0001313871-14-000003.txt : 20140721
0001313871-14-000003.hdr.sgml : 20140721
20140721145327
ACCESSION NUMBER: 0001313871-14-000003
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 2
CONFORMED PERIOD OF REPORT: 20140630
FILED AS OF DATE: 20140721
DATE AS OF CHANGE: 20140721
EFFECTIVENESS DATE: 20140721
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: 14984553
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
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0001313871
XXXXXXXX
06-30-2014
06-30-2014
First National Bank of Hutchinson
P.O. BOX 913
HUTCHINSON
KS
67504-0913
13F HOLDINGS REPORT
028-11018
N
Diane Krone
Trust Compliance
620-694-2307
Diane D Krone
Hutchinson
KS
07-21-2014
0
97
164182
false
INFORMATION TABLE
2
infoTable.xml
Air Methods Corp
COM PAR .06
009128307
658
12744
SH
SOLE
11971
0
773
American Express Co
COM
025816109
313
3300
SH
SOLE
3300
0
0
Apple Inc
COM
037833100
461
4956
SH
SOLE
4956
0
0
AT&T Inc
COM
00206R102
131
3702
SH
SOLE
3702
0
0
AT&T Inc
COM
00206R102
78
2205
SH
OTR
2205
0
0
Bank of America Corp
COM
060505104
259
16851
SH
SOLE
16851
0
0
Berkshire Hathaway Inc Del Cl B New
CL B NEW
084670702
442
3495
SH
SOLE
3495
0
0
Biogen Idec Inc
COM
09062X103
876
2778
SH
SOLE
2607
0
171
Boeing Co
COM
097023105
223
1750
SH
SOLE
1750
0
0
BP plc ADR
SPONSORED ADR
055622104
189
3580
SH
SOLE
3580
0
0
BP plc ADR
SPONSORED ADR
055622104
42
800
SH
OTR
800
0
0
Canadian National Railway Co
COM
136375102
793
12194
SH
SOLE
11444
0
750
Cerner Corp
COM
156782104
729
14141
SH
SOLE
13301
0
840
Chevron Corp New
COM
166764100
264
2021
SH
SOLE
2021
0
0
Coca-Cola Co
COM
191216100
218
5150
SH
SOLE
5150
0
0
Cognizant Technology Solutions Corp Cl A
CL A
192446102
736
15054
SH
SOLE
14286
0
768
Consumer Discretionary Select Sector SPDR
SBI CONS DISCR
81369Y407
1231
18448
SH
SOLE
18448
0
0
Consumer Staples Select Sector SPDR
SBI CONS STPLS
81369Y308
1488
33354
SH
SOLE
33354
0
0
Disney Walt Co
COM DISNEY
254687106
675
7870
SH
SOLE
7870
0
0
Dollar Tree Inc
COM
256746108
456
8370
SH
SOLE
7874
0
496
Dorman Prods Inc
COM
258278100
502
10185
SH
SOLE
9641
0
544
Emerson Electric Co
COM
291011104
130
1953
SH
SOLE
1953
0
0
Emerson Electric Co
COM
291011104
95
1433
SH
OTR
1433
0
0
Energy Select Sector SPDR
SBI INT-ENERGY
81369Y506
1718
17161
SH
SOLE
17161
0
0
Enersys
COM
29275Y102
564
8199
SH
SOLE
7720
0
479
Entergy Corp New
COM
29364G103
218
2650
SH
SOLE
2650
0
0
Express Scripts Holding Co
COM
30219G108
825
11898
SH
SOLE
11187
0
711
Exxon Mobil Corp
COM
30231G102
901
8951
SH
SOLE
8951
0
0
Exxon Mobil Corp
COM
30231G102
221
2200
SH
OTR
2200
0
0
Financial Select Sector SPDR
SBI INT-FINL
81369Y605
1954
85924
SH
SOLE
85924
0
0
FMC Technologies Inc
COM
30249U101
688
11270
SH
SOLE
10580
0
690
Gartner Inc Common
COM
366651107
432
6125
SH
SOLE
5789
0
336
Gilead Sciences Inc
COM
375558103
971
11717
SH
SOLE
11021
0
696
Health Care Select Sector SPDR
SBI HEALTHCARE
81369Y209
2058
33836
SH
SOLE
33836
0
0
Honeywell International Inc
COM
438516106
730
7854
SH
SOLE
7361
0
493
IHS Inc Cl A
CL A
451734107
404
2976
SH
SOLE
2829
0
147
Industrial Select Sector SPDR
SBI INT-INDS
81369Y704
1632
30192
SH
SOLE
30192
0
0
International Business Machines Corp
COM
459200101
192
1060
SH
SOLE
1060
0
0
International Business Machines Corp
COM
459200101
80
442
SH
OTR
442
0
0
iShares Barclays 1-3 Year Credit Bond
1-3 YR CR BD ETF
464288646
8578
81165
SH
SOLE
79433
0
1732
iShares Barclays 1-3 Year Credit Bond
1-3 YR CR BD ETF
464288646
4
39
SH
OTR
39
0
0
iShares Core S&P 500 ETF
CORE S&P500 ETF
464287200
43483
220725
SH
SOLE
216965
0
3760
iShares Core S&P 500 ETF
CORE S&P500 ETF
464287200
2136
10842
SH
OTR
10842
0
0
iShares Core S&P Mid-Cap ETF
CORE S&P MCP ETF
464287507
14955
104519
SH
SOLE
102977
0
1542
iShares Core S&P Mid-Cap ETF
CORE S&P MCP ETF
464287507
689
4813
SH
OTR
4813
0
0
iShares Core S&P Small-Cap ETF
CORE S&P SCP ETF
464287804
14110
125884
SH
SOLE
123973
0
1911
iShares Core S&P Small-Cap ETF
CORE S&P SCP ETF
464287804
688
6137
SH
OTR
6137
0
0
iShares Dow Jones International Select Dividend Index Fund
INTL SEL DIV ETF
464288448
9478
237599
SH
SOLE
234815
0
2784
iShares Dow Jones International Select Dividend Index Fund
INTL SEL DIV ETF
464288448
423
10607
SH
OTR
10607
0
0
iShares Invest Grade Corp Bond
IBOXX INV CP ETF
464287242
8704
72986
SH
SOLE
72073
0
913
iShares Invest Grade Corp Bond
IBOXX INV CP ETF
464287242
3
25
SH
OTR
25
0
0
iShares MSCI EAFE Index Fund
MSCI EAFE ETF
464287465
612
8946
SH
SOLE
8946
0
0
iShares MSCI EAFE Index Fund
MSCI EAFE ETF
464287465
34
490
SH
OTR
490
0
0
iShares MSCI Emerging Minimum Volatility ETF
EM MK MINVOL ETF
464286533
6703
111580
SH
SOLE
110313
0
1267
iShares MSCI Emerging Minimum Volatility ETF
EM MK MINVOL ETF
464286533
328
5461
SH
OTR
5461
0
0
Johnson & Johnson
COM
478160104
259
2479
SH
SOLE
2479
0
0
Johnson & Johnson
COM
478160104
52
500
SH
OTR
500
0
0
JPMorgan Chase & Co
COM
46625H100
205
3550
SH
SOLE
3550
0
0
JPMorgan Chase & Co
COM
46625H100
26
450
SH
OTR
450
0
0
Kirby Corp
COM
497266106
957
8168
SH
SOLE
7665
0
503
Kroger (The) Co
COM
501044101
8713
176276
SH
SOLE
176276
0
0
Kroger (The) Co
COM
501044101
787
15915
SH
OTR
15915
0
0
Materials Select Sector SPDR
SBI MATERIALS
81369Y100
424
8542
SH
SOLE
8542
0
0
McDonalds Corp
COM
580135101
334
3315
SH
SOLE
3315
0
0
McKesson Corp
COM
58155Q103
613
3292
SH
SOLE
3095
0
197
Mettler Toledo International Inc
COM
592688105
597
2359
SH
SOLE
2231
0
128
NIC Inc
COM
62914B100
359
22660
SH
SOLE
21414
0
1246
Novo-Nordisk Spons ADR
ADR
670100205
644
13932
SH
SOLE
13125
0
807
Oceaneering International Inc
COM
675232102
931
11915
SH
SOLE
11189
0
726
Pepsico Inc
COM
713448108
220
2460
SH
SOLE
2460
0
0
Petsmart Inc
COM
716768106
372
6224
SH
SOLE
5875
0
349
Philip Morris International Inc
COM
718172109
141
1667
SH
SOLE
1667
0
0
Philip Morris International Inc
COM
718172109
84
1000
SH
OTR
1000
0
0
Polaris Inds Inc
COM
731068102
558
4288
SH
SOLE
4027
0
261
Praxair Inc
COM
74005P104
266
2000
SH
SOLE
2000
0
0
Priceline Group Inc New
COM NEW
741503403
549
456
SH
SOLE
429
0
27
Procter & Gamble Co
COM
742718109
202
2570
SH
SOLE
2570
0
0
Qualcomm Inc
COM
747525103
248
3132
SH
SOLE
3132
0
0
Quanta Services Inc
COM
74762E102
702
20312
SH
SOLE
19193
0
1119
Ross Stores Inc
COM
778296103
437
6604
SH
SOLE
6212
0
392
Signature Bk New York N Y
COM
82669G104
575
4555
SH
SOLE
4276
0
279
Skyworks Solutions Inc
COM
83088M102
1007
21439
SH
SOLE
20284
0
1155
Stratasys Ltd Shs
SHS
M85548101
533
4687
SH
SOLE
4437
0
250
Synaptics Inc
COM
87157D109
704
7767
SH
SOLE
7297
0
470
Technology Select Sector SPDR
TECHNOLOGY
81369Y803
2903
75704
SH
SOLE
75704
0
0
Toronto Dominion Bank ADR
COM NEW
891160509
411
8002
SH
SOLE
7546
0
456
Tractor Supply
COM
892356106
706
11684
SH
SOLE
10960
0
724
Union Pacific Corp
COM
907818108
469
4700
SH
SOLE
4700
0
0
Utilities Select Sector SPDR
SBI INT-UTILS
81369Y886
479
10822
SH
SOLE
10822
0
0
Utilities Select Sector SPDR
SBI INT-UTILS
81369Y886
35
800
SH
OTR
800
0
0
Vangard REIT ETF
REIT ETF
922908553
360
4807
SH
SOLE
4807
0
0
Verizon Communications Inc
COM
92343V104
35
711
SH
SOLE
711
0
0
Verizon Communications Inc
COM
92343V104
172
3518
SH
OTR
3518
0
0
Virtusa Corp Common
COM
92827P102
656
18318
SH
SOLE
17334
0
984
Wal-Mart Stores Inc
COM
931142103
424
5642
SH
SOLE
5642
0
0
Wells Fargo & Co New
COM
949746101
244
4638
SH
SOLE
4638
0
0
Wells Fargo & Co New
COM
949746101
284
5400
SH
OTR
5400
0
0