BRIDGES INVESTMENT MANAGEMENT INC

$7.4B reported 13(f) long value · latest quarter 2026-03-31 · CIK 0001007295 · EDGAR ↗
A quarter-end snapshot. Filed up to 45 days later, so this page is not current holdings and never a complete portfolio. what a 13F is — and is not ↓ · methodology §13F ↗
Period
$7.4B
reported valuesum of disclosed values for 2026-03-31; 0 positions carry a NULL value and are excluded from the sum, surfaced here rather than folded away
890
positionsALL retained default holdings for this (filer, period), including NULL-value ones
22
new stakespositions with no comparable holding in the prior quarter (kind new), 2026-03-31
29
exitspositions absent from this quarter's filing after being held last quarter (kind exit), 2026-03-31 — inferred from absence, not a sale record

Position changes — into 2026-03-31

by shares · Δ value · filing link · how changes are classified §
Position changes into quarter 2026-03-31
Positionposition matched across quarters by exact reported CUSIP over a registry gap — producer-reconciled identity, never a name match identity_reconciled_by_cusipChangethe reported share count is unchanged across the pair, so the position reads as held rather than as a buy or a sell; only builds before this release inferred a direction from the reported value instead classified_by_value · "exit" = absent this quarter: disposed, delisted, under confidential treatment, or reported instead by an affiliated manager — the filing does not say which · change not classifiable: value undisclosed on one side of the quarter pair, or neither shares nor value can classify it · "no change" = the share count is identical in both quarters; the value moved only with price, so the row is mark-to-market and never an add or a trim (Add / New / Trim / Exit / No change) · "no prior" = this filer has no comparable holdings list for the previous quarter on record — a first filing under this registration, or a quarter reported inside an affiliated manager's filing — so the position is not called a new stakeΔ valuederived by Public Filings from the published aggregate; NULL means the source did not disclose a usable value — never zeroΔ sharesreported unit changed across the pair (SH↔PRN); the share delta is withheld rather than fabricated shares_unit_mismatchPrev valueCurr valuePrev sharesCurr sharesFlags
ISHARES CORE S&P MID CAP ETF ETFposition key pos:17776 · issuer key iss:1231trim−$6.5M−233,038$397M$390M6,015,2265,782,188
ALPHABET INC CL A COMposition key pos:16029 · issuer key iss:152trim−$51.2M−55,178$434M$383M1,387,6111,332,433
MICROSOFT CORP COM COMposition key pos:12680 · issuer key iss:1473add−$101M+3,764$437M$336M903,355907,119
APPLE INC COMposition key pos:14088 · issuer key iss:219trim−$58.2M−131,994$372M$314M1,368,5371,236,543
AMAZON.COM INC COMposition key pos:15054 · issuer key iss:159trim−$34.6M−12,476$327M$293M1,418,6551,406,179
VANGUARD FTSE DEVELOPED MARKET ETFposition key pos:18321 · issuer key cusip6:921943add+$23.7M+265,162$260M$284M4,165,0194,430,181
NVIDIA CORPORATION COMposition key pos:16535 · issuer key iss:1593trim−$20.4M−12,950$279M$259M1,497,3631,484,413
BERKSHIRE HATHAWAY INC CLASS A COMposition key pos:11867 · issuer key iss:360trim−$24.4M−16$266M$242M353337
MASTERCARD COMposition key pos:15086 · issuer key iss:1433trim−$28.4M−2,554$217M$189M380,742378,188
VANGUARD FTSE EMERGING MARKETS ETFposition key sid:sec:prov:2727b63284f6235da134480881be8949 · issuer key cusip6:922042add+$7.4M+118,524$179M$187M3,337,1493,455,673
BERKSHIRE HATHAWAY INC CLASS B COMposition key pos:12054 · issuer key iss:360trim−$15.6M−14,484$186M$170M369,471354,987
ISHARES CORE S&P SMALL CAP ETF ETFposition key pos:14911 · issuer key iss:1231add+$7.7M+18,278$159M$167M1,323,6611,341,939
ISHARES CORE S&P 500 ETF ETFposition key pos:11149 · issuer key iss:1231trim−$25.0M−25,686$177M$152M257,894232,208
JPMORGAN CHASE & CO COM COMposition key pos:18958 · issuer key iss:1247trim−$15.3M−4,613$160M$145M497,685493,072
UNION PACIFIC CORP COM COMposition key pos:15071 · issuer key iss:2200trim−$17.1M−102,875$161M$144M697,106594,231
OLD DOMINION FREIGHT LINE, INC COMposition key pos:11269 · issuer key iss:1612trim+$17.1M−49,193$108M$126M691,568642,375
VISA INC. CLASS A COMposition key pos:13716 · issuer key iss:2278trim−$20.5M−2,263$143M$123M408,040405,777
CASEYS GEN STORES COM COMposition key pos:14845 · issuer key iss:534trim+$25.9M−2,427$87.4M$113M158,168155,741
LOWES COMPANIES COM COMposition key pos:17070 · issuer key iss:1374add−$2.0M+719$108M$106M446,441447,160
META PLATFORMS INC COMposition key pos:12241 · issuer key iss:891add−$15.9M+481$122M$106M184,106184,587
PALO ALTO NETWORKS INC COM COMposition key pos:15667 · issuer key iss:1670trim−$19.0M−17,966$124M$105M674,387656,421
BROADCOM INC COMposition key pos:13695 · issuer key iss:441trim−$16.5M−12,242$120M$104M347,480335,238
S & P GLOBAL INC COMposition key pos:16388 · issuer key iss:1887add−$14.0M+17,497$115M$101M219,986237,483
ALPHABET INC CL C COMposition key pos:18738 · issuer key iss:152trim−$11.9M−12,882$95.9M$84.0M305,698292,816
PROGRESSIVE CORP COMposition key pos:12536 · issuer key iss:1764trim−$12.8M−5,537$90.7M$77.8M398,118392,581
INTUITIVE SURGICAL, INC. COMposition key pos:17712 · issuer key iss:1213trim−$18.8M−2,074$96.1M$77.2M169,622167,548
BLACKROCK INC COMposition key pos:12463 · issuer key iss:401trim−$10.4M−1,780$85.2M$74.9M79,62177,841
LITHIA MTRS INC CL A COMposition key pos:11602 · issuer key iss:1362add−$23.3M+737$94.5M$71.2M284,325285,062
ISHARES RUSSELL 1000 GROWTH ET ETFposition key pos:12381 · issuer key iss:1231trim−$11.5M−7,932$81.5M$70.0M172,114164,182
INVESCO S&P 500 EQUAL WEIGHT E ETFposition key pos:16039 · issuer key iss:1216add+$9.1M+46,887$60.7M$69.8M316,978363,865
THERMO FISHER SCIENTIFIC COMposition key pos:16012 · issuer key iss:2132trim−$13.4M−1,958$82.0M$68.6M141,442139,484
CARLISLE COMPANIES INCORPORATE COMposition key pos:10986 · issuer key iss:521add+$7.0M+13,706$57.5M$64.5M179,770193,476
INTERCONTINENTAL EXCHANGE INC. COMposition key pos:17733 · issuer key iss:1198add−$1.8M+462$63.6M$61.9M392,973393,435
KLA CORP COM COMposition key pos:19106 · issuer key iss:1265trim+$713K−8,254$60.8M$61.5M49,99941,745
SERVICENOW INC COM COMposition key pos:14558 · issuer key iss:1958add−$8.4M+116,380$64.9M$56.5M423,815540,195
ISHARES RUSSELL 1000 VALUE ETF ETFposition key pos:18615 · issuer key iss:1231trim−$1.3M−10,373$56.3M$55.0M267,626257,253
UNITED RENTALS INC COM COMposition key pos:17186 · issuer key iss:2208add−$3.6M+2,815$56.3M$52.7M69,58372,398
WELLS FARGO & CO DEL COM COMposition key pos:12541 · issuer key iss:2317add−$8.6M+2,306$60.6M$51.9M649,938652,244
STRYKER CORP COM COMposition key pos:16108 · issuer key iss:2049add−$735K+7,837$50.9M$50.1M144,689152,526
VANGUARD FTSE ALL-WORLD EX-US ETFposition key pos:14872 · issuer key cusip6:922042add+$2.4M+18,429$47.4M$49.7M643,712662,141
EOG RESOURCES INC. COMposition key pos:13315 · issuer key iss:780trim+$13.0M−2,445$35.4M$48.3M336,859334,414
CADENCE DESIGN SYSTEMS INC COM COMposition key pos:12669 · issuer key iss:493add−$5.8M+588$54.0M$48.2M172,894173,482
COSTCO WHOLESALE CORP COMposition key pos:12889 · issuer key iss:669trim+$5.8M−256$39.0M$44.8M45,26545,009
CINTAS CORP COM COMposition key pos:18762 · issuer key iss:589trim−$5.3M−1,513$50.0M$44.7M266,038264,525
AUTOZONE INC COM COMposition key pos:15380 · issuer key iss:281add+$14.2M+4,240$28.3M$42.5M8,34112,581
COPART INC COMposition key pos:11462 · issuer key iss:651add+$6.2M+350,819$35.8M$42.0M915,1831,266,002
U.S. BANCORP COM (NEW) COMposition key pos:16021 · issuer key iss:2187trim−$1.6M−9,792$42.5M$41.0M797,279787,487
ABBVIE INC COMposition key pos:16392 · issuer key iss:41trim−$2.3M−1,294$42.8M$40.5M187,387186,093
ULTA SALON COSMETICS & FRAGRAN COMposition key pos:18545 · issuer key iss:2192trim−$12.9M−11,841$49.0M$36.1M80,99169,150
HOME DEPOT INC COM COMposition key pos:11561 · issuer key iss:1122trim−$2.1M−1,461$36.9M$34.8M107,367105,906
FIRST NATL NEB INC COM COMposition key cusip:335720108 · issuer key cusip6:335720trim+$1.9M−11$31.7M$33.5M2,0432,032
ALCON AG ORD SHS COMposition key pos:18699 · issuer key iss:2659trim−$1.7M−3,225$32.5M$30.8M412,247409,022
AMGEN INC COM COMposition key pos:12524 · issuer key iss:193trim+$1.8M−1,012$29.0M$30.8M88,59387,581
ZOETIS INC COMposition key pos:12755 · issuer key iss:2380add+$7.7M+76,079$21.7M$29.4M172,730248,809
PEPSICO INC COM COMposition key pos:14709 · issuer key iss:1700trim+$2.2M−248$27.1M$29.3M188,855188,607
CHEVRON CORP COM COMposition key pos:12570 · issuer key iss:572trim+$7.4M−1,373$21.4M$28.8M140,590139,217
ABBOTT LABS COM COMposition key pos:13229 · issuer key iss:38add−$1.7M+36,712$30.1M$28.4M240,377277,089
AMPHENOL CORP CL A COMposition key pos:16124 · issuer key iss:197add−$1.2M+5,210$28.6M$27.4M211,268216,478
MCDONALDS CORP COM COMposition key pos:16994 · issuer key iss:1447trim−$3.5K−1,484$27.1M$27.1M88,70087,216
SHERWIN WILLIAMS CO COM COMposition key pos:14643 · issuer key iss:1962add−$79.6K+644$26.6M$26.6M82,20582,849
LINDE PLC COMposition key pos:13548 · issuer key iss:2557add+$3.7M+451$21.6M$25.4M50,74651,197
ADOBE INC COM COMposition key pos:18200 · issuer key iss:72trim−$17.6M−18,651$42.8M$25.2M122,381103,730
CHEMED CORP COM COMposition key pos:17616 · issuer key iss:566add−$1.6M+4,052$26.5M$24.9M61,86965,921
FLOOR & DECOR HOLDINGS INC-A COMposition key pos:14725 · issuer key iss:930add−$23.7K+78,263$24.1M$24.1M396,378474,641
TJX COMPANIES INC COMposition key pos:18816 · issuer key iss:2073add+$1.1M+1,181$22.4M$23.5M145,736146,917
ISHARES CORE MSCI EMERGING MKT ETFposition key pos:14781 · issuer key iss:1235trim−$4.5M−79,835$27.7M$23.2M412,319332,484
LILLY ELI & CO COM COMposition key pos:16757 · issuer key iss:1353add−$2.6M+1,134$25.6M$23.0M23,82224,956
VANGUARD MID-CAP INDEX FUND -E ETFposition key pos:14933 · issuer key cusip6:922908add+$1.6M+6,224$19.6M$21.2M67,48573,709
VANGUARD S&P 500 ETF ETFposition key sid:sec:prov:127f0021d8310eeeecdea8298c5f12e5 · issuer key cusip6:922908add+$1.8M+4,492$19.4M$21.1M30,87335,365
AUTOMATIC DATA PROCESSING COM COMposition key pos:11639 · issuer key iss:279add−$3.9M+6,102$24.5M$20.6M95,162101,264
ISHARES RUSSELL MID CAP ETF ETFposition key pos:16961 · issuer key iss:1231add+$322K+1,252$20.1M$20.4M208,896210,148
JOHNSON & JOHNSON COM COMposition key pos:14474 · issuer key iss:1258trim+$2.5M−1,320$15.9M$18.4M76,62275,302
UNITEDHEALTH GROUP INC COM COMposition key pos:17013 · issuer key iss:2218trim−$4.3M−886$22.5M$18.2M68,13767,251
PROLOGIS INC COM COMposition key pos:17094 · issuer key iss:1767add+$658K+604$16.3M$17.0M127,812128,416
TRANE TECHOLOGIES PLC COMposition key pos:14960 · issuer key iss:2639add+$16.0M+38,219$600K$16.6M1,54239,761
PARKER-HANNIFIN CORP COMposition key pos:10968 · issuer key iss:1677add+$405K+142$15.0M$15.4M17,05417,196
BADGER METER INC COM COMposition key pos:13635 · issuer key iss:307add+$12.4M+83,619$2.4M$14.8M13,78697,405
AMERICAN FINANCIAL GROUP INC O COMposition key pos:13633 · issuer key iss:169add−$253K+5,510$14.6M$14.3M106,662112,172
POOL CORP COMposition key pos:12554 · issuer key iss:1737add+$4.9M+29,394$9.4M$14.3M41,26670,660
ROLLINS INC COMposition key pos:12799 · issuer key iss:1866add−$1.5M+3,072$15.1M$13.6M251,765254,837
HERSHEY COMPANY COMposition key pos:16378 · issuer key iss:1108add+$1.9M+1,272$11.3M$13.2M62,27963,551
ACCENTURE PLC F CLASS A COMposition key pos:18342 · issuer key iss:2450trim−$5.3M−2,748$18.3M$13.0M68,31065,562
INTUIT INC COMposition key pos:14708 · issuer key iss:1212trim−$7.4M−875$20.2M$12.8M30,54729,672
MARSH COM COMposition key pos:16601 · issuer key iss:1426trim−$1.3M−2,218$13.7M$12.4M73,88971,671
EXXON MOBIL CORP COM COMposition key pos:15436 · issuer key iss:879trim+$3.3M−2,508$9.1M$12.4M75,46072,952
GRACO INC COM COMposition key pos:14574 · issuer key iss:1034add+$893K+6,132$11.4M$12.3M139,663145,795
BOOZ ALLEN HAMILTON HOLDINGS COMposition key pos:11537 · issuer key iss:416add+$1.4M+27,520$10.3M$11.6M121,589149,109
VANGUARD SMALL CAP INDEX FUND ETFposition key pos:18141 · issuer key cusip6:922908add+$225K+256$10.2M$10.5M39,70239,958
WALMART INC COMposition key pos:14365 · issuer key iss:2299trim+$163K−7,792$9.8M$10.0M87,90680,114
FLEXSHARES QUALITY DIVIDEND IN ETFposition key sid:sec:prov:e7f7056bad4cc0deabb1b750ba053f7f · issuer key cusip6:33939Ltrim−$271K−764$9.9M$9.6M122,512121,748
EATON CORP PLC COMposition key pos:18756 · issuer key iss:2493trim+$929K−279$8.4M$9.3M26,28326,004
BWX TECHNOLOGIES INC COMposition key pos:13143 · issuer key iss:305trim−$30.9M−187,305$40.2M$9.3M232,54045,235
AMERICAN TOWER CORP COM COMposition key pos:14917 · issuer key iss:181add+$411K+3,237$8.7M$9.1M49,52752,764
ENTERPRISE PRODUCTS PARTNERS L MLPposition key pos:14214 · issuer key iss:831add+$2.1M+22,270$6.9M$9.0M214,327236,597
COMFORT SYS USA INC COM COMposition key pos:18892 · issuer key iss:624trim+$2.3M−319$5.7M$8.0M6,1495,830
PHILIP MORRIS INTERNATIONAL IN COMposition key pos:16086 · issuer key iss:1711trim−$285K−3,205$8.0M$7.7M49,61946,414
MSCI, INC. COMposition key pos:16902 · issuer key iss:1398add+$368K+1,496$7.2M$7.6M12,62114,117
STATE STREET SPDR S&P 500 ETF ETFposition key pos:12423 · issuer key iss:1897add−$276K+91$7.2M$6.9M10,59510,686
MERCK & CO INC COM COMposition key pos:18668 · issuer key iss:1461trim+$746K−884$6.0M$6.7M56,73555,851
ENERGY TRANSFER LP MLPposition key pos:14264 · issuer key iss:820add+$1.6M+40,075$4.9M$6.5M299,182339,257

80 more changes below.

1–100 of 354 changes
Mark-to-market only (no share change) · 71

Positions whose share count is identical in both quarters; the value changed with price, not with a decision.

Positions held with no share change into quarter 2026-03-31
Positionposition matched across quarters by exact reported CUSIP over a registry gap — producer-reconciled identity, never a name match identity_reconciled_by_cusipChangethe reported share count is unchanged across the pair, so the position reads as held rather than as a buy or a sell; only builds before this release inferred a direction from the reported value instead classified_by_value · "exit" = absent this quarter: disposed, delisted, under confidential treatment, or reported instead by an affiliated manager — the filing does not say which · change not classifiable: value undisclosed on one side of the quarter pair, or neither shares nor value can classify it · "no change" = the share count is identical in both quarters; the value moved only with price, so the row is mark-to-market and never an add or a trim (Add / New / Trim / Exit / No change) · "no prior" = this filer has no comparable holdings list for the previous quarter on record — a first filing under this registration, or a quarter reported inside an affiliated manager's filing — so the position is not called a new stakeΔ valuederived by Public Filings from the published aggregate; NULL means the source did not disclose a usable value — never zeroΔ sharesreported unit changed across the pair (SH↔PRN); the share delta is withheld rather than fabricated shares_unit_mismatchPrev valueCurr valuePrev sharesCurr sharesFlags
PEM HOLDING COMAPNY, LLC COMposition key cusip:69340A903 · issuer key cusip6:69340Ano change$00$8.3M$8.3M11
ING GROEP NV ADR ADRposition key sid:sec:prov:14168e59577343097d860686c7d4f021 · issuer key cusip6:456837no change−$542K0$7.8M$7.2M277,987277,987
ISHARES RUSSELL 2000 ETF ETFposition key pos:16595 · issuer key iss:1231no change+$46.0K0$6.2M$6.2M25,01625,016
ISHARES S&P 500 GROWTH INDEX F ETFposition key pos:14621 · issuer key iss:1231no change−$439K0$5.3M$4.9M43,24143,241
ISHARES RUSSELL MID CAP VALUE ETFposition key pos:13188 · issuer key iss:1231no change+$131K0$3.9M$4.1M27,84827,848
TARGA RESOURCES COMposition key pos:14766 · issuer key iss:2090no change+$1.0M0$2.8M$3.8M15,25815,258
AMERIPRISE FINANCIAL INC COM COMposition key pos:17716 · issuer key iss:189no change−$380K0$4.1M$3.7M8,2708,270
STATE STREET CORP COM COMposition key pos:12497 · issuer key iss:2038no change−$62.8K0$3.3M$3.2M25,63625,636
AUTODESK INC COMposition key pos:18457 · issuer key iss:277no change−$760K0$4.0M$3.2M13,42913,429
CHENIERE ENERGY INC COMposition key pos:11668 · issuer key iss:569no change+$802K0$1.7M$2.5M8,9748,974
FLEXSHARES MORNINGSTAR US MARK ETFposition key sid:sec:prov:53da31b82803eddddab00e6fa83b989e · issuer key cusip6:33939Lno change−$74.0K0$2.5M$2.4M10,11710,117
ZURICH INSURANCE GROUP AG COMposition key cusip:H9870Y105 · issuer key cusip6:H9870Yno change−$205K0$2.6M$2.4M3,4473,447
FAIRMONT GROUP, INC. COMposition key cusip:30519A918 · issuer key cusip6:30519Ano change+$22.4K0$2.2M$2.2M11
HESS MIDSTREAM LP CL A COMposition key pos:14204 · issuer key iss:1110no change+$225K0$1.8M$2.0M51,38051,380
BOOKING HOLDINGS INC COMposition key pos:11700 · issuer key iss:414no change−$532K0$2.5M$2.0M465465
SYSCO CORP COMposition key pos:16712 · issuer key iss:2070no change−$63.4K0$2.0M$1.9M26,85226,852
FIDELITY NATIONAL FINANCIAL IN COMposition key pos:16319 · issuer key iss:908no change−$267K0$1.8M$1.5M32,56032,560
LABCORP HOLDINGS INC COMposition key pos:11912 · issuer key iss:1318no change+$88.0K0$1.4M$1.5M5,5245,524
BROOKFIELD CORP CL A COMposition key pos:15522 · issuer key iss:445no change−$196K0$1.7M$1.5M36,08236,082
EMERSON ELEC CO COM COMposition key pos:17083 · issuer key iss:811no change−$17.8K0$1.4M$1.4M10,48810,488
AERCAP HOLDINGS NV COMposition key pos:11644 · issuer key iss:2692no change−$57.8K0$1.3M$1.2M8,7908,790
QUANTA SERVICES INC COMposition key pos:14199 · issuer key iss:1790no change+$270K0$898K$1.2M2,1272,127
TRUIST FINANCIAL CORPORATION COMposition key pos:15770 · issuer key iss:2170no change−$80.2K0$1.2M$1.1M24,76424,764
WARNER MUSIC GROUP CORP CL A COMposition key pos:18492 · issuer key iss:2303no change−$217K0$1.3M$1.1M42,39042,390
MARRIOTT INTL INC CL A COMposition key pos:14677 · issuer key iss:1427no change+$55.2K0$1.0M$1.1M3,2773,277
AVERY DENNISON CORP COMposition key pos:11210 · issuer key iss:288no change−$51.7K0$1.0M$970K5,6205,620
LKQ CORPORATION COMposition key pos:17884 · issuer key iss:1313no change−$25.9K0$943K$917K31,23031,230
INGREDION INC COMposition key pos:12208 · issuer key iss:1177no change+$19.1K0$879K$898K7,9747,974
CLOROX CO DEL COM COMposition key pos:14629 · issuer key iss:603no change+$20.4K0$733K$754K7,2727,272
CENCORA INC COM COMposition key pos:16956 · issuer key iss:188no change−$55.6K0$796K$740K2,3572,357
HCA INC COMposition key pos:17312 · issuer key iss:1065no change+$8.2K0$598K$606K1,2811,281
ROSS STORES INC COMposition key pos:11508 · issuer key iss:1870no change+$94.3K0$465K$560K2,5832,583
DENTSPLY SIRONA INC COMposition key pos:12615 · issuer key iss:723no change+$8.1K0$541K$549K47,36647,366
WABTEC CORP COM COMposition key pos:13462 · issuer key iss:2298no change+$79.3K0$464K$543K2,1742,174
CARPENTER TECHNOLOGY CORPORATI COMposition key pos:16638 · issuer key iss:527no change+$100K0$399K$499K1,2671,267
MONOLITHIC POWER SYSTEMS, INC. COMposition key pos:15750 · issuer key iss:1498no change+$84.0K0$407K$491K449449
ISHARES S&P SMALL CAP 600 GROW ETFposition key pos:18723 · issuer key iss:1231no change+$12.0K0$477K$489K3,3803,380
MARTIN MARIETTA MATERIALS COMposition key pos:14465 · issuer key iss:1428no change−$26.7K0$489K$463K786786
TERADYNE INC COM COMposition key pos:16218 · issuer key iss:2113no change+$158K0$298K$456K1,5381,538
MCCORMICK & COMPANY, INC. COMposition key pos:11554 · issuer key iss:1446no change−$159K0$612K$453K8,9908,990
VANGUARD INFORMATION TECHNOLOG ETFposition key sid:sec:prov:e10fb4f0bf62f2cd6470d7f399584bca · issuer key cusip6:92204Ano change−$34.5K0$464K$429K615615
88 TACTICAL KANSAS CITY, LLC P COMposition key cusip:87356A914 · issuer key cusip6:87356Ano change+$47.9K0$371K$419K66
ISHARES RUSSELL MID-CAP GROWTH ETFposition key pos:18934 · issuer key iss:1231no change−$27.1K0$421K$394K3,0773,077
ITT CORP COMposition key pos:4440 · issuer key iss:1155no change+$35.1K0$357K$392K2,0602,060
NATERA INC COMposition key pos:14059 · issuer key iss:1529no change−$56.7K0$446K$390K1,9481,948
VISTRA CORP COMposition key pos:12068 · issuer key iss:2283no change−$27.9K0$410K$382K2,5392,539
ISHARES S&P MID CAP VALUE ETF ETFposition key pos:17315 · issuer key iss:1231no change+$2.6K0$370K$373K2,8142,814
PERMIAN RESOURCES CORP CLASS A COMposition key pos:18369 · issuer key iss:1705no change+$119K0$230K$349K16,36816,368
STATE STR SPDR S&P MIDCAP 400 ETFposition key pos:18675 · issuer key iss:1903no change+$7.6K0$340K$347K563563
BAKER HUGHES COMPANY COMposition key pos:11510 · issuer key iss:309no change+$85.8K0$252K$338K5,5305,530
ARCHER DANIELS MIDLAND COM COMposition key pos:12873 · issuer key iss:234no change+$70.4K0$266K$337K4,6334,633
ENTEGRIS INC COM COMposition key pos:14600 · issuer key iss:829no change+$91.1K0$233K$324K2,7622,762
VANGUARD RUSSELL 1000 VALUE ET ETFposition key sid:sec:prov:599b4902e0ef3c89bb90ee03eb1fde93 · issuer key cusip6:92206Cno change+$5.0K0$318K$323K3,4443,444
SUNOCO LP/SUNOCO FIN CORP UT R MLPposition key pos:18609 · issuer key iss:2058no change+$61.9K0$258K$320K4,9274,927
MACOM TECH SOLUTIONS HOLDINGS COMposition key pos:17416 · issuer key iss:1400no change+$71.3K0$240K$312K1,4041,404
SCHWAB US LARGE CAP VALUE ETF ETFposition key pos:13959 · issuer key iss:1940no change+$8.9K0$296K$305K9,9959,995
C.H. ROBINSON WORLDWIDE INC COMposition key pos:14779 · issuer key iss:473no change+$9.4K0$284K$293K1,7661,766
FERGUSON ENTERPRISES INC COMMO COMposition key pos:18814 · issuer key iss:904no change+$13.4K0$280K$293K1,2571,257
BP PLC SPONS ADR ADRposition key pos:16898 · issuer key iss:301no change+$75.7K0$214K$290K6,1676,167
TRINITY INDS INC COM COMposition key pos:15456 · issuer key iss:2165no change+$51.5K0$237K$288K8,9658,965
O'REILLY AUTOMOTIVE COMposition key pos:12254 · issuer key iss:1601no change+$3.3K0$272K$275K2,9802,980
BANK OF MONTREAL COMposition key pos:18976 · issuer key iss:324no change+$11.1K0$260K$271K2,0002,000
NOVO NORDISK A/S SPONS ADR ADRposition key pos:17747 · issuer key iss:1589no change−$103K0$372K$269K7,3117,311
TKO GROUP HOLDINGS INC CL A COMposition key pos:16623 · issuer key iss:2074no change−$9.8K0$278K$269K1,3321,332
ARCOSA INC COM COMposition key pos:14991 · issuer key iss:236no change−$4530$268K$267K2,5182,518
CORE & MAIN INC CL A COMposition key pos:14359 · issuer key iss:659no change−$12.4K0$251K$239K4,8394,839
DIMENSIONAL U.S. CORE EQUITY 2 ETFposition key sid:sec:prov:365ed936e5e9529653cac956d30ecf93 · issuer key cusip6:25434Vno change−$4.4K0$238K$233K6,0006,000
VANGUARD S&P 500 VALUE ETF ETFposition key sid:sec:prov:1a6ad5cfa82d1a61ffcb9c40f646e44d · issuer key cusip6:921932no change−$1.1K0$207K$206K1,0111,011
U.S. GLOBAL NANOSPACE INC COMposition key cusip:91729J107 · issuer key cusip6:91729Jno change+$20$0$2107,000107,000
CANNABIS SCIENCE INC COMposition key cusip:137648101 · issuer key cusip6:137648no change$00$0$036,50036,500
CGTV MEDIA GROUP, INC COMposition key cusip:999002272 · issuer key cusip6:999002no change$00$0$020,00020,000
Quarter ended 2026-03-31Newest filing in this build: 2026-07-31. Per-row filing dates are on each receipt.
Truncated by Public Filings. Changes derive from the aggregate's top-25 slices and keyable positions only; unkeyable holdings are counted in the registry, not differenced. methodology §13F ↗

Book shape

2026-03-31 · concentration · vs tracked median · tick = median
Top-25 concentration
63.7%below median 80.0%
Concentration index
220 bpsbelow median 446 bps
Positions with value
890 / 890median book 97.5 positions

Concentration uses reported 13F long value, not total assets. The index is withheld when any position lacks a value. Medians are over the 8,748 tracked filers with a 2026-03-31 book; the index median over the 8,662 with a complete book.

null-value positions: 0holdings whose <value> did not parse — retained and counted, never zero-filled · top-N share ·§: 63.7%share of the period's disclosed value held in the top-N positions; denominator is reported 13F value, not total assets · HHI (bps) ·§: 220integer Herfindahl–Hirschman index in basis points over disclosed position values · QoQ moves: 425

Filing history

AVAILABLE QUARTERS
Available filing periods
PeriodSource
2026-03-31EDGAR ↗

PLANNED sector rotation · Congress overlap · signals for this filer

Complete source filings on SEC EDGAR

The complete filing on EDGAR.

The position list above is served from the published Public Filings build — every position this filer reported for the selected quarter, as it reported it. This block is provenance, not a substitute: the filing itself is the record, and it is one click away. Serving this list is M2-CONTRACT §3, amended 2026-08-02; §3.1 keeps live EDGAR for filings newer than this build.

Open BRIDGES INVESTMENT MANAGEMENT INC's 13F filings on SEC EDGAR ↗
Notes on this data

Quarter-end holdings as filed

Explore the full published position list and its source filing. This record excludes the manager’s cash, shorts and non-13(f) assets.

Compare consecutive quarters

Position changes retain the producer’s classification and comparability flags. Share counts and reported values describe different changes.

A snapshot, not current holdings

Use the quarter selector to inspect available periods. Unknown values stay unknown and each table states its coverage.

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Prior quarter not yet availableThis build carries one quarter for this manager: 2026-03-31. Notable managers carry four published quarters, others two.

Reported positions — 2026-03-31

1–100 of 357 issuers · $7.4B disclosed value over 890 rows · 0 undisclosed-value rows
Every row below carries ticker not yet mapped — stated once here rather than repeated on every row.
Positions BRIDGES INVESTMENT MANAGEMENT INC reported for the quarter ended 2026-03-31, as that filer reported them
KindClassification is not joined into this reported-position view. Use the changed-positions view to compare the two published quarters.TickerThis list carries reported issuer names and security identities, without a dated ticker mapping. Symbols are not inferred from names.Issuera position composed from a base filing plus NEW-HOLDINGS amendments keeps every source row here; the composition's latest filed date is the one shown served from this build's published holdings (derived from the filer's own reported rows); every row resolves to its filingWeightShare of total reported value, calculated only when the full position list has disclosed values. This is 13F long value, not total assets.Valuevalue undisclosed on the filing: retained and counted, excluded from sums, never shown as $0SharesPosition changeShare change is available in the separate comparison view; it is not joined into this position list.WtCongressThe congressional transaction join is unavailable in this build.
ISHARES CORE S&amp;P MID CAP ETF
19 positions · 50 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for ISHARES CORE S&amp;P MID CAP ETF, as it reported them
ISHARES CORE S&amp;P MID CAP ETF · ETF CUSIP — $177M2,614,620
ISHARES CORE S&P MID CAP ETF · ETF CUSIP — $122M1,806,356
ISHARES CORE S&amp;amp;P MID CAP ETF · ETF CUSIP — $91.9M1,361,212
ISHARES CORE S&amp;P SMALL CAP ETF · ETF CUSIP — $90.1M724,626
ISHARES CORE S&amp;P 500 ETF · ETF CUSIP — $75.5M115,632
ISHARES CORE S&P SMALL CAP ETF · ETF CUSIP — $47.7M383,714
ISHARES RUSSELL 1000 GROWTH ET · ETF CUSIP — $44.8M104,992
ISHARES CORE S&P 500 ETF · ETF CUSIP — $44.4M67,912
ISHARES RUSSELL 1000 VALUE ETF · ETF CUSIP — $33.0M154,458
ISHARES CORE S&amp;amp;P 500 ETF · ETF CUSIP — $31.8M48,664
ISHARES CORE S&amp;amp;P SMALL CAP ETF · ETF CUSIP — $29.0M233,599
ISHARES RUSSELL 1000 GROWTH ET · ETF CUSIP — $15.9M37,299
ISHARES RUSSELL MID CAP ETF · ETF CUSIP — $11.8M121,822
ISHARES RUSSELL 1000 VALUE ETF · ETF CUSIP — $11.5M53,844
ISHARES RUSSELL 1000 VALUE ETF · ETF CUSIP — $10.5M48,951
ISHARES RUSSELL 1000 GROWTH ET · ETF CUSIP — $9.3M21,891
ISHARES RUSSELL MID CAP ETF · ETF CUSIP — $6.9M71,129
ISHARES RUSSELL 2000 ETF · ETF CUSIP — $6.1M24,406
ISHARES MSCI EMERGING MKTS ETF · ETF CUSIP — $4.4M77,618
ISHARES S&amp;P 500 GROWTH INDEX F · ETF CUSIP — $2.9M25,438
ISHARES RUSSELL MID CAP VALUE · ETF CUSIP — $2.3M15,952
ISHARES S&amp;P 500 VALUE INDEX FU · ETF CUSIP — $2.2M10,205
ISHARES RUSSELL 2000 VALUE ETF · ETF CUSIP — $2.1M11,301
ISHARES S&P 500 GROWTH INDEX F · ETF CUSIP — $2.0M17,803
ISHARES S&amp;P SMALL CAP 600 VALU · ETF CUSIP — $1.8M14,834
ISHARES RUSSELL 2000 VALUE ETF · ETF CUSIP — $1.7M9,176
ISHARES RUSSELL MID CAP ETF · ETF CUSIP — $1.7M17,197
ISHARES RUSSELL MID CAP VALUE · ETF CUSIP — $1.6M11,099
ISHARES MSCI EMERGING MKTS ETF · ETF CUSIP — $1.4M25,346
ISHARES RUSSELL 1000 ETF · ETF CUSIP — $1.3M3,556
ISHARES RUSSELL 1000 ETF · ETF CUSIP — $888K2,490
ISHARES MSCI EAFE ETF · ETF CUSIP — $727K7,483
ISHARES S&amp;P MID CAP 400 GROWTH · ETF CUSIP — $655K6,506
ISHARES S&amp;amp;P SMALL CAP 600 VALU · ETF CUSIP — $428K3,614
ISHARES S&amp;P MID CAP VALUE ETF · ETF CUSIP — $349K2,634
ISHARES RUSSELL MID-CAP GROWTH · ETF CUSIP — $314K2,452
ISHARES S&P SMALL CAP 600 VALU · ETF CUSIP — $314K2,648
ISHARES S&amp;P SMALL CAP 600 GROW · ETF CUSIP — $286K1,979
ISHARES S&P 500 VALUE INDEX FU · ETF CUSIP — $283K1,340
ISHARES MSCI EMERGING MKTS ETF · ETF CUSIP — $270K4,750
ISHARES S&P SMALL CAP 600 GROW · ETF CUSIP — $203K1,401
ISHARES MSCI EAFE ETF · ETF CUSIP — $178K1,833
ISHARES S&P MID CAP 400 GROWTH · ETF CUSIP — $143K1,420
ISHARES RUSSELL MID CAP VALUE · ETF CUSIP — $116K797
ISHARES MSCI EAFE ETF · ETF CUSIP — $92.3K950
ISHARES RUSSELL 2000 ETF · ETF CUSIP — $83.1K335
ISHARES RUSSELL MID-CAP GROWTH · ETF CUSIP — $80.1K625
ISHARES RUSSELL 2000 ETF · ETF CUSIP — $68.2K275
ISHARES S&P MID CAP VALUE ETF · ETF CUSIP — $23.9K180
ISHARES RUSSELL 2000 VALUE ETF · ETF CUSIP — $5.7K30
$890M8,278,39412.1%
GOOGLverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred) GOOGverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)ALPHABET INC CL A
2 positions · 6 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for ALPHABET INC CL A, as it reported them
ALPHABET INC CL A · COM CUSIP — $189M657,323
ALPHABET INC CL A · COM CUSIP — $167M581,490
ALPHABET INC CL C · COM CUSIP — $44.6M155,453
ALPHABET INC CL A · COM CUSIP — $26.9M93,620
ALPHABET INC CL C · COM CUSIP — $25.8M89,904
ALPHABET INC CL C · COM CUSIP — $13.6M47,459
$467M1,625,2496.3%
BERKSHIRE HATHAWAY INC CLASS A
2 positions · 6 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for BERKSHIRE HATHAWAY INC CLASS A, as it reported them
BERKSHIRE HATHAWAY INC CLASS A · COM CUSIP — $164M228
BERKSHIRE HATHAWAY INC CLASS B · COM CUSIP — $88.4M184,548
BERKSHIRE HATHAWAY INC CLASS B · COM CUSIP — $57.5M119,967
BERKSHIRE HATHAWAY INC CLASS A · COM CUSIP — $46.0M64
BERKSHIRE HATHAWAY INC CLASS A · COM CUSIP — $32.3M45
BERKSHIRE HATHAWAY INC CLASS B · COM CUSIP — $24.2M50,472
$412M355,3245.6%
MSFTverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)MICROSOFT CORP COM
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for MICROSOFT CORP COM, as it reported them
MICROSOFT CORP COM · COM CUSIP — $170M458,685
MICROSOFT CORP COM · COM CUSIP — $139M376,155
MICROSOFT CORP COM · COM CUSIP — $26.8M72,279
$336M907,1194.5%
AAPLverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)APPLE INC
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for APPLE INC, as it reported them
APPLE INC · COM CUSIP — $149M585,272
APPLE INC · COM CUSIP — $134M528,867
APPLE INC · COM CUSIP — $31.1M122,404
$314M1,236,5434.3%
AMZNverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)AMAZON.COM INC
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for AMAZON.COM INC, as it reported them
AMAZON.COM INC · COM CUSIP — $143M684,647
AMAZON.COM INC · COM CUSIP — $130M626,201
AMAZON.COM INC · COM CUSIP — $19.9M95,331
$293M1,406,1794.0%
VANGUARD FTSE DEVELOPED MARKET
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for VANGUARD FTSE DEVELOPED MARKET, as it reported them
VANGUARD FTSE DEVELOPED MARKET · ETF CUSIP — $134M2,095,657
VANGUARD FTSE DEVELOPED MARKET · ETF CUSIP — $93.1M1,452,200
VANGUARD FTSE DEVELOPED MARKET · ETF CUSIP — $56.5M882,324
$284M4,430,1813.8%
NVDAverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)NVIDIA CORPORATION
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for NVIDIA CORPORATION, as it reported them
NVIDIA CORPORATION · COM CUSIP — $160M917,068
NVIDIA CORPORATION · COM CUSIP — $77.3M443,326
NVIDIA CORPORATION · COM CUSIP — $21.6M124,019
$259M1,484,4133.5%
VANGUARD FTSE EMERGING MARKETS
2 positions · 6 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for VANGUARD FTSE EMERGING MARKETS, as it reported them
VANGUARD FTSE EMERGING MARKETS · ETF CUSIP 922042858 $76.2M1,409,749
VANGUARD FTSE EMERGING MARKETS · ETF CUSIP 922042858 $70.2M1,298,318
VANGUARD FTSE EMERGING MARKETS · ETF CUSIP 922042858 $40.4M747,606
VANGUARD FTSE ALL-WORLD EX-US · ETF CUSIP — $33.1M440,512
VANGUARD FTSE ALL-WORLD EX-US · ETF CUSIP — $10.3M137,382
VANGUARD FTSE ALL-WORLD EX-US · ETF CUSIP — $6.3M84,247
$237M4,117,8143.2%
MAverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)MASTERCARD
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for MASTERCARD, as it reported them
MASTERCARD · COM CUSIP — $97.3M194,794
MASTERCARD · COM CUSIP — $73.0M146,060
MASTERCARD · COM CUSIP — $18.7M37,334
$189M378,1882.6%
JPMORGAN CHASE &amp; CO COM
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for JPMORGAN CHASE &amp; CO COM, as it reported them
JPMORGAN CHASE &amp; CO COM · COM CUSIP — $80.1M272,341
JPMORGAN CHASE & CO COM · COM CUSIP — $53.9M183,335
JPMORGAN CHASE &amp;amp; CO COM · COM CUSIP — $11.0M37,396
$145M493,0722.0%
UNION PACIFIC CORP COM
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for UNION PACIFIC CORP COM, as it reported them
UNION PACIFIC CORP COM · COM CUSIP — $86.7M357,459
UNION PACIFIC CORP COM · COM CUSIP — $49.8M205,315
UNION PACIFIC CORP COM · COM CUSIP — $7.6M31,457
$144M594,2312.0%
OLD DOMINION FREIGHT LINE, INC
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for OLD DOMINION FREIGHT LINE, INC, as it reported them
OLD DOMINION FREIGHT LINE, INC · COM CUSIP — $60.0M307,313
OLD DOMINION FREIGHT LINE, INC · COM CUSIP — $56.7M290,340
OLD DOMINION FREIGHT LINE, INC · COM CUSIP — $8.7M44,722
$126M642,3751.7%
VISA INC. CLASS A
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for VISA INC. CLASS A, as it reported them
VISA INC. CLASS A · COM CUSIP — $64.2M212,452
VISA INC. CLASS A · COM CUSIP — $49.9M164,966
VISA INC. CLASS A · COM CUSIP — $8.6M28,359
$123M405,7771.7%
CASEYS GEN STORES COM
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for CASEYS GEN STORES COM, as it reported them
CASEYS GEN STORES COM · COM CUSIP — $73.3M100,723
CASEYS GEN STORES COM · COM CUSIP — $31.4M43,117
CASEYS GEN STORES COM · COM CUSIP — $8.7M11,901
$113M155,7411.5%
LOWES COMPANIES COM
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for LOWES COMPANIES COM, as it reported them
LOWES COMPANIES COM · COM CUSIP — $51.3M216,949
LOWES COMPANIES COM · COM CUSIP — $47.9M202,769
LOWES COMPANIES COM · COM CUSIP — $6.5M27,442
$106M447,1601.4%
METAverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)META PLATFORMS INC
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for META PLATFORMS INC, as it reported them
META PLATFORMS INC · COM CUSIP — $68.1M118,985
META PLATFORMS INC · COM CUSIP — $29.1M50,833
META PLATFORMS INC · COM CUSIP — $8.4M14,769
$106M184,5871.4%
PALO ALTO NETWORKS INC COM
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for PALO ALTO NETWORKS INC COM, as it reported them
PALO ALTO NETWORKS INC COM · COM CUSIP — $56.9M354,625
PALO ALTO NETWORKS INC COM · COM CUSIP — $40.0M249,630
PALO ALTO NETWORKS INC COM · COM CUSIP — $8.4M52,166
$105M656,4211.4%
AVGOverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)BROADCOM INC
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for BROADCOM INC, as it reported them
BROADCOM INC · COM CUSIP — $54.9M177,293
BROADCOM INC · COM CUSIP — $41.7M134,849
BROADCOM INC · COM CUSIP — $7.1M23,096
$104M335,2381.4%
SPGIverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)S &amp; P GLOBAL INC
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for S &amp; P GLOBAL INC, as it reported them
S &amp; P GLOBAL INC · COM CUSIP — $51.1M120,164
S & P GLOBAL INC · COM CUSIP — $43.2M101,527
S &amp;amp; P GLOBAL INC · COM CUSIP — $6.7M15,792
$101M237,4831.4%
PGRverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)PROGRESSIVE CORP
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for PROGRESSIVE CORP, as it reported them
PROGRESSIVE CORP · COM CUSIP — $42.9M216,336
PROGRESSIVE CORP · COM CUSIP — $29.8M150,167
PROGRESSIVE CORP · COM CUSIP — $5.2M26,078
$77.8M392,5811.1%
ISRGverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)INTUITIVE SURGICAL, INC.
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for INTUITIVE SURGICAL, INC., as it reported them
INTUITIVE SURGICAL, INC. · COM CUSIP — $40.2M87,155
INTUITIVE SURGICAL, INC. · COM CUSIP — $31.1M67,537
INTUITIVE SURGICAL, INC. · COM CUSIP — $5.9M12,856
$77.2M167,5481.0%
BLKverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)BLACKROCK INC
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for BLACKROCK INC, as it reported them
BLACKROCK INC · COM CUSIP — $36.5M37,984
BLACKROCK INC · COM CUSIP — $31.1M32,349
BLACKROCK INC · COM CUSIP — $7.2M7,508
$74.9M77,8411.0%
LITHIA MTRS INC CL A
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for LITHIA MTRS INC CL A, as it reported them
LITHIA MTRS INC CL A · COM CUSIP — $35.6M142,365
LITHIA MTRS INC CL A · COM CUSIP — $31.1M124,692
LITHIA MTRS INC CL A · COM CUSIP — $4.5M18,005
$71.2M285,0621.0%
INVESCO S&amp;P 500 EQUAL WEIGHT E
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for INVESCO S&amp;P 500 EQUAL WEIGHT E, as it reported them
INVESCO S&amp;P 500 EQUAL WEIGHT E · ETF CUSIP — $27.6M143,983
INVESCO S&P 500 EQUAL WEIGHT E · ETF CUSIP — $26.1M135,773
INVESCO S&amp;amp;P 500 EQUAL WEIGHT E · ETF CUSIP — $16.1M84,109
$69.8M363,8650.9%
TMOverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)THERMO FISHER SCIENTIFIC
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for THERMO FISHER SCIENTIFIC, as it reported them
THERMO FISHER SCIENTIFIC · COM CUSIP — $33.4M67,901
THERMO FISHER SCIENTIFIC · COM CUSIP — $30.8M62,673
THERMO FISHER SCIENTIFIC · COM CUSIP — $4.4M8,910
$68.6M139,4840.9%
CARLISLE COMPANIES INCORPORATE
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for CARLISLE COMPANIES INCORPORATE, as it reported them
CARLISLE COMPANIES INCORPORATE · COM CUSIP — $40.5M121,369
CARLISLE COMPANIES INCORPORATE · COM CUSIP — $19.8M59,242
CARLISLE COMPANIES INCORPORATE · COM CUSIP — $4.3M12,865
$64.5M193,4760.9%
INTERCONTINENTAL EXCHANGE INC.
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for INTERCONTINENTAL EXCHANGE INC., as it reported them
INTERCONTINENTAL EXCHANGE INC. · COM CUSIP — $37.8M240,628
INTERCONTINENTAL EXCHANGE INC. · COM CUSIP — $19.5M124,106
INTERCONTINENTAL EXCHANGE INC. · COM CUSIP — $4.5M28,701
$61.9M393,4350.8%
KLA CORP COM
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for KLA CORP COM, as it reported them
KLA CORP COM · COM CUSIP — $33.3M22,588
KLA CORP COM · COM CUSIP — $25.3M17,163
KLA CORP COM · COM CUSIP — $2.9M1,994
$61.5M41,7450.8%
VANGUARD S&amp;P 500 ETF
8 positions · 17 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for VANGUARD S&amp;P 500 ETF, as it reported them
VANGUARD S&amp;P 500 ETF · ETF CUSIP 922908363 $16.5M27,543
VANGUARD MID-CAP INDEX FUND -E · ETF CUSIP — $15.4M53,690
VANGUARD SMALL CAP INDEX FUND · ETF CUSIP — $8.6M32,868
VANGUARD MID-CAP INDEX FUND -E · ETF CUSIP — $5.7M20,019
VANGUARD S&P 500 ETF · ETF CUSIP 922908363 $4.7M7,784
VANGUARD SMALL CAP INDEX FUND · ETF CUSIP — $1.9M7,090
VANGUARD GROWTH ETF · ETF CUSIP — $1.5M3,358
VANGUARD VALUE INDEX FUND - ET · ETF CUSIP — $1.3M6,469
VANGUARD GROWTH ETF · ETF CUSIP — $957K2,190
VANGUARD TOTAL STOCK MARKET - · ETF CUSIP — $710K2,213
VANGUARD TOTAL STOCK MARKET - · ETF CUSIP — $667K2,079
VANGUARD REAL ESTATE ETF · ETF CUSIP 922908553 $540K6,093
VANGUARD VALUE INDEX FUND - ET · ETF CUSIP — $362K1,847
VANGUARD MID CAP VALUE INDEX F · ETF CUSIP 922908512 $318K1,725
VANGUARD MID CAP VALUE INDEX F · ETF CUSIP 922908512 $43.9K238
VANGUARD MID CAP VALUE INDEX F · ETF CUSIP 922908512 $37.6K204
VANGUARD S&amp;amp;P 500 ETF · ETF CUSIP 922908363 $22.7K38
$59.1M175,4480.8%
SERVICENOW INC COM
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for SERVICENOW INC COM, as it reported them
SERVICENOW INC COM · COM CUSIP — $30.7M293,824
SERVICENOW INC COM · COM CUSIP — $21.1M201,361
SERVICENOW INC COM · COM CUSIP — $4.7M45,010
$56.5M540,1950.8%
UNITED RENTALS INC COM
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for UNITED RENTALS INC COM, as it reported them
UNITED RENTALS INC COM · COM CUSIP — $32.0M43,909
UNITED RENTALS INC COM · COM CUSIP — $16.4M22,535
UNITED RENTALS INC COM · COM CUSIP — $4.3M5,954
$52.7M72,3980.7%
WELLS FARGO &amp; CO DEL COM
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for WELLS FARGO &amp; CO DEL COM, as it reported them
WELLS FARGO &amp; CO DEL COM · COM CUSIP — $51.1M641,622
WELLS FARGO & CO DEL COM · COM CUSIP — $758K9,517
WELLS FARGO &amp;amp; CO DEL COM · COM CUSIP — $88.0K1,105
$51.9M652,2440.7%
STRYKER CORP COM
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for STRYKER CORP COM, as it reported them
STRYKER CORP COM · COM CUSIP — $31.7M96,331
STRYKER CORP COM · COM CUSIP — $14.7M44,654
STRYKER CORP COM · COM CUSIP — $3.8M11,541
$50.1M152,5260.7%
EOGverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)EOG RESOURCES INC.
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for EOG RESOURCES INC., as it reported them
EOG RESOURCES INC. · COM CUSIP — $35.0M242,424
EOG RESOURCES INC. · COM CUSIP — $9.2M63,662
EOG RESOURCES INC. · COM CUSIP — $4.1M28,328
$48.3M334,4140.7%
CADENCE DESIGN SYSTEMS INC COM
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for CADENCE DESIGN SYSTEMS INC COM, as it reported them
CADENCE DESIGN SYSTEMS INC COM · COM CUSIP — $23.8M85,581
CADENCE DESIGN SYSTEMS INC COM · COM CUSIP — $21.0M75,708
CADENCE DESIGN SYSTEMS INC COM · COM CUSIP — $3.4M12,193
$48.2M173,4820.7%
COSTverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)COSTCO WHOLESALE CORP
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for COSTCO WHOLESALE CORP, as it reported them
COSTCO WHOLESALE CORP · COM CUSIP — $21.9M21,974
COSTCO WHOLESALE CORP · COM CUSIP — $20.3M20,413
COSTCO WHOLESALE CORP · COM CUSIP — $2.6M2,622
$44.8M45,0090.6%
CINTAS CORP COM
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for CINTAS CORP COM, as it reported them
CINTAS CORP COM · COM CUSIP — $27.4M162,017
CINTAS CORP COM · COM CUSIP — $14.5M85,964
CINTAS CORP COM · COM CUSIP — $2.8M16,544
$44.7M264,5250.6%
AUTOZONE INC COM
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for AUTOZONE INC COM, as it reported them
AUTOZONE INC COM · COM CUSIP — $28.0M8,287
AUTOZONE INC COM · COM CUSIP — $10.8M3,190
AUTOZONE INC COM · COM CUSIP — $3.7M1,104
$42.5M12,5810.6%
CPRTverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)COPART INC
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for COPART INC, as it reported them
COPART INC · COM CUSIP — $24.3M732,180
COPART INC · COM CUSIP — $15.1M453,427
COPART INC · COM CUSIP — $2.7M80,395
$42.0M1,266,0020.6%
U.S. BANCORP COM (NEW)
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for U.S. BANCORP COM (NEW), as it reported them
U.S. BANCORP COM (NEW) · COM CUSIP — $40.0M769,642
U.S. BANCORP COM (NEW) · COM CUSIP — $819K15,750
U.S. BANCORP COM (NEW) · COM CUSIP — $109K2,095
$41.0M787,4870.6%
ABBVverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)ABBVIE INC
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for ABBVIE INC, as it reported them
ABBVIE INC · COM CUSIP — $25.9M119,062
ABBVIE INC · COM CUSIP — $9.7M44,676
ABBVIE INC · COM CUSIP — $4.9M22,355
$40.5M186,0930.5%
ULTA SALON COSMETICS &amp; FRAGRAN
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for ULTA SALON COSMETICS &amp; FRAGRAN, as it reported them
ULTA SALON COSMETICS &amp; FRAGRAN · COM CUSIP — $23.9M45,629
ULTA SALON COSMETICS & FRAGRAN · COM CUSIP — $8.8M16,801
ULTA SALON COSMETICS &amp;amp; FRAGRAN · COM CUSIP — $3.5M6,720
$36.1M69,1500.5%
HOME DEPOT INC COM
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for HOME DEPOT INC COM, as it reported them
HOME DEPOT INC COM · COM CUSIP — $18.1M55,172
HOME DEPOT INC COM · COM CUSIP — $13.0M39,638
HOME DEPOT INC COM · COM CUSIP — $3.6M11,096
$34.8M105,9060.5%
FIRST NATL NEB INC COM
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for FIRST NATL NEB INC COM, as it reported them
FIRST NATL NEB INC COM · COM CUSIP 335720108 $32.8M1,988
FIRST NATL NEB INC COM · COM CUSIP 335720108 $495K30
FIRST NATL NEB INC COM · COM CUSIP 335720108 $231K14
$33.5M2,0320.5%
ALCON AG ORD SHS
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for ALCON AG ORD SHS, as it reported them
ALCON AG ORD SHS · COM CUSIP — $19.1M252,895
ALCON AG ORD SHS · COM CUSIP — $8.6M114,219
ALCON AG ORD SHS · COM CUSIP — $3.2M41,908
$30.8M409,0220.4%
AMGEN INC COM
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for AMGEN INC COM, as it reported them
AMGEN INC COM · COM CUSIP — $18.3M52,121
AMGEN INC COM · COM CUSIP — $10.2M29,084
AMGEN INC COM · COM CUSIP — $2.2M6,376
$30.8M87,5810.4%
ZOETIS INC
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for ZOETIS INC, as it reported them
ZOETIS INC · COM CUSIP — $19.5M164,638
ZOETIS INC · COM CUSIP — $7.5M63,223
ZOETIS INC · COM CUSIP — $2.5M20,948
$29.4M248,8090.4%
PEPSICO INC COM
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for PEPSICO INC COM, as it reported them
PEPSICO INC COM · COM CUSIP — $16.2M104,622
PEPSICO INC COM · COM CUSIP — $9.2M59,270
PEPSICO INC COM · COM CUSIP — $3.8M24,715
$29.3M188,6070.4%
CHEVRON CORP COM
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for CHEVRON CORP COM, as it reported them
CHEVRON CORP COM · COM CUSIP — $20.5M99,202
CHEVRON CORP COM · COM CUSIP — $4.3M20,963
CHEVRON CORP COM · COM CUSIP — $3.9M19,052
$28.8M139,2170.4%
ABBOTT LABS COM
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for ABBOTT LABS COM, as it reported them
ABBOTT LABS COM · COM CUSIP — $19.5M189,581
ABBOTT LABS COM · COM CUSIP — $6.8M66,028
ABBOTT LABS COM · COM CUSIP — $2.2M21,480
$28.4M277,0890.4%
AMPHENOL CORP CL A
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for AMPHENOL CORP CL A, as it reported them
AMPHENOL CORP CL A · COM CUSIP — $17.8M140,944
AMPHENOL CORP CL A · COM CUSIP — $8.1M64,441
AMPHENOL CORP CL A · COM CUSIP — $1.4M11,093
$27.4M216,4780.4%
MCDONALDS CORP COM
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for MCDONALDS CORP COM, as it reported them
MCDONALDS CORP COM · COM CUSIP — $17.5M56,369
MCDONALDS CORP COM · COM CUSIP — $5.8M18,670
MCDONALDS CORP COM · COM CUSIP — $3.8M12,177
$27.1M87,2160.4%
SHERWIN WILLIAMS CO COM
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for SHERWIN WILLIAMS CO COM, as it reported them
SHERWIN WILLIAMS CO COM · COM CUSIP — $12.4M38,823
SHERWIN WILLIAMS CO COM · COM CUSIP — $10.1M31,614
SHERWIN WILLIAMS CO COM · COM CUSIP — $4.0M12,412
$26.6M82,8490.4%
LINverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)LINDE PLC
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for LINDE PLC, as it reported them
LINDE PLC · COM CUSIP — $14.5M29,303
LINDE PLC · COM CUSIP — $9.2M18,652
LINDE PLC · COM CUSIP — $1.6M3,242
$25.4M51,1970.3%
ADOBE INC COM
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for ADOBE INC COM, as it reported them
ADOBE INC COM · COM CUSIP — $12.3M50,627
ADOBE INC COM · COM CUSIP — $11.0M45,052
ADOBE INC COM · COM CUSIP — $2.0M8,051
$25.2M103,7300.3%
CHEMED CORP COM
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for CHEMED CORP COM, as it reported them
CHEMED CORP COM · COM CUSIP — $16.8M44,495
CHEMED CORP COM · COM CUSIP — $5.9M15,628
CHEMED CORP COM · COM CUSIP — $2.2M5,798
$24.9M65,9210.3%
FLOOR &amp; DECOR HOLDINGS INC-A
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for FLOOR &amp; DECOR HOLDINGS INC-A, as it reported them
FLOOR &amp; DECOR HOLDINGS INC-A · COM CUSIP — $16.8M331,150
FLOOR & DECOR HOLDINGS INC-A · COM CUSIP — $5.2M102,958
FLOOR &amp;amp; DECOR HOLDINGS INC-A · COM CUSIP — $2.1M40,533
$24.1M474,6410.3%
TJXverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)TJX COMPANIES INC
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for TJX COMPANIES INC, as it reported them
TJX COMPANIES INC · COM CUSIP — $14.1M88,263
TJX COMPANIES INC · COM CUSIP — $8.5M53,089
TJX COMPANIES INC · COM CUSIP — $889K5,565
$23.5M146,9170.3%
ISHARES CORE MSCI EMERGING MKT
1 position · 2 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for ISHARES CORE MSCI EMERGING MKT, as it reported them
ISHARES CORE MSCI EMERGING MKT · ETF CUSIP — $21.6M309,121
ISHARES CORE MSCI EMERGING MKT · ETF CUSIP — $1.6M23,363
$23.2M332,4840.3%
LILLY ELI &amp;amp; CO COM
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for LILLY ELI &amp;amp; CO COM, as it reported them
LILLY ELI &amp;amp; CO COM · COM CUSIP — $15.8M17,167
LILLY ELI & CO COM · COM CUSIP — $3.9M4,261
LILLY ELI &amp; CO COM · COM CUSIP — $3.2M3,528
$23.0M24,9560.3%
AUTOMATIC DATA PROCESSING COM
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for AUTOMATIC DATA PROCESSING COM, as it reported them
AUTOMATIC DATA PROCESSING COM · COM CUSIP — $11.0M54,345
AUTOMATIC DATA PROCESSING COM · COM CUSIP — $8.3M40,826
AUTOMATIC DATA PROCESSING COM · COM CUSIP — $1.2M6,093
$20.6M101,2640.3%
JOHNSON &amp; JOHNSON COM
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for JOHNSON &amp; JOHNSON COM, as it reported them
JOHNSON &amp; JOHNSON COM · COM CUSIP — $9.7M39,570
JOHNSON & JOHNSON COM · COM CUSIP — $6.4M26,268
JOHNSON &amp;amp; JOHNSON COM · COM CUSIP — $2.3M9,464
$18.4M75,3020.2%
UNITEDHEALTH GROUP INC COM
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for UNITEDHEALTH GROUP INC COM, as it reported them
UNITEDHEALTH GROUP INC COM · COM CUSIP — $8.9M32,993
UNITEDHEALTH GROUP INC COM · COM CUSIP — $8.4M31,116
UNITEDHEALTH GROUP INC COM · COM CUSIP — $850K3,142
$18.2M67,2510.2%
PROLOGIS INC COM
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for PROLOGIS INC COM, as it reported them
PROLOGIS INC COM · COM CUSIP — $11.3M85,113
PROLOGIS INC COM · COM CUSIP — $4.7M35,898
PROLOGIS INC COM · COM CUSIP — $979K7,405
$17.0M128,4160.2%
TRANE TECHOLOGIES PLC
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for TRANE TECHOLOGIES PLC, as it reported them
TRANE TECHOLOGIES PLC · COM CUSIP — $12.1M28,990
TRANE TECHOLOGIES PLC · COM CUSIP — $3.4M8,218
TRANE TECHOLOGIES PLC · COM CUSIP — $1.1M2,553
$16.6M39,7610.2%
PHverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)PARKER-HANNIFIN CORP
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for PARKER-HANNIFIN CORP, as it reported them
PARKER-HANNIFIN CORP · COM CUSIP — $10.3M11,523
PARKER-HANNIFIN CORP · COM CUSIP — $4.3M4,820
PARKER-HANNIFIN CORP · COM CUSIP — $764K853
$15.4M17,1960.2%
BADGER METER INC COM
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for BADGER METER INC COM, as it reported them
BADGER METER INC COM · COM CUSIP — $11.6M76,315
BADGER METER INC COM · COM CUSIP — $2.7M17,717
BADGER METER INC COM · COM CUSIP — $514K3,373
$14.8M97,4050.2%
AMERICAN FINANCIAL GROUP INC O
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for AMERICAN FINANCIAL GROUP INC O, as it reported them
AMERICAN FINANCIAL GROUP INC O · COM CUSIP — $10.3M80,710
AMERICAN FINANCIAL GROUP INC O · COM CUSIP — $3.5M27,771
AMERICAN FINANCIAL GROUP INC O · COM CUSIP — $471K3,691
$14.3M112,1720.2%
POOLverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)POOL CORP
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for POOL CORP, as it reported them
POOL CORP · COM CUSIP — $9.7M47,906
POOL CORP · COM CUSIP — $3.4M16,701
POOL CORP · COM CUSIP — $1.2M6,053
$14.3M70,6600.2%
FLEXSHARES QUALITY DIVIDEND IN
3 positions · 7 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for FLEXSHARES QUALITY DIVIDEND IN, as it reported them
FLEXSHARES QUALITY DIVIDEND IN · ETF CUSIP 33939L860 $8.9M113,055
FLEXSHARES MORNINGSTAR US MARK · ETF CUSIP 33939L100 $2.3M9,497
FLEXSHARES MSTAR DEVELOPED MAR · ETF CUSIP 33939L803 $2.1M22,165
FLEXSHARES QUALITY DIVIDEND IN · ETF CUSIP 33939L860 $663K8,377
FLEXSHARES MORNINGSTAR US MARK · ETF CUSIP 33939L100 $150K620
FLEXSHARES QUALITY DIVIDEND IN · ETF CUSIP 33939L860 $25.0K316
FLEXSHARES MSTAR DEVELOPED MAR · ETF CUSIP 33939L803 $17.6K187
$14.2M154,2170.2%
ROLverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)ROLLINS INC
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for ROLLINS INC, as it reported them
ROLLINS INC · COM CUSIP — $8.9M166,040
ROLLINS INC · COM CUSIP — $4.2M77,997
ROLLINS INC · COM CUSIP — $577K10,800
$13.6M254,8370.2%
HSYverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)HERSHEY COMPANY
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for HERSHEY COMPANY, as it reported them
HERSHEY COMPANY · COM CUSIP — $8.8M42,290
HERSHEY COMPANY · COM CUSIP — $3.7M17,869
HERSHEY COMPANY · COM CUSIP — $705K3,392
$13.2M63,5510.2%
ACCENTURE PLC F CLASS A
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for ACCENTURE PLC F CLASS A, as it reported them
ACCENTURE PLC F CLASS A · COM CUSIP — $8.2M41,328
ACCENTURE PLC F CLASS A · COM CUSIP — $3.6M18,085
ACCENTURE PLC F CLASS A · COM CUSIP — $1.2M6,149
$13.0M65,5620.2%
INTUverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)INTUIT INC
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for INTUIT INC, as it reported them
INTUIT INC · COM CUSIP — $7.0M16,109
INTUIT INC · COM CUSIP — $5.3M12,186
INTUIT INC · COM CUSIP — $595K1,377
$12.8M29,6720.2%
MARSH COM
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for MARSH COM, as it reported them
MARSH COM · COM CUSIP — $8.1M46,674
MARSH COM · COM CUSIP — $3.7M21,549
MARSH COM · COM CUSIP — $598K3,448
$12.4M71,6710.2%
EXXON MOBIL CORP COM
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for EXXON MOBIL CORP COM, as it reported them
EXXON MOBIL CORP COM · COM CUSIP — $9.8M57,704
EXXON MOBIL CORP COM · COM CUSIP — $1.3M7,861
EXXON MOBIL CORP COM · COM CUSIP — $1.3M7,387
$12.4M72,9520.2%
GRACO INC COM
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for GRACO INC COM, as it reported them
GRACO INC COM · COM CUSIP — $8.9M105,212
GRACO INC COM · COM CUSIP — $2.9M34,745
GRACO INC COM · COM CUSIP — $494K5,838
$12.3M145,7950.2%
BOOZ ALLEN HAMILTON HOLDINGS
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for BOOZ ALLEN HAMILTON HOLDINGS, as it reported them
BOOZ ALLEN HAMILTON HOLDINGS · COM CUSIP — $7.6M96,821
BOOZ ALLEN HAMILTON HOLDINGS · COM CUSIP — $3.5M44,486
BOOZ ALLEN HAMILTON HOLDINGS · COM CUSIP — $609K7,802
$11.6M149,1090.2%
WMTverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)WALMART INC
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for WALMART INC, as it reported them
WALMART INC · COM CUSIP — $4.7M38,159
WALMART INC · COM CUSIP — $3.3M26,153
WALMART INC · COM CUSIP — $2.0M15,802
$10.0M80,1140.1%
ETNverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)EATON CORP PLC
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for EATON CORP PLC, as it reported them
EATON CORP PLC · COM CUSIP — $6.8M19,094
EATON CORP PLC · COM CUSIP — $1.3M3,500
EATON CORP PLC · COM CUSIP — $1.2M3,410
$9.3M26,0040.1%
BWXTverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)BWX TECHNOLOGIES INC
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for BWX TECHNOLOGIES INC, as it reported them
BWX TECHNOLOGIES INC · COM CUSIP — $4.1M19,933
BWX TECHNOLOGIES INC · COM CUSIP — $2.8M13,668
BWX TECHNOLOGIES INC · COM CUSIP — $2.4M11,634
$9.3M45,2350.1%
AMERICAN TOWER CORP COM
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for AMERICAN TOWER CORP COM, as it reported them
AMERICAN TOWER CORP COM · COM CUSIP — $5.8M33,836
AMERICAN TOWER CORP COM · COM CUSIP — $2.8M16,014
AMERICAN TOWER CORP COM · COM CUSIP — $503K2,914
$9.1M52,7640.1%
ENTERPRISE PRODUCTS PARTNERS L
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for ENTERPRISE PRODUCTS PARTNERS L, as it reported them
ENTERPRISE PRODUCTS PARTNERS L · MLP CUSIP — $8.4M221,261
ENTERPRISE PRODUCTS PARTNERS L · MLP CUSIP — $397K10,484
ENTERPRISE PRODUCTS PARTNERS L · MLP CUSIP — $184K4,852
$9.0M236,5970.1%
PEM HOLDING COMAPNY, LLC PEM HOLDING COMAPNY, LLC · COM CUSIP 69340A903
quarter ended 2026-03-31 filed filed 2026-05-04 +34d
$8.3M10.1%
COMFORT SYS USA INC COM
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for COMFORT SYS USA INC COM, as it reported them
COMFORT SYS USA INC COM · COM CUSIP — $7.5M5,420
COMFORT SYS USA INC COM · COM CUSIP — $521K378
COMFORT SYS USA INC COM · COM CUSIP — $44.1K32
$8.0M5,8300.1%
ISHARES EDGE MSCI USA QUALITY
2 positions · 4 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for ISHARES EDGE MSCI USA QUALITY, as it reported them
ISHARES EDGE MSCI USA QUALITY · ETF CUSIP 46432F339 $2.5M12,823
ISHARES CORE MSCI EAFE ETF · ETF CUSIP 46432F842 $2.2M24,434
ISHARES EDGE MSCI USA QUALITY · ETF CUSIP 46432F339 $1.8M9,179
ISHARES CORE MSCI EAFE ETF · ETF CUSIP 46432F842 $1.5M16,575
$7.9M63,0110.1%
PHILIP MORRIS INTERNATIONAL IN
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for PHILIP MORRIS INTERNATIONAL IN, as it reported them
PHILIP MORRIS INTERNATIONAL IN · COM CUSIP — $5.5M33,183
PHILIP MORRIS INTERNATIONAL IN · COM CUSIP — $1.8M11,070
PHILIP MORRIS INTERNATIONAL IN · COM CUSIP — $357K2,161
$7.7M46,4140.1%
MSCIverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)MSCI, INC.
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for MSCI, INC., as it reported them
MSCI, INC. · COM CUSIP — $5.0M9,362
MSCI, INC. · COM CUSIP — $2.2M4,060
MSCI, INC. · COM CUSIP — $375K695
$7.6M14,1170.1%
ING GROEP NV ADR ING GROEP NV ADR · ADR CUSIP 456837103
quarter ended 2026-03-31 filed filed 2026-05-04 +34d
$7.2M277,9870.1%
SPYverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)STATE STREET SPDR S&amp;P 500 ETF
1 position · 2 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for STATE STREET SPDR S&amp;P 500 ETF, as it reported them
STATE STREET SPDR S&amp;P 500 ETF · ETF CUSIP — $5.7M8,738
STATE STREET SPDR S&P 500 ETF · ETF CUSIP — $1.3M1,948
$6.9M10,6860.1%
MERCK &amp; CO INC COM
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for MERCK &amp; CO INC COM, as it reported them
MERCK &amp; CO INC COM · COM CUSIP — $4.2M35,329
MERCK & CO INC COM · COM CUSIP — $1.8M14,697
MERCK &amp;amp; CO INC COM · COM CUSIP — $701K5,825
$6.7M55,8510.1%
ENERGY TRANSFER LP ENERGY TRANSFER LP · MLP CUSIP —
quarter ended 2026-03-31 filed filed 2026-05-04 +34d
$6.5M339,2570.1%
MPLX LP MPLX LP · MLP CUSIP —
quarter ended 2026-03-31 filed filed 2026-05-04 +34d
$6.5M114,1640.1%
PLAINS ALL AMERICAN PIPELINE L PLAINS ALL AMERICAN PIPELINE L · MLP CUSIP —
quarter ended 2026-03-31 filed filed 2026-05-04 +34d
$5.7M256,2410.1%
PROCTER &amp; GAMBLE CO COM
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for PROCTER &amp; GAMBLE CO COM, as it reported them
PROCTER &amp; GAMBLE CO COM · COM CUSIP — $3.2M22,349
PROCTER & GAMBLE CO COM · COM CUSIP — $1.9M13,389
PROCTER &amp;amp; GAMBLE CO COM · COM CUSIP — $541K3,745
$5.7M39,4830.1%
API GROUP CORP STOCK
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for API GROUP CORP STOCK, as it reported them
API GROUP CORP STOCK · COM CUSIP — $5.2M127,130
API GROUP CORP STOCK · COM CUSIP — $382K9,438
API GROUP CORP STOCK · COM CUSIP — $32.3K797
$5.6M137,3650.1%
MUSAverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)MURPHY USA INC
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for MURPHY USA INC, as it reported them
MURPHY USA INC · COM CUSIP — $5.0M10,164
MURPHY USA INC · COM CUSIP — $448K906
MURPHY USA INC · COM CUSIP — $31.6K64
$5.5M11,1340.1%
CISCO SYS INC COM
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for CISCO SYS INC COM, as it reported them
CISCO SYS INC COM · COM CUSIP — $4.7M60,178
CISCO SYS INC COM · COM CUSIP — $328K4,225
CISCO SYS INC COM · COM CUSIP — $302K3,887
$5.3M68,2900.1%
RTXverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)RTX CORPORATION COM
1 position · 3 reported rows
Rows BRIDGES INVESTMENT MANAGEMENT INC reported for RTX CORPORATION COM, as it reported them
RTX CORPORATION COM · COM CUSIP — $4.6M23,926
RTX CORPORATION COM · COM CUSIP — $341K1,770
RTX CORPORATION COM · COM CUSIP — $160K830
$5.1M26,5260.1%
1–100 of 357 issuers · page 1 of 4
every row this filer reported for the quarter, as it reported it — cross-filer de-duplication is applied to issuer totals elsewhere and never deletes a row here
A 13F is a quarterly, long-only snapshot filed up to 45 days late — not current holdings. what a 13F covers ↗

13F reports cover LONG positions in Section 13(f) securities (US exchange-traded equities plus reportable options, warrants, certain convertibles) held by managers with at least $100M in such securities — so managers below that threshold are absent entirely. No short positions, no cash, no non-13(f) assets — not a full portfolio, and not a census of institutional ownership.

Positions are quarter-end snapshots filed up to 45 days late — not current holdings. A position may have been changed or closed before you ever see it, and is older still by however long ago that quarter ended.

Values are the manager's stated market value at quarter-end in era-dependent units (whole dollars for form versions effective 2023-01-03 onward, thousands before), normalized here to whole dollars with unit_basis carried on every record.

Affiliated managers may report the same position (otherManager), so one position can appear under more than one filer.

Positions under confidential treatment may be omitted until a later amendment discloses them.

These are disclosures, not investment advice (ARCHITECTURE.md §5.2 / M2-CONTRACT §5).