| AAON INC COM PAR $0 004 | Stock | $1.7M | 0.9% | 17,903 SH | New |
| ACCENTURE PLC IRELAND SHS CLASS A | Stock | $334K | 0.2%Prev: 0.0% | 1,356 SH | Increased+1,272 SH |
| ADVANCED MICRO DEVICES INC COM | Stock | $440K | 0.2%Prev: 0.6% | 2,721 SH | Decreased+492 SH |
| ALLIANT ENERGY CORP COM | Stock | $2.7M | 1.4%Prev: 1.3% | 40,238 SH | Decreased |
| ALPHABET INC CAP STK CL A | Stock | $2.7M | 1.5%Prev: 1.7% | 11,310 SH | Decreased+62 SH |
| ALPHABET INC CAP STK CL C | Stock | $1.1M | 0.6%Prev: 0.7% | 4,690 SH | Decreased+200 SH |
| AMAZON COM INC COM | Stock | $6.0M | 3.2%Prev: 2.7% | 27,326 SH | Decreased+870 SH |
| AMERICAN EXPRESS CO COM | Stock | $1.5M | 0.8%Prev: 0.8% | 4,432 SH | Decreased-1,202 SH |
| APPLE INC COM | Stock | $16.1M | 8.5%Prev: 7.5% | 63,079 SH | Decreased+2,145 SH |
| BERKSHIRE HATHAWAY INC DEL CL B NEW | Stock | $892K | 0.5%Prev: 0.5% | 1,775 SH | Decreased-565 SH |
| BROADCOM INC COM | Stock | $3.8M | 2.0%Prev: 1.8% | 11,389 SH | Decreased+191 SH |
| CAPITAL GROUP CORE EQUITY ETF | ETF | $2.7M | 1.4%Prev: 1.3% | 68,267 SH | Decreased-31 SH |
| CAPITAL GROUP DIVIDEND VALUE ETF | ETF | $7.6M | 4.0%Prev: 4.5% | 180,693 SH | Decreased-33,864 SH |
| CAPITAL GROUP GLOBAL GROWTH EQUITY ETF | ETF | $774K | 0.4%Prev: 0.4% | 22,638 SH | Decreased-51 SH |
| CAPITAL GROUP GROWTH ETF | ETF | $5.9M | 3.1%Prev: 3.3% | 133,459 SH | Decreased-30,678 SH |
| CAPITAL GROUP INTERNATIONAL FOCUS EQUITY ETF | ETF | $4.0M | 2.1%Prev: 1.9% | 133,611 SH | Decreased+4,894 SH |
| CASEYS GEN STORES INC COM | Stock | $898K | 0.5%Prev: 0.5% | 1,588 SH | Decreased+107 SH |
| CATERPILLAR INC COM | Stock | $910K | 0.5%Prev: 0.9% | 1,907 SH | Decreased-35 SH |
| CHEVRON CORP NEW COM | Stock | $517K | 0.3% | 3,332 SH | New |
| CISCO SYS INC COM | Stock | $206K | 0.1%Prev: 0.2% | 3,005 SH | Decreased |
| CITIGROUP INC COM NEW | Stock | $265K | 0.1%Prev: 0.2% | 2,610 SH | Decreased+25 SH |
| COCA COLA CO COM | Stock | $689K | 0.4%Prev: 0.5% | 10,391 SH | Decreased-4,172 SH |
| CONSUMER DISCRETIONARY SELECT SECTOR SPDR FUND | ETF | $389K | 0.2% | 1,624 SH | New |
| COSTCO WHSL CORP NEW COM | Stock | $1.6M | 0.9% | 1,760 SH | New |
| DELL TECHNOLOGIES INC CL C | Stock | $439K | 0.2%Prev: 0.7% | 3,100 SH | Decreased-642 SH |
| DIMENSIONAL U S CORE EQUITY 2 ETF | ETF | $1.9M | 1.0% | 49,092 SH | New |
| DIMENSIONAL U S EQUITY MARKET ETF | ETF | $248K | 0.1% | 3,423 SH | New |
| DIMENSIONAL U S SMALL CAP ETF | ETF | $1.1M | 0.6% | 16,734 SH | New |
| DIMENSIONAL U S TARGETED VALUE ETF | ETF | $770K | 0.4% | 13,221 SH | New |
| DIMENSIONAL US CORE EQUITY MARKET ETF | ETF | $1.6M | 0.8%Prev: 0.8% | 34,696 SH | Decreased+13 SH |
| ELI LILLY & CO COM | Stock | $1.8M | 1.0%Prev: 1.2% | 2,398 SH | Decreased+10 SH |
| ENERGY TRANSFER L P COM UT LTD PTN | Stock | $990K | 0.5%Prev: 0.5% | 57,686 SH | Decreased+1,440 SH |
| ENTERPRISE PRODS PARTNERS L P COM | Stock | $1.0M | 0.6%Prev: 0.4% | 33,552 SH | Increased+6,110 SH |
| EXXON MOBIL CORP COM | Stock | $799K | 0.4% | 7,087 SH | New |
| GOLDMAN SACHS GROUP INC COM | Stock | $1.2M | 0.6%Prev: 0.7% | 1,487 SH | Decreased-89 SH |
| HELMERICH & PAYNE INC COM | Stock | $267K | 0.1%Prev: 0.2% | 12,065 SH | Decreased+1,065 SH |
| HOME DEPOT INC COM | Stock | $471K | 0.2%Prev: 0.2% | 1,164 SH | Increased-117 SH |
| INDUSTRIAL SELECT SECTOR SPDR FUND | ETF | $1.1M | 0.6% | 7,410 SH | New |
| INTERNATIONAL BUSINESS MACHS COM | Stock | $1.2M | 0.6%Prev: 0.6% | 4,135 SH | Decreased-445 SH |
| INVESCO QQQ TRUST SERIES I | ETF | $310K | 0.2%Prev: 0.2% | 517 SH | Decreased |
| INVESCO S&P 500 LOW VOLATILITY ETF | ETF | $502K | 0.3%Prev: 0.2% | 6,835 SH | Decreased |
| INVESCO S&P 500 QUALITY ETF | ETF | $620K | 0.3%Prev: 0.3% | 8,458 SH | Decreased+301 SH |
| ISHARES CORE MSCI EAFE ETF | ETF | $377K | 0.2%Prev: 0.2% | 4,320 SH | Increased+416 SH |
| ISHARES CORE S&P SMALL CAP ETF | ETF | $3.4M | 1.8%Prev: 0.7% | 28,305 SH | Increased+16,690 SH |
| ISHARES RUSSELL 1000 GROWTH ETF | ETF | $232K | 0.1%Prev: 0.1% | 495 SH | Decreased-1,489 SH |
| ISHARES RUSSELL MID-CAP GROWTH ETF | ETF | $1.3M | 0.7%Prev: 0.3% | 8,841 SH | Increased+4,040 SH |
| ISHARES RUSSELL MIDCAP ETF | ETF | $204K | 0.1%Prev: 0.1% | 2,108 SH | Increased+512 SH |
| ISHARES SELECT DIVIDEND ETF | ETF | $265K | 0.1%Prev: 0.1% | 1,863 SH | Decreased-186,350 SH |
| ISHARES SEMICONDUCTOR ETF | ETF | $213K | 0.1%Prev: 0.1% | 785 SH | Decreased+284 SH |
| JOHNSON & JOHNSON COM | Stock | $361K | 0.2%Prev: 0.2% | 1,946 SH | Decreased+405 SH |
| JPMORGAN CHASE & CO COM | Stock | $1.9M | 1.0% | 5,972 SH | New |
| LINDE PLC SHS | Stock | $423K | 0.2%Prev: 0.2% | 890 SH | Decreased-110 SH |
| LOCKHEED MARTIN CORP COM | Stock | $658K | 0.3%Prev: 0.3% | 1,319 SH | Decreased-30 SH |
| MASTERCARD INCORPORATED CL A | Stock | $228K | 0.1%Prev: 0.1% | 400 SH | Increased-4 SH |
| MCDONALDS CORP COM | Stock | $1.4M | 0.7%Prev: 0.5% | 4,529 SH | Increased-200 SH |
| MERCK & CO INC COM | Stock | $314K | 0.2%Prev: 0.2% | 3,745 SH | Decreased+272 SH |
| META PLATFORMS INC CL A | Stock | $1.6M | 0.8%Prev: 0.5% | 2,126 SH | Increased+62 SH |
| MICROSOFT CORP COM | Stock | $3.9M | 2.1%Prev: 1.3% | 7,605 SH | Increased-598 SH |
| NVIDIA CORPORATION COM | Stock | $8.4M | 4.5%Prev: 3.8% | 45,163 SH | Decreased+410 SH |
| ONEOK INC NEW COM | Stock | $3.4M | 1.8%Prev: 1.6% | 47,088 SH | Decreased-59,705 SH |
| ORACLE CORP COM | Stock | $360K | 0.2%Prev: 0.1% | 1,279 SH | Increased+50 SH |
| PALANTIR TECHNOLOGIES INC CL A | Stock | $1.3M | 0.7%Prev: 0.5% | 6,893 SH | Increased-2,214 SH |
| PROCTER AND GAMBLE CO COM | Stock | $460K | 0.2% | 2,993 SH | New |
| RTX CORPORATION COM | Stock | $811K | 0.4%Prev: 0.4% | 4,848 SH | Decreased |
| SALESFORCE INC COM | Stock | $389K | 0.2%Prev: 0.0% | 1,641 SH | Increased+1,614 SH |
| SCHWAB CHARLES CORP COM | Stock | $248K | 0.1%Prev: 0.1% | 2,595 SH | Increased-4 SH |
| SCHWAB US DIVIDEND EQUITY ETF | ETF | $2.5M | 1.3%Prev: 1.6% | 92,418 SH | Decreased-28,027 SH |
| SPDR DOW JONES INDUSTRIAL AVERAGE ETF TRUST | ETF | $595K | 0.3% | 1,284 SH | New |
| SPDR PORTFOLIO S&P 500 GROWTH ETF | ETF | $329K | 0.2% | 3,145 SH | New |
| SPDR S&P 500 ETF TRUST | ETF | $3.2M | 1.7% | 4,759 SH | New |
| TECHNOLOGY SELECT SECTOR SPDR FUND | ETF | $240K | 0.1% | 852 SH | New |
| TESLA INC COM | Stock | $281K | 0.1%Prev: 0.2% | 631 SH | Decreased-694 SH |
| TEXAS INSTRS INC COM | Stock | $384K | 0.2%Prev: 0.3% | 2,091 SH | Decreased-530 SH |
| TJX COS INC NEW COM | Stock | $532K | 0.3%Prev: 0.3% | 3,678 SH | Decreased-325 SH |
| UNITEDHEALTH GROUP INC COM | Stock | $209K | 0.1%Prev: 0.2% | 606 SH | Decreased-763 SH |
| VANGUARD COMMUNICATION SERVICES ETF | ETF | $244K | 0.1%Prev: 0.1% | 1,300 SH | Increased |
| VANGUARD CONSUMER DISCRETIONARY ETF | ETF | $1.7M | 0.9%Prev: 0.6% | 4,199 SH | Increased+810 SH |
| VANGUARD CONSUMER STAPLES ETF | ETF | $410K | 0.2%Prev: 0.0% | 1,918 SH | Increased+1,897 SH |
| VANGUARD ENERGY ETF | ETF | $418K | 0.2%Prev: 0.1% | 3,321 SH | Increased+2,423 SH |
| VANGUARD EXTENDED MARKET ETF | ETF | $481K | 0.3%Prev: 0.2% | 2,299 SH | Decreased+120 SH |
| VANGUARD GROWTH ETF | ETF | $20.4M | 10.8%Prev: 9.3% | 42,480 SH | Decreased-1,260,426 SH |
| VANGUARD HEALTH CARE ETF | ETF | $882K | 0.5%Prev: 0.4% | 3,398 SH | Decreased+379 SH |
| VANGUARD HIGH DIVIDEND YIELD INDEX ETF | ETF | $340K | 0.2%Prev: 0.2% | 2,415 SH | Decreased-363,524 SH |
| VANGUARD INDUSTRIALS ETF | ETF | $745K | 0.4%Prev: 0.2% | 2,516 SH | Increased+1,040 SH |
| VANGUARD INFORMATION TECHNOLOGY ETF | ETF | $12.3M | 6.5%Prev: 6.0% | 16,523 SH | Decreased-551,991 SH |
| VANGUARD LARGE-CAP ETF | ETF | $1.7M | 0.9%Prev: 0.8% | 5,476 SH | Decreased+128 SH |
| VANGUARD MID-CAP ETF | ETF | $466K | 0.2%Prev: 0.2% | 1,588 SH | Increased-3,028 SH |
| VANGUARD RUSSELL 2000 ETF | ETF | $281K | 0.1%Prev: 0.1% | 2,871 SH | Decreased+273 SH |
| VANGUARD S&P 500 ETF | ETF | $1.2M | 0.7%Prev: 0.7% | 2,027 SH | Decreased-178,602 SH |
| VANGUARD SMALL-CAP ETF | ETF | $339K | 0.2%Prev: 0.2% | 1,333 SH | Decreased+44 SH |
| VANGUARD TOTAL STOCK MARKET ETF | ETF | $16.0M | 8.5%Prev: 6.9% | 48,735 SH | Decreased-777,148 SH |
| VANGUARD TOTAL WORLD STOCK ETF | ETF | $569K | 0.3%Prev: 0.3% | 4,132 SH | Decreased |
| VANGUARD VALUE ETF | ETF | $8.2M | 4.3%Prev: 4.0% | 44,079 SH | Decreased-166,863 SH |
| VERIZON COMMUNICATIONS INC COM | Stock | $214K | 0.1%Prev: 0.0% | 4,865 SH | Increased+4,715 SH |
| VISA INC COM CL A | Stock | $1.2M | 0.6%Prev: 0.5% | 3,381 SH | Increased+239 SH |
| WALMART INC COM | Stock | $820K | 0.4%Prev: 0.6% | 7,958 SH | Decreased-3,895 SH |