Universe · entity

COMMUNITY TRUST & INVESTMENT CO

Institutional manager (13F) · CIK 1047142
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $1.6B
#IssuerValueShares
1NVIDIA CORPORATION$127M727,487
2COMMUNITY TR BANCORP INC$127M2,088,088
3ALPHABET INC$105M364,569
4APPLE INC$96M380,005
5MICROSOFT CORP$88M239,023
6AMAZON COM INC SR$71M340,050
7BROADCOM INC SR$59M189,460
8JP MORGAN CHASE & CO$41M138,084
9META PLATFORMS INC$37M64,031
10VISA INC$35M117,361
11MASTEC INC$35M109,913
12ADVANCED MICRO DEVICES INC$32M156,786
13WALMART INC$32M253,987
14PARKER HANNIFIN CORP$31M34,167
15CHENIERE ENERGY INC$30M105,359
16UTILITIES SELECT SECTOR SPDRR$28M618,679
17AMPHENOL CORP$28M221,721
18LINDE PLC$27M54,385
19PALO ALTO NETWORKS INC$25M156,997
20TJX COS INC NEW$25M153,617
21VANGUARD REAL ESTATE ETF$23M262,380
22RTX CORPORATION$23M119,555
23SLB LIMITED$22M436,026
24ELI LILLY & CO$22M23,933
25SALESFORCE$22M116,268
26KEYSIGHT TECHNOLOGIES INC$21M74,349
27CHEVRON CORP$21M101,432
28L3HARRIS TECHNOLOGIES INC$20M58,805
29UBER TECHNOLOGIES INC$20M272,332
30KKR & CO INC$19M206,750
31PROCTER & GAMBLE CO$19M132,219
32THERMO FISHER SCIENTIFIC INC$19M38,253
33CHURCHILL DOWNS INC$18M202,801
34CVS HEALTH CORPORATION$18M252,048
35ASTRAZENECA PLC$18M91,743
36US FOODS HLDG CORP$18M196,010
37UNITEDHEALTH GROUP INC$18M65,369
38INTERCONTINENTAL EXCHANGE INC$18M112,040
39HCA HEALTHCARE INC$17M35,993
40COSTCO WHOLESALE CORP$16M16,429
41S&P GLOBAL INC$16M38,179
42IQVIA HOLDING INC$15M88,280
43T MOBILE US INC COM$15M71,663
44EQUITABLE HLDGS INC$14M388,401
45ZOETIS INC$14M115,919
46LOWES COMPANIES INC$14M57,426
47PINNACLE FINL PARTNERS INC$13M154,753
48BOSTON SCIENTIFIC CORP$13M204,452
49BERKSHIRE HATHAWAY INC$13M26,402
50CHIPOTLE MEXICAN GRILL INC$13M394,929
All filings on EDGAR ↗

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