FIRST FINANCIAL BANK - TRUST DIVISION

Holdings as of 2026-06-30, filed 2026-07-01

This is history, not a current position. These holdings describe 2026-06-30, and the report became public 1 days later. The portfolio has changed since.

Aggregates

computed from the positions below
Positions reported
411
Value reported by manager
$1.4B
Sum of our stored positions
$1.4B
should match the line above
Disclosure lag
1 d
quarter end to filing
Top 5 concentration
28.5%
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
ISHARESETF-EQUITY$132.8M1,374,67846432F842
ISHARESETF-EQUITY$70.5M234,756464287655
ISHARESETF-EQUITY$69.9M93,319464287200
S&P 500 DEPOSITARY RECEIPTSETF-EQUITY$64.2M85,90678462F103
ISHARESETF-EQUITY$53.1M357,813464287804
JP MORGANETF-EQUITY$41.6M504,05046641Q134
JP MORGANETF-ALTERNATIVE$41M725,14446641Q332
ISHARESETF-EQUITY$40.9M494,32546434G103
ISHARESETF-FIXED INCOM$36M380,956464287440
DIMENSIONALETF-EQUITY$33.1M815,50925434V732
APPLE INC.COMMON STOCK$32.7M112,943037833100
PROCTER & GAMBLE COMPANYCOMMON STOCK$29.9M203,720742718109
ALPHABET INC.COMMON STOCK$26.7M74,84502079K305
MICROSOFT CORPORATIONCOMMON STOCK$23.9M64,030594918104
CORNING INC.COMMON STOCK$22.3M87,272219350105
JP MORGANCOMMON STOCK$22.1M67,42446625H100
FIRST FINANCIAL BANCORPCOMMON STOCK$21.3M628,566320209109
CATERPILLARCOMMON STOCK$19.2M18,007149123101
SPDRCOMMON STOCK$17.9M394,87581369Y886
AMAZON.COM, INC.COMMON STOCK$17.4M73,196023135106
NVIDIA CORPORATIONCOMMON STOCK$17.2M86,00667066G104
CINCINNATI FINANCIAL CORPORATIONCOMMON STOCK$16.8M90,788172062101
EATON CORPORATION PLCFOREIGN STOCK$14.6M34,371G29183103
BROADCOM, INC.COMMON STOCK$14.6M38,71011135F101
ISHARESETF-FIXED INCOM$13.7M127,582464288414
ISHARESETF-EQUITY$13M94,866464287309
IBMCOMMON STOCK$12.5M44,491459200101
RAYTHEON TECHNOLOGIES CORPCOMMON STOCK$12.4M65,53175513E101
INVESCOETF-EQUITY$12.1M56,87546137V357
VISA INC CL ACOMMON STOCK$12M34,85092826C839
ISHARESETF-EQUITY$12M59,82946432F388
BANK OF AMERICA CORP.COMMON STOCK$11.2M196,831060505104
SPDR S&P MIDCAP 400 ETF TR UNITETF-EQUITY$11.1M15,83578467Y107
ISHARESETF-FIXED INCOM$10.4M88,688464288661
STRYKER CORPORATIONCOMMON STOCK$10.3M32,695863667101
HARTFORD INSURANCE GROUP, INC.COMMON STOCK$9.5M71,542416515104
VANGUARDETF-FIXED INCOM$8.8M87,055922907738
ABBOTT LABORATORIESCOMMON STOCK$8.5M93,723002824100
ISHARESETF-EQUITY$8.4M80,500464287465
EXXON MOBILCOMMON STOCK$7.9M58,12030231G102
GILEAD SCIENCESCOMMON STOCK$7.8M61,564375558103
ISHARESETF-EQUITY$7.7M111,842464287234
PEPSICOCOMMON STOCK$7.6M55,921713448108
ROSS STORES INC.COMMON STOCK$7.4M34,589778296103
FIRST FINANCIAL BANCORPCOMMON STOCK$7M207,569320209109
LOWES COMPANIES, INC.COMMON STOCK$6.8M31,067548661107
WALT DISNEY CO.COMMON STOCK$6.5M67,997254687106
QUALCOMM INCORPORATEDCOMMON STOCK$6.5M35,188747525103
ABBVIE INC.COMMON STOCK$6.3M25,06000287Y109
ECOLAB INCCOMMON STOCK$5.9M21,231278865100
CHEVRONCOMMON STOCK$5.7M34,674166764100
VANGUARDETF-FIXED INCOM$5.6M119,04892206C771
DARDEN RESTAURANTS INC.COMMON STOCK$5.4M26,387237194105
ISHARESETF-EQUITY$5.3M32,525464287150
SPDRETF-EQUITY$5M26,37981369Y803
VANGUARDETF-EQUITY$4.9M22,457922908744
GENERAL MOTORS COCOMMON STOCK$4.9M63,33437045V100
SPDRETF-EQUITY$4.5M83,47581369Y605
LINDE PLCFOREIGN STOCK$4.2M8,127G54950103
CINCINNATI FINANCIAL CORPORATIONCOMMON STOCK$4.1M22,377172062101
HONEYWELL AEROSPACECOMMON STOCK$4.1M18,12643849R105
HONEYWELL INTERNATIONAL INCCOMMON STOCK$4.1M18,119438516205
CHECK POINT SOFTWARE TECHFOREIGN STOCK$4M30,696M22465104
TE CONNECTIVITY PLCFOREIGN STOCK$4M19,871G87052109
SPDRETF-EQUITY$3.8M24,23281369Y209
PFIZERCOMMON STOCK$3.8M158,521717081103
SPDRETF-EQUITY$3.8M20,50881369Y704
SPDRETF-EQUITY$3.5M41,88281369Y308
DOLLAR TREE INCCOMMON STOCK$3.4M28,364256746108
PHILIP MORRIS INTERNATIONAL INC.COMMON STOCK$3.3M18,251718172109
EQT CORPORATIONCOMMON STOCK$3.3M61,96326884L109
JOHNSON & JOHNSONCOMMON STOCK$3.3M12,968478160104
REALTY INCOME CORPCOMMON STOCK$3.2M51,954756109104
ISHARESETF-EQUITY$3.2M4,968464287523
ISHARESETF-EQUITY$3.2M19,364464287150
FIRST MERCHANTS CORPCOMMON STOCK$3.2M72,574320817109
FREEPORT-MCMORANCOMMON STOCK$3.2M50,37935671D857
MERCK & COCOMMON STOCK$3M23,37058933Y105
DEERE AND COMPANYCOMMON STOCK$3M4,668244199105
JP MORGANETF-FIXED INCOM$2.9M57,67446641Q647
XYLEM INC.COMMON STOCK$2.8M23,28598419M100
MEDTRONIC PLCFOREIGN STOCK$2.8M35,172G5960L103
ORACLE CORPORATIONCOMMON STOCK$2.7M18,69568389X105
APPLE INC.COMMON STOCK$2.7M9,337037833100
SALESFORCE, INC.COMMON STOCK$2.7M17,10679466L302
TJX COS INCCOMMON STOCK$2.7M17,503872540109
COMFORT SYSTEMS USA, INC.COMMON STOCK$2.4M1,204199908104
INTELCOMMON STOCK$2.4M17,034458140100
MICROSOFT CORPORATIONCOMMON STOCK$2.4M6,362594918104
CISCO SYSTEMS, INC.COMMON STOCK$2.3M19,77117275R102
S&P 500 DEPOSITARY RECEIPTSETF-EQUITY$2.3M3,10178462F103
MC DONALDS CORPORATIONCOMMON STOCK$2.3M8,468580135101
ISHARESETF-EQUITY$2.1M20,01846435G516
GENERAL ELECTRICCOMMON STOCK$2M5,451369604301
SHERWIN-WILLIAMS COMPANYCOMMON STOCK$1.9M5,537824348106
ADOBE INC.COMMON STOCK$1.9M9,17600724F101
ISHARESETF-EQUITY$1.9M6,255464287655
WALMART INC.COMMON STOCK$1.9M16,366931142103
ISHARESETF-EQUITY$1.8M19,09846432F842
SPDRETF-FIXED INCOM$1.8M68,71978464A649
INTUIT COMCOMMON STOCK$1.7M6,524461202103
ISHARESETF-EQUITY$1.7M16,161464287465
PROCTER & GAMBLE COMPANYCOMMON STOCK$1.6M11,237742718109
BERKSHIRE HATHAWAY, INC.COMMON STOCK$1.6M3,206084670702
GOLDMAN SACHS GROUP, INC.COMMON STOCK$1.6M1,58538141G104
INTELCOMMON STOCK$1.5M10,542458140100
WELLS FARGOCOMMON STOCK$1.4M17,421949746101
BLACKROCK, INC.COMMON STOCK$1.4M1,49509290D101
ISHARESETF-EQUITY$1.4M12,782464287499
JP MORGANCOMMON STOCK$1.4M4,29446625H100
VANGUARDETF-EQUITY$1.4M2,034922908363
ALPHABET INC.COMMON STOCK$1.4M3,90802079K107
ISHARESETF-EQUITY$1.3M16,27346434G103
ELI LILLY &COMMON STOCK$1.3M1,119532457108
MUTUAL FUNDS-EQUITY RPSMUTUAL FUNDS -$1.3M1MFE001360
ALPHABET INC.COMMON STOCK$1.3M3,67202079K305
SPDRETF-EQUITY$1.3M6,83681369Y803
BOEING COMPANYCOMMON STOCK$1.3M5,929097023105
VANGUARDETF-ALTERNATIVE$1.3M13,308922908553
JOHNSON & JOHNSONCOMMON STOCK$1.2M4,910478160104
ORACLE CORPORATIONCOMMON STOCK$1.2M8,50868389X105
ISHARESETF-EQUITY$1.2M12,87446432F842
VANGUARDETF-EQUITY$1.2M3,74392206C599
ISHARESETF-EQUITY$1.2M8,362464287804
SPDRETF-ALTERNATIVE$1.2M15,17698149E303
ALLSTATE CORPORATIONCOMMON STOCK$1.2M4,844020002101
FASTENAL CO.COMMON STOCK$1.1M23,554311900104
ISHARESETF-EQUITY$1.1M14,619464287507
COCA-COLA COMPANYCOMMON STOCK$1.1M13,565191216100
ISHARESETF-EQUITY$1.1M4,86046432F339
ISHARESETF-FIXED INCOM$1M9,796464288612
CNO FINANCIAL GROUP INCCOMMON STOCK$1M20,33712621E103
VANGUARDETF-EQUITY$1M3,328922908538
HOME DEPOT, INC.COMMON STOCK$980.1K2,779437076102
LOCKHEED MARTIN GROUPCOMMON STOCK$967.5K1,899539830109
US BANCORPCOMMON STOCK$963.3K15,948902973304
ISHARESETF-FIXED INCOM$924.7K8,592464288414
MORGAN STANLEYCOMMON STOCK$908.9K4,348617446448
SPDR S&P MIDCAP 400 ETF TR UNITETF-EQUITY$884.8K1,25878467Y107
3M COMPANYCOMMON STOCK$849.4K5,24688579Y101
ISHARESETF-EQUITY$834.5K8,65146429B697
VISA INC CL ACOMMON STOCK$831K2,42292826C839
CISCO SYSTEMS, INC.COMMON STOCK$793.2K6,75317275R102
ALPHABET INC.COMMON STOCK$770.3K2,18002079K107
TRINITY CAPITAL, INC.COMMON STOCK$762.5K42,623896442308
LOWES COMPANIES, INC.COMMON STOCK$761.4K3,453548661107
ISHARESETF-EQUITY$751.9K9,07746434G103
CUMMINS ENGINE COMPANY,COMMON STOCK$748.2K1,049231021106
META PLATFORMS, INC.COMMON STOCK$729.5K1,29530303M102
BP PLCFOREIGN STOCK$727.7K19,695055622104
STRYKER CORPORATIONCOMMON STOCK$717.5K2,279863667101
OMNICOM GROUP INCORPORATEDCOMMON STOCK$717.2K9,848681919106
VERIZON COMMUNICATIONS INC.COMMON STOCK$716.6K16,92692343V104
TESLA MOTORS INCCOMMON STOCK$709.6K1,68788160R101
ANNALY MORTGAGE MANAGEMENT, INC.COMMON STOCK$702.2K31,403035710839
DUKE ENERGYCOMMON STOCK$693.7K5,48026441C204
AUTOMATIC DATA PROCESSING, INC.COMMON STOCK$688.2K3,073053015103
S&P 500 DEPOSITARY RECEIPTSETF-EQUITY$687K92078462F103
CBOECOMMON STOCK$630K2,59612503M108
GE VERNOVACOMMON STOCK$622.7K53036828A101
NUCOR CORPORATIONCOMMON STOCK$615.7K2,764670346105
CIMNON-LIQ FUNDS-A$613.6K613,62112599D335
EXXON MOBILCOMMON STOCK$600.9K4,39530231G102
ISHARESETF-EQUITY$592.6K4,336464287879
CLARIONNON-LIQ FUNDS-A$592.3K592,31418099J714
ISHARESETF-EQUITY$590.1K1,964464287655
PEPSICOCOMMON STOCK$582.6K4,303713448108
SPDRETF-EQUITY$546.7K8,99378464A508
SANDISK CORPORATIONCOMMON STOCK$545.7K24080004C200
ABBOTT LABORATORIESCOMMON STOCK$543.8K5,993002824100
VANGUARDETF-EQUITY$525.8K1,529922908637
GENERAL DYNAMICS CORPCOMMON STOCK$514.4K1,452369550108
NORFOLK SOUTHERN CORPORATIONCOMMON STOCK$502.7K1,598655844108
PNCCOMMON STOCK$501.1K2,035693475105
STEEL DYNAMICSCOMMON STOCK$499.5K2,177858119100
TJX COS INCCOMMON STOCK$486.9K3,214872540109
US BANCORPCOMMON STOCK$483.9K8,012902973304
EATON CORPORATION PLCFOREIGN STOCK$483.6K1,135G29183103
NIKE INCORPORATED CLASS BCOMMON STOCK$481.8K11,737654106103
NUCOR CORPORATIONCOMMON STOCK$473.6K2,126670346105
INGERSOLL RAND INC.FOREIGN STOCK$469.5K956G8994E103
ISHARESETF-EQUITY$462.8K2,591464287887
PROSHARESETF-EQUITY$459.5K7,75274347B508
ECOLAB INCCOMMON STOCK$452.5K1,624278865100
BRISTOL-MYERS SQUIBB COMPANYCOMMON STOCK$451K7,827110122108
STOCK YARDS BANCORP, INC.COMMON STOCK$448.6K5,866861025104
ISHARESETF-FIXED INCOM$436.3K4,112464288612
SPDRCOMMON STOCK$435.3K9,60081369Y886
TARGETCOMMON STOCK$431.7K3,30587612E106
JOHNSON CONTROLS INTLFOREIGN STOCK$431.3K2,952G51502105
AMERICAN EXPRESS COMPANYCOMMON STOCK$430.9K1,274025816109
UNION PACIFICCOMMON STOCK$421.1K1,548907818108
CONOCOPHILLIPSCOMMON STOCK$420.6K4,04620825C104
ISHARESETF-EQUITY$417.9K558464287200
ALTRIA GROUP, INC.COMMON STOCK$409.1K5,68602209S103
VANGUARDETF-EQUITY$404.7K6,780922042858
GLOBAL XETF-EQUITY$400.2K4,52237954Y889
RICHMOND MUTUAL BANCORPORATIONCOMMON STOCK$394.8K24,85976525P100
COLGATE-PALMOLIVE COMPANYCOMMON STOCK$392.5K4,281194162103
ASTRAZENECA PLCCOMMON STOCK$391.6K2,065G0593M107
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 2026-07-01