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Institutional Investment Manager
BRIDGES INVESTMENT MANAGEMENT INC
BRIDGES INVESTMENT MANAGEMENT INC (CIK: 0001007295) incorporated in Nebraska, located at P.O. Box 542021, Omaha, NE. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q1)
Portfolio Summary: 126 holdings with a total value of $550,282,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 First Natl of Nebraska Inc 5,622 37,582,000 6.83%
2 BERKSHIRE HATHAWAY INC DEL 153 32,658,000 5.93%
3 ISHARES TR 325,279 32,456,000 5.90%
4 APPLE INC 224,058 24,420,000 4.44%
5 ISHARES TR 164,908 23,778,000 4.32%
6 ISHARES TR 219,271 21,666,000 3.94%
7 BERKSHIRE HATHAWAY INC DEL 144,034 20,435,000 3.71%
8 ISHARES TR 161,949 18,230,000 3.31%
9 MASTERCARD INCORPORATED 176,519 16,681,000 3.03%
10 UNION PAC CORP 164,988 13,124,000 2.38%
11 CELGENE CORP 123,225 12,334,000 2.24%
12 DISNEY WALT CO 94,739 9,408,000 1.71%
13 WELLS FARGO & CO NEW 193,017 9,335,000 1.70%
14 BLACKROCK INC 27,312 9,302,000 1.69%
15 PEPSICO INC 87,866 9,004,000 1.64%
16 VANGUARD INTL EQUITY INDEX F 204,400 8,820,000 1.60%
17 PRICELINE GRP INC 6,782 8,742,000 1.59%
18 ALLERGAN PLC 32,492 8,709,000 1.58%
19 CHEVRON CORP NEW 82,228 7,845,000 1.43%
20 EXPRESS SCRIPTS HOLDING COMPAN 110,638 7,599,000 1.38%
21 PHILIP MORRIS INTL INC 75,794 7,436,000 1.35%
22 ALPHABET INC 9,504 7,251,000 1.32%
23 ALTRIA GROUP INC 112,480 7,048,000 1.28%
24 ALPHABET INC 9,286 6,918,000 1.26%
25 JOHNSON & JOHNSON 59,173 6,403,000 1.16%
26 CAPITAL ONE FINL CORP 85,154 5,902,000 1.07%
27 VISA INC 74,110 5,668,000 1.03%
28 AMAZON COM INC 8,445 5,014,000 0.91%
29 QUALCOMM INC 97,559 4,989,000 0.91%
30 JPMORGAN CHASE & CO 83,296 4,933,000 0.90%
31 EATON CORPORATION PLC 78,810 4,930,000 0.90%
32 MCDONALDS CORP 38,210 4,802,000 0.87%
33 GILEAD SCIENCES INC 51,735 4,753,000 0.86%
34 ROPER TECHNOLOGIES INC 25,909 4,735,000 0.86%
35 ECOLAB INC 41,365 4,613,000 0.84%
36 COMCAST CORP NEW 73,913 4,514,000 0.82%
37 EXXON MOBIL CORP 53,534 4,475,000 0.81%
38 GENERAL ELECTRIC CO 136,364 4,335,000 0.79%
39 FEDEX CORP 25,934 4,220,000 0.77%
40 BIOGEN INC 15,448 4,022,000 0.73%
41 ISHARES TR 70,173 4,011,000 0.73%
42 PROCTER AND GAMBLE CO 47,869 3,941,000 0.72%
43 TARGET CORP 46,043 3,788,000 0.69%
44 STARBUCKS CORP 60,733 3,626,000 0.66%
45 HOME DEPOT INC 25,519 3,406,000 0.62%
46 PAYPAL HLDGS INC 86,885 3,354,000 0.61%
47 AMGEN INC 21,777 3,265,000 0.59%
48 3M CO 18,912 3,152,000 0.57%
49 MICROSOFT CORP 53,891 2,976,000 0.54%
50 VERIZON COMMUNICATIONS INC 53,999 2,921,000 0.53%
Page 1 of 3

Portfolio data is normalized using SEC Form 13F filings, including the Restatement filing (0001007295-16-000011, filed 2016.10.24).

From 2023-01-03 onward, the SEC requires values to be reported in nearest dollars. Earlier filings reported values in thousands; therefore, positions shown as $0 in older filings may represent actual values between $0–$999.