Entity | Amount | Change
12/31/2023 to 03/31/2024 |
Position Size ($ in 1000's) |
---|---|---|---|
SPDR S&P 500 Index (SPY) | 44,763 | +316 | $23,414 |
SPY | 44,763 | +316 | $23,414 |
Lilly Eli & CO Com | 16,380 | +880 | $12,743 |
LLY | 16,380 | +880 | $12,743 |
Apple Computer Inc Com | 67,251 | -1,061 | $11,532 |
AAPL | 67,251 | -1,061 | $11,532 |
Nvidia Corp Com | 11,606 | +297 | $10,487 |
NVDA | 11,606 | +297 | $10,487 |
Alphabet Inc Cap Stock Cl A Google | 48,914 | +261 | $7,383 |
GOOGL | 48,914 | +261 | $7,383 |
iShares Russell 1000 Index (IWB) | 25,598 | UNCH | $7,373 |
IWB | 25,598 | UNCH | $7,373 |
Amazon.Com Inc Com | 33,901 | +3,310 | $6,115 |
AMZN | 33,901 | +3,310 | $6,115 |
iShares Russell 1000 Growth Index (IWF) | 17,136 | UNCH | $5,776 |
IWF | 17,136 | UNCH | $5,776 |
JPMorgan Chase & Co Com | 26,544 | -217 | $5,317 |
JPM | 26,544 | -217 | $5,317 |
Costco Whsl Corp New Com | 7,242 | +583 | $5,306 |
COST | 7,242 | +583 | $5,306 |
Ball Corp Com | 77,035 | UNCH | $5,189 |
BALL | 77,035 | UNCH | $5,189 |
Microsoft Corp Com | 11,736 | +2,413 | $4,938 |
MSFT | 11,736 | +2,413 | $4,938 |
Fiserv Inc Com | 24,791 | +549 | $3,962 |
FI | 24,791 | +549 | $3,962 |
Meta Platforms Inc formerly Facebook Inc | 8,045 | +1,731 | $3,906 |
META | 8,045 | +1,731 | $3,906 |
Oracle Corp Com | 25,684 | -260 | $3,226 |
ORCL | 25,684 | -260 | $3,226 |
Lowes Companies Inc Com | 11,886 | +1,144 | $3,028 |
LOW | 11,886 | +1,144 | $3,028 |
TJX Cos Inc Com | 26,893 | +240 | $2,727 |
TJX | 26,893 | +240 | $2,727 |
1st Source Corp Com | 50,032 | +5,444 | $2,623 |
SRCE | 50,032 | +5,444 | $2,623 |
Nuveen Quality Muni Income Fund (NAD) | 225,001 | -10,000 | $2,579 |
NAD | 225,001 | -10,000 | $2,579 |
Blackrock Inc | 2,896 | +150 | $2,414 |
BLK | 2,896 | +150 | $2,414 |
Nuveen AMT Free Municipal Income Fund (NEA) | 213,000 | UNCH | $2,358 |
NEA | 213,000 | UNCH | $2,358 |
iShares Russell Midcap Index (IWR) | 27,027 | UNCH | $2,273 |
IWR | 27,027 | UNCH | $2,273 |
Visa Inc Class A Shares (V) | 8,060 | -551 | $2,249 |
V | 8,060 | -551 | $2,249 |
AbbVie Inc | 11,623 | +139 | $2,117 |
ABBV | 11,623 | +139 | $2,117 |
Blackrock Muni Yield Quality Fund (MQY) | 165,454 | -10,000 | $2,027 |
MQY | 165,454 | -10,000 | $2,027 |
Caterpillar Inc Com | 5,416 | -85 | $1,985 |
CAT | 5,416 | -85 | $1,985 |
Procter & Gamble Co Com | 11,872 | -535 | $1,926 |
PG | 11,872 | -535 | $1,926 |
Johnson & Johnson Com | 11,417 | -290 | $1,806 |
JNJ | 11,417 | -290 | $1,806 |
iShares Tr Russell Microcap Index (IWC) | 14,730 | UNCH | $1,785 |
IWC | 14,730 | UNCH | $1,785 |
Exxon Mobil Corp Com | 15,089 | -1,419 | $1,754 |
XOM | 15,089 | -1,419 | $1,754 |
Vanguard S&P 500 ETF (VOO) | 3,544 | +80 | $1,704 |
VOO | 3,544 | +80 | $1,704 |
Invesco Muni Invmt. Grade Trust | 170,380 | UNCH | $1,680 |
VGM | 170,380 | UNCH | $1,680 |
AllianceBernstein Ntl. Muni Inc. | 152,252 | UNCH | $1,673 |
AFB | 152,252 | UNCH | $1,673 |
Eaton Vance Municipal Bond Fund (EIM) | 154,093 | UNCH | $1,595 |
EIM | 154,093 | UNCH | $1,595 |
iShares MSCI EAFE Index Fund (EFA) | 19,700 | -670 | $1,573 |
EFA | 19,700 | -670 | $1,573 |
iShares Russell 2000 Index Fd (IWM) | 7,426 | UNCH | $1,562 |
IWM | 7,426 | UNCH | $1,562 |
Vanguard Info Tech ETF (VGT) | 2,928 | UNCH | $1,535 |
VGT | 2,928 | UNCH | $1,535 |
iShares Core S&P 500 Index ETF (IVV) | 2,907 | -58 | $1,528 |
IVV | 2,907 | -58 | $1,528 |
Stryker Corp | 4,251 | +895 | $1,521 |
SYK | 4,251 | +895 | $1,521 |
Pepsico Inc Com | 8,580 | +208 | $1,502 |
PEP | 8,580 | +208 | $1,502 |
General Dynamics Corp Com | 5,080 | -55 | $1,435 |
GD | 5,080 | -55 | $1,435 |
McDonalds Corp Com | 4,987 | -175 | $1,406 |
MCD | 4,987 | -175 | $1,406 |
iShares Russell 1000 Value Index (IWD) | 7,629 | UNCH | $1,366 |
IWD | 7,629 | UNCH | $1,366 |
Vanguard Russell 1000 Index ETF (VONE) | 5,355 | UNCH | $1,276 |
VONE | 5,355 | UNCH | $1,276 |
Old National Bancorp Com | 72,278 | UNCH | $1,258 |
ONB | 72,278 | UNCH | $1,258 |
Berkshire Hathaway Inc Cl B | $1,249 | ||
BRK.B | 2,971 | -18 | $1,249 |
iShares IBoxx Invest Grade Corp Bond (LQD) | 10,730 | UNCH | $1,169 |
LQD | 10,730 | UNCH | $1,169 |
Honeywell Intl Inc Com | 5,678 | +115 | $1,165 |
HON | 5,678 | +115 | $1,165 |
Chevron Corporation | 7,283 | -359 | $1,149 |
CVX | 7,283 | -359 | $1,149 |
BlackRock Municipal Income Quality Trust | 98,118 | UNCH | $1,138 |
BYM | 98,118 | UNCH | $1,138 |
See Full List: All Stocks Held By Indiana Trust & Investment Management CO
— Including:
Biggest new positions
Biggest exits
Biggest increased positions
Biggest decreased positions
See Details: Top 10 Stocks Held By Indiana Trust & Investment Management CO
Size ($ in 1000's)
At 03/31/2024: $248,017 At 12/31/2023: $221,436 Indiana Trust & Investment Management CO holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Indiana Trust & Investment Management CO 13F filings. Link to 13F filings: SEC filings |