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
3M Co COM 88579Y101 7 40 SH   DFND   25 0 15
3M Co COM 88579Y101 5,652 32,337 SH   SOLE   30,121 0 2,216
ACCENTURE SHS CLASS A G1151C101 366 1,400 SH   DFND   1,400 0 0
ACCENTURE SHS CLASS A G1151C101 285 1,091 SH   SOLE   1,091 0 0
ADAMS EXPRESS COMPANY COM 006212104 10,847 627,342 SH   SOLE   627,342 0 0
ALPHABET INC CAP STK CL A 02079K305 622 355 SH   DFND   355 0 0
ALPHABET INC CAP STK CL A 02079K305 11,562 6,597 SH   SOLE   6,400 0 197
AMER EXPRESS CO COM 025816109 209 1,730 SH   DFND   1,730 0 0
AMER EXPRESS CO COM 025816109 489 4,048 SH   SOLE   4,048 0 0
ANALOG DEVICES INC COM 032654105 225 1,523 SH   SOLE   1,523 0 0
APPLIED MATERIALS COM 038222105 222 2,575 SH   DFND   2,575 0 0
APPLIED MATERIALS COM 038222105 202 2,340 SH   SOLE   2,340 0 0
ASML HOLDING NV N Y REGISTRY SHS N07059210 1,666 3,416 SH   SOLE   3,176 0 240
AT&T INC COM 00206R102 101 3,500 SH   DFND   3,500 0 0
AT&T INC COM 00206R102 1,522 52,937 SH   SOLE   52,937 0 0
AVERY DENNISON CORP COM 053611109 259 1,673 SH   SOLE   1,673 0 0
AbbVie Inc COM 00287Y109 185 1,726 SH   DFND   1,626 0 100
AbbVie Inc COM 00287Y109 7,136 66,601 SH   SOLE   63,945 0 2,656
Abbott Laboratories COM 002824100 3 28 SH   DFND   28 0 0
Abbott Laboratories COM 002824100 3,585 32,740 SH   SOLE   30,608 0 2,132
Activision Blizzard Inc COM 00507V109 211 2,275 SH   SOLE   2,275 0 0
Adobe Inc COM 00724F101 294 588 SH   SOLE   588 0 0
Alexion Pharmaceuticals Inc COM 015351109 221 1,413 SH   SOLE   1,413 0 0
Alibaba Group Holding Ltd SPONSORED ADS 01609W102 57 246 SH   DFND   246 0 0
Alibaba Group Holding Ltd SPONSORED ADS 01609W102 1,235 5,308 SH   SOLE   4,972 0 336
Alliant Energy Corp COM 018802108 5 100 SH   DFND   0 0 100
Alliant Energy Corp COM 018802108 256 4,973 SH   SOLE   4,973 0 0
Alphabet Inc CAP STK CL C 02079K107 124 71 SH   DFND   71 0 0
Alphabet Inc CAP STK CL C 02079K107 2,227 1,271 SH   SOLE   1,271 0 0
Altria Group Inc COM 02209S103 13 325 SH   DFND   250 0 75
Altria Group Inc COM 02209S103 245 5,982 SH   SOLE   5,982 0 0
Amazon.com Inc COM 023135106 892 274 SH   DFND   274 0 0
Amazon.com Inc COM 023135106 2,873 882 SH   SOLE   882 0 0
American Electric Power Co Inc COM 025537101 33 400 SH   DFND   400 0 0
American Electric Power Co Inc COM 025537101 271 3,255 SH   SOLE   3,255 0 0
American Tower Corp COM 03027X100 223 994 SH   SOLE   994 0 0
Ameriprise Financial Inc COM 03076C106 67 346 SH   DFND   346 0 0
Ameriprise Financial Inc COM 03076C106 592 3,048 SH   SOLE   3,048 0 0
Amgen Inc COM 031162100 475 2,067 SH   DFND   2,047 0 20
Amgen Inc COM 031162100 12,005 52,212 SH   SOLE   50,334 0 1,878
Apple Inc COM 037833100 2,114 15,929 SH   DFND   15,909 0 20
Apple Inc COM 037833100 28,249 212,895 SH   SOLE   207,770 0 5,125
Aptiv PLC SHS G6095L109 528 4,052 SH   SOLE   4,052 0 0
Ashland Global Holdings Inc COM 044186104 248 3,126 SH   SOLE   3,126 0 0
BAXTER INTL INC COM 071813109 256 3,195 SH   SOLE   3,195 0 0
BECTON DICKINSON COM 075887109 365 1,457 SH   SOLE   1,457 0 0
BK OF AMERICA CORP COM 060505104 145 4,770 SH   DFND   4,550 0 220
BK OF AMERICA CORP COM 060505104 581 19,179 SH   SOLE   19,179 0 0
BLACKROCK TCP CAPITAL CORP COM 09259E108 407 36,220 SH   SOLE   36,220 0 0
BOEING CO COM 097023105 7 35 SH   DFND   0 0 35
BOEING CO COM 097023105 553 2,582 SH   SOLE   2,548 0 34
BRISTOL-MYRS SQUIB COM 110122108 81 1,301 SH   DFND   1,178 0 123
BRISTOL-MYRS SQUIB COM 110122108 849 13,691 SH   SOLE   13,691 0 0
Berkshire Hathaway Inc CL B NEW 084670702 169 731 SH   DFND   731 0 0
Berkshire Hathaway Inc CL B NEW 084670702 6,733 29,038 SH   SOLE   28,948 0 90
Black Hills Corp COM 092113109 4 70 SH   DFND   70 0 0
Black Hills Corp COM 092113109 5,450 88,696 SH   SOLE   84,676 0 4,020
BlackRock Fund Advisors MSCI EAFE ETF 464287465 4,035 55,311 SH   SOLE   53,250 0 2,061
BlackRock Fund Advisors RUS MID CAP ETF 464287499 974 14,204 SH   SOLE   14,204 0 0
BlackRock Fund Advisors CORE S&P MCP ETF 464287507 49 215 SH   DFND   0 0 215
BlackRock Fund Advisors CORE S&P MCP ETF 464287507 810 3,523 SH   SOLE   3,523 0 0
BlackRock Fund Advisors S&P MC 400GR ETF 464287606 635 8,796 SH   SOLE   8,796 0 0
BlackRock Fund Advisors RUS 1000 ETF 464287622 413 1,948 SH   SOLE   1,948 0 0
BlackRock Fund Advisors RUS 2000 GRW ETF 464287648 532 1,855 SH   SOLE   1,855 0 0
BlackRock Fund Advisors S&P MC 400VL ETF 464287705 486 5,628 SH   SOLE   5,628 0 0
BlackRock Fund Advisors CORE S&P SCP ETF 464287804 1,235 13,442 SH   SOLE   13,442 0 0
BlackRock Fund Advisors SHRT NAT MUN ETF 464288158 1,752 16,205 SH   SOLE   16,205 0 0
BlackRock Fund Advisors MBS ETF 464288588 1,562 14,184 SH   SOLE   11,804 0 2,380
BlackRock Fund Advisors INTRM GOV CR ETF 464288612 442 3,753 SH   SOLE   3,753 0 0
BlackRock Fund Advisors PFD AND INCM SEC 464288687 512 13,292 SH   SOLE   13,292 0 0
BlackRock Fund Advisors EAFE GRWTH ETF 464288885 171 1,694 SH   DFND   1,694 0 0
BlackRock Fund Advisors EAFE GRWTH ETF 464288885 16,342 161,946 SH   SOLE   161,946 0 0
BlackRock Fund Advisors CORE MSCI EMKT 46434G103 863 13,905 SH   SOLE   13,905 0 0
BlackRock Inc COM 09247X101 235 325 SH   DFND   325 0 0
BlackRock Inc COM 09247X101 10,946 15,171 SH   SOLE   14,657 0 514
Broadcom Inc COM 11135F101 137 312 SH   DFND   312 0 0
Broadcom Inc COM 11135F101 9,205 21,024 SH   SOLE   19,946 0 1,078
Bunge Ltd COM G16962105 219 3,345 SH   SOLE   3,345 0 0
CARRIER GLOBAL COR COM 14448C104 160 4,254 SH   DFND   4,254 0 0
CARRIER GLOBAL COR COM 14448C104 47 1,241 SH   SOLE   1,241 0 0
CDW Corp/DE COM 12514G108 519 3,941 SH   SOLE   3,941 0 0
CISCO SYSTEMS COM 17275R102 286 6,392 SH   DFND   6,217 0 175
CISCO SYSTEMS COM 17275R102 11,324 253,053 SH   SOLE   240,684 0 12,369
CITRIX SYSTEMS INC COM 177376100 218 1,675 SH   DFND   1,675 0 0
CITRIX SYSTEMS INC COM 177376100 49 375 SH   SOLE   375 0 0
COLGATE-PALMOLIVE COM 194162103 103 1,200 SH   DFND   1,200 0 0
COLGATE-PALMOLIVE COM 194162103 240 2,802 SH   SOLE   2,802 0 0
CONOCOPHILLIPS COM 20825C104 28 701 SH   DFND   701 0 0
CONOCOPHILLIPS COM 20825C104 322 8,047 SH   SOLE   8,047 0 0
CRISPR Therapeutics AG NAMEN AKT H17182108 440 2,873 SH   SOLE   2,873 0 0
CVS Health Corp COM 126650100 6 90 SH   DFND   0 0 90
CVS Health Corp COM 126650100 466 6,816 SH   SOLE   6,816 0 0
Caterpillar Inc COM 149123101 18 100 SH   DFND   0 0 100
Caterpillar Inc COM 149123101 340 1,867 SH   SOLE   1,867 0 0
CenterPoint Energy Inc COM UNIT RP IN 292480100 58 11,000 SH   SOLE   11,000 0 0
Charles Schwab Investment Management Inc INTRM TRM TRES 808524854 367 6,298 SH   SOLE   6,298 0 0
Chevron Corp COM 166764100 275 3,252 SH   DFND   3,202 0 50
Chevron Corp COM 166764100 6,648 78,717 SH   SOLE   75,601 0 3,116
Citigroup Inc COM NEW 172967424 9 147 SH   DFND   27 0 120
Citigroup Inc COM NEW 172967424 262 4,248 SH   SOLE   4,248 0 0
Cloudflare Inc CL A COM 18915M107 789 10,380 SH   DFND   10,380 0 0
Coca-Cola Co/The COM 191216100 170 3,100 SH   DFND   3,100 0 0
Coca-Cola Co/The COM 191216100 5,675 103,484 SH   SOLE   94,814 0 8,670
Cohen & Steers Funds/Closed-en COM 19247X100 4,711 206,373 SH   SOLE   206,373 0 0
Comcast Corp CL A 20030N101 1,126 21,492 SH   SOLE   21,492 0 0
Costco Wholesale Corp COM 22160K105 243 646 SH   DFND   646 0 0
Costco Wholesale Corp COM 22160K105 6,255 16,601 SH   SOLE   16,535 0 66
Credit Suisse AG/Nassau None 22542D449 149 22,600 SH   SOLE   22,600 0 0
DIAGEO SPON ADR NEW 25243Q205 256 1,612 SH   SOLE   1,612 0 0
DOMINION RES(VIR) COM 25746U109 1 16 SH   DFND   0 0 16
DOMINION RES(VIR) COM 25746U109 265 3,526 SH   SOLE   3,526 0 0
DUKE ENERGY CORP COM NEW 26441C204 41 451 SH   DFND   451 0 0
DUKE ENERGY CORP COM NEW 26441C204 289 3,154 SH   SOLE   3,154 0 0
Danaher Corp COM 235851102 562 2,530 SH   SOLE   2,530 0 0
Deere & Co COM 244199105 480 1,784 SH   SOLE   1,784 0 0
DocuSign Inc COM 256163106 819 3,685 SH   DFND   3,685 0 0
DocuSign Inc COM 256163106 57 256 SH   SOLE   256 0 0
Doubleline Capital LP COM 258622109 998 60,166 SH   SOLE   60,166 0 0
DuPont de Nemours Inc COM 26614N102 4 53 SH   DFND   0 0 53
DuPont de Nemours Inc COM 26614N102 208 2,921 SH   SOLE   2,888 0 33
Duff & Phelps Closed-End Funds COM 23325P104 160 15,550 SH   SOLE   15,550 0 0
ECOLAB INC COM 278865100 346 1,600 SH   DFND   1,600 0 0
ECOLAB INC COM 278865100 247 1,141 SH   SOLE   1,141 0 0
ETF Managers Group LLC PRIME JUNIR SLVR 26924G102 438 26,834 SH   SOLE   26,834 0 0
Easterly Government Properties COM 27616P103 4 160 SH   DFND   160 0 0
Easterly Government Properties COM 27616P103 5,416 239,097 SH   SOLE   237,026 0 2,071
Eaton Corp PLC SHS G29183103 100 836 SH   DFND   836 0 0
Eaton Corp PLC SHS G29183103 125 1,037 SH   SOLE   1,037 0 0
Eli Lilly and Co COM 532457108 404 2,394 SH   SOLE   2,394 0 0
Emergent BioSolutions Inc COM 29089Q105 3,293 36,749 SH   SOLE   36,749 0 0
EnLink Midstream LLC COM UNIT REP LTD 29336T100 65 17,650 SH   SOLE   17,650 0 0
Endeavour Silver Corp COM 29258Y103 66 13,000 SH   SOLE   13,000 0 0
Energy Transfer LP COM UT LTD PTN 29273V100 294 47,601 SH   SOLE   47,601 0 0
Everbridge Inc COM 29978A104 376 2,525 SH   DFND   2,525 0 0
Exxon Mobil Corp COM 30231G102 405 9,814 SH   DFND   9,600 0 214
Exxon Mobil Corp COM 30231G102 1,077 26,124 SH   SOLE   26,059 0 65
FLEXSHARES TR MORNSTAR USMKT 33939L100 470 3,245 SH   SOLE   3,245 0 0
Facebook Inc CL A 30303M102 250 916 SH   DFND   916 0 0
Facebook Inc CL A 30303M102 6,310 23,100 SH   SOLE   22,986 0 114
First Majestic Silver Corp COM 32076V103 175 13,000 SH   SOLE   13,000 0 0
FirstEnergy Corp COM 337932107 610 19,944 SH   SOLE   19,944 0 0
GOLDMAN SACHS GRP COM 38141G104 257 973 SH   DFND   973 0 0
GOLDMAN SACHS GRP COM 38141G104 4,316 16,367 SH   SOLE   16,297 0 70
General Electric Co COM 369604103 23 2,100 SH   DFND   2,100 0 0
General Electric Co COM 369604103 369 34,178 SH   SOLE   33,748 0 430
General Mills Inc COM 370334104 252 4,293 SH   SOLE   4,293 0 0
Genmab A/S SPONSORED ADS 372303206 1,676 41,208 SH   SOLE   38,279 0 2,929
Gilead Sciences Inc COM 375558103 70 1,200 SH   DFND   1,200 0 0
Gilead Sciences Inc COM 375558103 228 3,922 SH   SOLE   3,922 0 0
Global Payments Inc COM 37940X102 572 2,655 SH   DFND   2,655 0 0
Global Payments Inc COM 37940X102 78 364 SH   SOLE   364 0 0
Goosehead Insurance Inc COM CL A 38267D109 548 4,395 SH   DFND   4,395 0 0
GrowGeneration Corp None 39986L109 272 6,770 SH   DFND   6,770 0 0
Hannon Armstrong Sustainable I COM 41068X100 299 4,719 SH   SOLE   4,719 0 0
Heartland Financial USA Inc COM 42234Q102 8,314 205,933 SH   DFND   199,045 0 6,888
Heartland Financial USA Inc COM 42234Q102 58,680 1,453,558 SH   SOLE   533,594 0 919,964
Home Depot Inc/The COM 437076102 166 624 SH   DFND   624 0 0
Home Depot Inc/The COM 437076102 6,794 25,577 SH   SOLE   23,835 0 1,742
Honeywell International Inc COM 438516106 1,504 7,073 SH   SOLE   7,073 0 0
Hubbell Inc COM 443510607 470 3,000 SH   SOLE   3,000 0 0
INDEXIQ ETF TRUST/USA HEDGE MLTI ETF 45409B107 145 4,530 SH   DFND   4,530 0 0
INDEXIQ ETF TRUST/USA HEDGE MLTI ETF 45409B107 10,439 326,929 SH   SOLE   324,856 0 2,073
INTERCONTINENTAL EXCHANGE COM 45866F104 325 2,815 SH   SOLE   2,815 0 0
INTL BUSINESS MCHN COM 459200101 500 3,976 SH   SOLE   3,876 0 100
ISHARES SELECT DIVID ETF 464287168 404 4,200 SH   SOLE   4,200 0 0
ISHARES CORE S&P500 ETF 464287200 322 857 SH   DFND   857 0 0
ISHARES CORE S&P500 ETF 464287200 12,673 33,760 SH   SOLE   33,760 0 0
ISHARES S&P 500 GRWT ETF 464287309 1,802 28,236 SH   SOLE   28,236 0 0
ISHARES NASDAQ BIOTECH 464287556 223 1,470 SH   DFND   1,470 0 0
ISHARES RUSSELL 2000 ETF 464287655 224 1,145 SH   DFND   1,145 0 0
ISHARES RUSSELL 2000 ETF 464287655 1,029 5,248 SH   SOLE   5,248 0 0
ISHARES EAFE VALUE ETF 464288877 164 3,485 SH   DFND   3,485 0 0
ISHARES EAFE VALUE ETF 464288877 14,725 311,979 SH   SOLE   311,979 0 0
ISHARES ISHARES 46428Q109 235 9,549 SH   DFND   9,549 0 0
ISHARES GOLD TRUST ISHARES 464285105 322 17,745 SH   SOLE   17,745 0 0
ISHARES TR MSCI EMG MKT ETF 464287234 290 5,604 SH   SOLE   5,604 0 0
ISHARES TR BARCLAYS 7 10 YR 464287440 267 2,228 SH   SOLE   1,793 0 435
ISHARES TRUST 1 3 YR TREAS BD 464287457 5,412 62,648 SH   SOLE   58,959 0 3,689
ISHARES TRUST RUS 1000 VAL ETF 464287598 592 4,330 SH   SOLE   4,330 0 0
ISHARES/USA RUS 1000 GRW ETF 464287614 143 592 SH   DFND   592 0 0
ISHARES/USA RUS 1000 GRW ETF 464287614 309 1,280 SH   SOLE   1,280 0 0
ISHARES/USA NATIONAL MUN ETF 464288414 293 2,500 SH   SOLE   2,500 0 0
Innovative Industrial Properti COM 45781V101 1,346 7,350 SH   DFND   7,350 0 0
Innovative Industrial Properti COM 45781V101 27 150 SH   SOLE   150 0 0
Inphi Corp COM 45772F107 455 2,835 SH   DFND   2,835 0 0
Intel Corp COM 458140100 12 233 SH   DFND   178 0 55
Intel Corp COM 458140100 5,238 105,130 SH   SOLE   97,953 0 7,177
Intuitive Surgical Inc COM NEW 46120E602 652 797 SH   DFND   797 0 0
Intuitive Surgical Inc COM NEW 46120E602 17 21 SH   SOLE   21 0 0
Invesco Capital Management LLC DIVID ACHIEVEV 46137V506 526 16,000 SH   SOLE   16,000 0 0
Invesco Capital Management LLC INTL DIVI ACHI 46137V548 224 14,600 SH   SOLE   14,600 0 0
Invesco Capital Management LLC S&P INTL LOW 46138E230 53 1,770 SH   DFND   1,770 0 0
Invesco Capital Management LLC S&P INTL LOW 46138E230 4,702 156,801 SH   SOLE   156,170 0 631
Invesco Capital Management LLC S&P500 LOW VOL 46138E354 93 1,660 SH   DFND   1,660 0 0
Invesco Capital Management LLC S&P500 LOW VOL 46138E354 8,832 157,064 SH   SOLE   155,842 0 1,222
Invesco Capital Management LLC PFD ETF 46138E511 205 13,410 SH   SOLE   13,410 0 0
Invesco Capital Management LLC TREAS COLATERL 46138G888 49 464 SH   DFND   464 0 0
Invesco Capital Management LLC TREAS COLATERL 46138G888 2,291 21,677 SH   SOLE   21,527 0 150
JPMorgan Chase & Co COM 46625H100 474 3,728 SH   DFND   3,673 0 55
JPMorgan Chase & Co COM 46625H100 10,398 81,828 SH   SOLE   77,986 0 3,842
Johnson & Johnson COM 478160104 487 3,093 SH   DFND   3,058 0 35
Johnson & Johnson COM 478160104 13,713 87,132 SH   SOLE   84,061 0 3,071
KIMBERLY-CLARK CP COM 494368103 164 1,220 SH   DFND   1,200 0 20
KIMBERLY-CLARK CP COM 494368103 346 2,566 SH   SOLE   2,566 0 0
KLA Corp COM NEW 482480100 224 866 SH   SOLE   866 0 0
Kraft Foods Inc CL A 609207105 10 173 SH   DFND   173 0 0
Kraft Foods Inc CL A 609207105 702 12,012 SH   SOLE   12,012 0 0
LOWE'S COS INC COM 548661107 604 3,764 SH   DFND   3,764 0 0
LOWE'S COS INC COM 548661107 7,292 45,428 SH   SOLE   45,230 0 198
Lam Research Corp COM 512807108 221 468 SH   SOLE   468 0 0
Linde PLC SHS G5494J103 540 2,050 SH   DFND   2,050 0 0
Linde PLC SHS G5494J103 37 142 SH   SOLE   142 0 0
MASTERCARD INC CL A 57636Q104 562 1,575 SH   DFND   1,575 0 0
MASTERCARD INC CL A 57636Q104 882 2,471 SH   SOLE   2,471 0 0
MCDONALD'S CORP COM 580135101 184 859 SH   DFND   824 0 35
MCDONALD'S CORP COM 580135101 5,510 25,677 SH   SOLE   23,935 0 1,742
MICROSOFT CORP COM 594918104 1,586 7,132 SH   DFND   7,097 0 35
MICROSOFT CORP COM 594918104 21,283 95,687 SH   SOLE   92,692 0 2,995
MOODYS CORP COM 615369105 452 1,556 SH   SOLE   1,556 0 0
MORGAN STANLEY COM NEW 617446448 86 1,257 SH   DFND   1,257 0 0
MORGAN STANLEY COM NEW 617446448 4,378 63,879 SH   SOLE   58,403 0 5,476
Medtronic PLC SHS G5960L103 264 2,256 SH   DFND   2,256 0 0
Medtronic PLC SHS G5960L103 11,422 97,504 SH   SOLE   93,718 0 3,786
Merck & Co Inc COM 58933Y105 265 3,235 SH   DFND   3,180 0 55
Merck & Co Inc COM 58933Y105 703 8,589 SH   SOLE   8,489 0 100
MetLife Inc COM 59156R108 341 7,264 SH   SOLE   7,264 0 0
NEXTERA ENERGY COM 65339F101 231 3,000 SH   DFND   3,000 0 0
NEXTERA ENERGY COM 65339F101 220 2,848 SH   SOLE   2,848 0 0
NIKE INC CL B 654106103 430 3,042 SH   SOLE   3,042 0 0
NORDIC AMER TANKER COM G65773106 149 50,500 SH   SOLE   50,500 0 0
NORTHROP GRUMMAN COM 666807102 6 20 SH   DFND   0 0 20
NORTHROP GRUMMAN COM 666807102 449 1,474 SH   SOLE   1,474 0 0
NOVAGOLD RESOURCES COM NEW 66987E206 232 24,000 SH   DFND   24,000 0 0
New Residential Investment Cor COM NEW 64828T201 101 10,200 SH   SOLE   10,200 0 0
Norfolk Southern Corp COM 655844108 393 1,656 SH   DFND   1,656 0 0
Norfolk Southern Corp COM 655844108 376 1,581 SH   SOLE   1,581 0 0
Nuveen Closed-End Funds/USA COM 6706ER101 111 8,655 SH   DFND   8,655 0 0
Nuveen Closed-End Funds/USA COM 6706ER101 6,939 538,721 SH   SOLE   522,469 0 16,252
Nuveen Closed-End Funds/USA COM 67072C105 144 14,825 SH   SOLE   14,825 0 0
Nuveen Closed-End Funds/USA COM 67074Y105 4,474 332,379 SH   SOLE   332,379 0 0
ORACLE CORP COM 68389X105 212 3,280 SH   DFND   3,210 0 70
ORACLE CORP COM 68389X105 5,586 86,348 SH   SOLE   85,933 0 415
Okta Inc CL A 679295105 908 3,570 SH   DFND   3,570 0 0
PEPSICO INC COM 713448108 249 1,682 SH   DFND   1,652 0 30
PEPSICO INC COM 713448108 4,115 27,748 SH   SOLE   27,626 0 122
PNC Financial Services Group I COM 693475105 152 1,020 SH   DFND   1,000 0 20
PNC Financial Services Group I COM 693475105 468 3,140 SH   SOLE   3,140 0 0
PROSHARES TRUST PSHS ULTRA QQQ 74347R206 322 2,801 SH   DFND   2,801 0 0
Palo Alto Networks Inc COM 697435105 250 704 SH   SOLE   704 0 0
PayPal Holdings Inc COM 70450Y103 280 1,195 SH   SOLE   1,195 0 0
Pegasystems Inc COM 705573103 435 3,265 SH   DFND   3,265 0 0
PermRock Royalty Trust None 714254109 52 20,000 SH   SOLE   20,000 0 0
PetSmart Inc CL A 16679L109 658 7,325 SH   DFND   7,325 0 0
Pfizer Inc COM 717081103 198 5,366 SH   DFND   5,191 0 175
Pfizer Inc COM 717081103 1,647 44,743 SH   SOLE   44,643 0 100
Pfizer Inc CL A 98978V103 218 1,317 SH   SOLE   1,317 0 0
Physicians Realty Trust COM 71943U104 1,023 57,481 SH   SOLE   57,481 0 0
Postal Realty Trust Inc CL A 73757R102 1,089 64,542 SH   SOLE   64,542 0 0
Procter & Gamble Co/The COM 742718109 108 775 SH   DFND   750 0 25
Procter & Gamble Co/The COM 742718109 4,186 30,082 SH   SOLE   28,491 0 1,591
Proshare Capital Management LLC ULTRA SILVER NEW 74347W353 396 7,713 SH   SOLE   7,713 0 0
Putnam Investment Management LLC COM 746823103 90 11,200 SH   SOLE   11,200 0 0
Putnam Investment Management LLC SH BEN INT 746853100 57 12,170 SH   SOLE   12,170 0 0
QCR Holdings Inc COM 74727A104 396 10,000 SH   SOLE   10,000 0 0
QUALCOMM INC COM 747525103 173 1,134 SH   DFND   1,094 0 40
QUALCOMM INC COM 747525103 407 2,673 SH   SOLE   2,673 0 0
Qorvo Inc COM 74736K101 462 2,780 SH   DFND   2,780 0 0
ROPER INDUSTRIES INC COM 776696106 86 200 SH   DFND   200 0 0
ROPER INDUSTRIES INC COM 776696106 345 800 SH   SOLE   800 0 0
Raytheon Technologies Corp COM 75513E101 332 4,641 SH   DFND   4,641 0 0
Raytheon Technologies Corp COM 75513E101 13,410 187,525 SH   SOLE   180,739 0 6,786
RingCentral Inc CL A 76680R206 271 715 SH   DFND   715 0 0
RingCentral Inc CL A 76680R206 4 11 SH   SOLE   11 0 0
SALESFORCE.COM INC COM 79466L302 940 4,223 SH   DFND   4,223 0 0
SALESFORCE.COM INC COM 79466L302 3,876 17,420 SH   SOLE   17,342 0 78
SAP SE SPON ADR 803054204 1,045 8,012 SH   SOLE   7,450 0 562
SELECT SECTOR SPDR TECHNOLOGY 81369Y803 12 95 SH   DFND   95 0 0
SELECT SECTOR SPDR TECHNOLOGY 81369Y803 212 1,630 SH   SOLE   1,630 0 0
SHOPIFY INC CL A 82509L107 1,551 1,370 SH   DFND   1,370 0 0
SOUTHWEST AIRLINES COM 844741108 119 2,550 SH   DFND   2,550 0 0
SOUTHWEST AIRLINES COM 844741108 128 2,752 SH   SOLE   2,752 0 0
SSGA FUNDS MANAGEMENT PORTFOLIO SHORT 78464A474 262 8,339 SH   SOLE   8,339 0 0
SSgA Funds Management Inc TR UNIT 78462F103 39 105 SH   DFND   105 0 0
SSgA Funds Management Inc TR UNIT 78462F103 6,544 17,503 SH   SOLE   17,503 0 0
SSgA Funds Management Inc BLOOMBERG BRCLYS 78468R622 2,205 20,237 SH   SOLE   20,237 0 0
SSgA Funds Management Inc NUVEEN BLMBRG SR 78468R739 66 1,323 SH   DFND   1,323 0 0
SSgA Funds Management Inc NUVEEN BLMBRG SR 78468R739 4,394 88,255 SH   SOLE   88,255 0 0
STARBUCKS CORP COM 855244109 647 6,049 SH   DFND   6,049 0 0
STARBUCKS CORP COM 855244109 14,115 131,936 SH   SOLE   126,793 0 5,143
STATE STREET ETF/USA UTSER1 S&PDCRP 78467Y107 212 505 SH   SOLE   505 0 0
Seligman Funds/Closed-end/USA COM 895436103 9,265 314,398 SH   SOLE   314,398 0 0
ServiceNow Inc COM 81762P102 718 1,305 SH   DFND   1,305 0 0
Shenandoah Telecommunications COM 82312B106 407 9,400 SH   DFND   9,400 0 0
Splunk Inc COM 848637104 166 978 SH   DFND   978 0 0
Splunk Inc COM 848637104 3,444 20,272 SH   SOLE   20,165 0 107
Starwood Property Trust Inc COM 85571B105 1,021 52,915 SH   SOLE   52,915 0 0
Stryker Corp COM 863667101 306 1,250 SH   SOLE   1,250 0 0
T Rowe Price Group Inc COM 74144T108 331 2,184 SH   SOLE   499 0 1,685
TE Connectivity Ltd REG SHS H84989104 256 2,116 SH   SOLE   2,116 0 0
TEXAS INSTRUMENTS COM 882508104 174 1,063 SH   DFND   1,063 0 0
TEXAS INSTRUMENTS COM 882508104 11,966 72,908 SH   SOLE   69,692 0 3,216
TRAVELERS CO INC COM 89417E109 423 3,014 SH   SOLE   3,014 0 0
Target Corp COM 87612E106 202 1,144 SH   DFND   1,119 0 25
Target Corp COM 87612E106 5,754 32,596 SH   SOLE   32,454 0 142
Tesla Inc COM 88160R101 56 80 SH   DFND   80 0 0
Tesla Inc COM 88160R101 282 400 SH   SOLE   400 0 0
Thermo Fisher Scientific Inc COM 883556102 624 1,340 SH   DFND   1,340 0 0
Thermo Fisher Scientific Inc COM 883556102 1,092 2,345 SH   SOLE   2,345 0 0
US BANCORP COM NEW 902973304 297 6,375 SH   DFND   6,375 0 0
US BANCORP COM NEW 902973304 576 12,367 SH   SOLE   4,012 0 8,355
Union Pacific Corp COM 907818108 416 2,000 SH   DFND   2,000 0 0
Union Pacific Corp COM 907818108 447 2,146 SH   SOLE   2,146 0 0
United Parcel Service Inc CL B 911312106 259 1,540 SH   DFND   1,540 0 0
United Parcel Service Inc CL B 911312106 12,095 71,821 SH   SOLE   69,623 0 2,198
United Rentals Inc COM 911363109 391 1,684 SH   SOLE   1,684 0 0
UnitedHealth Group Inc COM 91324P102 538 1,535 SH   DFND   1,525 0 10
UnitedHealth Group Inc COM 91324P102 457 1,304 SH   SOLE   1,304 0 0
VANGUARD FINANCIALS ETF 92204A405 27 371 SH   DFND   371 0 0
VANGUARD FINANCIALS ETF 92204A405 684 9,394 SH   SOLE   9,394 0 0
VANGUARD S&P 500 ETF SHS 922908363 371 1,080 SH   SOLE   1,080 0 0
VANGUARD REAL ESTATE ETF 922908553 4 42 SH   DFND   42 0 0
VANGUARD REAL ESTATE ETF 922908553 429 5,057 SH   SOLE   5,057 0 0
VANGUARD ETF/USA DIV APP ETF 921908844 599 4,242 SH   SOLE   4,242 0 0
VANGUARD ETF/USA COMM SRVC ETF 92204A884 28 231 SH   DFND   231 0 0
VANGUARD ETF/USA COMM SRVC ETF 92204A884 5,727 47,645 SH   SOLE   44,902 0 2,743
VANGUARD ETF/USA SHRT TRM CORP BD 92206C409 8,194 98,425 SH   SOLE   98,425 0 0
VANGUARD ETF/USA SM CP VAL ETF 922908611 83 586 SH   DFND   586 0 0
VANGUARD ETF/USA SM CP VAL ETF 922908611 5,752 40,445 SH   SOLE   40,445 0 0
VANGUARD GROUP INC/THE INTL BD IDX ETF 92203J407 996 17,010 SH   SOLE   17,010 0 0
VANGUARD WORLD FDS INDUSTRIAL ETF 92204A603 23 135 SH   DFND   135 0 0
VANGUARD WORLD FDS INDUSTRIAL ETF 92204A603 617 3,627 SH   SOLE   3,627 0 0
VERIZON COMMUN COM 92343V104 108 1,838 SH   DFND   1,710 0 128
VERIZON COMMUN COM 92343V104 4,015 68,333 SH   SOLE   63,911 0 4,422
VISA INC COM CL A 92826C839 946 4,323 SH   DFND   4,323 0 0
VISA INC COM CL A 92826C839 6,353 29,044 SH   SOLE   28,923 0 121
Van Eck Associates Corp INTRMDT MUNI ETF 92189H201 785 15,083 SH   DFND   15,083 0 0
Van Eck Associates Corp INTRMDT MUNI ETF 92189H201 27,781 533,900 SH   SOLE   533,900 0 0
Van Eck Associates Corp HIGH YLD MUN ETF 92189H409 75 1,216 SH   DFND   1,216 0 0
Van Eck Associates Corp HIGH YLD MUN ETF 92189H409 2,657 43,172 SH   SOLE   43,172 0 0
Vanguard ETF/USA 500 GRTH IDX F 921932505 1,383 6,010 SH   SOLE   6,010 0 0
Vanguard ETF/USA INTERMED TERM 921937819 366 3,945 SH   SOLE   3,945 0 0
Vanguard ETF/USA TOTAL BND MRKT 921937835 13,661 154,901 SH   SOLE   152,988 0 1,913
Vanguard ETF/USA FTSE DEV MKT ETF 921943858 272 5,755 SH   SOLE   5,755 0 0
Vanguard ETF/USA FTSE EMR MKT ETF 922042858 77 1,545 SH   DFND   1,545 0 0
Vanguard ETF/USA FTSE EMR MKT ETF 922042858 6,285 125,418 SH   SOLE   125,418 0 0
Vanguard ETF/USA CONSUM DIS ETF 92204A108 25 90 SH   DFND   90 0 0
Vanguard ETF/USA CONSUM DIS ETF 92204A108 756 2,748 SH   SOLE   2,748 0 0
Vanguard ETF/USA CONSUM STP ETF 92204A207 26 149 SH   DFND   149 0 0
Vanguard ETF/USA CONSUM STP ETF 92204A207 642 3,690 SH   SOLE   3,690 0 0
Vanguard ETF/USA HEALTH CAR ETF 92204A504 37 166 SH   DFND   166 0 0
Vanguard ETF/USA HEALTH CAR ETF 92204A504 1,122 5,017 SH   SOLE   5,017 0 0
Vanguard ETF/USA INF TECH ETF 92204A702 67 189 SH   DFND   189 0 0
Vanguard ETF/USA INF TECH ETF 92204A702 1,866 5,274 SH   SOLE   5,274 0 0
Vanguard ETF/USA SML CP GRW ETF 922908595 87 325 SH   DFND   325 0 0
Vanguard ETF/USA SML CP GRW ETF 922908595 5,906 22,064 SH   SOLE   22,064 0 0
Vanguard ETF/USA GROWTH ETF 922908736 427 1,686 SH   DFND   1,686 0 0
Vanguard ETF/USA GROWTH ETF 922908736 30,199 119,205 SH   SOLE   119,205 0 0
Vanguard ETF/USA VALUE ETF 922908744 407 3,421 SH   DFND   3,421 0 0
Vanguard ETF/USA VALUE ETF 922908744 28,496 239,544 SH   SOLE   239,544 0 0
Vanguard ETF/USA TOTAL STK MKT 922908769 908 4,664 SH   DFND   4,664 0 0
Vanguard ETF/USA TOTAL STK MKT 922908769 8,240 42,332 SH   SOLE   42,332 0 0
Vanguard Group Inc/The FTSE SMCAP ETF 922042718 230 1,889 SH   SOLE   1,889 0 0
Veeva Systems Inc CL A COM 922475108 1,126 4,135 SH   DFND   4,135 0 0
Voya Financial Inc COM 929089100 320 5,435 SH   DFND   5,435 0 0
WASTE MANAGEMENT COM 94106L109 405 3,438 SH   SOLE   3,438 0 0
WEC Energy Group Inc COM 92939U106 184 2,000 SH   DFND   2,000 0 0
WEC Energy Group Inc COM 92939U106 159 1,727 SH   SOLE   1,727 0 0
Walmart Inc COM 931142103 425 2,946 SH   DFND   2,801 0 145
Walmart Inc COM 931142103 13,570 94,137 SH   SOLE   90,404 0 3,733
Walt Disney Co/The COM DISNEY 254687106 335 1,851 SH   DFND   1,731 0 120
Walt Disney Co/The COM DISNEY 254687106 7,602 41,961 SH   SOLE   41,783 0 178
Wells Fargo & Co COM 949746101 6 194 SH   DFND   99 0 95
Wells Fargo & Co COM 949746101 837 27,732 SH   SOLE   27,732 0 0
Woodward Inc COM 980745103 267 2,200 SH   SOLE   2,200 0 0
YAMANA GOLD INC COM 98462Y100 114 20,000 SH   DFND   20,000 0 0
YAMANA GOLD INC COM 98462Y100 34 6,020 SH   SOLE   6,020 0 0
Yum China Holdings Inc COM 98850P109 924 16,187 SH   SOLE   14,996 0 1,191
iShares ETFs/USA CORE US AGGBD ET 464287226 842 7,122 SH   SOLE   7,122 0 0
iShares ETFs/USA MSCI ACWI EX US 464288240 112 2,115 SH   DFND   2,115 0 0
iShares ETFs/USA MSCI ACWI EX US 464288240 1,726 32,539 SH   SOLE   32,539 0 0
iShares ETFs/USA JPMORGAN USD EMG 464288281 1,862 16,063 SH   SOLE   16,063 0 0
iShares ETFs/USA ULTR SH TRM BD 46434V878 932 18,450 SH   SOLE   16,708 0 1,742