Universe · entity

PIONEER TRUST BANK N A/OR

Institutional manager (13F) · CIK 1006435
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $398M
#IssuerValueShares
1Apple Inc$31M121,820
2Microsoft Corp Com$26M69,868
3Berkshire Hathaway Inc Com Cl B$25M51,495
4Alphabet Inc Cl C$22M74,997
5State Street SPDR S&P 500 ETF$21M32,381
6Valmont Inds Inc Com$17M43,288
7JP Morgan Chase & Co Com$14M46,369
8NVIDIA Corp Com$13M72,355
9Amazon Inc Com$13M60,102
10Oracle Corp Com$11M76,161
11Cisco Sys Inc Com$10M134,545
12Johnson & Johnson Com$10M40,595
13ExxonMobil Corp Com$9M55,470
14BlackRock Inc New Com$9M9,727
15Chevron Corp Com$9M44,965
16Lilly (Eli) & Co Com$9M9,714
17Visa Inc Com$9M29,240
18Accenture PLC Com$9M43,195
19PepsiCo Inc Com$8M52,224
20NextEra Energy Inc Com$8M85,428
21Illinois Tool Wks Inc Com$8M29,193
22RTX Corporation$7M37,034
23UnitedHealth Group Com$7M25,153
24Lowes Cos Inc Com$7M28,400
25Honeywell Intl Inc Com$7M28,865
26Procter & Gamble Co Com$7M45,153
27TJX Cos Inc Com New$7M40,740
28Abbott Labs Com$6M60,200
29Danaher Corp Com$6M29,721
30McDonalds Corp Com$5M17,296
31Alphabet Inc Cl A$5M17,974
32Disney Walt Co Hldg Co Com$5M52,434
33Salesforce Inc Com$5M24,644
34AT&T Inc Com$4M145,902
35Nike Inc Cl B Com$4M74,070
36Eaton Corp PLC Com$4M10,505
37Amphenol Corp New Cl A$3M27,250
38Adobe Inc Com$3M12,584
39Walmart Inc Com$2M19,105
40Netflix Inc Com$2M21,725
41Amgen Inc Com$2M5,205
42Costco Whsl Corp New Com$2M1,688
43IShares Core S&P Total U S Stock Market ETF$2M11,750
44US Bancorp Del Com New$1M25,886
45IShares Core S&P Mid-Cap ETF$1M18,700
46Lockheed Martin Corp Com$1M1,979
47Starbucks Corp Com$1M11,427
48CSX Corp Com$962k23,428
49Coca Cola Co Com$961k12,639
50Merck & Co Inc New Com$903k7,503
All filings on EDGAR ↗

Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.