15660
SH
SOLE
14268
0
1392
Skyworks Solutions Inc
COM
83088M102
502
22934
SH
SOLE
20856
0
2078
Synaptics Inc
COM
87157D109
259
6722
SH
SOLE
6234
0
488
Synovus Financial Corp
COM
87161C105
53
18000
SH
SOLE
18000
0
0
Technology Select Sector SPDR
TECHNOLOGY
81369Y803
4936
161398
SH
SOLE
161398
0
0
Toronto Dominion Bank ADR
COM NEW
891160509
595
7406
SH
SOLE
6864
0
542
Tractor Supply
COM
892356106
1189
10118
SH
SOLE
9360
0
758
Union Pacific Corp
COM
907818108
648
4200
SH
SOLE
4200
0
0
Utilities Select Sector SPDR
SBI INT-UTILS
81369Y886
852
22646
SH
SOLE
22646
0
0
Utilities Select Sector SPDR
SBI INT-UTILS
81369Y886
60
1600
SH
OTR
1600
0
0
Vangard REIT ETF
REIT ETF
922908553
607
8840
SH
SOLE
8840
0
0
Vanguard FTSE Emerging Markets ETF
MSCI EMR MKT ETF
922042858
18697
481942
SH
SOLE
474374
0
7568
Vanguard FTSE Emerging Markets ETF
MSCI EMR MKT ETF
922042858
938
24190
SH
OTR
24190
0
0
Verizon Communications Inc
COM
92343V104
346
6866
SH
OTR
6866
0
0
Wal-Mart Stores Inc
COM
931142103
851
11424
SH
SOLE
11424
0
0
Wells Fargo & Co New
COM
949746101
278
6726
SH
SOLE
6726
0
0
Wells Fargo & Co New
COM
949746101
437
10600
SH
OTR
10600
0
0