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First Nebraska Trust Co

SEC CIK
0002134841
Latest filing
Aug 12, 2026

Holdings changes from Q3 2000 to Q4 2000

Long positions only; new, added, reduced and sold out are based on share counts. Pick any two quarters this institution filed.

Choose two quarters to compare

New
13
Est. +$3.80M
Added
31
Est. +$55.0M
Reduced
27
Est. −$3.28M
Sold out
7
Est. −$2.75M

Portfolio value went from $146.9M to $169.5M (+$22.6M (+15.4%)); positions from 80 to 86 (+6).

All Q4 2000 holdingsAll Q3 2000 holdings

In the shares, value and % of portfolio columns, the top figure is Q4 2000 and the gray one below is Q3 2000. For stocks that split between the two quarters, Q3 2000 shares are converted at the split ratio before comparing.

Holdings of First Nebraska Trust Co in Q3 2000 and Q4 2000 compared
SecurityActionSharesShare changeValueEst. bought or sold% of portfolioWeight change (pp)
SYYSysco CorpAddedHistory3,607,4721,902,736+1,704,736+89.6%$108.2M$88.1M+$51.1M63.8%60.0%+3.85
Alltel Corp020039103Added–128,593124,780+3,813+3.1%$8.03M$6.51M+$238.1K4.7%4.4%+0.30
XOMExxonMobil Holdings CorpReducedHistory67,42069,239−1,819−2.6%$5.86M$6.17M−$158.1K3.5%4.2%−0.74
WFCWells Fargo & CompanyAddedHistory85,41080,400+5,010+6.2%$4.76M$3.69M+$279.0K2.8%2.5%+0.29
U.S. Bancorp (Formerly First B902973106Added–137,466131,966+5,500+4.2%$4.01M$3.00M+$160.5K2.4%2.0%+0.32
GEGeneral Electric CoAddedHistory46,05345,081+972+2.2%$2.21M$2.60M+$46.6K1.3%1.8%−0.47
CVXChevron CorpReducedHistory25,55625,772−216−0.8%$2.16M$2.20M−$18.2K1.3%1.5%−0.22
INTCIntel CorpAddedHistory54,77036,480+18,290+50.1%$1.65M$1.52M+$549.9K1.0%1.0%−0.06
Oppenheimer Multi-Sector Inc683933105Reduced–188,000198,900−10,900−5.5%$1.46M$1.63M−$84.7K0.9%1.1%−0.25
MRKMerck & Co., Inc.ReducedHistory14,56034,039−19,479−57.2%$1.36M$2.53M−$1.82M0.8%1.7%−0.92
BMYBristol Myers Squibb CoReducedHistory17,62018,820−1,200−6.4%$1.30M$1.08M−$88.7K0.8%0.7%+0.04
MSFTMicrosoft CorpAddedHistory28,03812,440+15,598+125.4%$1.22M$750.3K+$676.6K0.7%0.5%+0.21
MCRMFS Charter Income TrustReducedHistory132,900144,400−11,500−8.0%$1.15M$1.25M−$99.2K0.7%0.8%−0.17
Citigroup Inc172967101Added–21,77421,759+15+0.1%$1.11M$1.18M+$765.950.7%0.8%−0.14
Motorola Inc Com620076109New–45,9500+45,950$930.5K$0+$930.5K0.5%0.0%+0.55
VMRKVivmark ResidentialAddedHistory13,63913,109+530+4.0%$754.4K$629.2K+$29.3K0.4%0.4%+0.02
CSCOCisco Systems, Inc.AddedHistory19,18217,136+2,046+11.9%$733.7K$946.8K+$78.3K0.4%0.6%−0.21
Enron Corp293561106Unchanged–8,7848,78400.0%$730.2K$769.7K$00.4%0.5%−0.09
LEVEL3 Communications Inc52729N100Added–22,19919,340+2,859+14.8%$728.4K$1.49M+$93.8K0.4%1.0%−0.59
FNMAFederal National Mortgage Association Fannie MaeAddedHistory8,0006,900+1,100+15.9%$694.0K$493.4K+$95.4K0.4%0.3%+0.07
Morgan Stanley High Yield FD61744M104Reduced–68,35069,950−1,600−2.3%$645.1K$795.7K−$15.1K0.4%0.5%−0.16
HDHome Depot, Inc.AddedHistory13,90010,350+3,550+34.3%$635.1K$549.2K+$162.2K0.4%0.4%0.00
Credit Suisse Asset Mgmt Strat224918102Reduced–93,85099,350−5,500−5.5%$633.5K$726.5K−$37.1K0.4%0.5%−0.12
ZIONZions Bancorporation, National AssociationAddedHistory10,1008,900+1,200+13.5%$630.6K$455.2K+$74.9K0.4%0.3%+0.06
Managed High Income Portfoli56166C105Unchanged–74,50074,50000.0%$628.6K$647.3K$00.4%0.4%−0.07
JPMorgan Chase & Co616880100Unchanged–3,4303,43000.0%$567.7K$560.4K$00.3%0.4%−0.05
Gannett Inc Del364730101Added–8,2755,550+2,725+49.1%$521.8K$294.1K+$171.8K0.3%0.2%+0.11
Washington Mutual Inc939322103Reduced–9,30012,300−3,000−24.4%$493.5K$489.7K−$159.2K0.3%0.3%−0.04
Bank One Corp06423A103Added–13,46911,819+1,650+14.0%$493.3K$456.5K+$60.4K0.3%0.3%−0.02
CAGConagra Brands Inc.AddedHistory18,44814,498+3,950+27.2%$479.6K$290.9K+$102.7K0.3%0.2%+0.08
HONHoneywell International IncAddedHistory9,7009,115+585+6.4%$458.9K$324.7K+$27.7K0.3%0.2%+0.05
Computer Assoc204912109Added–22,90015,100+7,800+51.7%$446.6K$380.3K+$152.1K0.3%0.3%0.00
Lucent Technologies Inc549463107Added–32,80520,854+11,951+57.3%$442.9K$637.4K+$161.3K0.3%0.4%−0.17
Invesco Global Health Sciences46128N109Added–25,32424,824+500+2.0%$441.6K$505.8K+$8.72K0.3%0.3%−0.08
APDAir Products & Chemicals, Inc.UnchangedHistory10,40010,40000.0%$426.4K$374.4K$00.3%0.3%0.00
Berkshire Hathaway Cl B084670207Added–179163+16+9.8%$421.4K$337.4K+$37.7K0.2%0.2%+0.02
KOCoca Cola CoAddedHistory6,1035,719+384+6.7%$371.9K$315.3K+$23.4K0.2%0.2%0.00
Walgreen Co Com931422109Unchanged–8,6008,60000.0%$359.6K$326.3K$00.2%0.2%−0.01
CAHCardinal Health IncReducedHistory3,6003,800−200−5.3%$358.6K$335.1K−$19.9K0.2%0.2%−0.02
BDXBecton Dickinson & CoAddedHistory10,1007,750+2,350+30.3%$349.7K$204.9K+$81.4K0.2%0.1%+0.07
Tyco International Ltd902124106Added–6,2014,200+2,001+47.6%$344.2K$217.9K+$111.1K0.2%0.1%+0.05
First Data Corp319963104New–6,4750+6,475$341.2K$0+$341.2K0.2%0.0%+0.20
ORCLOracle CorpAddedHistory11,5005,250+6,250+119.0%$334.2K$413.4K+$181.6K0.2%0.3%−0.08
Schering-Plough Corp806605101Reduced–5,7006,000−300−5.0%$323.5K$279.0K−$17.0K0.2%0.2%0.00
Worldcom Inc98157D106Added–22,97918,689+4,290+23.0%$323.2K$567.7K+$60.3K0.2%0.4%−0.20
Nuveen Insd Quality Mun FD I67062N103Added–23,40021,500+1,900+8.8%$321.8K$291.6K+$26.1K0.2%0.2%−0.01
IRIngersoll Rand Inc.NewHistory7,2000+7,200$301.5K$0+$301.5K0.2%0.0%+0.18
Dreyfus Mun Income Inc26201R102Reduced–37,40045,400−8,000−17.6%$299.2K$357.5K−$64.0K0.2%0.2%−0.07
American Intl Group026874107New–2,9870+2,987$294.4K$0+$294.4K0.2%0.0%+0.17
Stewart Enterprises Inc860370105Reduced–154,067187,867−33,800−18.0%$293.7K$364.1K−$64.4K0.2%0.2%−0.07
MFCManulife Financial CorpNewHistory9,1220+9,122$286.2K$0+$286.2K0.2%0.0%+0.17
CIKCredit Suisse Asset Management Income Fund, Inc.UnchangedHistory52,00052,00000.0%$286.0K$344.5K$00.2%0.2%−0.07
Reliant Energy75952J108Reduced–6,5007,700−1,200−15.6%$281.5K$358.1K−$52.0K0.2%0.2%−0.08
IBMInternational Business Machines CorpReducedHistory3,2743,479−205−5.9%$278.3K$391.4K−$17.4K0.2%0.3%−0.10
VZVerizon Communications IncNewHistory5,4410+5,441$272.7K$0+$272.7K0.2%0.0%+0.16
PFEPfizer IncReducedHistory5,8946,077−183−3.0%$271.1K$273.1K−$8.42K0.2%0.2%−0.03
Van Kampen Value Mun Income921132106Reduced–21,40027,400−6,000−21.9%$270.2K$344.2K−$75.8K0.2%0.2%−0.07
American Strategic Income II03009T101Reduced–22,47023,070−600−2.6%$259.8K$252.3K−$6.94K0.2%0.2%−0.02
PGProcter & Gamble CoUnchangedHistory3,2003,20000.0%$251.0K$214.4K$00.1%0.1%0.00
Isco Inc464268101Reduced–35,77037,770−2,000−5.3%$250.4K$148.7K−$14.0K0.1%0.1%+0.05
Salomon Bros High Income FD79547Q106Unchanged–20,60020,60000.0%$248.5K$269.1K$00.1%0.2%−0.04
SLBSLB LimitedAddedHistory3,1002,600+500+19.2%$247.8K$214.0K+$40.0K0.1%0.1%0.00
LOWLowes Companies IncNewHistory5,5400+5,540$246.5K$0+$246.5K0.1%0.0%+0.15
WMTWalmart Inc.ReducedHistory4,4005,200−800−15.4%$233.8K$250.3K−$42.5K0.1%0.2%−0.03
Shurgard Storage CTRS82567D104New–9,5500+9,550$233.4K$0+$233.4K0.1%0.0%+0.14
Invesco QQQ ETF631100104Added–3,9002,900+1,000+34.5%$227.7K$257.2K+$58.4K0.1%0.2%−0.04
MCDMcDonalds CorpNewHistory6,6000+6,600$224.4K$0+$224.4K0.1%0.0%+0.13
FMCCFederal Home Loan Mortgage CorpNewHistory3,2500+3,250$223.8K$0+$223.8K0.1%0.0%+0.13
Safeway Inc Com New786514208New–3,5500+3,550$221.9K$0+$221.9K0.1%0.0%+0.13
Kinder Morgan, Inc.49455P101Reduced–4,2476,527−2,280−34.9%$221.6K$267.2K−$119.0K0.1%0.2%−0.05
Usx-Marathon Group902905827New–7,8500+7,850$217.8K$0+$217.8K0.1%0.0%+0.13
XELXcel Energy IncUnchangedHistory7,4687,46800.0%$217.0K$205.4K$00.1%0.1%−0.01
Zweig Total Return FD Inc989837109Reduced–32,55038,050−5,500−14.5%$213.9K$261.6K−$36.1K0.1%0.2%−0.05
SBC Communications Inc78387G103Reduced–4,4024,489−87−1.9%$210.2K$224.4K−$4.15K0.1%0.2%−0.03
CMAComerica IncUnchangedHistory3,5343,53400.0%$209.8K$206.5K$00.1%0.1%−0.02
BKTBlackRock Income Trust, Inc.UnchangedHistory30,30030,30000.0%$198.9K$193.2K$00.1%0.1%−0.01
Colonial Mun Income Tr195799101Reduced–36,80069,800−33,000−47.3%$195.5K$427.5K−$175.3K0.1%0.3%−0.18
Colonial Invt Grade Mun Tr195768106Reduced–18,80020,300−1,500−7.4%$176.7K$188.6K−$14.1K0.1%0.1%−0.02
NAZNuveen Arizona Quality Municipal Income FundUnchangedHistory10,00010,00000.0%$156.9K$147.5K$00.1%0.1%−0.01
Ohio Casualty Corp677240103Unchanged–14,21414,21400.0%$142.1K$90.2K$00.1%0.1%+0.02
Putnam Invt Grade Mun Tr Iit746807106Reduced–11,60014,300−2,700−18.9%$131.9K$159.1K−$30.7K0.1%0.1%−0.03
Hyperion Total Return & Inco449145101Unchanged–14,50014,50000.0%$125.1K$119.6K$00.1%0.1%−0.01
United Dominion Realty Tr IN910197102Reduced–11,20014,700−3,500−23.8%$121.1K$159.9K−$37.8K0.1%0.1%−0.04
Rite Aid Corp767754104Added–29,30019,900+9,400+47.2%$69.6K$79.6K+$22.3K<0.1%0.1%−0.01
Gold Banc Corp Inc379907108Unchanged–10,20010,20000.0%$47.8K$52.3K$0<0.1%<0.1%−0.01
Firstworld Communications Inc337625305New–10,4000+10,400$6.82K$0+$6.82K<0.1%0.0%0.00
Southdown Inc841297104Sold out–021,806−21,806−100.0%$0$1.55M−$1.55M0.0%1.1%−1.06
MRSHMarsh & McLennan Companies, Inc.Sold outHistory02,100−2,100−100.0%$0$278.8K−$278.8K0.0%0.2%−0.19
Alliance All Market Advantag01852M108Sold out–05,700−5,700−100.0%$0$234.1K−$234.1K0.0%0.2%−0.16
Royal Dutch Shell780257804Sold out–03,880−3,880−100.0%$0$232.6K−$232.6K0.0%0.2%−0.16
Texaco Inc881694103Sold out–04,012−4,012−100.0%$0$210.6K−$210.6K0.0%0.1%−0.14
Putnam Invt Grade Muntr746805100Sold out–016,900−16,900−100.0%$0$174.3K−$174.3K0.0%0.1%−0.12
PPTFranklin Premier Income TrustSold outHistory010,800−10,800−100.0%$0$69.5K−$69.5K0.0%<0.1%−0.05

Estimated amounts multiply the change in shares by the quarter-end price implied by the filing (market value divided by shares): new positions use this quarter's value and sold-out positions last quarter's; positions reported only as principal (PRN) cannot be estimated. 13F shows only quarter-end holdings, not when trades happened or at what price.