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First Nebraska Trust Co

SEC CIK
0002134841
Latest filing
Aug 12, 2026

XRAY holding history

Dentsply Sirona Inc. in every 13F filed by First Nebraska Trust Co, including the quarters it was sold out or no filing was made. Changes compare share counts with the previous calendar quarter.

XRAY overviewAll 13F holders of XRAYFull Q2 2026 holdings

Shares (Q4 2024)
0
Sold out in Q4 2024
Value
$0
% of portfolio
0.0%
Quarters held
33
Since Q1 2016
Holdings of XRAY by First Nebraska Trust Co, by quarter
QuarterSharesValue% of portfolioShare changeActionAll holders
Q4 20240$00.0%−17,397−100.0%Sold outHolders
Q3 202417,397$470.8K<0.1%−680−3.8%ReducedHolders
Q2 202418,077$450.3K<0.1%−387−2.1%ReducedHolders
Q1 202418,464$612.8K0.1%−800−4.2%ReducedHolders
Q4 202319,264$685.6K0.1%−500−2.5%ReducedHolders
Q3 202319,764$675.1K0.1%−525−2.6%ReducedHolders
Q2 202320,289$812.0K0.1%−582−2.8%ReducedHolders
Q1 202320,871$819.8K0.1%−785−3.6%ReducedHolders
Q4 202221,656$689.5K0.1%−710−3.2%ReducedHolders
Q3 202222,366$634.1K0.1%−38,713−63.4%ReducedHolders
Q2 202261,079$2.18M0.3%+6,350+11.6%AddedHolders
Q1 202254,729$2.69M0.3%−547−1.0%ReducedHolders
Q4 202155,276$3.08M0.4%+1,550+2.9%AddedHolders
Q3 202153,726$3.12M0.4%+8,255+18.2%AddedHolders
Q2 202145,471$2.88M0.4%−275−0.6%ReducedHolders
Q1 202145,746$2.92M0.4%–No prior filingHolders
Q3 2020––––Not filed–
Q2 202036,322$1.60M0.3%−405−1.1%Reduced–
Q1 202036,727$1.43M0.3%−1,440−3.8%Reduced–
Q4 201938,167$2.16M0.4%−75−0.2%Reduced–
Q3 201938,242$2.04M0.3%−1,425−3.6%Reduced–
Q2 201939,667$2.31M0.4%−1,575−3.8%Reduced–
Q1 201941,242$2.05M0.4%+12,625+44.1%Added–
Q4 201828,617$1.06M0.2%−50,709−63.9%Reduced–
Q3 201879,326$2.99M0.5%−2,235−2.7%Reduced–
Q2 201881,561$3.57M0.8%+10,665+15.0%Added–
Q1 201870,896$3.57M0.7%+14,075+24.8%Added–
Q4 201756,821$3.74M0.8%−925−1.6%Reduced–
Q3 201757,746$3.45M0.8%−1,115−1.9%Reduced–
Q2 201758,861$3.82M0.9%−7,417−11.2%Reduced–
Q1 201766,278$4.14M0.9%+6,695+11.2%Added–
Q4 201659,583$3.44M0.8%−527−0.9%Reduced–
Q3 201660,110$3.57M0.9%−690−1.1%Reduced–
Q2 201660,800$3.77M1.0%+640+1.1%Added–
Q1 201660,160$3.71M1.0%+60,160New–