13F

Investor

First Interstate Bank

CIK 0001125727 · filed 2026-04-29 · SEC filing

13F book

$1.78B

Positions

187

12 new · 24 sold

Largest name

9.0%

Vanguard Scottsdale Fds

Est. mark

−$11.8M

Price effect on 175 names still held. Flow −$72.5M.
NameTickerSharesValueWeightEst. markChange
Vanguard Scottsdale Fds1.94M$160.8M9.0%−$1.82MAdded$8.59M
First Intst Bancsystem Inc4.65M$155.4M8.7%−$5.58MCut−$6M
Invesco Exchange Traded Fd T761.2K$146.1M8.2%$272.3KAdded$1.21M
Ishares Tr206.2K$134.7M7.6%−$6.43MAdded−$4.15M
Vanguard Scottsdale Fds1.8M$107.2M6.0%−$657.4KAdded$3.5M
Ishares Tr1.55M$104.6M5.9%$2.32MAdded$4.43M
Ishares Tr2.9M$87.9M4.9%−$1.86MCut−$2.08M
Ishares Tr679.7K$84.5M4.7%$2.79MAdded$3.38M
Vanguard Malvern Fds1.52M$76M4.3%$674.2KAdded$7.91M
Flexshares Tr1.32M$72.5M4.1%$12.2MCut$4.37M
Vanguard Scottsdale Fds1.38M$64.8M3.6%−$173.5KAdded$1.92M
Ishares Tr1.94M$50.2M2.8%−$551.7KAdded$428.3K
Global X Fds763.4K$38.8M2.2%$2.31MCut−$19.2M
Select Sector Spdr Tr259.9K$34.5M1.9%−$2.82MAdded−$2.18M
Apple Inc.AAPL79.1K$20.1M1.1%−$1.41MAdded−$1.08M
Alphabet Inc58.8K$16.9M0.9%−$1.49MCut−$1.62M
Select Sector Spdr Tr115K$16.9M0.9%−$941.6KCut−$1.26M
Select Sector Spdr Tr146.6K$16.3M0.9%−$987.8KAdded−$697.6K
Microsoft CorpMSFT42K$15.5M0.9%−$4.72MAdded−$4.59M
Select Sector Spdr Tr92.6K$15M0.8%$612KCut$358.3K
Amazon Com IncAMZN68.3K$14.2M0.8%−$1.54MCut−$1.77M
Select Sector Spdr Tr206.6K$12.7M0.7%$3.42MCut−$64.5K
Select Sector Spdr Tr247.7K$12.2M0.7%−$1.34MAdded−$1.33M
Berkshire Hathaway Inc Del21.9K$10.5M0.6%−$512.5KCut−$971.9K
Cisco Sys Inc131.1K$10.2M0.6%$73.4KCut−$331.8K
Jpmorgan Chase & Co.29.5K$8.68M0.5%−$828.4KCut−$1.34M
Spdr Series Trust26.3K$8.57M0.5%$118.8KCut−$63.5K
Select Sector Spdr Tr173.8K$7.97M0.4%$556.1KCut$308.8K
Palo Alto Networks IncPANW46.7K$7.48M0.4%−$1.11MCut−$1.38M
Ishares Tr41.1K$6.94M0.4%$2.77KAdded$1.09M
Walmart Inc.WMT55.7K$6.93M0.4%$717.5KCut−$2.68M
Mcdonalds CorpMCD22K$6.85M0.4%$113.7KCut−$208.2K
Select Sector Spdr Tr135.2K$6.75M0.4%$624.5KCut$481.3K
Select Sector Spdr Tr164.5K$6.72M0.4%$78.9KCut−$187K
Select Sector Spdr Tr78.6K$6.45M0.4%$338.1KCut−$247.3K
Costco Whsl Corp New6.37K$6.35M0.4%$854.6KCut$622.6K
American Express CoAXP20.6K$6.22M0.4%−$1.39MCut−$1.8M
Select Sector Spdr Tr56.9K$6.2M0.3%−$581KAdded−$454.6K
Ishares Tr137.5K$5.84M0.3%$156.1KCut−$53.1M
Honeywell Intl Inc24.6K$5.55M0.3%$760.2KCut$632K
Nvidia CorpNVDA31.2K$5.44M0.3%−$377.4KCut−$687.6K
Ishares Tr53.7K$5.12M0.3%−$38.6KCut−$1.21M
Disney Walt Co53.1K$5.11M0.3%−$922.7KCut−$1.02M
Citigroup Inc43.8K$4.97M0.3%−$143.7KCut−$375.5K
Lowes Cos Inc21K$4.96M0.3%−$102.5KCut−$323.6K
Capital Grp Fixed Incm Etf T194.4K$4.92M0.3%−$25.8KAdded$819.6K
Goldman Sachs Etf Tr57.8K$4.89M0.3%−$26.6KCut−$358.2K
Spdr Series Trust72.2K$4.7M0.3%$24.5KCut−$23.6K
Salesforce, Inc.CRM24.3K$4.53M0.3%−$1.19MAdded$488K
Abbott LabsABT42.9K$4.4M0.2%−$970.1KCut−$1.13M
Union Pac Corp17.5K$4.24M0.2%$197.7KCut−$107.9K
Meta Platforms, Inc.META7.23K$4.14M0.2%−$634.6KAdded−$624.3K
Spdr S&P 500 Etf Tr6.32K$4.11M0.2%−$199.7KCut−$244.7K
Ishares Tr42.1K$4.09M0.2%$30.6KAdded$1.42M
Blackstone Inc.BX34.1K$3.92M0.2%−$1.33MCut−$1.57M
Global X Fds152.9K$3.84M0.2%New
Global X Fds204.7K$3.77M0.2%−$91.1KAdded$389.9K
Pfizer IncPFE131.3K$3.69M0.2%$417.5KCut$260.1K
Vanguard Index Fds5.83K$3.48M0.2%−$172.5KCut−$247.1K
Mondelez Intl Inc59.6K$3.44M0.2%$227.1KCut$53.5K
Ishares Tr58.6K$3.33M0.2%$86.5KAdded$1.05M
Broadcom Inc.AVGO10.2K$3.16M0.2%−$373.8KCut−$381.1K
Ishares Tr30.4K$3.02M0.2%−$17.5KAdded$153.9K
Home Depot, Inc.HD8.97K$2.95M0.2%−$136.5KCut−$142K
Agnico Eagle Mines LtdAEM14.3K$2.9M0.2%$477.6KHeld
Emerson Elec Co21.5K$2.81M0.2%−$36.5KCut−$196.3K
Ishares Tr50.9K$2.71M0.2%−$277.7KAdded$753.4K
Kkr & Co Inc24.2K$2.24M0.1%−$846.8KCut−$884.2K
Berkshire Hathaway Inc Del3$2.15M0.1%−$110KCut−$864.8K
Johnson & JohnsonJNJ8.69K$2.12M0.1%$325.8KCut$161K
Exxon Mobil Corp12.3K$2.09M0.1%$608.8KCut$30.3K
Caterpillar IncCAT2.79K$1.98M0.1%$378.3KCut$223.6K
Alphabet Inc6.86K$1.97M0.1%−$184.7KCut−$196K
Marathon Pete Corp7.95K$1.94M0.1%$648.2KCut$188.6K
Vanguard Bd Index Fds24.6K$1.93M0.1%−$9.27KAdded$103.6K
Phillips 66PSX10.5K$1.91M0.1%$556.7KCut$417.4K
Merck & Co., Inc.MRK15.8K$1.9M0.1%$237.8KCut$92.9K
Oracle Corp12.4K$1.82M0.1%−$582.1KAdded−$553.9K
Ishares Tr12.5K$1.79M0.1%−$78.5KCut−$180.1K
Vanguard Intl Equity Index F19.8K$1.49M0.1%$30.5KCut−$101.9K
Columbia Etf Tr I46.1K$1.32M0.1%New
Chevron Corp NewCVX6.16K$1.27M0.1%$333KAdded$343.2K
Boeing Co6.34K$1.26M0.1%−$17.7KAdded$1.05M
Thermo Fisher Scientific Inc.TMO2.56K$1.26M0.1%−$225.3KCut−$291.9K
Vanguard Index Fds4.76K$1.25M0.1%$18.6KAdded$34.4K
AbbVie Inc.ABBV5.67K$1.23M0.1%−$62.3KCut−$447.5K
Johnson Ctls Intl Plc9.38K$1.23M0.1%$105KCut−$29.5K
Amphenol Corp New9.6K$1.21M0.1%−$84.4KHeld
Deere & CoDE2.13K$1.2M0.1%$208.7KCut$194.7K
Vanguard Intl Equity Index F20.5K$1.11M0.1%$5.37KAdded$112K
Pepsico IncPEP7.1K$1.1M0.1%$83.6KCut−$103.3K
Ishares Tr13.6K$1.08M0.1%−$14.6KHeld
Wells Fargo Co New13.4K$1.07M0.1%−$175.4KAdded−$133.4K
Ishares Tr42.2K$1.07M0.1%−$11KCut−$898.2K
Coca Cola CoKO13.9K$1.06M0.1%$85.6KCut−$81.6K
Procter And Gamble CoPG7.09K$1.02M0.1%$8.01KCut−$37.8K
Ge Aerospace3.38K$960.3K0.1%−$82.1KCut−$137.2K
Tc Energy Corp15.2K$951.5K0.1%$111.6KAdded$142.8K
Goldman Sachs Group Inc1.12K$948.4K0.1%−$37KCut−$59K
Vanguard Intl Equity Index F6.65K$919.8K0.1%−$18.2KHeld
Mplx Lp16K$913.1K0.1%$59.2KHeld
Spdr Series Trust36.8K$911.9K0.1%−$5.15KHeld
Automatic Data Processing In4.39K$892.4K0.1%−$202.6KAdded−$71.7K
Bank America Corp18.2K$886.5K0.1%−$113.7KCut−$117.1K
Ishares Tr36.9K$859K0.0%−$4.75KAdded$92.5K
Ishares Tr35.2K$853.5K0.0%−$1.41KHeld
Micron Technology IncMU2.5K$844.6K0.0%$131.1KCut$130.8K
At&T Inc29K$841.9K0.0%$120.5KCut$74.2K
Ishares Tr36K$788.7K0.0%−$5.9KAdded$65.2K
Intel CorpINTC17.6K$778.8K0.0%$126.9KAdded$131.2K
Ishares Tr30.9K$750.2K0.0%$308Added$3.97K
GE Vernova Inc.GEV840$733.2K0.0%$184.2KHeld
General Dynamics CorpGD2.06K$708.1K0.0%$13.5KCut−$29.9K
Vanguard Index Fds2.37K$679.2K0.0%−$6.91KAdded$19.2K
ConocophillipsCOP4.96K$655.4K0.0%$190.6KCut$190.1K
Morgan Stanley3.95K$650.5K0.0%−$51.2KCut−$193.3K
Cummins IncCMI1.2K$645.6K0.0%$33.1KHeld
Totalenergies SeTTE7K$636.9K0.0%New
Ishares Tr1.72K$636.8K0.0%−$27.8KCut−$353.5K
Invesco Exch Traded Fd Tr Ii30.6K$623.8K0.0%−$5.85KAdded$415.8K
Vanguard Scottsdale Fds7.6K$602.6K0.0%−$3.5KCut−$60.9K
International Business Machs2.45K$593.9K0.0%−$131.9KHeld
Glacier Bancorp Inc New13.2K$589.7K0.0%$8.19KHeld
Ishares Tr22.9K$581.1K0.0%−$2.51KAdded$70.8K
Qualcomm Inc4.49K$577.7K0.0%−$189.6KCut−$229K
Ecolab Inc.ECL2.16K$574.1K0.0%$7.55KCut$3.35K
Vanguard Tax-Managed Fds8.91K$571K0.0%$14.3KCut$10.4K
Mastercard IncMA1.14K$569.1K0.0%−$81.1KCut−$241K
Hf Sinclair CorpDINO9K$561.5K0.0%$146.8KHeld
Danaher Corporation2.95K$558.6K0.0%−$115.8KCut−$187.5K
Badger Meter IncBMI3.6K$547.9K0.0%−$56.1KAdded$104.3K
Ishares Tr6.15K$533.3K0.0%−$2.89KHeld
RTX CorpRTX2.72K$524.7K0.0%$25.8KCut$23.8K
Colgate Palmolive CoCL6.03K$513.8K0.0%$37.4KCut−$24.8K
Amgen IncAMGN1.45K$510.2K0.0%$35.6KCut$28.1K
Stryker CorpSYK1.53K$502.7K0.0%−$35KCut−$149.9K
Visa Inc.V1.66K$501.1K0.0%−$80.4KCut−$586.1K
Republic Svcs Inc2.27K$497.6K0.0%$16.1KCut$8.27K
BlackRock, Inc.BLK505$485.7K0.0%−$54.9KCut−$112.7K
Unitedhealth Group IncUNH1.77K$478.9K0.0%−$105.4KCut−$3.05M
Ishares Tr1.38K$454.2K0.0%$38KCut−$7M
Ishares Tr5.66K$443.8K0.0%$4.32KAdded$63.4K
Hawkins IncHWKN2.8K$430.1K0.0%$32.3KHeld
Capital One Finl Corp2.32K$424K0.0%−$139.3KCut−$164.7K
Vanguard Index Fds4.61K$409K0.0%$909Added$25.8K
DONALDSON Co INCDCI4.8K$407.4K0.0%−$18.2KHeld
Cigna GroupCI1.5K$398.8K0.0%−$12.7KCut−$35.5K
Illinois Tool Wks Inc1.51K$392.5K0.0%$21.1KHeld
Seagate Technology Hldngs Pl1K$391.8K0.0%$116.4KHeld
Newmont Corp3.61K$390.6K0.0%$30.3KHeld
Us Bancorp Del7.16K$372.3K0.0%−$9.66KHeld
Intercontinental Exchange In2.36K$371.8K0.0%−$11.1KCut−$50.4K
Ishares Tr17.7K$370.1K0.0%−$3.44KAdded$39.5K
Sherwin Williams CoSHW1.14K$365.7K0.0%−$3.97KCut−$104.7K
Ishares Tr14.5K$365K0.0%$2.9KHeld
Nokia Corp45K$361.8K0.0%$70.6KHeld
Coherent Corp.COHR1.5K$357.3K0.0%$80.5KHeld
Vanguard Growth Etf805$351.6K0.0%−$34.1KAdded$26.2K
Verizon Communications IncVZ6.96K$349.3K0.0%$65.9KCut$57.2K
Pan Amern Silver Corp6.39K$349.2K0.0%$18KHeld
Limoneira CoLMNR25K$335.5K0.0%$19.9KHeld
Advanced Micro Devices IncAMD1.62K$329.6K0.0%−$17.4KCut−$52.7K
Bristol-Myers Squibb Co5.42K$328.7K0.0%$36.4KCut−$126.4K
Williams Cos Inc4.5K$327.5K0.0%$57KCut$54.9K
Waste Mgmt Inc Del1.42K$325.2K0.0%New
Target CorpTGT2.63K$319.4K0.0%$61.8KHeld
Ralph Lauren CorpRL926$318.5K0.0%New
Coterra Energy Inc8.88K$312.1K0.0%$78.3KHeld
Ishares Tr1.37K$289.1K0.0%New
Williams Sonoma IncWSM1.5K$273.5K0.0%$5.61KHeld
Vanguard Index Fds1.38K$271.5K0.0%$7.21KCut−$9.98K
Ford Mtr Co23K$265.4K0.0%New
Ametek Inc/AME1.13K$241.2K0.0%$10.2KCut$9.98K
Ishares Tr2.5K$238.7K0.0%−$21.4KHeld
Ishares Tr950$235.6K0.0%$1.75KHeld
Cvs Health CorpCVS3.24K$232.6K0.0%−$24.4KCut−$72K
Lockheed Martin CorpLMT381$230.3K0.0%New
Ishares Tr2.29K$230.2K0.0%$8.56KHeld
America Movil Sab De Cv8.78K$223.8K0.0%New
Energy Transfer L P11.5K$221.9K0.0%New
Eaton Corp PlcETN600$214.6K0.0%New
Spdr S&P Midcap 400 Etf Tr346$213.4K0.0%$4.66KHeld
Sealed Air Corp New5.03K$211.5K0.0%New
Medtronic PlcMDT2.42K$210.1K0.0%−$22.8KCut−$157.1K
Ishares Tr1.9K$201.8K0.0%−$379Held
Travelers Companies, Inc.TRV686$200.1K0.0%$1.11KCut−$339
Arcos Dorados Holdings Inc.ARCO19K$156.9K0.0%$17.3KHeld

Positions as of Q1 2026. 13F filings arrive up to 45 days after quarter-end and omit shorts. Values are quarter-end marks, as filed. Estimated mark is the price effect on shares still held — not realized P&L or investment advice.