0001719739-21-000001.txt : 20210201 0001719739-21-000001.hdr.sgml : 20210201 20210201145427 ACCESSION NUMBER: 0001719739-21-000001 CONFORMED SUBMISSION TYPE: 13F-HR PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20201231 FILED AS OF DATE: 20210201 DATE AS OF CHANGE: 20210201 EFFECTIVENESS DATE: 20210201 FILER: COMPANY DATA: COMPANY CONFORMED NAME: Security National Bank CENTRAL INDEX KEY: 0001719739 IRS NUMBER: 470485339 FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 13F-HR SEC ACT: 1934 Act SEC FILE NUMBER: 028-18165 FILM NUMBER: 21576370 BUSINESS ADDRESS: STREET 1: 1120 S 101ST ST CITY: OMAHA STATE: NE ZIP: 68124 BUSINESS PHONE: 402-344-7300 MAIL ADDRESS: STREET 1: P.O. BOX 31400 CITY: OMAHA STATE: NE ZIP: 68131-9913 13F-HR 1 primary_doc.xml 13F-HR LIVE false false false 0001719739 XXXXXXXX 12-31-2020 12-31-2020 Security National Bank
P.O. BOX 31400 OMAHA NE 68131-9913
13F HOLDINGS REPORT 028-18165 N
Karen Mentzer AVP Trust Compliance Coordinator 402-221-0119 Karen Mentzer Omaha X1 02-01-2021 0 74 314776 false
INFORMATION TABLE 2 13F_123120_SNB.xml ABBOTT LABSCommon Stock0028241005935415SHSOLE137504040 ABBVIE INCCommon Stock00287Y1093333105SHSOLE299000 ABERDEEN STANDARD PHYSICAL SILVER SHARES ETFExchange Traded Fund0032641082138347SHSOLE834700 ACCENTURE PLCCommon StockG1151C101313912019SHSOLE116550364 ACTIVISION BLIZZARD INC Common Stock00507V109717077218SHSOLE7414703071 ADOBE SYSTEMS INCORPORATED DELAWARECommon Stock00724F101584011678SHSOLE108990779 ALEXANDRIA REAL ESTATE EQ INCCommon Stock015271109221612434SHSOLE118750559 ALPHABET INC CL C Common Stock02079K107427244SHSOLE220024 AMAZON COM INCCommon Stock023135106111163413SHSOLE31550258 AMGEN INCCommon Stock031162100541123534SHSOLE230540480 APPLE INCCommon Stock03783310018652140569SHSOLE123183017086 BANCORPSOUTH BANKCommon Stock05971J10281629829SHSOLE2982900 BERKSHIRE HATHAWAY INC DELCommon Stock084670108591317SHSOLE1700 BERKSHIRE HATHAWAY INC DELCommon Stock0846707021635070514SHSOLE6778202682 BLACKROCK INCCommon Stock09247X10149146810SHSOLE66640146 BROADRIDGE FINANCIAL SOLUTIONSCommon Stock11133T103383425027SHSOLE241130914 CAMDEN PPTY TRCommon Stock133131102494849519SHSOLE488320687 CATERPILLAR INC COMCommon Stock1491231014992741SHSOLE25410200 CHUBB LTDCommon StockH1467J104292519001SHSOLE183510650 COCA COLA CO COMCommon Stock1912161002885254SHSOLE46540600 COLGATE PALMOLIVE CO COMCommon Stock194162103333839039SHSOLE3792501114 COSTCO WHSL CORP NEW COMCommon Stock22160K105245650SHSOLE65000 DEERE & CO COMCommon Stock2441991055692114SHSOLE19890125 DISNEY WALT CO COMCommon Stock254687106802344282SHSOLE4270501577 GOOGLE INCCommon Stock02079K305429245SHSOLE24500 HERCULES CAPITAL INCCommon Stock4270965082156150854SHSOLE14681204042 HOLOGIC INCCommon Stock436440101256135169SHSOLE348150354 HOME DEPOT INC COMCommon Stock4370761024481685SHSOLE12900395 HONEYWELL INTERNATIONAL INC COMCommon Stock438516106730634347SHSOLE3323501112 IAA INCCommon Stock449253103271141718SHSOLE4171800 INTEL CORP COMCommon Stock4581401002124250SHSOLE425000 ISHARES PREFERRED AND INCOME SECURITIES ETFFixed Income ETF4642886873007779SHSOLE777900 ISHARES TRExchange Traded Fund4642872005501466SHSOLE146600 ISHARES TRExchange Traded Fund464287507210912SHSOLE91200 JOHNSON & JOHNSON COMCommon Stock478160104375523859SHSOLE2266201137 LOCKHEED MARTIN CORP COMCommon Stock539830109515014508SHSOLE141350373 LOGITECH INTERNATIONAL SACommon StockH50430232888591207SHSOLE8868502522 LOWES COS INC COMCommon Stock548661107909256642SHSOLE5542201130 MASTERCARD INCORPORATECommon Stock57636Q10412353460SHSOLE33000160 MERCK AND CO INC NEWCommon Stock58933Y105555567909SHSOLE6579902110 MICROCHIP TECHNOLOGY INCCommon Stock5950171045964319SHSOLE36940480 MICROSOFT CORP COMCommon Stock5949181041144851471SHSOLE4758903882 MURPHY OIL CORPCommon Stock6267171022320191724SHSOLE171084020640 MURPHY USA INCCommon Stock626755102632148415SHSOLE4325505160 NEXTERA ENERGY INCCommon Stock65339F101387650241SHSOLE4836101880 NIKE INC CLASS B COMCommon Stock654106103833058885SHSOLE579100975 NVIDIA CORP COMCommon Stock67066G1041722532986SHSOLE3137101615 PALO ALTO NETWORKS, INCCommon Stock697435105470513239SHSOLE123100929 PEPSICO INC COMCommon Stock713448108379025557SHSOLE2436701190 PFIZER INC COMCommon Stock7170811032496772SHSOLE66720100 PRINCIPAL FINL GROUP INCCommon Stock74251V1022114257SHSOLE425700 PROSHARES TRExchange Traded Fund74347B42518210083SHSOLE1008300 REGIONS FINANCIAL CORP Common Stock7591EP10027316916SHSOLE1691600 RESMED, INCCommon Stock761152107887541752SHSOLE4066901083 ROSS STORES INCCommon Stock778296103760561924SHSOLE5844703477 SALESFORCE.COMCommon Stock79466L302311313989SHSOLE132150774 SOLAREDGE TECHNOLOGIES INCCommon Stock83417M104811225420SHSOLE245880832 SPDR S&P 500 ETF TRExchange Traded Fund78462F1034201123SHSOLE112300 STARBUCKS CORP COMCommon Stock855244109685464065SHSOLE6258301482 SVB FINANCIAL GROUPCommon Stock78486Q10132628411SHSOLE841100 TEXAS INSTRS INC COMCommon Stock882508104812549505SHSOLE4733502170 THERMO FISHER SCIENTIFIC INCCommon Stock88355610244589572SHSOLE93280244 TRIMBLE INCCommon Stock896239100389458317SHSOLE5718901128 UNION PACIFIC CORP COMCommon Stock907818108935344920SHSOLE3983805007 UNITEDHEALTH GROUP INC COMCommon Stock91324P102664918959SHSOLE182070752 VALMONT INDS INC COMCommon Stock920253101219112526SHSOLE123010225 VANECK MERK GOLD TRUSTExchange Traded Fund92107810120711188SHSOLE1118800 VANGUARD 500 INDEX FUNDExchange Traded Fund92290836315964645SHSOLE464500 VANGUARD INDEX FDSExchange Traded Fund922908652484629382SHSOLE2938200 VANGUARD MEGA CAP INDEX FUNDExchange Traded Fund9219108737005249SHSOLE524900 VANGUARD WHITEHALL FDS INCExchange Traded Fund9219464062132327SHSOLE232700 VANGUARD WORLD FDSExchange Traded Fund92204A7023531000SHSOLE100000 VISA INCCommon Stock92826C839819237454SHSOLE3578901665 ZOETIS INCCommon Stock98978V103790547764SHSOLE4598901775