The Securities and Exchange Commission has not necessarily reviewed the information in this filing and has not determined if it is accurate and complete.
The reader should not assume that the information is accurate and complete.

UNITED STATES SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 13F

FORM 13F INFORMATION TABLE

OMB APPROVAL
OMB Number: 3235-0006
Estimated average burden
hours per response: 23.8

COLUMN 1 COLUMN 2 COLUMN 3 COLUMN 4 COLUMN 5 COLUMN 6 COLUMN 7 COLUMN 8
VALUE SHRS OR SH/ PUT/ INVESTMENT OTHER VOTING AUTHORITY
NAME OF ISSUER TITLE OF CLASS CUSIP (x$1000) PRN AMT PRN CALL DISCRETION MANAGER SOLE SHARED NONE
ADVANCED MICRO DEV COM 007903107 328 4,000 SH   DFND   0 0 4,000
ALPHABET INC CAP STK CL A 02079K305 211 144 SH   DFND   144 0 0
ALPHABET INC CAP STK CL A 02079K305 5,464 3,728 SH   SOLE   3,711 0 17
AMER EXPRESS CO COM 025816109 3 30 SH   DFND   30 0 0
AMER EXPRESS CO COM 025816109 2,851 28,442 SH   SOLE   28,319 0 123
AT&T INC COM 00206R102 787 27,587 SH   SOLE   27,587 0 0
AbbVie Inc COM 00287Y109 140 1,600 SH   DFND   0 0 1,600
AbbVie Inc COM 00287Y109 71 805 SH   SOLE   805 0 0
Abbott Laboratories COM 002824100 243 2,231 SH   DFND   31 0 2,200
Abbott Laboratories COM 002824100 2,368 21,758 SH   SOLE   21,578 0 180
Agnico Eagle Mines Ltd COM 008474108 394 4,943 SH   DFND   0 0 4,943
Alexion Pharmaceuticals Inc COM 015351109 6 51 SH   DFND   51 0 0
Alexion Pharmaceuticals Inc COM 015351109 3,938 34,412 SH   SOLE   34,412 0 0
Alphabet Inc CAP STK CL C 02079K107 431 293 SH   DFND   43 0 250
Alphabet Inc CAP STK CL C 02079K107 107 73 SH   SOLE   57 0 16
Amazon.com Inc COM 023135106 422 134 SH   DFND   84 0 50
Amazon.com Inc COM 023135106 11,795 3,746 SH   SOLE   3,725 0 21
Amgen Inc COM 031162100 304 1,198 SH   SOLE   1,198 0 0
Apple Inc COM 037833100 765 6,604 SH   DFND   2,604 0 4,000
Apple Inc COM 037833100 11,049 95,403 SH   SOLE   94,223 0 1,180
BERKSHIRE HATHAWAY CL A 084670108 1,280 4 SH   SOLE   4 0 0
BRISTOL-MYRS SQUIB COM 110122108 348 5,771 SH   DFND   2,021 0 3,750
BRISTOL-MYRS SQUIB COM 110122108 3,876 64,284 SH   SOLE   64,157 0 127
Berkshire Hathaway Inc CL B NEW 084670702 37 172 SH   DFND   22 0 150
Berkshire Hathaway Inc CL B NEW 084670702 4,807 22,574 SH   SOLE   22,483 0 91
BlackRock Fund Advisors CORE US AGGBD ET 464287226 1,328 11,248 SH   SOLE   11,248 0 0
BlackRock Fund Advisors MSCI EAFE ETF 464287465 3,369 52,935 SH   SOLE   52,935 0 0
BlackRock Fund Advisors CORE S&P MCP ETF 464287507 854 4,610 SH   DFND   4,563 0 47
BlackRock Fund Advisors CORE S&P MCP ETF 464287507 30,036 162,085 SH   SOLE   161,771 0 314
BlackRock Fund Advisors CORE S&P SCP ETF 464287804 154 2,192 SH   DFND   1,820 0 372
BlackRock Fund Advisors CORE S&P SCP ETF 464287804 50,449 718,345 SH   SOLE   716,353 0 1,992
BlackRock Fund Advisors PFD AND INCM SEC 464288687 143 3,926 SH   DFND   3,477 0 449
BlackRock Fund Advisors PFD AND INCM SEC 464288687 56,001 1,536,366 SH   SOLE   1,533,653 0 2,713
CISCO SYSTEMS COM 17275R102 121 3,076 SH   DFND   123 0 2,953
CISCO SYSTEMS COM 17275R102 4,421 112,245 SH   SOLE   111,751 0 494
CVS Health Corp COM 126650100 223 3,826 SH   DFND   3,826 0 0
CVS Health Corp COM 126650100 20 340 SH   SOLE   340 0 0
Chevron Corp COM 166764100 83 1,150 SH   DFND   1,150 0 0
Chevron Corp COM 166764100 209 2,907 SH   SOLE   2,720 0 187
Cigna Corp COM 125523100 229 1,350 SH   DFND   1,350 0 0
Cigna Corp COM 125523100 12 72 SH   SOLE   37 0 35
Comcast Corp CL A 20030N101 5 100 SH   DFND   100 0 0
Comcast Corp CL A 20030N101 3,779 81,700 SH   SOLE   81,104 0 596
Costco Wholesale Corp COM 22160K105 362 1,020 SH   SOLE   958 0 62
Danaher Corp COM 235851102 250 1,162 SH   DFND   1,162 0 0
Danaher Corp COM 235851102 19 90 SH   SOLE   0 0 90
EMERSON ELECTRIC COM 291011104 2 35 SH   DFND   35 0 0
EMERSON ELECTRIC COM 291011104 1,988 30,322 SH   SOLE   30,224 0 98
Equinox Gold Corp COM 29446Y502 155 13,264 SH   DFND   0 0 13,264
Exelon Corp COM 30161N101 1 37 SH   DFND   37 0 0
Exelon Corp COM 30161N101 1,370 38,314 SH   SOLE   38,177 0 137
Exxon Mobil Corp COM 30231G102 139 4,051 SH   DFND   2,051 0 2,000
Exxon Mobil Corp COM 30231G102 170 4,944 SH   SOLE   4,944 0 0
FEDEX CORP COM 31428X106 5 18 SH   DFND   18 0 0
FEDEX CORP COM 31428X106 3,929 15,620 SH   SOLE   15,577 0 43
FISERV INC COM 337738108 247 2,399 SH   DFND   2,399 0 0
Facebook Inc CL A 30303M102 135 515 SH   DFND   15 0 500
Facebook Inc CL A 30303M102 3,570 13,633 SH   SOLE   13,530 0 103
First Interstate BancSystem In COM CL A 32055Y201 2,044 64,172 SH   DFND   0 0 64,172
First Interstate BancSystem In COM CL A 32055Y201 3,015 94,653 SH   SOLE   0 0 94,653
GEN DYNAMICS CORP COM 369550108 235 1,700 SH   DFND   0 0 1,700
GEN DYNAMICS CORP COM 369550108 40 291 SH   SOLE   291 0 0
GOLDMAN SACHS GRP COM 38141G104 5 23 SH   DFND   23 0 0
GOLDMAN SACHS GRP COM 38141G104 3,780 18,807 SH   SOLE   18,807 0 0
Home Depot Inc/The COM 437076102 246 887 SH   DFND   0 0 887
Home Depot Inc/The COM 437076102 472 1,700 SH   SOLE   1,700 0 0
Honeywell International Inc COM 438516106 3 17 SH   DFND   17 0 0
Honeywell International Inc COM 438516106 2,526 15,343 SH   SOLE   15,301 0 42
ILLINOIS TOOL WKS COM 452308109 181 937 SH   DFND   937 0 0
ILLINOIS TOOL WKS COM 452308109 27 139 SH   SOLE   139 0 0
INTERCONTINENTAL EXCHANGE COM 45866F104 3 26 SH   DFND   26 0 0
INTERCONTINENTAL EXCHANGE COM 45866F104 1,705 17,045 SH   SOLE   16,846 0 199
ISHARES CORE S&P500 ETF 464287200 800 2,381 SH   DFND   2,300 0 81
ISHARES CORE S&P500 ETF 464287200 67,126 199,744 SH   SOLE   199,339 0 405
ISHARES IBOXX INV CP ETF 464287242 336 2,497 SH   SOLE   2,497 0 0
ISHARES S&P 500 GRWT ETF 464287309 653 2,826 SH   SOLE   2,826 0 0
ISHARES S&P 500 VAL ETF 464287408 301 2,678 SH   SOLE   2,678 0 0
ISHARES RUSSELL 2000 ETF 464287655 271 1,807 SH   SOLE   1,807 0 0
ISHARES TR MSCI EMG MKT ETF 464287234 4,677 106,088 SH   SOLE   106,088 0 0
ISHARES TR GLOBAL REIT ETF 46434V647 338 16,051 SH   SOLE   16,051 0 0
ISHARES TRUST IBOXX HI YD ETF 464288513 428 5,104 SH   SOLE   5,104 0 0
Inmode Ltd SHS M5425M103 217 6,000 SH   DFND   0 0 6,000
Intel Corp COM 458140100 41 800 SH   DFND   800 0 0
Intel Corp COM 458140100 526 10,156 SH   SOLE   9,956 0 200
JPMorgan Chase & Co COM 46625H100 13 138 SH   DFND   138 0 0
JPMorgan Chase & Co COM 46625H100 4,331 44,988 SH   SOLE   44,636 0 352
Johnson & Johnson COM 478160104 485 3,256 SH   DFND   1,356 0 1,900
Johnson & Johnson COM 478160104 366 2,461 SH   SOLE   2,461 0 0
KLA Corp COM NEW 482480100 3 18 SH   DFND   18 0 0
KLA Corp COM NEW 482480100 2,499 12,897 SH   SOLE   12,842 0 55
Kinder Morgan Inc COM 49456B101 123 10,000 SH   DFND   0 0 10,000
Kinder Morgan Inc COM 49456B101 12 939 SH   SOLE   939 0 0
Kirkland Lake Gold Ltd COM 49741E100 643 13,200 SH   DFND   0 0 13,200
Kraft Foods Inc CL A 609207105 223 3,874 SH   DFND   3,874 0 0
Kraft Foods Inc CL A 609207105 4,467 77,757 SH   SOLE   77,521 0 236
LOWE'S COS INC COM 548661107 10 62 SH   DFND   62 0 0
LOWE'S COS INC COM 548661107 8,830 53,238 SH   SOLE   52,978 0 260
LightPath Technologies Inc COM CL A 532257805 72 30,000 SH   DFND   0 0 30,000
Limoneira Co COM 532746104 358 25,000 SH   SOLE   0 0 25,000
MASTERCARD INC CL A 57636Q104 825 2,441 SH   SOLE   2,441 0 0
MCDONALD'S CORP COM 580135101 29 134 SH   DFND   134 0 0
MCDONALD'S CORP COM 580135101 3,799 17,310 SH   SOLE   17,258 0 52
MDU RES GROUP INC COM 552690109 500 22,217 SH   DFND   0 0 22,217
MDU RES GROUP INC COM 552690109 10 450 SH   SOLE   450 0 0
MICROSOFT CORP COM 594918104 1,288 6,123 SH   DFND   1,098 0 5,025
MICROSOFT CORP COM 594918104 10,695 50,851 SH   SOLE   50,475 0 376
Maxar Technologies Inc COM 57778K105 349 14,000 SH   DFND   0 0 14,000
Merck & Co Inc COM 58933Y105 637 7,680 SH   DFND   2,380 0 5,300
Merck & Co Inc COM 58933Y105 52 630 SH   SOLE   479 0 151
NEWMONT MINING CP COM 651639106 229 3,608 SH   DFND   0 0 3,608
NIKE INC CL B 654106103 9 69 SH   DFND   69 0 0
NIKE INC CL B 654106103 7,229 57,582 SH   SOLE   57,181 0 401
PEPSICO INC COM 713448108 247 1,782 SH   DFND   1,782 0 0
PEPSICO INC COM 713448108 2,988 21,558 SH   SOLE   21,452 0 106
Palo Alto Networks Inc COM 697435105 3 11 SH   DFND   11 0 0
Palo Alto Networks Inc COM 697435105 2,023 8,265 SH   SOLE   8,143 0 122
Pfizer Inc COM 717081103 11 300 SH   DFND   300 0 0
Pfizer Inc COM 717081103 426 11,612 SH   SOLE   11,612 0 0
Pfizer Inc CL A 98978V103 207 1,250 SH   DFND   0 0 1,250
Procter & Gamble Co/The COM 742718109 205 1,474 SH   DFND   1,474 0 0
Procter & Gamble Co/The COM 742718109 539 3,877 SH   SOLE   3,790 0 87
QUALCOMM INC COM 747525103 129 1,100 SH   DFND   0 0 1,100
QUALCOMM INC COM 747525103 73 620 SH   SOLE   620 0 0
REGENERON PHARMACEUTICALS COM 75886F107 210 375 SH   DFND   0 0 375
REGENERON PHARMACEUTICALS COM 75886F107 11 20 SH   SOLE   20 0 0
SELECT SECTOR SPDR SBI MATERIALS 81369Y100 3 52 SH   DFND   52 0 0
SELECT SECTOR SPDR SBI MATERIALS 81369Y100 4,082 64,136 SH   SOLE   63,708 0 428
SELECT SECTOR SPDR SBI HEALTHCARE 81369Y209 29 276 SH   DFND   276 0 0
SELECT SECTOR SPDR SBI HEALTHCARE 81369Y209 21,585 204,634 SH   SOLE   204,275 0 359
SELECT SECTOR SPDR SBI CONS STPLS 81369Y308 7 117 SH   DFND   117 0 0
SELECT SECTOR SPDR SBI CONS STPLS 81369Y308 5,061 78,956 SH   SOLE   78,807 0 149
SELECT SECTOR SPDR SBI CONS DISCR 81369Y407 8 54 SH   DFND   54 0 0
SELECT SECTOR SPDR SBI CONS DISCR 81369Y407 3,961 26,948 SH   SOLE   26,948 0 0
SELECT SECTOR SPDR ENERGY 81369Y506 6 217 SH   DFND   217 0 0
SELECT SECTOR SPDR ENERGY 81369Y506 4,316 144,098 SH   SOLE   143,750 0 348
SELECT SECTOR SPDR SBI INT-FINL 81369Y605 12 482 SH   DFND   482 0 0
SELECT SECTOR SPDR SBI INT-FINL 81369Y605 8,567 355,917 SH   SOLE   355,053 0 864
SELECT SECTOR SPDR TECHNOLOGY 81369Y803 41 351 SH   DFND   351 0 0
SELECT SECTOR SPDR TECHNOLOGY 81369Y803 28,209 241,721 SH   SOLE   241,250 0 471
SELECT SECTOR SPDR SBI INT-UTILS 81369Y886 2 35 SH   DFND   35 0 0
SELECT SECTOR SPDR SBI INT-UTILS 81369Y886 1,322 22,257 SH   SOLE   22,205 0 52
SPDR DOW JONES IND UT SER 1 78467X109 235 846 SH   SOLE   846 0 0
SSgA Funds Management Inc TR UNIT 78462F103 67 200 SH   DFND   200 0 0
SSgA Funds Management Inc TR UNIT 78462F103 6,078 18,148 SH   SOLE   18,148 0 0
SSgA Funds Management Inc SBI INT-INDS 81369Y704 9 112 SH   DFND   112 0 0
SSgA Funds Management Inc SBI INT-INDS 81369Y704 5,877 76,339 SH   SOLE   76,221 0 118
SSgA Funds Management Inc COMMUNICATION 81369Y852 12 199 SH   DFND   199 0 0
SSgA Funds Management Inc COMMUNICATION 81369Y852 7,709 129,789 SH   SOLE   129,789 0 0
SSgA Funds Management Inc RL EST SEL SEC 81369Y860 7 191 SH   DFND   191 0 0
SSgA Funds Management Inc RL EST SEL SEC 81369Y860 5,070 143,740 SH   SOLE   143,292 0 448
STARBUCKS CORP COM 855244109 86 1,000 SH   DFND   0 0 1,000
STARBUCKS CORP COM 855244109 445 5,181 SH   SOLE   5,181 0 0
Skyworks Solutions Inc COM 83088M102 4 28 SH   DFND   28 0 0
Skyworks Solutions Inc COM 83088M102 3,779 25,971 SH   SOLE   25,851 0 120
Target Corp COM 87612E106 395 2,509 SH   SOLE   2,509 0 0
Thermo Fisher Scientific Inc COM 883556102 552 1,250 SH   SOLE   1,250 0 0
Uber Technologies Inc COM 90353T100 5 139 SH   DFND   139 0 0
Uber Technologies Inc COM 90353T100 4,335 118,834 SH   SOLE   118,097 0 737
Union Pacific Corp COM 907818108 6 33 SH   DFND   33 0 0
Union Pacific Corp COM 907818108 5,406 27,461 SH   SOLE   27,319 0 142
UnitedHealth Group Inc COM 91324P102 5 17 SH   DFND   17 0 0
UnitedHealth Group Inc COM 91324P102 4,570 14,659 SH   SOLE   14,483 0 176
VANGUARD S&P 500 ETF SHS 922908363 308 1,000 SH   SOLE   1,000 0 0
VISA INC COM CL A 92826C839 253 1,263 SH   DFND   1,263 0 0
VISA INC COM CL A 92826C839 85 424 SH   SOLE   212 0 212
Vanguard ETF/USA FTSE EMR MKT ETF 922042858 386 8,935 SH   SOLE   8,935 0 0
Vanguard ETF/USA INT-TERM CORP 92206C870 496 5,182 SH   DFND   5,182 0 0
Vanguard ETF/USA INT-TERM CORP 92206C870 168,376 1,757,576 SH   SOLE   1,753,341 0 4,235
Walmart Inc COM 931142103 42 298 SH   DFND   298 0 0
Walmart Inc COM 931142103 5,964 42,628 SH   SOLE   42,450 0 178
Walt Disney Co/The COM DISNEY 254687106 248 1,997 SH   DFND   1,497 0 500
Walt Disney Co/The COM DISNEY 254687106 3,994 32,192 SH   SOLE   32,108 0 84
Xilinx Inc COM 983919101 3 33 SH   DFND   33 0 0
Xilinx Inc COM 983919101 2,439 23,402 SH   SOLE   23,277 0 125
YAMANA GOLD INC COM 98462Y100 376 66,200 SH   DFND   0 0 66,200
iShares ETFs/USA EAFE SML CP ETF 464288273 524 8,884 SH   SOLE   8,884 0 0