13F

Investor

FIRST FINANCIAL CORP /IN/

CIK 0000714562 · filed 2026-04-07 · SEC filing

13F book

$254.5M

Positions

303

0 new · 6 sold

Largest name

15.9%

First Financial Corporation

Est. mark

−$4.47M

Price effect on 303 names still held. Flow −$5.93M.
NameTickerSharesValueWeightEst. markChange
First Financial Corporation640.3K$40.5M15.9%$1.78MAdded$1.86M
Vanguard Index Fds53.7K$32.1M12.6%−$1.58MAdded−$1.29M
Vanguard World Fd20.1K$14M5.5%−$1.13MCut−$1.51M
Vanguard Tax-Managed Fds157.3K$10.1M4.0%$232.5KAdded$1.06M
Ishares Tr12.4K$8.09M3.2%−$392.8KHeld
Microsoft CorpMSFT16.9K$6.27M2.5%−$1.92MCut−$2M
Vanguard Index Fds20.4K$5.85M2.3%−$59.4KAdded$181.3K
Vanguard Index Fds19.4K$5.08M2.0%$76KAdded$143.5K
Apple Inc.AAPL19.7K$5M2.0%−$356KCut−$509.4K
Vanguard World Fd24.5K$4.41M1.7%−$318.5KAdded−$64.7K
Eli Lilly & CoLLY4.29K$3.95M1.6%−$664.6KCut−$917.1K
Nvidia CorpNVDA21.1K$3.68M1.4%−$255.1KCut−$517.7K
Vanguard World Fd27.8K$3.36M1.3%−$352.9KCut−$526.6K
Flexshares Tr104.5K$3.31M1.3%$132.7KHeld
Broadcom Inc.AVGO10.1K$3.11M1.2%−$367.7KCut−$388.5K
Jpmorgan Chase & Co.10.1K$2.97M1.2%−$283.7KCut−$394.2K
Vanguard World Fd7.54K$2.71M1.1%−$262.9KCut−$587.9K
Vanguard World Fd8.37K$2.61M1.0%$115.8KCut−$147K
Exxon Mobil Corp14.6K$2.48M1.0%$720.6KCut$606.2K
Invesco Exch Traded Fd Tr Ii10.4K$2.47M1.0%−$126.5KAdded$378.7K
Vanguard World Fd8.94K$2.43M1.0%−$138.7KCut−$472K
Ishares Tr24.3K$2.36M0.9%$26.7KCut−$47.2K
Alphabet Inc7.48K$2.15M0.8%−$190.4KCut−$255.8K
Amazon Com IncAMZN10.1K$2.1M0.8%−$227.7KCut−$270.2K
AbbVie Inc.ABBV9.29K$2.02M0.8%−$102.2KCut−$119.3K
Ishares Tr20.4K$1.93M0.8%$13KAdded$112K
Ishares Inc22.2K$1.75M0.7%$133KCut−$1.03M
Meta Platforms, Inc.META2.94K$1.68M0.7%−$258.3KAdded−$256.1K
Lockheed Martin CorpLMT2.78K$1.68M0.7%$336KCut$141K
Ishares Tr4.6K$1.64M0.6%−$77.6KHeld
Abbott LabsABT15.9K$1.64M0.6%−$358.2KAdded−$348.7K
Waste Connections, Inc.WCN9.75K$1.58M0.6%−$126KHeld
Spdr S&P Midcap 400 Etf Tr2.45K$1.51M0.6%$22.8KAdded$492.8K
Spdr Series Trust15K$1.47M0.6%−$132.1KHeld
Nextera Energy Inc15.4K$1.43M0.6%$193.8KCut$111K
Merck & Co., Inc.MRK11.7K$1.41M0.6%$176.3KCut$164.5K
Home Depot, Inc.HD4.17K$1.37M0.5%−$63.3KAdded−$60K
Invesco Qqq Tr2.32K$1.34M0.5%−$86.2KCut−$103.4K
Visa Inc.V4.37K$1.32M0.5%−$211.7KCut−$263.3K
Walmart Inc.WMT10.4K$1.3M0.5%$134.4KCut$94.4K
Wisdomtree Tr29.4K$1.18M0.5%$30.2KAdded$89.1K
Thermo Fisher Scientific Inc.TMO2.37K$1.17M0.5%−$208.6KCut−$272.4K
Vanguard Intl Equity Index F21.5K$1.16M0.5%$6.25KCut−$38.8K
Procter And Gamble CoPG7.86K$1.14M0.4%$8.89KCut−$152.5K
Flexshares Tr14.3K$1.13M0.4%−$24.6KCut−$1.03M
Ishares Tr16.6K$1.11M0.4%$93.4KHeld
Ishares Tr4.39K$1.09M0.4%$8.08KCut$6.11K
Johnson Ctls Intl Plc8.27K$1.08M0.4%$92.7KCut−$128.3K
Chevron Corp NewCVX5.21K$1.08M0.4%$283.8KCut$270.4K
Vanguard World Fd4.69K$1.05M0.4%$54.2KAdded$195.7K
Palo Alto Networks IncPANW6.46K$1.04M0.4%−$150.1KAdded−$121.7K
Ishares Tr2.4K$1.02M0.4%−$112.5KHeld
Vanguard World Fd5.63K$974.4K0.4%$265.3KCut$70.4K
Intercontinental Exchange In6.12K$962.4K0.4%−$28.6KCut−$35.8K
American Centy Etf Tr8.57K$946.9K0.4%$72.8KCut−$88.8K
Linde PlcLIN1.89K$939K0.4%$131.4KCut$99.8K
Costco Whsl Corp New934$930.7K0.4%$125.2KHeld
Vanguard World Fd4.03K$798.9K0.3%$52.8KCut−$44.1K
Mondelez Intl Inc13.2K$760.7K0.3%$50.3KCut−$74.8K
Ishares Tr3.52K$752.5K0.3%$11.7KCut−$5.31K
Flexshares Tr13.6K$748.2K0.3%$126.3KCut−$442.2K
Mcdonalds CorpMCD2.38K$741.2K0.3%$12.3KCut−$6.03K
Spdr Dow Jones Indl Average1.6K$741.2K0.3%−$27.7KCut−$30.1K
Vanguard Index Fds8.28K$734.8K0.3%$1.74KCut−$63.5K
Chipotle Mexican Grill IncCMG22.9K$731.7K0.3%−$111KAdded−$91.1K
Suncor Energy Inc New11.1K$731.3K0.3%$240.6KCut$117.7K
Cisco Sys Inc9.36K$726.2K0.3%$5.24KCut$2.54K
RTX CorpRTX3.76K$724.9K0.3%$35.7KHeld
Caterpillar IncCAT987$699.3K0.3%$133.8KCut$121.8K
Vanguard World Fd2.95K$664.5K0.3%$52.5KCut−$20.4K
Schwab Strategic Tr20K$613.2K0.2%$63.6KAdded$76.2K
Paypal Hldgs Inc13.5K$611.6K0.2%−$177.8KCut−$192.8K
Coca Cola CoKO7.79K$592.3K0.2%$47.8KCut$40.8K
Vanguard World Fd2.5K$590.9K0.2%−$37KCut−$162.6K
Bhp Group Ltd7.89K$574.2K0.2%$97.6KCut$31.6K
Ishares Tr5.89K$572.8K0.2%$5.65KHeld
Republic Svcs Inc2.56K$561.6K0.2%$18.2KHeld
American Tower Corp New3.11K$537.4K0.2%−$9.31KCut−$30.4K
Marathon Pete Corp2.2K$537K0.2%$179.3KHeld
Bristol-Myers Squibb Co8.63K$523.7K0.2%$57.9KHeld
Johnson & JohnsonJNJ2.12K$517K0.2%$79.3KCut$65K
Bank America Corp10.6K$515.9K0.2%−$66.1KCut−$68.9K
Vanguard Index Fds1.65K$498.7K0.2%$231Cut−$12.8K
Sysco CorpSYY6.99K$498.7K0.2%−$16.5KCut−$181.2K
Bp Plc10.5K$491.8K0.2%$128.4KHeld
Union Pac Corp2.02K$491.1K0.2%$22.9KCut$9.92K
Vanguard Scottsdale Fds4.81K$481.6K0.2%$3.13KHeld
Pepsico IncPEP2.83K$439.5K0.2%$33.3KCut$23.1K
Spdr Gold Tr964$414.8K0.2%$32.8KCut$24K
Shell Plc4.44K$413.3K0.2%$86.7KHeld
Ishares Tr4.43K$400.8K0.2%$4.65KAdded$12.1K
Kla CorpKLAC272$400.5K0.2%$70KHeld
Mastercard IncMA791$395.2K0.2%−$56.3KCut−$64.9K
Marriott Intl Inc New1.2K$393.5K0.2%$20.2KHeld
Wells Fargo Co New4.91K$391K0.2%−$66.7KCut−$86.7K
Ishares Tr2.67K$389.7K0.2%$12.5KCut$12.3K
Spdr S&P 500 Etf Tr575$373.9K0.1%−$18.2KCut−$552.1K
Unitedhealth Group IncUNH1.35K$364.2K0.1%−$80.1KCut−$86.7K
Alphabet Inc1.26K$362.9K0.1%−$34.1KHeld
Disney Walt Co3.74K$360.2K0.1%−$65KCut−$71.8K
Vaneck Etf Trust4K$338K0.1%$46.8KHeld
Oracle Corp2.29K$336.3K0.1%−$109.3KCut−$135.4K
Ishares Tr2.52K$322.9K0.1%−$22.2KHeld
Texas Instrs Inc1.65K$320.1K0.1%$34.1KHeld
Intel CorpINTC6.85K$302.3K0.1%$49.5KCut$38.5K
Pfizer IncPFE10.3K$289.5K0.1%$32.5KAdded$35.3K
Lowes Cos Inc1.21K$286.6K0.1%−$5.92KHeld
Elevance Health Inc Formerly971$284.3K0.1%−$56.1KHeld
Waste Mgmt Inc Del1.23K$282.9K0.1%$12.4KHeld
Seagate Technology Hldngs Pl694$271.9K0.1%$80.8KCut$78K
Altria Group, Inc.MO3.97K$262.2K0.1%$33.1KHeld
Accenture Plc Ireland1.26K$249.8K0.1%−$88.2KHeld
General Dynamics CorpGD725$248.8K0.1%$4.76KCut$379
Invesco Exch Traded Fd Tr Ii1.88K$241.3K0.1%$3.39KHeld
Enterprise Prods Partners L6.35K$240.2K0.1%$36.7KHeld
Novo-Nordisk A S6.47K$237.8K0.1%−$91.4KHeld
HCA Healthcare, Inc.HCA500$236.6K0.1%$3.19KHeld
Ishares Tr1.83K$228K0.1%$7.51KAdded$9.5K
Duke Energy Corp New1.72K$225.2K0.1%$23.6KCut$17.8K
Verizon Communications IncVZ4.42K$222.1K0.1%$41.4KAdded$43.9K
Ishares Tr1.95K$217.4K0.1%−$4.16KAdded$31.4K
Vanguard Specialized Funds1K$215.1K0.1%−$4.72KHeld
Salesforce, Inc.CRM1.14K$213K0.1%−$89.3KCut−$134.8K
International Business Machs857$207.7K0.1%−$46.1KCut−$48.8K
American Express CoAXP672$203.3K0.1%−$45.3KCut−$70.9K
At&T Inc6.82K$197.7K0.1%$28.3KCut$17K
Lennar Corp2.22K$192.6K0.1%−$35.4KHeld
Tjx Cos Inc New1.18K$188.3K0.1%$7.18KHeld
Ishares Tr1.21K$183.4K0.1%$12.4KHeld
Northern Tr Corp1.3K$181.4K0.1%$3.87KHeld
Ishares Tr1.76K$179.9K0.1%−$510Held
Colgate Palmolive CoCL2.09K$178.1K0.1%$13KHeld
Cummins IncCMI324$174.3K0.1%$8.93KCut−$1.28K
Vanguard Index Fds531$170.3K0.1%−$7.68KCut−$11.7K
First Tr Exchange Traded Fd3.02K$169.8K0.1%−$12.6KCut−$14.1K
Qualcomm Inc1.29K$166.1K0.1%−$54.5KHeld
Allstate Corp798$165.5K0.1%−$647Held
CARRIER GLOBAL CorpCARR2.91K$164K0.1%$10.1KHeld
Emerson Elec Co1.2K$157.2K0.1%−$2.04KHeld
Wisdomtree Tr3.25K$156.5K0.1%−$1.66KHeld
Honeywell Intl Inc689$155.7K0.1%$21.3KHeld
Ishares Tr488$155.2K0.1%−$12.2KHeld
Iron Mtn Inc Del1.5K$153.2K0.1%$28.8KHeld
Philip Morris Intl Inc922$152.4K0.1%$4.56KHeld
Vanguard Growth Etf348$152K0.1%−$17.8KHeld
Danaher Corporation799$151.5K0.1%−$31.4KCut−$39.7K
ConocophillipsCOP1.12K$147.4K0.1%$42.9KCut$30.5K
BlackRock, Inc.BLK149$143.3K0.1%−$16.2KHeld
Ishares Tr1.44K$142.6K0.1%−$876Held
Ge Aerospace475$134.8K0.1%−$11.5KHeld
Berkshire Hathaway Inc Del266$127.5K0.1%−$6.24KCut−$14.3K
Darden Restaurants IncDRI650$127.4K0.1%$7.81KHeld
Dominion Energy, IncD2K$123.6K0.0%$6.46KHeld
Chubb Limited378$123.2K0.0%$5.22KCut$3.35K
First Internet Bancorp6K$122.3K0.0%−$2.94KHeld
German Amern Bancorp Inc2.86K$119.6K0.0%$7.47KHeld
First Busey Corp4.57K$115.5K0.0%$6.76KHeld
Nucor CorpNUE682$115.3K0.0%$4.08KHeld
Norfolk Southn Corp400$114.8K0.0%−$688Held
Cms Energy Corp1.41K$109K0.0%$10.7KCut$5.5K
Citizens Finl Group Inc1.8K$107.9K0.0%$2.81KHeld
Ecolab Inc.ECL400$106.4K0.0%$1.4KCut−$4.38K
Packaging Corp Amer500$106.1K0.0%$3KHeld
First Tr Inter Duratn Pfd &5.93K$104.6K0.0%−$5.99KCut−$41.6K
GE Vernova Inc.GEV114$99.5K0.0%$25KHeld
First Tr Exchange-Traded Fd1.88K$95.3K0.0%$12.1KHeld
Ishares Inc1.33K$92.6K0.0%$3.28KAdded$5.37K
Novartis Ag599$91.5K0.0%$8.91KHeld
Morgan Stanley554$91.2K0.0%−$7.18KHeld
Automatic Data Processing In444$90.2K0.0%−$24KCut−$26.6K
Travelers Companies, Inc.TRV300$87.5K0.0%$486Cut−$14.3K
Ishares Tr600$86.8K0.0%$2.13KHeld
Prudential Finl Inc841$82.2K0.0%−$7.94KAdded$23.1K
Evergy, Inc.EVRG1K$81.9K0.0%$9.43KHeld
Otis Worldwide CorpOTIS1.06K$81.9K0.0%−$10.7KAdded−$8.72K
Taiwan Semiconductor Mfg Ltd238$80.4K0.0%$8.11KHeld
Starbucks CorpSBUX886$79.4K0.0%$4.77KCut−$2.14K
Rayonier IncRYN3.63K$74.9K0.0%−$3.74KHeld
Simon Ppty Group Inc New400$74.6K0.0%$568Held
Williams Cos Inc1K$72.8K0.0%$12.7KHeld
Comcast Corp New2.38K$68.5K0.0%−$2.81KCut−$193K
NIKE, Inc.NKE1.29K$68K0.0%−$14KCut−$40.5K
Conagra Brands Inc.CAG4.17K$65.6K0.0%−$6.64KHeld
Spdr Series Trust1.16K$65.5K0.0%−$266Held
Everest Group, Ltd.EG200$65.4K0.0%−$2.5KHeld
Micron Technology IncMU188$63.5K0.0%$9.86KHeld
Ishares Gold Tr715$63K0.0%$5KHeld
DuPont de Nemours, Inc.DD1.34K$61.3K0.0%$7.49KHeld
Amgen IncAMGN173$60.9K0.0%$4.25KCut$2.28K
Oneok Inc /New/OKE667$60.3K0.0%$11.3KHeld
Diamondback Energy, Inc.FANG300$59.3K0.0%$14.2KHeld
Vanguard Mun Bd Fds1.18K$58.6K0.0%−$310Added$19.6K
Citigroup Inc513$58.2K0.0%−$1.68KHeld
Lamb Weston Hldgs Inc1.36K$57.6K0.0%$505Held
Cardinal Health IncCAH250$52.8K0.0%$1.45KHeld
General Mtrs Co700$52.1K0.0%−$4.77KHeld
Eaton Corp PlcETN145$51.9K0.0%$5.68KHeld
Pinnacle West Cap Corp500$50.4K0.0%$6.02KHeld
C. H. Robinson Worldwide, Inc.CHRW300$49.8K0.0%$1.59KHeld
Spdr Series Trust887$47K0.0%−$1.78KAdded$15.3K
Toronto Dominion Bk Ont500$46.7K0.0%−$445Held
General Mls IncGIS1.25K$46.6K0.0%−$11.6KCut−$24.2K
Applied Matls Inc136$46.5K0.0%$11.5KHeld
Constellation Energy CorpCEG166$46.4K0.0%−$12.3KHeld
Schwab Charles Corp473$44.5K0.0%−$2.8KCut−$30.5K
Blackstone Inc.BX380$43.7K0.0%−$14.9KCut−$25.8K
Eversource EnergyES600$41.6K0.0%$1.17KHeld
Avalonbay Cmntys Inc250$40.8K0.0%−$4.49KHeld
Ameriprise Finl Inc90$40K0.0%−$4.14KHeld
Slb Limited/NvSLB753$38.7K0.0%$9.8KHeld
Atmos Energy CorpATO200$36.9K0.0%$3.42KHeld
Ishares Tr767$35.4K0.0%−$268Held
Metlife Inc500$35.4K0.0%−$4.11KHeld
Cigna GroupCI129$34.4K0.0%−$1.09KHeld
Dte Energy Co235$34.4K0.0%$4.05KHeld
Smucker J M Co350$33.8K0.0%−$480Cut−$5.37K
Old Natl Bancorp Ind1.5K$33.1K0.0%−$315Held
Cvs Health CorpCVS450$32.3K0.0%−$3.39KCut−$7.36K
Kimberly Clark CorpKMB330$31.8K0.0%−$1.46KHeld
Analog Devices IncADI99$31.5K0.0%$4.65KCut$308
Dell Technologies Inc.DELL187$30.7K0.0%$7.15KHeld
Deere & CoDE54$30.4K0.0%$5.28KCut−$1.24K
Millrose Pptys Inc1.06K$29.7K0.0%−$1.98KCut−$3.47K
Advanced Micro Devices IncAMD142$28.9K0.0%−$1.52KHeld
Halliburton CoHAL700$27.3K0.0%$7.51KHeld
Invesco Exchange Traded Fd T185$26.8K0.0%$1.21KHeld
Netflix IncNFLX270$26K0.0%$646Held
Ishares Tr702$25.9K0.0%−$389Held
Molson Coors Beverage Co600$25.8K0.0%−$2.17KHeld
Booking Holdings Inc.BKNG6$25.3K0.0%−$6.87KHeld
Exelon CorpEXC500$24.5K0.0%$2.71KHeld
Mckesson CorpMCK28$24.2K0.0%$1.26KHeld
Yum Brands IncYUM155$24.1K0.0%$651Held
Dollar Gen Corp New202$24K0.0%−$2.84KCut−$11.3K
Oreilly Automotive Inc255$23.5K0.0%$280Held
Midland States Bancorp Inc1.03K$23.1K0.0%$1.18KHeld
Howmet Aerospace Inc.HWM100$23K0.0%$2.54KHeld
Price T Rowe Group IncTROW250$22.5K0.0%−$3.06KHeld
T-Mobile Us Inc105$22.1K0.0%$734Held
Autozone IncAZO6$20.3K0.0%−$82Held
Ishares Tr140$19.9K0.0%−$877Held
Goldman Sachs Group Inc23$19.5K0.0%−$759Held
Ishares Tr192$18K0.0%−$451Cut−$6.23K
Capital One Finl Corp97$17.7K0.0%−$5.81KCut−$61.3K
Schwab Strategic Tr596$17.3K0.0%$358Held
Asml Holding N V13$17.2K0.0%$3.26KHeld
Baxter Intl Inc1K$16.8K0.0%−$2.31KHeld
Medtronic PlcMDT191$16.6K0.0%−$1.8KCut−$21K
Masco Corp271$16.4K0.0%−$838Held
Microchip Technology Inc.250$16.2K0.0%$223Held
Eastman Chem Co200$15.3K0.0%$2.5KHeld
Gsk Plc252$13.9K0.0%$1.55KHeld
V F CorpVFC800$13.6K0.0%−$872Held
Ally Finl Inc342$13.4K0.0%−$2.07KCut−$11.1K
Cbre Group, Inc.CBRE99$13.4K0.0%−$2.51KHeld
Occidental Pete Corp200$13K0.0%$4.78KHeld
Freeport-Mcmoran IncFCX217$12.8K0.0%$1.73KHeld
Phillips 66PSX69$12.6K0.0%$3.67KHeld
Ishares Tr183$12.4K0.0%$280Cut−$123.2K
Melco Resorts And Entmnt Ltd2K$11.4K0.0%−$3.78KHeld
Warner Bros. Discovery, Inc.WBD384$10.5K0.0%−$523Held
3M COMMM72$10.5K0.0%−$1.07KHeld
ServiceNow, Inc.NOW100$10.5K0.0%−$2.43KAdded$2.79K
Intuitive Surgical IncISRG22$10.1K0.0%−$2.32KHeld
Eog Res Inc69$9.97K0.0%$2.73KCut−$9.56K
National Fuel Gas CoNFG100$9.4K0.0%$1.39KHeld
Centerpoint Energy IncCNP200$8.63K0.0%$964Held
Boeing Co42$8.36K0.0%−$760Held
Vanguard Index Fds35$7.6K0.0%$191Held
Tesla, Inc.TSLA20$7.43K0.0%−$1.56KCut−$24K
Vanguard Index Fds36$7.06K0.0%$187Held
World Gold Tr72$6.67K0.0%$527Held
Dnp Select Income Fd Inc644$6.63K0.0%$44Added$5.19K
Equifax IncEFX35$6.3K0.0%−$1.29KHeld
Gilead Sciences, Inc.GILD42$5.85K0.0%$699Cut−$3.6K
Dow Inc.DOW136$5.66K0.0%$2.48KHeld
Northrop Grumman Corp8$5.46K0.0%$896Held
Enbridge Inc100$5.41K0.0%$631Held
Adobe Inc.ADBE21$5.11K0.0%−$2.25KHeld
Ishares Tr42$5.08K0.0%−$239Held
Capital Group Dividend Value111$4.72K0.0%−$122Held
Capital Group Growth Etf105$4.22K0.0%−$449Held
Vanguard Index Fds21$3.87K0.0%$145Held
Corteva, Inc.CTVA40$3.35K0.0%$667Held
Zimmer Biomet Holdings, Inc.ZBH37$3.35K0.0%$19Held
Vanguard Index Fds13$3.35K0.0%−$283Held
Air Prods & Chems Inc10$2.9K0.0%$435Cut−$553
Organon & Co.OGN450$2.7K0.0%−$531Held
Illinois Tool Wks Inc10$2.6K0.0%$140Held
Carnival Corp Ltd.CCL100$2.59K0.0%−$466Held
Direxion Shs Etf Tr15$2.49K0.0%$100Held
Viatris IncVTRS182$2.46K0.0%$193Held
Norwegian Cruise Line Hldg L100$1.87K0.0%−$362Held
United Parcel Service IncUPS18$1.77K0.0%−$15Cut−$1.11K
Newsmax Inc.NMAX206$1.07K0.0%−$517Held
Occidental Pete Corp25$1.07K0.0%$591Held
Skyworks Solutions, Inc.SWKS20$1.07K0.0%−$197Held
Ready Capital Corp520$8420.0%−$292Held
Ge Healthcare Technologies I2$1420.0%−$22Held
Solventum CorpSOLV2$1310.0%−$27Held
Riddell National Bank Stock200$10.0%$0Held
United Dev Funding Xxx520$00.0%$0Held
Walgreens Boots Alliance1.8K$00.0%$0Held

Positions as of Q1 2026. 13F filings arrive up to 45 days after quarter-end and omit shorts. Values are quarter-end marks, as filed. Estimated mark is the price effect on shares still held — not realized P&L or investment advice.