0001546967-14-000004.txt : 20141029
0001546967-14-000004.hdr.sgml : 20141029
20141029171257
ACCESSION NUMBER: 0001546967-14-000004
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 2
CONFORMED PERIOD OF REPORT: 20140930
FILED AS OF DATE: 20141029
DATE AS OF CHANGE: 20141029
EFFECTIVENESS DATE: 20141029
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: Iowa State Bank
CENTRAL INDEX KEY: 0001546967
IRS NUMBER: 420335294
STATE OF INCORPORATION: IA
FISCAL YEAR END: 1231
FILING VALUES:
FORM TYPE: 13F-HR
SEC ACT: 1934 Act
SEC FILE NUMBER: 028-14934
FILM NUMBER: 141180891
BUSINESS ADDRESS:
STREET 1: 2301 128TH STREET
CITY: URBANDALE
STATE: IA
ZIP: 50323-1818
BUSINESS PHONE: 515-246-8240
MAIL ADDRESS:
STREET 1: 2301 128TH STREET
CITY: URBANDALE
STATE: IA
ZIP: 50323-1818
13F-HR
1
primary_doc.xml
13F-HR
LIVE
false
true
false
0001546967
XXXXXXXX
09-30-2014
09-30-2014
Iowa State Bank
2301 128TH STREET
URBANDALE
IA
50323-1818
13F HOLDINGS REPORT
028-14934
N
Laurie Konrad
Trust Operations Officer
515-246-8240
Laurie Konrad
Urbandale
IA
10-29-2014
0
73
149671
false
INFORMATION TABLE
2
sec13f093014.xml
3RD QTR 2014 13F
AT&T Inc
Com
00206R102
3053
86622
SH
SOLE
0
86622
0
0
Abbott Laboratories
Com
002824100
1236
29715
SH
SOLE
0
27665
0
2050
Abbvie Inc
Com
00287Y109
3781
65453
SH
SOLE
0
63898
0
1555
Alliant Corp
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018802108
294
5306
SH
SOLE
0
5306
0
0
Altria Group Inc
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02209S103
304
6618
SH
SOLE
0
6618
0
0
American Express Co
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025816109
1530
17483
SH
SOLE
0
16468
0
1015
Apple Inc
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037833100
3886
38571
SH
SOLE
0
37661
0
910
Bank of America Corp
Com
060505104
280
16450
SH
SOLE
0
16450
0
0
Barclays Bank plc 6.625% Pfd
Pfd Stk
06739F390
286
11300
SH
SOLE
0
11300
0
0
Berkshire Hathaway Inc Cl B
Com
084670702
1569
11356
SH
SOLE
0
11306
0
50
BlackRock Enhanced Equity Dividend Trust
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09251A104
126
15367
SH
SOLE
0
15367
0
0
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097023105
449
3525
SH
SOLE
0
3525
0
0
Bristol-Myers Squibb Corp
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110122108
2748
53696
SH
SOLE
0
53696
0
0
CVS Health Corporation
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126650100
1569
19713
SH
SOLE
0
18353
0
1360
Cardinal Health Inc
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14149Y108
1517
20253
SH
SOLE
0
18948
0
1305
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147528103
545
7601
SH
SOLE
0
7601
0
0
Central Fund of Canada Cl A
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153501101
135
11000
SH
SOLE
0
11000
0
0
Chevron Corp
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166764100
3450
28910
SH
SOLE
0
28165
0
745
Cisco Systems Inc
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17275R102
3386
134506
SH
SOLE
0
130841
0
3665
ConocoPhillips
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20825C104
2324
30374
SH
SOLE
0
30374
0
0
Consolidated Edison Inc
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209115104
213
3759
SH
SOLE
0
3759
0
0
Darling Ingredients Inc
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237266101
737
40250
SH
SOLE
0
40250
0
0
Deere & Company
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244199105
3013
36748
SH
SOLE
0
35838
0
910
Dominion Resources Inc
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25746U109
3831
55456
SH
SOLE
0
53941
0
1515
Du Pont De Nemours & Co
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263534109
2733
38085
SH
SOLE
0
38085
0
0
Duke Energy Corp
Com
26441C204
2415
32302
SH
SOLE
0
32302
0
0
EMC Corp
Com
268648102
1665
56916
SH
SOLE
0
53866
0
3050
Ecolab Inc
Com
278865100
2034
17712
SH
SOLE
0
16912
0
800
Emerson Electric Co
Com
291011104
2960
47300
SH
SOLE
0
45970
0
1330
Exxon Mobil Corp
Com
30231G102
5254
55864
SH
SOLE
0
54839
0
1025
Ford Motor Co
Com
345370860
158
10679
SH
SOLE
0
10679
0
0
General Electric Co
Com
369604103
3922
153085
SH
SOLE
0
149995
0
3090
General Mills Inc
Com
370334104
1746
34608
SH
SOLE
0
34608
0
0
Glaxo SmithKline PLC
Com
37733W105
1545
33603
SH
SOLE
0
33603
0
0
The Hershey Company
Com
427866108
337
3530
SH
SOLE
0
3530
0
0
Honeywell Intl Inc
Com
438516106
428
4600
SH
SOLE
0
4600
0
0
ING Groep NV ADR
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456837103
262
18450
SH
SOLE
0
18450
0
0
Intel Corp
Com
458140100
2524
72477
SH
SOLE
0
72477
0
0
IBM Corp
Com
459200101
3647
19212
SH
SOLE
0
18797
0
415
Ishares S&P US Preferred Stock Index
Com
464288687
204
5155
SH
SOLE
0
5155
0
0
JP Morgan Chase & Co
Com
46625H100
3431
56952
SH
SOLE
0
55577
0
1375
Johnson & Johnson
Com
478160104
4881
45795
SH
SOLE
0
44745
0
1050
Kimberly Clark Corp
Com
494368103
2057
19120
SH
SOLE
0
19120
0
0
McDonalds Corp
Com
580135101
1866
19684
SH
SOLE
0
19684
0
0
Merck & Co Inc
Com
58933Y105
2186
36873
SH
SOLE
0
36873
0
0
Meredith Corp
Com
589433101
484
11302
SH
SOLE
0
11302
0
0
Microsoft Corp
Com
594918104
3900
84128
SH
SOLE
0
81728
0
2400
Moodys Corp
Com
615369105
227
2400
SH
SOLE
0
2400
0
0
National Oilwell Varco Inc
Com
637071101
1995
26213
SH
SOLE
0
25108
0
1105
Nuveen Insured Quality Municipal Fund
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67062N103
242
18674
SH
SOLE
0
18674
0
0
Occidental Petroleum Corp
Com
674599105
379
3938
SH
SOLE
0
3938
0
0
Pepsico Inc
Com
713448108
4081
43836
SH
SOLE
0
42771
0
1065
Pfizer Inc
Com
717081103
3300
111616
SH
SOLE
0
108231
0
3385
Philip Morris International Inc
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718172109
555
6653
SH
SOLE
0
6653
0
0
Powershares QQQ Tr Ser 1
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73935A104
479
4850
SH
SOLE
0
4850
0
0
PowerShares Preferred
Com
73936T565
3587
248075
SH
SOLE
0
248075
0
0
PowerShares Preferred
Com
73936T565
66
4580
SH
DFND
0
4580
0
0
Principal Financial Group
Com
74251V102
3858
73525
SH
SOLE
0
71520
0
2005
Procter & Gamble Co
Com
742718109
3717
44382
SH
SOLE
0
43322
0
1060
Standard & Poor's Depository Receipt
Com
78462F103
241
1225
SH
SOLE
0
1225
0
0
SPDR S&P 400
Com
78467Y107
611
2450
SH
SOLE
0
2450
0
0
Schlumberger Ltd
Com
806857108
2476
24346
SH
SOLE
0
23486
0
860
Sysco Corp
Com
871829107
3426
90271
SH
SOLE
0
88066
0
2205
Target Corp
Com
87612E106
3024
48252
SH
SOLE
0
46927
0
1325
Teva Pharmaceutical ADR
Com
881624209
703
13075
SH
SOLE
0
12165
0
910
3M Company
Com
88579Y101
3475
24530
SH
SOLE
0
23810
0
720
Travelers Companies Inc
Com
89417E109
3469
36927
SH
SOLE
0
35967
0
960
US Bancorp
Com
902973304
213
5093
SH
SOLE
0
5093
0
0
United Parcel Service
Com
911312106
7557
76887
SH
SOLE
0
64147
0
12740
Verizon Communications Inc
Com
92343V104
3983
79677
SH
SOLE
0
77752
0
1925
Wells Fargo & Co
Com
949746101
5300
102187
SH
SOLE
0
100362
0
1825
West Bancorporation Inc
Com
95123P106
301
21311
SH
SOLE
0
21311
0
0
Yum Brands Inc
Com
988498101
1441
20015
SH
SOLE
0
18860
0
1155
Singapore Exchange Ltd
Com
Y79946102
64
11250
SH
SOLE
0
11250
0
0