The Analysis of Trust Co of Kansas's Holdings & P&L


Currently, Trust Co of Kansas holds 56 types of securities in its portfolio with a total value $181.1K. In the most recent quarter, they have increased their positions in BRK.A (+2 shares, valued at $1.4K), PSX (+1.2K shares, valued at $221.00000000000003), SRE (+2.2K shares, valued at $214); decreased their positions in TCHP (-133.5K shares, valued at $5.9K), META (-5.2K shares, valued at $3.0K), NKE (-49.9K shares, valued at $2.6K); initiated new positions in PSX (+1.2K shares, valued at $221), SRE (+2.2K shares, valued at $214).


1M P&L
+4.6M+2.88%
3M P&L
+3.6M+2.27%
HY P&L
+14.7M+9.95%

P&L figures are estimated based on reported 13F stock holdings and market price changes. They are approximations and may not reflect actual fund performance. Stock split events may also affect the accuracy of these calculations, and we cannot guarantee that all splits have been fully accounted for.

Top Holding Treemap

Top Industries by Value

1N/A42.7K
28.5%
2Aerospace & Defense16.7K
11.2%
3Semiconductors12.2K
8.2%

Top Industries by Stock Count

1N/A5 stocks
10.4%
2Drug Manufacturers - General2 stocks
4.2%
3Semiconductor Equipment & Materials2 stocks
4.2%
Stock Holdings
TCHP
T Rowe Price Blue Chip Growth ETF
-12.97%
Shares895.6K
Event2026-03-31
Filed2026-05-06
TSM
Taiwan Semiconductor Manufacturing Co Ltr ADR
-12.74%
Shares35.2K
Event2026-03-31
Filed2026-05-06
Alphabet Inc. Class A
Alphabet Inc. Class A
-14.22%
Shares38.9K
Event2026-03-31
Filed2026-05-06
Berkshire Hathaway Cl B New
Berkshire Hathaway Cl B New
-11.13%
Shares22.2K
Event2026-03-31
Filed2026-05-06
XOM
Exxon Mobil Corp
-14.13%
Shares59.9K
Event2026-03-31
Filed2026-05-06
RTX
RTX Corporation
-13.06%
Shares46.6K
Event2026-03-31
Filed2026-05-06
ASML
ASML Holdings NV ADR
-13.77%
Shares6.5K
Event2026-03-31
Filed2026-05-06
MSFT
Microsoft Corp
-10.77%
Shares21.6K
Event2026-03-31
Filed2026-05-06
LMT
Lockheed Martin Corp
-13.03%
Shares12.8K
Event2026-03-31
Filed2026-05-06
Merck & Co Inc
Merck & Co Inc
-13.74%
Shares60.5K
Event2026-03-31
Filed2026-05-06
AMZN
Amazon.com, Inc.
-16.57%
Shares32.4K
Event2026-03-31
Filed2026-05-06
DE
Deere & Co
-13.83%
Shares9.4K
Event2026-03-31
Filed2026-05-06
V
Visa Inc
-13.88%
Shares16.0K
Event2026-03-31
Filed2026-05-06
LOW
Lowes
-14.51%
Shares19.7K
Event2026-03-31
Filed2026-05-06
AAPL
Apple Inc
-5.98%
Shares18.0K
Event2026-03-31
Filed2026-05-06
DIS
Walt Disney Company
-13.40%
Shares45.1K
Event2026-03-31
Filed2026-05-06
BKNG
Booking Holding, Inc.
-13.88%
Shares918
Event2026-03-31
Filed2026-05-06
NKE
Nike Inc. Class B
-53.74%
Shares43.0K
Event2026-03-31
Filed2026-05-06
BRK.A
Berkshire Hathaway Inc. Cl A
200.00%
Shares3
Event2026-03-31
Filed2026-05-06
META
Meta Platforms Inc Ordinary Shares - Class A
-58.12%
Shares3.8K
Event2026-03-31
Filed2026-05-06
NOW
Service Now
-44.73%
Shares16.5K
Event2026-03-31
Filed2026-05-06
CL
Colgate Palmolive
-0.07%
Shares15.3K
Event2026-03-31
Filed2026-05-06
GE Aerospace (previously General Electric Co)
GE Aerospace (previously General Electric Co)
-7.20%
Shares2.7K
Event2026-03-31
Filed2026-05-06
CAT
Caterpillar, Inc
-8.44%
Shares1.1K
Event2026-03-31
Filed2026-05-06
WMT
Wal-Mart Stores Inc
3.00%
Shares5.6K
Event2026-03-31
Filed2026-05-06
AMAT
Applied Materials, Inc.
-10.47%
Shares2.0K
Event2026-03-31
Filed2026-05-06
PEP
Pepsico Inc
0.00%
Shares4.2K
Event2026-03-31
Filed2026-05-06
Invesco QQQ Trust Series 1 ETF
Invesco QQQ Trust Series 1 ETF
-22.04%
Shares1.1K
Event2026-03-31
Filed2026-05-06
GEV
GE Vernova Inc.
-8.85%
Shares680
Event2026-03-31
Filed2026-05-06
PG
Procter & Gamble Co
0.00%
Shares3.8K
Event2026-03-31
Filed2026-05-06
CBOE
CBOE Global Markets Inc
0.00%
Shares1.6K
Event2026-03-31
Filed2026-05-06
AMGN
Amgen Inc
-4.00%
Shares1.2K
Event2026-03-31
Filed2026-05-06
CVX
Chevron Corporation
0.00%
Shares2.0K
Event2026-03-31
Filed2026-05-06
DHR
Danaher Corp
0.00%
Shares2.2K
Event2026-03-31
Filed2026-05-06
ABBV
Abbvie Inc
-15.40%
Shares1.8K
Event2026-03-31
Filed2026-05-06
COST
Costco Whsl Corp
-3.34%
Shares376
Event2026-03-31
Filed2026-05-06
UNP
Union Pacific Corporation
0.00%
Shares1.5K
Event2026-03-31
Filed2026-05-06
IBDS
iShares iBonds Dec 2027 Term Corp ETF
-4.19%
Shares15.0K
Event2026-03-31
Filed2026-05-06
Alphabet Inc. Class C
Alphabet Inc. Class C
0.00%
Shares1.3K
Event2026-03-31
Filed2026-05-06
CME
CME Group Inc
0.00%
Shares1.1K
Event2026-03-31
Filed2026-05-06
IBDR
iShares iBonds Dec 2026 Term Corp ETF
-2.84%
Shares13.6K
Event2026-03-31
Filed2026-05-06
Broadcom Inc.
Broadcom Inc.
0.00%
Shares1.1K
Event2026-03-31
Filed2026-05-06
NVDA
NVIDIA Corp
-5.48%
Shares1.8K
Event2026-03-31
Filed2026-05-06
HD
Home Depot Inc.
0.00%
Shares931
Event2026-03-31
Filed2026-05-06
EVRG
Evergy Inc.
0.00%
Shares3.7K
Event2026-03-31
Filed2026-05-06
ORCL
Oracle Corporation
0.00%
Shares1.9K
Event2026-03-31
Filed2026-05-06
DHI
D R Horton Inc Com
0.00%
Shares2.0K
Event2026-03-31
Filed2026-05-06
SPY
SPDR S&P 500 ETF Trust
0.00%
Shares418
Event2026-03-31
Filed2026-05-06
CSCO
Cisco Systems Inc
5.79%
Shares3.4K
Event2026-03-31
Filed2026-05-06
JPM
JPMorgan Chase & Co Com
0.00%
Shares899
Event2026-03-31
Filed2026-05-06
Eaton Corp PLC
Eaton Corp PLC
0.00%
Shares715
Event2026-03-31
Filed2026-05-06
EMR
Emerson Electric Co
-18.81%
Shares1.7K
Event2026-03-31
Filed2026-05-06
PSX
Phillips 66 Corp
New
Shares1.2K
Event2026-03-31
Filed2026-05-06
SRE
Sempra Energy
New
Shares2.2K
Event2026-03-31
Filed2026-05-06
NGL
NGL Energy Partners LP Units
0.00%
Shares13.0K
Event2026-03-31
Filed2026-05-06
HUMA
Humacyte Inc Ordinary Shares
20.00%
Shares24.0K
Event2026-03-31
Filed2026-05-06

Call Option Holdings
No call option holdings data available

Put Option Holdings
No put option holdings data available