13F Filings for FIRST AMERICAN BANK (CIK: 1291422)
View the most recent portfolio holdings disclosed by FIRST AMERICAN BANK in their 13F filing.
Holding | Shares | Value | Portfolio Percent | Change Status | Change Amount |
---|---|---|---|---|---|
AAPL - APPLE INC.(Class: COMMON STOCK) | 651.08K | $133.58M | 9.16% | Decreased | 1.19K (0.0%, $11.31M) |
MSFT - MICROSOFT CORP COM(Class: COMMON STOCK) | 199.36K | $99.16M | 6.80% | Increased | 191 (0.0%, $24.40M) |
AVGO - BROADCOM INC(Class: COMMON STOCK) | 343.78K | $94.76M | 6.50% | Decreased | 13.42K (3.0%, $34.96M) |
NVDA - NVIDIA CORPORATION(Class: COMMON STOCK) | 374.89K | $59.23M | 4.06% | Increased | 864 (0.0%, $18.69M) |
AMZN - AMAZON.COM INC.(Class: COMMON STOCK) | 244.59K | $53.66M | 3.68% | Increased | 772 (0.0%, $7.27M) |
GOOGL - ALPHABET INC(Class: COMMON STOCK) | 280.68K | $49.46M | 3.39% | Decreased | 900 (0.0%, $5.92M) |
V - VISA INC.(Class: COMMON STOCK) | 120.86K | $42.91M | 2.94% | Decreased | 194 (0.0%, $486.76K) |
LLY - ELI LILLY CO(Class: COMMON STOCK) | 53.03K | $41.34M | 2.83% | Decreased | 1.67K (3.0%, $3.84M) |
PEP - PEPSICO INC COM(Class: COMMON STOCK) | 308.65K | $40.75M | 2.79% | Decreased | 15.26K (4.0%, $7.81M) |
JPM - JP MORGAN CHASE CO(Class: COMMON STOCK) | 131.53K | $38.13M | 2.61% | Increased | 4.30K (3.0%, $6.92M) |
META - META PLATFORMS INC(Class: COMMON STOCK) | 42.76K | $31.56M | 2.16% | Increased | 843 (2.0%, $7.40M) |
GS - GOLDMAN SACHS GROUP INC(Class: COMMON STOCK) | 38.52K | $27.26M | 1.87% | Increased | 307 (0.0%, $6.39M) |
PG - PROCTER GAMBLE(Class: COMMON STOCK) | 138.14K | $22.01M | 1.51% | Increased | 3.87K (2.0%, $874.32K) |
ABBV - ABBVIE INC(Class: COMMON STOCK) | 116.87K | $21.69M | 1.49% | Decreased | 2.40K (2.0%, $3.30M) |
CTAS - CINTAS CORPORATION(Class: COMMON STOCK) | 94.14K | $20.98M | 1.44% | Decreased | 3.28K (3.0%, $957.43K) |
HD - HOME DEPOT INC(Class: COMMON STOCK) | 54.40K | $19.94M | 1.37% | Increased | 480 (0.0%, $184.07K) |
WMT - WALMART INC(Class: COMMON STOCK) | 188.88K | $18.47M | 1.27% | Increased | 8.73K (4.0%, $2.65M) |
ETN - EATON CORP PLC(Class: COMMON STOCK) | 51.72K | $18.46M | 1.27% | Increased | 1.15K (2.0%, $4.72M) |
ACN - ACCENTURE PLC-CL A(Class: COMMON STOCK) | 59.86K | $17.89M | 1.23% | Increased | 170 (0.0%, $734.11K) |
TJX - TJX COMPANIES INC(Class: COMMON STOCK) | 138.84K | $17.15M | 1.18% | Increased | 5.92K (4.0%, $955.82K) |
BRK.B - BERKSHIRE HATHAWAY INC(Class: COMMON STOCK) | 35.06K | $17.03M | 1.17% | Increased | 6 (0.0%, $1.64M) |
XOM - EXXON MOBIL CORP COM(Class: COMMON STOCK) | 150.85K | $16.26M | 1.11% | Decreased | 612 (0.0%, $1.75M) |
DHR - DANAHER CORPORATION(Class: COMMON STOCK) | 77.66K | $15.34M | 1.05% | Decreased | 66 (0.0%, $592.86K) |
MAR - MARRIOTT INTL INC CL A(Class: COMMON STOCK) | 52.54K | $14.36M | 0.98% | Increased | 16 (0.0%, $1.84M) |
ICE - INTERCONTINENTAL EXCHANGE INC(Class: COMMON STOCK) | 76.92K | $14.11M | 0.97% | Increased | 590 (0.0%, $945.51K) |