Universe · entity
Indiana Trust & Investment Management Co
Institutional manager (13F) · CIK 1356407
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $242M
| # | Issuer | Value | Shares |
|---|---|---|---|
| 1 | Nvidia Corp Com | $32M | 182,268 |
| 2 | State Street SPDR S&P 500 ETF Trust | $27M | 41,367 |
| 3 | Apple Computer Inc Com | $16M | 63,965 |
| 4 | Alphabet Inc Cap Stock Cl A (Google) | $15M | 51,610 |
| 5 | Eli Lilly & CO Com | $12M | 12,732 |
| 6 | JPMorgan Chase & Co Com | $10M | 33,087 |
| 7 | Amazon.Com Inc Com | $9M | 44,945 |
| 8 | iShares Russell 1000 Index | $9M | 25,598 |
| 9 | iShares Russell 1000 Growth Index | $7M | 17,516 |
| 10 | Caterpillar Inc Com | $7M | 10,515 |
| 11 | Costco Whsl Corp New Com | $7M | 7,289 |
| 12 | Vanguard Total Stock Market ETF | $5M | 15,194 |
| 13 | Meta Platforms Inc (formerly Facebook Inc) | $5M | 7,904 |
| 14 | Ball Corp Com | $5M | 76,265 |
| 15 | TJ Maxx Co Inc Com | $4M | 27,451 |
| 16 | Exxon Mobil Corp Com | $4M | 24,848 |
| 17 | Microsoft Corp Com | $4M | 9,823 |
| 18 | Oracle Corp Com | $4M | 24,608 |
| 19 | Wal Mart Stores Inc Com | $3M | 26,711 |
| 20 | Johnson & Johnson Com | $3M | 12,549 |
| 21 | Berkshire Hathaway Inc Del Cl A | $3M | 4 |
| 22 | Lowes Companies Inc Com | $3M | 11,368 |
| 23 | iShares Core S&P 500 Index ETF | $2M | 3,760 |
| 24 | iShares Russell Midcap Index | $2M | 24,615 |
| 25 | AbbVie Inc | $2M | 10,218 |
| 26 | iShares Tr Russell Microcap Index | $2M | 13,830 |
| 27 | iShares Russell 2000 Index Fd | $2M | 8,727 |
| 28 | Visa Inc Class A Shares | $2M | 6,878 |
| 29 | Vanguard Info Tech ETF | $2M | 2,928 |
| 30 | Vanguard S&P 500 ETF | $2M | 3,281 |
| 31 | Alphabet Inc Cap Stock Cl C (Google) | $2M | 6,598 |
| 32 | Blackrock Inc Com | $2M | 1,935 |
| 33 | iShares Russell 1000 Value Index | $2M | 8,559 |
| 34 | 1st Source Corp Com | $2M | 26,194 |
| 35 | Broadcom Inc Com | $2M | 5,830 |
| 36 | Invesco QQQ Trust | $2M | 3,100 |
| 37 | Eaton Corp PLC | $2M | 4,872 |
| 38 | iShares MSCI EAFE Index Fund | $2M | 17,553 |
| 39 | Procter & Gamble Co Com | $2M | 11,379 |
| 40 | Old National Bancorp Com | $2M | 72,278 |
| 41 | Berkshire Hathaway Inc Cl B | $1M | 3,114 |
| 42 | AllianceBernstein Ntl. Muni Inc. | $1M | 137,000 |
| 43 | Amphenol Corp New Cl A | $1M | 11,580 |
| 44 | iShares Emerging Markets ex-China ETF | $1M | 16,750 |
| 45 | iShares Trust Russell 3000 ETF | $1M | 3,547 |
| 46 | Analog Devices Inc Com | $1M | 4,020 |
| 47 | Honeywell Intl Inc Com | $1M | 5,555 |
| 48 | NextEra Energy, Inc. | $1M | 13,304 |
| 49 | Stryker Corp | $1M | 3,716 |
| 50 | Chevron Corporation | $1M | 5,880 |
Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.