Trust Co of Kansas

CIK: 0001803988SEC EDGAR →

Portfolio Value

$217K

Holdings

55

As of

Q4 2025

New Positions

6

Closed Positions

2

Portfolio Value History

Top 10 Holdings

RankStockSharesValue% of Portfolio
1

T Rowe Price Blue Chip Growth ETF

1,029,118$51K
23.50%
2

Alphabet Inc. Class A

45,289$14K
6.45%
3

Berkshire Hathaway Cl B New

24,967$12K
5.53%
4

Taiwan Semiconductor Manufacturing Co Ltr ADR

40,294$12K
5.53%
5

Microsoft Corp

24,194$11K
5.07%
6

RTX Corporation

53,630$9K
4.15%
7

ASML Holdings NV ADR

7,503$8K
3.69%
8

Exxon Mobil Corp

69,717$8K
3.69%
9

Amazon.com, Inc.

38,860$8K
3.69%
10

Merck & Co Inc

70,164$7K
3.23%

Quarterly Changes

Top Buys

TMED↑ Increased
$49.4M
MSFT↑ Increased
$12.5M
RTX↑ Increased
$8.9M
TSM↑ Increased
$8.6M
AMZN↑ Increased
$8.5M

Top Sells

BRK/B↓ Decreased
$12.6M
GOOGL↓ Decreased
$11.9M
XOM↓ Decreased
$8.1M
LMT↓ Decreased
$7.4M
ASML↓ Decreased
$7.3M

Closed Positions (6)

$6.6M · 19K shares
$431K · 2K shares
$358K · 14K shares
$216K · 1K shares
$208K · 697 shares
$205K · 1K shares

Sector Breakdown

Sector# HoldingsValue%
Unknown4$63K32.6%
Technology10$40K20.7%
Communication Services4$24K12.4%
Consumer Cyclical6$23K11.9%
Industrials8$21K10.9%
Energy3$8K4.1%
Healthcare6$7K3.6%
Financial Services7$6K3.1%
Consumer Defensive5$1K0.5%
Utilities2$00.0%