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13F Holdings
13F Holdings
13F Filings for HTLF Bank (CIK: 2003343)
View the most recent portfolio holdings disclosed by HTLF Bank in their 13F filing.
Quarter:
Q4 2024
Holding
Shares
Value
Portfolio Percent
Change Status
Change Amount
VUG - Vanguard ETF/USA
(Class: GROWTH ETF)
169.83K
$69.71M
-
N/A
-
VTV - Vanguard ETF/USA
(Class: VALUE ETF)
378.29K
$64.04M
-
N/A
-
HTLF - Heartland Financial USA Inc
(Class: COM)
1.04M
$63.70M
-
N/A
-
N/A - Van Eck Associates Corp
(Class: INTRMDT MUNI ETF)
1.27M
$58.57M
-
N/A
-
N/A - ISHARES
(Class: EAFE VALUE ETF)
653.55K
$34.29M
-
N/A
-
N/A - BlackRock Fund Advisors
(Class: EAFE GRWTH ETF)
347.31K
$33.63M
-
N/A
-
SHM - SSgA Funds Management Inc
(Class: NUVEEN BLMBRG SH)
642.07K
$30.43M
-
N/A
-
AAPL - Apple Inc
(Class: COM)
103.26K
$25.86M
-
N/A
-
MSFT - MICROSOFT CORP
(Class: COM)
48.91K
$20.61M
-
N/A
-
QAI - INDEXIQ ETF TRUST/USA
(Class: NYLI HEDGE MULTI)
592.57K
$18.61M
-
N/A
-
JEPI - JP Morgan ETFs/USA
(Class: EQUITY PREMIUM)
296.60K
$17.06M
-
N/A
-
BND - Vanguard ETF/USA
(Class: TOTAL BND MRKT)
210.30K
$15.12M
-
N/A
-
INCE - Franklin LibertyShares ETFs/US
(Class: INCOME EQT FOCUS)
269.44K
$14.93M
-
N/A
-
GOOGL - ALPHABET INC
(Class: CAP STK CL A)
75.61K
$14.31M
-
N/A
-
VWO - VANGUARD ETF/USA
(Class: FTSE EMR MKT ETF)
316.69K
$13.95M
-
N/A
-
VBK - Vanguard Group Inc/The
(Class: SML CP GRW ETF)
46.82K
$13.11M
-
N/A
-
VBR - VANGUARD ETF/USA
(Class: SM CP VAL ETF)
62.78K
$12.44M
-
N/A
-
AVGO - Broadcom Inc
(Class: COM)
52.97K
$12.28M
-
N/A
-
JPM - JPMorgan Chase & Co
(Class: COM)
48.93K
$11.73M
-
N/A
-
AMZN - Amazon.com Inc
(Class: COM)
48.90K
$10.73M
-
N/A
-
SPIB - SSGA FUNDS MANAGEMENT INC
(Class: PORTFOLIO INTRMD)
306.86K
$10.05M
-
N/A
-
ORCL - ORACLE CORP
(Class: COM)
55.59K
$9.26M
-
N/A
-
WMT - Walmart Inc
(Class: COM)
101.57K
$9.18M
-
N/A
-
RTX - RTX Corp
(Class: COM)
70.68K
$8.18M
-
N/A
-
VTI - VANGUARD ETF/USA
(Class: TOTAL STK MKT)
27.73K
$8.04M
-
N/A
-
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