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Institutional Investment Manager
INTRUST BANK NA
INTRUST BANK NA (CIK: 0001034771) incorporated in Kansas, located at Post Office Box 1, Wichita, KS. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q1)
Original 13F HR (0001062993-16-009370) filed in 2016.05.04
#
Name
Shares
Value ($)
%
Options
Notes
301 BT Group plc (ADR) 2,214 71 0.03%
302 US BANCORP DEL 1,697 69 0.02%
303 DIAGEO PLC - ADR 632 68 0.02%
304 3M COMPANY 400 67 0.02%
305 PHILLIPS 66 760 66 0.02%
306 EMERSON ELECTRIC CO 1,208 66 0.02%
307 MERCK & CO. INC. 1,220 65 0.02%
308 POLARIS INDUSTRIES INC. 628 62 0.02%
309 Bristol-Myers Squibb Co 1,027 61 0.02%
310 ALPHABET INC - CL C (Non-Voting) 81 60 0.02%
311 FREEPORT MCMORAN INC 5,818 60 0.02%
312 HOME DEPOT INC 441 59 0.02%
313 FREEPORT MCMORAN INC 5,460 56 0.02%
314 HALLIBURTON CO 1,553 55 0.02%
315 SALESFORCECOM INC 751 55 0.02%
316 IDEX CORP 651 54 0.02%
317 CLEAN HARBORS 1,098 54 0.02%
318 PRICELINE GRP INC 42 54 0.02%
319 Oge Energy Corp 1,865 53 0.02%
320 BRITISH AMERN TOB PLC 454 53 0.02%
321 HANESBRANDS INC 1,821 52 0.02%
322 THOR INDS INC 823 52 0.02%
323 AGCO CORP 978 49 0.02%
324 KRAFT HEINZ COMPANY 607 48 0.02%
325 GILEAD SCIENCES, INC. 523 48 0.02%
326 AMERICAN INTL GROUP INC 862 47 0.02%
327 KROGER COMPANY 1,233 47 0.02%
328 PENTAIR PLC 836 45 0.02%
329 TRINITY INDUSTRIES INC 2,482 45 0.02%
330 AMERICAN ARLNS GRP INC 1,085 44 0.02%
331 WALGREENS BOOTS ALLIANCE INC COM 509 43 0.02%
332 MASTERCARD, INC. 445 42 0.02%
333 NOVARTIS A G 577 42 0.02%
334 AFFILIATED MANAGERS GROUP 259 42 0.02%
335 DISCOVER FINL SVCS 824 42 0.02%
336 CELGENE CORP 416 42 0.02%
337 NEWELL RUBBERMAID INC 922 41 0.01%
338 CHICAGO BRDGIRON COMPNY 1,085 40 0.01%
339 DISNEY WALT CO 394 39 0.01%
340 AMGEN INC 251 38 0.01%
341 SCHWAB CHARLES CORP NEW 1,346 38 0.01%
342 CVS HEALTH CORP 364 38 0.01%
343 TIMKEN CO 1,139 38 0.01%
344 Western Union 1,900 37 0.01%
345 NORDSON CORP 485 37 0.01%
346 ALEXION PHARMS INC 257 36 0.01%
347 STARBUCKS CORP 598 36 0.01%
348 SCHLUMBERGER LTD 470 35 0.01%
349 FLOWSERVE CORP 763 34 0.01%
350 ABBVIE INC. 600 34 0.01%
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