CENTRAL BANK & TRUST CO

Holdings as of 2026-06-30, filed 2026-07-17

This is history, not a current position. These holdings describe 2026-06-30, and the report became public 17 days later. The portfolio has changed since.

Aggregates

computed from the positions below
Positions reported
214
Value reported by manager
$705.3M
Sum of our stored positions
$705.3M
should match the line above
Disclosure lag
17 d
quarter end to filing
Top 5 concentration
26.0%
of the positions shown
New positions
0
vs previous quarter
Exited
0
vs previous quarter
Option positions
0
puts and calls

Positions

200 largest shown
IssuerClassValueSharesTypeCUSIP
NVIDIA CORPORATIONEquities$73.4M366,87567066G104
ALPHABET CL AEquities$32.3M90,41802079K305
LAM RESEARCH CORPEquities$30.1M69,561512807306
APPLE INCEquities$26.2M90,500037833100
STATE STREET SPDR S&P 500 ETFEquities$20.8M27,91578462F103
CATERPILLAR INCEquities$20.3M19,031149123101
FRANKLIN DYNAMIC ETFEquities$20M793,14735473P868
AMAZON COM INCEquities$17.2M72,337023135106
VANGUARD FTSE DEV MKEquities$15.7M220,153921943858
ETF ISHARES INC MSCIEquities$14.4M141,05246434G764
MICROSOFT CORPEquities$12.9M34,545594918104
VISA INC CLASS AEquities$12.9M37,55292826C839
COSTCO WHOLESALEEquities$12.3M13,18022160K105
ISHS CORE US AGGR BDEquities$12M121,637464287226
STATE STREET SPDR S&P MIDCAP 40Equities$12M17,01078467Y107
META PLATFORMS INCEquities$11.6M20,55830303M102
I SHS RUSSELL2000Equities$10.7M35,612464287655
UNITED RENTALS INCEquities$10.1M8,920911363109
ISHRS CMBSEquities$9.4M194,04746429B366
VALERO ENERGY CORPEquities$9.1M34,81891913Y100
ETF I -SHARES TRUSTEquities$8.9M86,150464287465
KLA-TENCOREquities$8.8M29,136482480100
KY T/F INCOME SERIESMutual Funds$8.6M1,176,544266155100
VANGUARD FTSE EMG MKEquities$7.3M122,163922042858
S&P GLOBAL INCEquities$6.8M16,81978409V104
MASTERCARD INCEquities$6.5M12,72557636Q104
FED ULTRASHORT BD CLMutual Funds$6.5M703,36331428Q747
WILLIAMS COS INCEquities$6.2M83,770969457100
AMGEN INCEquities$5.8M16,134031162100
INTUITIVE SURGICALEquities$5.7M14,44846120E602
DICKS SPORTING GOODSEquities$5.7M25,072253393102
BROADCOM INCEquities$5.5M14,57511135F101
SHERWIN WILLIAMSEquities$5.2M15,169824348106
QUALCOMM INCEquities$5.1M27,837747525103
ISHARES TR S&P MIDCPEquities$5M65,050464287507
MICRON TECHNOLOGYEquities$5M4,345595112103
J P MORGAN CHASEEquities$4.9M14,82646625H100
STRYKER CORPEquities$4.7M15,083863667101
ISHS HIGH YIELD ETFEquities$4.7M59,197464288513
MOODYS CORPEquities$4.3M9,590615369105
VANGUARD INTER-TERMMutual Funds$4.3M308,235922907878
WAL MART STORES INCEquities$4.3M37,535931142103
NUCOR CORPEquities$4.2M18,914670346105
ISHARES S&P SMALLCAPEquities$4.2M28,084464287804
CHUBB LTDEquities$4.1M12,159H1467J104
MERCK & CO INC NEWEquities$3.8M29,28758933Y105
D R HORTON INCEquities$3.7M22,74723331A109
QUANTA SERVICES INCEquities$3.7M5,14574762E102
NETAPP INCEquities$3.7M23,89064110D104
CORNING INCORPORATEDEquities$3.7M14,405219350105
AECOM TECHNOLOGYEquities$3.6M51,57000766T100
ISHS 500 INDEX FD USEquities$3.5M4,628464287200
DEERE & COEquities$3.4M5,410244199105
PROG CORP OHIOEquities$3.4M15,564743315103
APPLIED MATERIALSEquities$3.4M4,658038222105
CHARLES SCHWAB CORPEquities$3.3M36,272808513105
ISHARES EMERGING MKTEquities$3.2M47,132464287234
NXP SEMICONDUCTORSEquities$3.2M11,400N6596X109
UNITEDHEALTH GROUP INC COMEquities$3.1M7,51491324P102
CISCO SYSTEMS INCEquities$3M25,66617275R102
VANGUARD EMG MKT ETFEquities$3M44,535921946885
TJX COS INC NEWEquities$2.8M18,669872540109
ABBVIE INCEquities$2.8M11,01700287Y109
ISHARES EMRG MKTEquities$2.7M27,743464288281
OLD DOMINI COMEquities$2.6M12,175679580100
ELI LILLY & COEquities$2.6M2,198532457108
PALO ALTO NETWORKSEquities$2.5M7,392697435105
ALPHABE CL CEquities$2.5M7,02202079K107
HERSHEY COMPANYEquities$2.4M13,696427866108
NETFLIX COMEquities$2.4M33,47064110L106
INTUIT INCEquities$2.3M8,643461202103
TRACTOR SUPPLY COEquities$2.2M68,846892356106
ADOBE SYS INCEquities$2.1M10,26800724F101
PARKER HANNIFIN CORPEquities$2.1M2,147701094104
STATE STREET HEALTH CARE SELECTEquities$2.1M13,08481369Y209
HOME DEPOT INCEquities$2M5,784437076102
VANGUARD FTSE DEV MKEquities$1.9M27,049921943858
SPOTIFY TECHNOLOGYEquities$1.9M4,122L8681T102
UNION PACIFIC CORPEquities$1.9M6,947907818108
ORACLE CORPORATIONEquities$1.8M12,48368389X105
MCDONALDS CORPEquities$1.8M6,524580135101
EXXON MOBIL CORPEquities$1.7M12,75130231G102
EXPEDIA GROUP, INCEquities$1.7M6,80730212P303
GE AEROSPACEEquities$1.7M4,492369604301
WASTE MANAGEMENT NEWEquities$1.7M7,47194106L109
ISHS BCLYS SH TR BDEquities$1.6M14,907464288679
KIMBERLY-CLARK CORPEquities$1.6M14,541494368103
KINDER MORGAN INC DEEquities$1.6M49,48049456B101
PROCTER & GAMBLE COEquities$1.6M10,633742718109
EQT CORPEquities$1.5M27,67526884L109
REGENERON PHARMAEquities$1.5M2,35775886F107
CHEVRON CORPEquities$1.3M7,921166764100
COCA COLA COEquities$1.3M16,069191216100
ADV MICRO DEVICESEquities$1.3M2,206007903107
ISHARES S&P SMALLCAPEquities$1.2M8,353464287804
FID CONTRAFUNDMutual Funds$1.2M42,956316071109
MARATHON PETE CORPEquities$1.2M4,49956585A102
DISNEY(WALT) COMPANYEquities$1.1M11,944254687106
NORTHROP GRUMMANEquities$1.1M2,200666807102
HUMANA INCEquities$1.1M2,787444859102
XCEL ENERGY INCEquities$1.1M13,48498389B100
APOLLO GLOBAL MGMTEquities$1.1M9,14203769M106
AMEREN CORPEquities$1M9,178023608102
BERKSHIRE HATHAWAYEquities$1M2,043084670702
LOCKHEED MARTIN CORPEquities$1M1,963539830109
ISHARES TR S&P MIDCPEquities$982.2K12,737464287507
FID 500 INDEX FDMutual Funds$973.7K3,728315911750
COMCAST CORP NEW AEquities$961.4K39,16120030N101
UBER TECHNOLOGIESEquities$949K13,15290353T100
VANGUARD FTSE EMG MKEquities$948.4K15,889922042858
AMERICAN EXPRESS COEquities$937K2,770025816109
JOHNSON & JOHNSONEquities$935.1K3,682478160104
ISHARES RUSSELL MIDEquities$926.7K8,400464287499
THERMO FISHEREquities$909K1,813883556102
MICROSOFT CORPEquities$867.6K2,326594918104
ZOETIS INCEquities$866K12,05198978V103
VANGUARD S&P 500 ETFEquities$850.3K1,238922908363
EOG RES INCEquities$846K6,52126875P101
CSX CORPEquities$840.9K17,691126408103
ABBOTT LABSEquities$837.3K9,227002824100
HONEYWELL INTERNATIONALEquities$779.7K3,506438516205
ULTA BEAUTY INCEquities$773.9K1,71690384S303
HONEYWELL AEROSPACEEquities$769.9K3,50643849R105
INTL BUSINESS MACHSEquities$766K2,724459200101
GILEAD SCIENCES INCEquities$721.3K5,709375558103
TARGA RES CORPEquities$714.3K2,66487612G101
EATON CORP PLCEquities$713.8K1,675G29183103
NOVO NORDISK A SEquities$707.3K14,753670100205
AUTOZONE INCEquities$706.3K221053332102
DUPONT DE NEMOURSEquities$697.1K5,13926614N201
VANGD INDEX REIT 986Equities$695.3K7,210922908553
TAIWAN SEMICONDUCTOREquities$683.9K1,432874039100
ISHS GOLD TR NPV NEWEquities$660.8K8,751464285204
SALESFORCE INCEquities$633.2K4,04279466L302
SOUTHERN COMPANYEquities$567.9K5,934842587107
STARBUCKS CORPEquities$563.7K5,516855244109
LOWES COMPANIES INCEquities$545.5K2,474548661107
TESLA, INCEquities$536.3K1,27588160R101
CROWDSTRIKE HLDGSEquities$534.2K70022788C105
GE VERNOVA INCEquities$524K44636828A101
MASCO CORPORATIONEquities$518.6K6,373574599106
SPDR GOLD TREquities$515.7K1,40078463V107
STATE STREET ENERGY SELECT SECTEquities$514.3K9,68381369Y506
COMMUNITY TRUST BANKEquities$490.5K6,779204149108
JOHNSON & JOHNSONEquities$481.3K1,895478160104
INTERCONTINENTAL EXCEquities$449.4K3,65045866F104
CBOE GLOBAL MARKETSEquities$447.5K1,84412503M108
PEPSICO INCEquities$439.4K3,245713448108
ISHARES SMALL CAPEquities$425.4K2,382464287887
HILTON WORLDWIDEEquities$424.6K1,28543300A203
ISHARES TR MBS ETFEquities$416.6K4,408464288588
FIFTH THIRD BANCORPEquities$413.4K7,334316773100
VAN TOTAL STOCK MKTMutual Funds$407.7K2,263922908728
NEXTERA ENERGY INCEquities$401.6K4,57665339F101
AMERICAN ELEC POWEREquities$396.7K2,900025537101
GE AEROSPACEEquities$387.9K1,038369604301
SERVICENOW INCEquities$373.9K3,76681762P102
TEXAS INSTRUMENTSEquities$368.7K1,237882508104
PGIM AAA CLO ETFEquities$364.4K7,10769344A834
ISHS CORE MSCI EAFEEquities$362.1K3,74946432F842
MORGAN STANLEYEquities$361K1,727617446448
BANKAMERICA CORP NEWEquities$356.5K6,256060505104
AMER EUROPACIFIC GRWMutual Funds$342.9K5,373298706110
PHILLIPS 66Equities$336.4K1,990718546104
ILLINOIS TOOL WORKSEquities$335.7K1,241452308109
STATE STREET FINANCIAL SELECT SEquities$335.5K6,25881369Y605
J P MORGAN CHASEEquities$327.3K1,00046625H100
BLACKROCK STRAT INCMutual Funds$322.8K33,07109260B382
PNC FINANCIAL SERVEquities$320.1K1,300693475105
ISHARES 0-3 MTH TREASURY BOND EEquities$315.9K3,13846436E718
ALPHABET CL AEquities$314.5K88002079K305
VANGUARD RUSSELLEquities$314.5K2,59092206C664
APPLE INCEquities$312.5K1,080037833100
NORTHROP GRUMMANEquities$305.6K600666807102
PFIZER INCEquities$295.7K12,281717081103
KLA-TENCOREquities$289.6K960482480100
PHILIP MORRIS INTLEquities$283.1K1,565718172109
COLGATE PALMOLIVE COEquities$264.6K2,886194162103
3M COEquities$260.4K1,60888579Y101
VERTEX PHARMACEUTICAEquities$253.3K51092532F100
DUKE ENERGY CORP NEWEquities$253K1,99926441C204
VANGUARD SM CAP ETFEquities$251K828922908751
BLACKSTONE INCEquities$240.6K2,04509260D107
VANGUARD TOTAL STOCKEquities$231.3K625922908769
SELECTED AMERICAN SHMutual Funds$227.9K5,168816221204
MARTIN MARIETTA MATLEquities$227.8K395573284106
NEWMONT MINING CORPEquities$227K2,430651639106
ALLSTATE CORPEquities$225.3K947020002101
RAYMOND JAMES INCEquities$225.2K1,481754730109
GLOBAL FOUNDRIES INCEquities$222.1K2,695G39387108
CINCINNATI FINANCIALEquities$221.8K1,198172062101
AT&T INCEquities$216.7K10,46700206R102
STATE STREET UTILITIES SELECT SEquities$212.3K4,68281369Y886
DUPREE NORTH CAROLINA TAX FREEMutual Funds$209.9K19,326266155704
INTEL CORPEquities$208.2K1,491458140100
AMG YACK FUNDMutual Funds$202.8K7,86700170K588
FEDERATED INTERMEDIATE MUNI TRMutual Funds$195K19,855458810108
HOME DEPOT INCEquities$158.7K450437076102
ISHS GOLD TR NPV NEWEquities$140K1,855464285204
PFIZER INCEquities$130.4K5,417717081103
Values are shown exactly as filed. Before 2023 managers reported in thousands of dollars and afterwards in whole dollars; the reporting unit is not always determinable from the document, so nothing is converted automatically.

Source: U.S. Securities and Exchange Commission, Form 13F · as of 2026-07-17