13FBOX
Indiana Trust & Investment Management Co · 13F Holdings
Options Calculator Rankings

Indiana Trust & Investment Management Co

No.5908 Data as of 2026Q2
Latest AUM (Q2 2026)
$288.2M
QoQ Change Q1 2026
-$35.7M-11.0%
Holdings
486
New Buys
0
Adds
0
Reduces
8
Exits
0
Unchanged
478
Holdings Value Trend
Holdings by Sector
Stock Ownership TrendPortfolio %Prev Q %Q2 2026 ValueQ2 2026 SharesPrev Q ValuePrev Q SharesShares ChangeAction
NVIDIA CORPORATIONNVDA
11.03%9.82%$31.8M182,268$31.8M182,26800.00%Unchanged
SSTATE STR SPDR S&P 500 ETF TSPY
9.34%8.31%$26.9M41,367$26.9M41,36700.00%Unchanged
APPLE INCAAPL
5.63%5.01%$16.2M63,965$16.2M63,96500.00%Unchanged
ALPHABET INCGOOGL
5.15%4.58%$14.8M51,610$14.8M51,61000.00%Unchanged
JPMORGAN CHASE & COJPM
3.38%3.01%$9.7M33,087$9.7M33,08700.00%Unchanged
AMAZON COM INCAMZN
3.25%2.89%$9.4M44,945$9.4M44,94500.00%Unchanged
IISHARES RUSSELLIWB
3.17%2.82%$9.1M25,598$9.1M25,59800.00%Unchanged
CATERPILLAR INCCAT
2.59%2.3%$7.4M10,515$7.4M10,51500.00%Unchanged
GGENERAL DYNAMICS CORPVTI
1.69%1.51%$4.9M15,194$4.9M15,19400.00%Unchanged
META PLATFORMS INCMETA
1.57%1.4%$4.5M7,904$4.5M7,90400.00%Unchanged
BALL CORPBALL
1.56%1.39%$4.5M76,265$4.5M76,26500.00%Unchanged
EXXON MOBIL CORPXOM
1.46%1.3%$4.2M24,848$4.2M24,84800.00%Unchanged
MICROSOFT CORPMSFT
1.26%1.12%$3.6M9,823$3.6M9,82300.00%Unchanged
ORACLE CORPORCL
1.26%1.12%$3.6M24,608$3.6M24,60800.00%Unchanged
WALMART INCWMT
1.15%1.03%$3.3M26,711$3.3M26,71100.00%Unchanged
JOHNSON & JOHNSONJNJ
1.06%0.95%$3.1M12,549$3.1M12,54900.00%Unchanged
BERKSHIRE HATHAWAY INC CL ABRK.A
1%0.89%$2.9M4$2.9M400.00%Unchanged
IISHARES TRIVV
0.85%0.76%$2.5M3,760$2.5M3,76000.00%Unchanged
IISHARES RUSSELL MIDCAP ETFIWR
0.83%0.74%$2.4M24,615$2.4M24,61500.00%Unchanged
ABBVIE INCABBV
0.77%0.69%$2.2M10,218$2.2M10,21800.00%Unchanged
IISHARES TRIWC
0.77%0.68%$2.2M13,830$2.2M13,83000.00%Unchanged
IISHARES RUSSELLIWF
0.75%2.31%$2.2M17,516$7.5M17,51600.00%Unchanged
IISHARES RUSSELLIWM
0.75%0.67%$2.2M8,727$2.2M8,72700.00%Unchanged
VISA INCV
0.72%0.64%$2.1M6,878$2.1M6,87800.00%Unchanged
VVANGUARD INDEX FDSVOO
0.68%0.61%$2.0M3,281$2.0M3,28100.00%Unchanged
AAlphabet Inc Class CGOOG
0.66%0.58%$1.9M6,598$1.9M6,59800.00%Unchanged
BLACKROCK INC COMBLK
0.65%0.57%$1.9M1,935$1.9M1,93500.00%Unchanged
IISHARES TRIWD
0.63%0.56%$1.8M8,559$1.8M8,55900.00%Unchanged
1ST SOURCE CORPSRCE
0.63%0.56%$1.8M26,194$1.8M26,19400.00%Unchanged
BROADCOM INCAVGO
0.63%0.56%$1.8M5,830$1.8M5,83000.00%Unchanged
IINVESCO QQQ TRVOO
0.62%0.55%$1.8M3,100$1.8M3,10000.00%Unchanged
EATON CORP PLCETN
0.6%0.54%$1.7M4,872$1.7M4,87200.00%Unchanged
IISHARES MSCI EAFE ETFEFA
0.59%0.53%$1.7M17,553$1.7M17,55300.00%Unchanged
PROCTER & GAMBLE COPG
0.57%0.51%$1.6M11,379$1.6M11,37900.00%Unchanged
Old National Bancorp CORP COMMONONB
0.55%0.49%$1.6M72,278$1.6M72,27800.00%Unchanged
ALLIANCEBERNSTEIN NAT MUAFB
0.51%0.45%$1.5M137,000$1.5M137,00000.00%Unchanged
AMPHENOL CORPAPH
0.51%0.45%$1.5M11,580$1.5M11,58000.00%Unchanged
IISHARES MSCI EMERGING MARKETS EX CHINA ETFEMXC
0.46%0.41%$1.3M16,750$1.3M16,75000.00%Unchanged
IISHARES TRIWV
0.46%0.41%$1.3M3,547$1.3M3,54700.00%Unchanged
HONEYWELL INTL INCHON
0.44%0.39%$1.3M5,555$1.3M5,55500.00%Unchanged
NNEXTERA ENERGY INCNEE
0.43%0.38%$1.2M13,304$1.2M13,30400.00%Unchanged
STRYKER CORPORATIONSYK
0.42%0.38%$1.2M3,716$1.2M3,71600.00%Unchanged
CHEVRON CORPORATIONCVX
0.42%0.38%$1.2M5,880$1.2M5,88000.00%Unchanged
MASTERCARD INCORPORATEDMA
0.42%0.37%$1.2M2,418$1.2M2,41800.00%Unchanged
INVESCO TR INVT GRADE MUNSVGM
0.42%0.37%$1.2M122,000$1.2M122,00000.00%Unchanged
VVANGUARD RUSSELL 1000 INDEX FUND ETF SHARESVONE
0.42%0.37%$1.2M4,075$1.2M4,07500.00%Unchanged
AFLAC INC COMAFL
0.41%0.37%$1.2M10,816$1.2M10,81600.00%Unchanged
GENERAL DYNAMICS CORPGD
0.41%0.36%$1.2M3,431$1.2M3,43100.00%Unchanged
EATON VANCE MUN BD FDEIM
0.4%0.36%$1.2M118,000$1.2M118,00000.00%Unchanged
SSPDR GOLD TRGLD
0.4%0.35%$1.1M2,664$1.1M2,66400.00%Unchanged

🧭 Institutional Sector Flow Heatmap

Net Outflow Net Inflow