Fund HoldingsTOWER TRUST & INVESTMENT Co

Total Portfolio Value
$164.80M
Total Bought
$6.28M
Total Sold
$20.06M
Net Transaction
-$13.79M
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
ADVANCED MICRO DEVICES INC COM(AMD)07,655+7,65504,4472.70%+4,447
APPLE INC(AAPL)069,038+69,038019,97612.12%+19,976
NVIDIA CORP(NVDA)066,673+66,673013,3418.09%+13,341
BROADCOM INC COM(AVGO)08,686+8,68603,2811.99%+3,281
PALO ALTO NETWORKS(PANW)07,894+7,89402,6921.63%+2,692
ALPHABET INC CLASS C(GOOG)018,958+18,95806,6984.06%+6,698
KLA-TENCOR CORP COM(KLAC)8027,456+6,6541,1812,2491.36%+1,069
ALPHABET INC CLASS A(GOOG)013,083+13,08304,6752.84%+4,675
CATERPILLAR INC(CAT)2,3212,197-1241,6442,3401.42%+695
AMAZON COM INC(AMZN)023,525+23,52505,6073.40%+5,607
DEERE & CO(DE)7621,562+8004299910.60%+562
GOLDMAN SACHS GROUP INC COM(GS)28478+450244830.29%+460
CVS HEALTH CORPORATION(CVS)015,165+15,16501,5690.95%+1,569
CITIGROUP INC COM NEW(C)011,715+11,71501,6400.99%+1,640
CISCO SYSTEMS INC(CSCO)16,92913,693-3,2361,3131,6080.98%+295
JPMORGAN CHASE & CO(JPM)013,774+13,77404,5082.74%+4,508
ELI LILLY & CO(LLY)0992+99201,1900.72%+1,190
ANALOG DEVICES INC(ADI)5,0974,766-3311,6211,8931.15%+271
ISHARES INC CORE MSCI EMKT
CORE MSCI EMKT
5,8257,918+2,0934066560.40%+250
VANGUARD B TOTAL BOND11,70114,164+2,4638621,0400.63%+178
UNITEDHEALTH GROUP INC(UNH)0970+97004030.24%+403
FIDELITY MSCI INFORMATION TECHNOLOGY INDEX ETF01,657+1,65704730.29%+473
INTEL CORP(INTC)1,2961,305+9571820.11%+125
ISHARES GLOBAL INFRASTRCTUREETF2,9364,626+1,6901973080.19%+111
BOEING CO(BA)05,335+5,33501,1550.70%+1,155
VANGUARD SCOTTSDALE FDS INT-TERM CORP
INT-TERM CORP
9,66610,923+1,2578009030.55%+103
FREEPORT MCMORAN CORP COPPER & GOLD INC CL B(FCX)11,19212,020+8286587560.46%+98
VANGUARD I S&P 500 ETF SHS01,082+1,08207430.45%+743
WP CAREY INC(WPC)01,212+1,2120870.05%+87
EATON CORPORATION COMMON(ETN)3,9943,548-4461,4281,5120.92%+83
BIOGEN IDEC INC(BIIB)2,8682,818-505266090.37%+83
FRANKLIN US EQUITY INDEX ETF
US EQUITY INDEX
01,252+1,2520820.05%+82
BANK OF NEW YORK MELLON2,7392,73903253960.24%+71
DEERE & CO(DE)1,0001,00005636340.38%+71
DUPONT DE NEMOURS INC0513+5130700.04%+70
MICRON TECHNOLOGY INC(MU)8081+127930.06%+66
ISHARES TR CORE MSCI EAFE
CORE MSCI EAFE
18,37017,890-4801,6631,7281.05%+65
VANGUARD INDEX FDS SMALL CP ETF1,7121,680-324485090.31%+61
VANGUARD MID CAP ETF3,03411,519+8,4858719280.56%+57
VANGUARD WORLD FDS INF TECH ETF
INF TECH ETF
01,536+1,53601840.11%+184
CROWDSTRIKE HOLDINGS, INC(CRWD)0126+1260960.06%+96
TAPESTRY INC COM(TPR)4,5004,658+1586356820.41%+47
JOHNSON & JOHNSON(JNJ)4,7624,757-51,1641,2080.73%+44
COCA-COLA CO COM(KO)13,59413,239-3551,0341,0760.65%+42
QCR HOLDINGS INC COM(QCRH)3,4953,49502993400.21%+42
MASTERCARD INC CL A(MA)04,740+4,74002,4341.48%+2,434
QNITY ELECTRONICS INC COMMON STOCK(Q)771776+5891270.08%+38
CUMMINS INC COM(CMI)20020001081430.09%+35
ABBVIE INC USD(ABBV)01,020+1,02002570.16%+257
GRAINGER W W INC COM(GWW)0164+16402230.14%+223
VANGUARD INDEX FDS TTL STK MRKT ETF0552+55202040.12%+204
WELLS FARGO & CO NEW(WFC)08,908+8,90807360.45%+736
INVESCO QQQ TR UNIT SER 10160+16001180.07%+118
YUM BRANDS INC COM(YUM)5,0765,096+207898150.49%+25
PUBLIC STORAGE OPER CO COM(PSA)50650601371610.10%+24
ASML HOLDING NV EUR 0.09
N Y REGISTRY SHS
3132+141640.04%+23
TAIWAN SEMICONDUCTOR(TSM)130135+544640.04%+21
CHIPOTLE MEXICAN GRILL INC(CMG)010,000+10,00003400.21%+340
ALLSTATE CORP(ALL)074+740180.01%+18
TRUMP MEDIA TECHNOLOGY GROUP(DJT)02,137+2,1370170.01%+17
MICROCHIP TECHNOLOGY INC(MCHP)662650-1243590.04%+17
PACCAR INC COM(PCAR)5,4785,388-906336470.39%+14
AMEREN CORPORATION(AEE)4,3614,36104794930.30%+14
BATH & BODY WORKS INC COM012,580+12,58002910.18%+291
JPM BETABUILDERS US EQUITY ETF
BETABUILDRS US
098+980130.01%+13
ISHARES RUSSELL 2000 ETF0250+2500750.05%+75
SPDR S&P MIDCAP 400 ETF TR(MDY)1511510931060.06%+13
DARDEN RESTAURANTS COM(DRI)062+620130.01%+13
TRAVELERS COMPANIES INC(TRV)0308+30801020.06%+102
JPM ACTIVE VALUE ETF
ACTIVE VALUE ETF
0145+1450120.01%+12
HOWMET AEROSPACE INC COM(HWM)292292067790.05%+11
SPDR GOLD MINISHARES TRUST(GLDM)0139+1390110.01%+11
VISA INC COM CL A(V)0246+2460840.05%+84
INTERNATIONAL BUSINESS MACHINES CORP IBM(IBM)0261+2610730.04%+73
SOLSTICE ADVANCED MATLS INC COM SHS(SOLS)860848-1265750.05%+10
SPDR S&P 500 ETF TRUST(SPY)0100+1000750.05%+75
AIRBNB INC059+59080.01%+8
TESLA INC COM(TSLA)6375+1223320.02%+8
GENERAL ELECTRIC CO(GE)086+860320.02%+32
AUTOMATIC DATA PROCESSING INC0350+3500780.05%+78
GE VERNOVA INC COM(GEV)2021+117250.01%+7
VANGUARD GRWTH INDEX0528+5280450.03%+45
ISHARES TR RUSSELL MCP GR0342+3420500.03%+50
VANGUARD SPECIALIZED PORTFOLDIV APP ETF0288+2880680.04%+68
BERKSHIRE HATHAWAY INC DEL CL B NEW0286+28601430.09%+143
SERVICE NOW INC(NOW)058+58060.00%+6
EXCHANGE TRADED CONCEPTS TRUROBO GLB ETF0325+3250280.02%+28
MERCK & CO INC NEW COM(MRK)460468+855600.04%+5
NANO NUCLEAR ENERGY(NNE)0200+200040.00%+4
ISHARES RUSSELL MID CAP INDEX FUND0320+3200350.02%+35
PALANTIR TECHNOLOGIES INC CL A(PLTR)68121+5310140.01%+4
DFA EMERGING MARKETS CORE EQUITY 2
EMERGING MKTS CO
681681024280.02%+4
JPM HEDGED EQ LADDER OVERLAY ETF
HEDG EQU LAD ETF
061+61040.00%+4
JPM FLEXIBLE DEBT ETF
FLEXI DEBT ETF
079+79040.00%+4
ISHARES TR RUSSELL MCP VL190190028310.02%+4
ETSY INC(ETSY)0140+1400110.01%+11
NORTHERN TR CORP COM(NTRS)0101+1010180.01%+18
PROGRESSIVE CORP OHIO(PGR)0156+1560340.02%+34
CARNIVAL CORP LTD
COMMON SHARES
0100+100030.00%+3
NEWSMAX INC COM SHS CLASS B(NMAX)0902+902070.00%+7
Page 1 of 1