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VOL. XII · NO. 117Established MMXIV · George Town, Grand CaymanAtlantic Edition · $4.50

The Cayman Journal

Finance · Business · Technology · Caribbean & Global Affairs
13F HOLDINGS REPORT

Sunflower Bank, N.A.

Quarter ended Q2 2025 · Filed July 10, 2025 · Accession 0001818759-25-000006

Total Value
$395.4M
Positions
202
Other Managers
0
Confidential Omitted
No
View on SEC.gov

Holdings (202)

#IssuerTicker / CUSIPSharesValue% of Filing
1VANGUARD LARGE-CAP ETF922908637196,632$56.1M14.19%
2ISHARES CORE U.S. AGGREGATE BO464287226544,115$54.0M13.65%
3VANGUARD MUN BD FD INC TAX EXEM922907746791,908$38.8M9.82%
4VANGUARD STAR FUNDS VANGUARD TO921909768431,949$29.8M7.55%
5PROCTER & GAMBLE CO742718109109,809$17.5M4.42%
6ISHARES CORE S&P SMALL CAP ETF464287804146,878$16.1M4.06%
7SPDR S&P 500 ETF TR TR UNITSPY22,650$14.0M3.54%
8EMERSON ELECTRIC COEMR103,288$13.8M3.48%
9INVESCO AC VAR ETFIVZ522,916$13.1M3.31%
10Vanguard Intl Equity Index Fund922042874143,029$11.1M2.80%
11JPMORGAN ULTRA-SHORT MUNICIPAL46641Q654206,518$10.5M2.66%
12VANGUARD FTSE EMERGING MARKETS922042858127,483$6.3M1.59%
13VANGUARD LARGE-CAP ETF92290863712,712$3.6M0.92%
14MICROSOFT CORPMSFT7,219$3.6M0.91%
15VANGUARD MUN BD FD INC TAX EXEM92290774663,554$3.1M0.79%
16APPLE INC COMMONAAPL13,189$2.7M0.68%
17ISHARES AGENCY BOND ETF46428816623,035$2.5M0.64%
18NVIDIA CORPNVDA15,954$2.5M0.64%
19ISHARES GNMA BOND ETF46429B33355,380$2.4M0.62%
20ISHARES CORE S&P 500 ETF4642872003,699$2.3M0.58%
21AMAZON.COM INCAMZN10,439$2.3M0.58%
22META PLATFORMS INC.META2,940$2.2M0.55%
23ALPHABET INC CAP STK CLASS CGOOG11,704$2.1M0.53%
24SPDR PORTFOLIO S&P 600 SMALL CA78468R85348,641$2.1M0.52%
25JPMORGAN CHASE & COVYLD6,555$1.9M0.48%
26SPDR BARCLAYS SHORT TERM HIGH Y78468R40871,071$1.8M0.46%
27BROADCOM INCAVGO6,145$1.7M0.43%
28ISHARES RUSSELL 20004642876557,209$1.6M0.39%
29EXXON MOBIL CORPXOM14,144$1.5M0.39%
30ALPHABET INC CLASS AGOOG8,450$1.5M0.38%
31LILLY ELI & COMMONLLY1,832$1.4M0.36%
32ABBVIE INCABBV7,578$1.4M0.36%
33VISA COMMON CL AV3,956$1.4M0.36%
34ISHS INTL SEL DV ETF46428844838,119$1.3M0.33%
35EXXON MOBIL CORPXOM11,563$1.2M0.32%
36SPDR S&P MIDCAP 400 ETF TRMDY2,182$1.2M0.31%
37JP MORGAN INTL BOND OPPORTUNITI46641Q85225,071$1.2M0.31%
38ISHARES MSCI EAFE46428746512,905$1.2M0.29%
39UNION PACIFIC CORPUNP4,836$1.1M0.28%
40ABBOTT LABORATORIESABLZF8,109$1.1M0.28%
41BERKSHIRE HATHAWAY INC DEL CLASBRK-A2,253$1.1M0.28%
42ABBVIE INCABBV5,849$1.1M0.27%
43TESLA MTRS INCTSLA3,391$1.1M0.27%
44MASTERCARD CL AMA1,850$1.0M0.26%
45HUBBELL INC NPVHUBB2,525$1.0M0.26%
46COCA-COLA COKO14,480$1.0M0.26%
47GE AEROSPACE3696043013,819$982,9720.25%
48CAPITAL ONE FINL CORP COMMON14040H1054,535$964,8670.24%
49JOHNSON & JOHNSONJNJ6,068$926,8870.23%
50COCA-COLA COKO13,000$919,7500.23%
51ISHARES TR MSCI4642882576,985$898,2710.23%
52CISCO SYSTEMS INCCSCO12,941$897,8470.23%
53ABBOTT LABORATORIESABLZF6,598$897,3940.23%
54TECH SELECT SEC SPDR81369Y8033,521$891,6230.23%
55ISHARES CORE U.S. AGGREGATE BO4642872268,975$890,3200.23%
56WAL-MART STORES COMMONWMT8,970$877,0870.22%
57SALESFORCE INCCRM2,870$782,6200.20%
58ISHARES AAA-A RATED CORP BOND E46429B29115,900$760,6560.19%
59AMERICAN EXPRESS COMMONAXP2,375$757,5780.19%
60KROGER COKR10,543$756,2490.19%
61NETFLIX INC COMMONNFLX561$751,2520.19%
62INVESCO AC VAR ETFIVZ29,843$747,5670.19%
63THE HOME DEPOT INCHD1,978$725,2140.18%
64JPMORGAN ULTRA-SHORT MUNICIPAL46641Q65414,225$724,3370.18%
65COSTCO WHOLESALE CORP NEW COMMO22160K105727$719,6860.18%
66MERCK & CO INC NEWMRK9,027$714,5770.18%
67SPDR SER TR NUVEEN BLOOMBERG BA78468R73914,851$710,3230.18%
68ORACLE CORPORCL-PD3,209$701,5840.18%
69RAYTHEON TECHNOLOGIES CORPRTX4,767$696,0770.18%
70VANGUARD INDEX FUNDS VANGUARD E9229086523,605$694,7200.18%
71AUTOMATIC DATA PROCESSING INCADP2,232$688,3490.17%
72ISHARES CORE S&P SMALL CAP ETF4642878046,289$687,3250.17%
73SPDR S&P 500 ETF TR TR UNITSPY1,106$683,3420.17%
74WELLS FARGO & CO9497461018,088$648,0110.16%
75JOHNSON & JOHNSONJNJ4,202$641,8560.16%
76S&P GLOBAL INC COMSPGI1,200$632,7480.16%
77CHEVRON CORPCVX4,217$603,8320.15%
78AON PLCAON1,675$597,5730.15%
79APPLIED MATERIALS INC0382221053,212$588,0210.15%
80UNITEDHEALTH GROUP INCUNH1,862$580,8880.15%
81GE AEROSPACE3696043012,250$579,1280.15%
82AT&T INCT-PC19,985$578,3660.15%
83BANK AMER CORP COMMON06050510411,980$566,8940.14%
84INTEL CORPINTC24,939$558,6340.14%
85ADOBE INCADBE1,337$517,2590.13%
86ISHARES MSCI EMERG46428723410,400$501,6960.13%
87MERCK & CO INC NEWMRK6,132$485,4090.12%
88PHILIP MORRIS INTL INC COMMON7181721092,660$484,4660.12%
89CATERPILLAR INC.CAT1,243$482,5450.12%
90VANGUARD STAR FUNDS VANGUARD TO9219097686,924$478,3790.12%
91ADVANCED MICRO DEVICES INCAMD3,347$474,9390.12%
92AMERICAN EXPRESS COMMONAXP1,482$472,7280.12%
93ACCENTURE PLC AACN1,506$450,1280.11%
94TARGET CORPTGT4,551$448,9560.11%
95EATON CORP PLCETN1,254$447,6650.11%
96MOODYS CORPMCO887$444,9100.11%
97ANALOG DEVICES INCADI1,824$434,1480.11%
98INTUITINTU526$414,2930.10%
99KLA CORPORATION COM NEWKLAC461$412,9360.10%
100DELL TECHNOLOGIES INCDELL3,346$410,2200.10%
101APOLLO GLOBAL MGMT INC03769M1062,853$404,7550.10%
102PALANTIR TECHNOLOGIES INCPLTR2,909$396,5550.10%
103ISHARES S&P GLO INDS4642887292,375$392,7780.10%
104MCDONALDS CORP COMMONMCD1,287$376,0230.10%
105SCHWAB STRATEGIC US DIVIDEND EQ80852479714,082$373,1730.09%
106INTERCONTINENTALEXCHANGE GROUP45866F1042,013$369,3250.09%
107VERIZON COMMUNICATIONS INC COMMVZ8,529$369,0500.09%
108Vanguard Intl Equity Index Fund9220428744,738$367,1950.09%
109LOWES COS INC COMMON5486611071,615$358,3200.09%
110NEXTERA ENERGY INCNEE-PW5,082$352,7920.09%
111WALT DISNEY COMMON2546871062,785$345,3680.09%
112SYNOPSYS INCSNPS660$338,3690.09%
113INTUITIVE SURGICAL INC COM NEWISRG621$337,4580.09%
114QUALCOMM INC COMMONQCOM2,084$331,8980.08%
115KINDER MORGAN INC DEL COMMONEP-PC11,268$331,2790.08%
116CINTAS CORPCTAS1,459$325,1670.08%
117PAYCHEX COMMONPAYX2,216$322,3390.08%
118FAIR ISAAC CORPFICO174$318,0650.08%
119GE VERNOVAGEV601$318,0190.08%
120PRUDENTIAL FINL INCPUKPF2,836$304,7000.08%
121MORGAN STANLEYMS-PQ2,161$304,3980.08%
122S&P GLOBAL INC COMSPGI574$302,6640.08%
123GE VERNOVAGEV562$297,3820.08%
124DANAHER CORP COMMON2358511021,503$296,9030.08%
125HEWLETT PACKARD ENTERPRISE COMMHPE-PC14,272$291,8620.07%
126CROWDSTRIKE HOLDINGS INC CL ACRWD565$287,7600.07%
127PROLOGIS INCPLDGP2,697$283,5090.07%
128VANGUARD INTM-TERM GOVT BOND FU92206C7064,604$275,3650.07%
129STRYKER CORPSYK696$275,3580.07%
130RAYTHEON TECHNOLOGIES CORPRTX1,880$274,5180.07%
131AMERIPRISE FINL INC COMMON03076C106510$272,2020.07%
132TEXAS INSTRS INC COMMON8825081041,291$268,0370.07%
133METLIFE INC COMMONMET-PF3,315$266,5920.07%
134PEPSICO INCPEP2,002$264,3440.07%
135MARSH & MCLENNAN COS INC5717481021,200$262,3680.07%
136ARCH CAPITAL GROUP LTDG0450A1052,871$261,4050.07%
137UNION PACIFIC CORPUNP1,135$261,1410.07%
138CHUBB LIMITED COM NPVCB890$257,8510.07%
139GOLDMAN SACHS GROUP INC COMMONGSCE362$256,2060.06%
140AMERIPRISE FINL INC COMMON03076C106478$255,1230.06%
141THERMO FISHER SCIENTIFIC INC COTMO628$254,6290.06%
142T-MOBILE US INC COMMONTMUSZ1,047$249,4580.06%
143AMGEN INCAMGN887$247,6590.06%
144VANGUARD SHORT-TERM GOV BND92206C1024,131$242,8200.06%
145INTERNATIONAL BUSINESS MACHINESINTR821$242,0140.06%
146UBER TECHNOLOGIES INC COMUBER2,588$241,4600.06%
147SCHWAB CHARLES CORP NEWSCHW-PJ2,612$238,3190.06%
148PALO ALTO NETWORKS INC COMMONPANW1,136$232,4710.06%
149UNITED RENTALS INCURI305$229,7870.06%
150MARVELL TECHNOLOGY INCMRVL2,916$225,6980.06%
151MONDELEZ INTL INC CLASS A6092071053,343$225,4520.06%
152VULCAN MATERIALS CO929160109852$222,2190.06%
153GENERAL MTRS CO37045V1004,507$221,7890.06%
154ORACLE CORPORCL-PD1,000$218,6300.06%
155MICROCHIP TECHNOLOGY INCMCHPP2,999$211,0400.05%
156ROYAL CARIBBEAN CRUISES LTD SHSV7780T103666$208,5510.05%
157JP MORGAN ULTRA SHORT INC ETF46641Q8374,115$208,5480.05%
158ISHARES SHORT-TERM CORPORATE BD4642886463,830$202,0710.05%
159MICRON TECHNOLOGY INC COMMONMU1,634$201,3910.05%
160CISCO SYSTEMS INCCSCO2,858$198,2880.05%
161WILLIAMS COS INC DEL9694571003,110$195,3390.05%
162VANGUARD FTSE EMERGING MARKETS9220428583,744$185,1780.05%
163SPDR BARCLAYS SHORT TERM HIGH Y78468R4087,011$178,6400.05%
164AUTOMATIC DATA PROCESSING INCADP400$123,3600.03%
165ISHS INTL SEL DV ETF4642884483,319$114,5390.03%
166ISHARES RUSSELL 2000464287655418$90,2000.02%
167MICROSOFT CORPMSFT175$87,0470.02%
168SPDR S&P MIDCAP 400 ETF TRMDY152$86,1050.02%
169TECH SELECT SEC SPDR81369Y803250$63,3080.02%
170NVIDIA CORPNVDA212$33,4940.01%
171APPLE INC COMMONAAPL142$29,1340.01%
172AMAZON.COM INCAMZN131$28,7400.01%
173ISHARES MSCI EAFE464287465285$25,4760.01%
174LOWES COS INC COMMON548661107100$22,1870.01%
175JPMORGAN CHASE & COVYLD65$18,8440.00%
176COSTCO WHOLESALE CORP NEW COMMO22160K10519$18,8090.00%
177PHILIP MORRIS INTL INC COMMON718172109100$18,2130.00%
178META PLATFORMS INC.META22$16,2380.00%
179AT&T INCT-PC547$15,8300.00%
180PRUDENTIAL FINL INCPUKPF137$14,7190.00%
181BROADCOM INCAVGO50$13,7830.00%
182PAYCHEX COMMONPAYX89$12,9460.00%
183ALPHABET INC CLASS AGOOG67$11,8070.00%
184ALPHABET INC CAP STK CLASS CGOOG66$11,7080.00%
185LILLY ELI & COMMONLLY14$10,9130.00%
186VISA COMMON CL AV30$10,6520.00%
187THE HOME DEPOT INCHD29$10,6330.00%
188INTERNATIONAL BUSINESS MACHINESINTR35$10,3170.00%
189CATERPILLAR INC.CAT25$9,7050.00%
190SALESFORCE INCCRM32$8,7260.00%
191UNITEDHEALTH GROUP INCUNH26$8,1110.00%
192THERMO FISHER SCIENTIFIC INC COTMO19$7,7040.00%
193VERIZON COMMUNICATIONS INC COMMVZ178$7,7020.00%
194WILLIAMS COS INC DEL969457100114$7,1600.00%
195PALO ALTO NETWORKS INC COMMONPANW30$6,1390.00%
196APPLIED MATERIALS INC03822210529$5,3090.00%
197CROWDSTRIKE HOLDINGS INC CL ACRWD10$5,0930.00%
198UBER TECHNOLOGIES INC COMUBER53$4,9450.00%
199TESLA MTRS INCTSLA15$4,7650.00%
200QUALCOMM INC COMMONQCOM29$4,6190.00%
201ADVANCED MICRO DEVICES INCAMD32$4,5410.00%
202ADOBE INCADBE10$3,8690.00%