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
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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 252 2,750 SH   DFND   0 0 2,750
ADVANCED MICRO DEV COM 007903107 3 30 SH   SOLE   30 0 0
ALPHABET INC CAP STK CL A 02079K305 189 108 SH   DFND   108 0 0
ALPHABET INC CAP STK CL A 02079K305 6,353 3,625 SH   SOLE   3,593 0 32
AMER EXPRESS CO COM 025816109 4 30 SH   DFND   30 0 0
AMER EXPRESS CO COM 025816109 3,375 27,916 SH   SOLE   27,688 0 228
AT&T INC COM 00206R102 792 27,543 SH   SOLE   27,543 0 0
AbbVie Inc COM 00287Y109 171 1,600 SH   DFND   0 0 1,600
AbbVie Inc COM 00287Y109 93 865 SH   SOLE   865 0 0
Abbott Laboratories COM 002824100 244 2,231 SH   DFND   31 0 2,200
Abbott Laboratories COM 002824100 2,374 21,682 SH   SOLE   21,499 0 183
Agnico Eagle Mines Ltd COM 008474108 349 4,943 SH   DFND   0 0 4,943
Alexion Pharmaceuticals Inc COM 015351109 8 51 SH   DFND   51 0 0
Alexion Pharmaceuticals Inc COM 015351109 5,300 33,919 SH   SOLE   33,768 0 151
Alphabet Inc CAP STK CL C 02079K107 426 243 SH   DFND   43 0 200
Alphabet Inc CAP STK CL C 02079K107 102 58 SH   SOLE   58 0 0
Amazon.com Inc COM 023135106 436 134 SH   DFND   84 0 50
Amazon.com Inc COM 023135106 12,099 3,715 SH   SOLE   3,694 0 21
Amgen Inc COM 031162100 256 1,112 SH   SOLE   1,112 0 0
Apple Inc COM 037833100 552 4,160 SH   DFND   2,160 0 2,000
Apple Inc COM 037833100 12,223 92,115 SH   SOLE   90,861 0 1,254
BERKSHIRE HATHAWAY CL A 084670108 1,391 4 SH   SOLE   4 0 0
BRISTOL-MYRS SQUIB COM 110122108 358 5,771 SH   DFND   2,021 0 3,750
BRISTOL-MYRS SQUIB COM 110122108 3,824 61,654 SH   SOLE   61,279 0 375
Berkshire Hathaway Inc CL B NEW 084670702 144 622 SH   DFND   22 0 600
Berkshire Hathaway Inc CL B NEW 084670702 5,129 22,122 SH   SOLE   21,955 0 167
BlackRock Fund Advisors EM MKT SM-CP ETF 464286475 241 4,565 SH   SOLE   4,565 0 0
BlackRock Fund Advisors CORE US AGGBD ET 464287226 1,389 11,755 SH   SOLE   11,755 0 0
BlackRock Fund Advisors MSCI EAFE ETF 464287465 3,840 52,638 SH   SOLE   52,638 0 0
BlackRock Fund Advisors CORE S&P MCP ETF 464287507 1,022 4,448 SH   DFND   4,401 0 47
BlackRock Fund Advisors CORE S&P MCP ETF 464287507 37,431 162,863 SH   SOLE   162,395 0 468
BlackRock Fund Advisors CORE S&P SCP ETF 464287804 199 2,170 SH   DFND   1,798 0 372
BlackRock Fund Advisors CORE S&P SCP ETF 464287804 69,605 757,399 SH   SOLE   751,662 0 5,737
BlackRock Fund Advisors EAFE SML CP ETF 464288273 595 8,701 SH   SOLE   8,701 0 0
BlackRock Fund Advisors PFD AND INCM SEC 464288687 1,464 38,010 SH   DFND   37,561 0 449
BlackRock Fund Advisors PFD AND INCM SEC 464288687 61,849 1,606,063 SH   SOLE   1,602,539 0 3,524
CISCO SYSTEMS COM 17275R102 138 3,076 SH   DFND   123 0 2,953
CISCO SYSTEMS COM 17275R102 4,963 110,912 SH   SOLE   109,992 0 920
CVS Health Corp COM 126650100 261 3,826 SH   DFND   3,826 0 0
CVS Health Corp COM 126650100 23 340 SH   SOLE   340 0 0
Chevron Corp COM 166764100 97 1,150 SH   DFND   1,150 0 0
Chevron Corp COM 166764100 199 2,353 SH   SOLE   2,353 0 0
Cigna Corp COM 125523100 281 1,350 SH   DFND   1,350 0 0
Cigna Corp COM 125523100 8 37 SH   SOLE   37 0 0
Coca-Cola Co/The COM 191216100 110 2,000 SH   DFND   0 0 2,000
Coca-Cola Co/The COM 191216100 121 2,200 SH   SOLE   2,200 0 0
Comcast Corp CL A 20030N101 5 100 SH   DFND   100 0 0
Comcast Corp CL A 20030N101 4,214 80,422 SH   SOLE   79,841 0 581
Costco Wholesale Corp COM 22160K105 328 870 SH   SOLE   870 0 0
DISCOVER FINL SVCS COM 254709108 304 3,363 SH   DFND   3,363 0 0
EMERSON ELECTRIC COM 291011104 3 35 SH   DFND   35 0 0
EMERSON ELECTRIC COM 291011104 2,421 30,118 SH   SOLE   29,905 0 213
Equinox Gold Corp COM 29446Y502 137 13,264 SH   DFND   0 0 13,264
Exelon Corp COM 30161N101 2 37 SH   DFND   37 0 0
Exelon Corp COM 30161N101 1,546 36,620 SH   SOLE   36,498 0 122
Exxon Mobil Corp COM 30231G102 95 2,300 SH   DFND   300 0 2,000
Exxon Mobil Corp COM 30231G102 169 4,108 SH   SOLE   4,108 0 0
FEDEX CORP COM 31428X106 5 18 SH   DFND   18 0 0
FEDEX CORP COM 31428X106 3,937 15,166 SH   SOLE   15,060 0 106
FISERV INC COM 337738108 273 2,399 SH   DFND   2,399 0 0
Facebook Inc CL A 30303M102 141 515 SH   DFND   15 0 500
Facebook Inc CL A 30303M102 3,614 13,231 SH   SOLE   13,131 0 100
First Interstate BancSystem In COM CL A 32055Y201 1,200 29,422 SH   DFND   0 0 29,422
First Interstate BancSystem In COM CL A 32055Y201 3,769 92,453 SH   SOLE   1,000 0 91,453
GEN DYNAMICS CORP COM 369550108 253 1,700 SH   DFND   0 0 1,700
GEN DYNAMICS CORP COM 369550108 31 205 SH   SOLE   205 0 0
GOLDMAN SACHS GRP COM 38141G104 6 23 SH   DFND   23 0 0
GOLDMAN SACHS GRP COM 38141G104 4,810 18,240 SH   SOLE   18,162 0 78
Home Depot Inc/The COM 437076102 236 887 SH   DFND   0 0 887
Home Depot Inc/The COM 437076102 455 1,712 SH   SOLE   1,712 0 0
Honeywell International Inc COM 438516106 4 17 SH   DFND   17 0 0
Honeywell International Inc COM 438516106 3,243 15,248 SH   SOLE   15,150 0 98
ILLINOIS TOOL WKS COM 452308109 191 937 SH   DFND   937 0 0
ILLINOIS TOOL WKS COM 452308109 11 53 SH   SOLE   53 0 0
INTERCONTINENTAL EXCHANGE COM 45866F104 3 26 SH   DFND   26 0 0
INTERCONTINENTAL EXCHANGE COM 45866F104 1,961 17,006 SH   SOLE   16,835 0 171
IPG Photonics Corp COM 44980X109 201 900 SH   DFND   0 0 900
ISHARES CORE S&P500 ETF 464287200 1,539 4,101 SH   DFND   4,020 0 81
ISHARES CORE S&P500 ETF 464287200 74,951 199,661 SH   SOLE   198,700 0 961
ISHARES IBOXX INV CP ETF 464287242 345 2,497 SH   SOLE   2,497 0 0
ISHARES S&P 500 GRWT ETF 464287309 892 13,974 SH   SOLE   13,974 0 0
ISHARES S&P 500 VAL ETF 464287408 343 2,678 SH   SOLE   2,678 0 0
ISHARES RUSSELL 2000 ETF 464287655 351 1,789 SH   SOLE   1,789 0 0
ISHARES TR MSCI EMG MKT ETF 464287234 5,334 103,233 SH   SOLE   103,233 0 0
ISHARES TR GLOBAL REIT ETF 46434V647 384 16,051 SH   SOLE   16,051 0 0
ISHARES TRUST IBOXX HI YD ETF 464288513 446 5,104 SH   SOLE   5,104 0 0
Inmode Ltd SHS M5425M103 285 6,000 SH   DFND   0 0 6,000
Intel Corp COM 458140100 139 2,800 SH   DFND   800 0 2,000
Intel Corp COM 458140100 492 9,870 SH   SOLE   9,870 0 0
JPMorgan Chase & Co COM 46625H100 18 138 SH   DFND   138 0 0
JPMorgan Chase & Co COM 46625H100 5,571 43,839 SH   SOLE   43,495 0 344
Johnson & Johnson COM 478160104 512 3,256 SH   DFND   1,356 0 1,900
Johnson & Johnson COM 478160104 367 2,331 SH   SOLE   2,331 0 0
KLA Corp COM NEW 482480100 5 18 SH   DFND   18 0 0
KLA Corp COM NEW 482480100 3,289 12,704 SH   SOLE   12,597 0 107
Kirkland Lake Gold Ltd COM 49741E100 545 13,200 SH   DFND   0 0 13,200
Kraft Foods Inc CL A 609207105 227 3,874 SH   DFND   3,874 0 0
Kraft Foods Inc CL A 609207105 4,575 78,240 SH   SOLE   77,802 0 438
LOWE'S COS INC COM 548661107 10 62 SH   DFND   62 0 0
LOWE'S COS INC COM 548661107 8,339 51,956 SH   SOLE   51,472 0 484
LightPath Technologies Inc COM CL A 532257805 78 20,000 SH   DFND   0 0 20,000
Limoneira Co COM 532746104 416 25,000 SH   SOLE   0 0 25,000
MASTERCARD INC CL A 57636Q104 875 2,452 SH   SOLE   2,452 0 0
MCDONALD'S CORP COM 580135101 29 134 SH   DFND   134 0 0
MCDONALD'S CORP COM 580135101 3,672 17,112 SH   SOLE   16,996 0 116
MDU RES GROUP INC COM 552690109 585 22,217 SH   DFND   0 0 22,217
MDU RES GROUP INC COM 552690109 12 450 SH   SOLE   450 0 0
MICROSOFT CORP COM 594918104 1,312 5,898 SH   DFND   1,098 0 4,800
MICROSOFT CORP COM 594918104 11,184 50,285 SH   SOLE   49,938 0 347
Maxar Technologies Inc COM 57778K105 540 14,000 SH   DFND   0 0 14,000
Merck & Co Inc COM 58933Y105 628 7,680 SH   DFND   2,380 0 5,300
Merck & Co Inc COM 58933Y105 29 349 SH   SOLE   349 0 0
Micron Technology Inc COM 595112103 226 3,000 SH   DFND   0 0 3,000
NEWMONT MINING CP COM 651639106 216 3,608 SH   DFND   0 0 3,608
NIKE INC CL B 654106103 10 69 SH   DFND   69 0 0
NIKE INC CL B 654106103 7,955 56,228 SH   SOLE   55,723 0 505
PEPSICO INC COM 713448108 264 1,782 SH   DFND   1,782 0 0
PEPSICO INC COM 713448108 3,159 21,301 SH   SOLE   21,170 0 131
Palo Alto Networks Inc COM 697435105 4 11 SH   DFND   11 0 0
Palo Alto Networks Inc COM 697435105 2,895 8,147 SH   SOLE   7,987 0 160
Pfizer Inc COM 717081103 11 300 SH   DFND   300 0 0
Pfizer Inc COM 717081103 409 11,110 SH   SOLE   11,110 0 0
Pfizer Inc CL A 98978V103 207 1,250 SH   DFND   0 0 1,250
Pfizer Inc CL A 98978V103 3 16 SH   SOLE   16 0 0
Procter & Gamble Co/The COM 742718109 205 1,474 SH   DFND   1,474 0 0
Procter & Gamble Co/The COM 742718109 503 3,617 SH   SOLE   3,617 0 0
QUALCOMM INC COM 747525103 168 1,100 SH   DFND   0 0 1,100
QUALCOMM INC COM 747525103 94 620 SH   SOLE   620 0 0
SELECT SECTOR SPDR SBI MATERIALS 81369Y100 6 81 SH   DFND   81 0 0
SELECT SECTOR SPDR SBI MATERIALS 81369Y100 5,865 81,025 SH   SOLE   80,325 0 700
SELECT SECTOR SPDR SBI HEALTHCARE 81369Y209 31 276 SH   DFND   276 0 0
SELECT SECTOR SPDR SBI HEALTHCARE 81369Y209 22,891 201,791 SH   SOLE   200,688 0 1,103
SELECT SECTOR SPDR SBI CONS STPLS 81369Y308 8 117 SH   DFND   117 0 0
SELECT SECTOR SPDR SBI CONS STPLS 81369Y308 5,440 80,649 SH   SOLE   80,259 0 390
SELECT SECTOR SPDR SBI CONS DISCR 81369Y407 9 54 SH   DFND   54 0 0
SELECT SECTOR SPDR SBI CONS DISCR 81369Y407 4,397 27,346 SH   SOLE   27,311 0 35
SELECT SECTOR SPDR ENERGY 81369Y506 8 217 SH   DFND   217 0 0
SELECT SECTOR SPDR ENERGY 81369Y506 5,434 143,365 SH   SOLE   142,394 0 971
SELECT SECTOR SPDR SBI INT-FINL 81369Y605 14 482 SH   DFND   482 0 0
SELECT SECTOR SPDR SBI INT-FINL 81369Y605 10,321 350,087 SH   SOLE   348,133 0 1,954
SELECT SECTOR SPDR TECHNOLOGY 81369Y803 43 333 SH   DFND   333 0 0
SELECT SECTOR SPDR TECHNOLOGY 81369Y803 31,268 240,486 SH   SOLE   239,035 0 1,451
SELECT SECTOR SPDR SBI INT-UTILS 81369Y886 4 66 SH   DFND   66 0 0
SELECT SECTOR SPDR SBI INT-UTILS 81369Y886 2,673 42,634 SH   SOLE   42,410 0 224
SPDR DOW JONES IND UT SER 1 78467X109 237 775 SH   SOLE   775 0 0
SSgA Funds Management Inc TR UNIT 78462F103 75 200 SH   DFND   200 0 0
SSgA Funds Management Inc TR UNIT 78462F103 6,820 18,241 SH   SOLE   18,241 0 0
SSgA Funds Management Inc SBI INT-INDS 81369Y704 17 195 SH   DFND   195 0 0
SSgA Funds Management Inc SBI INT-INDS 81369Y704 12,706 143,489 SH   SOLE   142,843 0 646
SSgA Funds Management Inc COMMUNICATION 81369Y852 13 199 SH   DFND   199 0 0
SSgA Funds Management Inc COMMUNICATION 81369Y852 8,708 129,052 SH   SOLE   128,626 0 426
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 5,207 142,425 SH   SOLE   141,429 0 996
STARBUCKS CORP COM 855244109 107 1,000 SH   DFND   0 0 1,000
STARBUCKS CORP COM 855244109 178 1,660 SH   SOLE   1,660 0 0
Skyworks Solutions Inc COM 83088M102 4 28 SH   DFND   28 0 0
Skyworks Solutions Inc COM 83088M102 3,899 25,504 SH   SOLE   25,276 0 228
Target Corp COM 87612E106 443 2,509 SH   SOLE   2,509 0 0
Thermo Fisher Scientific Inc COM 883556102 586 1,258 SH   SOLE   1,258 0 0
Union Pacific Corp COM 907818108 7 33 SH   DFND   33 0 0
Union Pacific Corp COM 907818108 5,565 26,727 SH   SOLE   26,470 0 257
UnitedHealth Group Inc COM 91324P102 6 17 SH   DFND   17 0 0
UnitedHealth Group Inc COM 91324P102 4,964 14,156 SH   SOLE   14,028 0 128
VANGUARD S&P 500 ETF SHS 922908363 344 1,000 SH   SOLE   1,000 0 0
VISA INC COM CL A 92826C839 276 1,263 SH   DFND   1,263 0 0
VISA INC COM CL A 92826C839 44 200 SH   SOLE   200 0 0
Vanguard ETF/USA FTSE EMR MKT ETF 922042858 452 9,024 SH   SOLE   9,024 0 0
Vanguard ETF/USA INT-TERM CORP 92206C870 3,925 40,409 SH   DFND   40,409 0 0
Vanguard ETF/USA INT-TERM CORP 92206C870 176,780 1,819,844 SH   SOLE   1,814,193 0 5,651
Walmart Inc COM 931142103 43 298 SH   DFND   298 0 0
Walmart Inc COM 931142103 6,076 42,149 SH   SOLE   41,787 0 362
Walt Disney Co/The COM 254687106 281 1,549 SH   DFND   1,049 0 500
Walt Disney Co/The COM 254687106 5,650 31,183 SH   SOLE   30,990 0 193
YAMANA GOLD INC COM 98462Y100 378 66,200 SH   DFND   0 0 66,200