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VOL. XII · NO. 117Established MMXIV · George Town, Grand CaymanAtlantic Edition · $4.50

The Cayman Journal

Finance · Business · Technology · Caribbean & Global Affairs
13F HOLDINGS REPORT

Columbia Trust Co 01012016

Quarter ended Q1 2023 · Filed February 14, 2023 · Accession 0001420506-23-000640

Total Value
$179.4M
Positions
235
Other Managers
0
Confidential Omitted
No
View on SEC.gov

Holdings (235)

#IssuerTicker / CUSIPSharesValue% of Filing
1ISHARES U S ETF TR46431W507274,735$13.5M7.55%
2ISHARES TR46429B267377,471$8.6M4.78%
3APPLE INCAAPL63,987$8.3M4.63%
4MICROSOFT CORPMSFT32,607$7.8M4.36%
5ISHARES INC46434G76496,624$4.6M2.56%
6ISHARES INC46434G10393,125$4.3M2.42%
7ISHARES TR46432F84266,831$4.1M2.30%
8GENERAL MLS INC37033410447,372$4.0M2.21%
9ISHARES TR46428759821,741$3.3M1.84%
10ALPHABET INCGOOG37,122$3.3M1.83%
11CHEVRON CORP NEWCVX16,812$3.0M1.68%
12ISHARES TR46428857040,900$2.9M1.64%
13JPMORGAN CHASE & COVYLD21,288$2.9M1.59%
14UNITEDHEALTH GROUP INCUNH4,917$2.6M1.45%
15JOHNSON & JOHNSONJNJ14,368$2.5M1.41%
16THERMO FISHER SCIENTIFIC INCTMO3,729$2.1M1.14%
17DEERE & CODE4,771$2.0M1.14%
18NVIDIA CORPORATIONNVDA13,979$2.0M1.14%
19NIKE INCNKE17,333$2.0M1.13%
20ISHARES TR4642876149,239$2.0M1.10%
21VISA INCV9,431$2.0M1.09%
22BLACKROCK INCBLK2,611$1.9M1.03%
23MERCK & CO INCMRK16,393$1.8M1.01%
24LAM RESEARCH CORPLRCX4,230$1.8M0.99%
25HOME DEPOT INCHD5,611$1.8M0.99%
26ISHARES TR46428780418,385$1.7M0.97%
27MCDONALDS CORPMCD6,434$1.7M0.95%
28PARKER-HANNIFIN CORPPH5,816$1.7M0.94%
29CATERPILLAR INCCAT6,783$1.6M0.91%
30AIR PRODS & CHEMS INCAIIR5,261$1.6M0.90%
31BANK AMERICA CORP06050510448,955$1.6M0.90%
32COSTCO WHSL CORP NEW22160K1053,376$1.5M0.86%
33UNITED RENTALS INCURI3,970$1.4M0.79%
34AMAZON COM INCAMZN16,381$1.4M0.77%
35VERIZON COMMUNICATIONS INCVZ34,665$1.4M0.76%
36PEPSICO INCPEP7,539$1.4M0.76%
37ISHARES TR46428841412,702$1.3M0.75%
38ISHARES TR4642872003,473$1.3M0.74%
39PNC FINL SVCS GROUP INC6934751058,073$1.3M0.71%
40STRYKER CORPORATIONSYK4,717$1.2M0.64%
41CONOCOPHILLIPSCOP9,728$1.1M0.64%
42ZIONS BANCORPORATION N A98970110723,324$1.1M0.64%
43HCA HEALTHCARE INCHCA4,753$1.1M0.64%
44ALLSTATE CORPALL-PJ8,345$1.1M0.63%
45EDWARDS LIFESCIENCES CORPEW14,550$1.1M0.61%
46SPDR S&P 500 ETF TRSPY2,833$1.1M0.60%
47PROCTER AND GAMBLE CO7427181096,998$1.1M0.59%
48MORGAN STANLEYMS-PQ12,434$1.1M0.59%
49STARBUCKS CORPSBUX10,519$1.0M0.58%
50VANGUARD MUN BD FDS92290774620,430$1.0M0.56%
51CUMMINS INCCMI4,044$980,0000.55%
52OUTSET MED INCOM37,958$980,0000.55%
53PHILLIPS 66PSX9,344$973,0000.54%
54PALO ALTO NETWORKS INCPANW6,370$889,0000.50%
55PPG INDS INC6935061076,958$875,0000.49%
56NORFOLK SOUTHN CORP6558441083,538$872,0000.49%
57SERVICENOW INCNOW2,208$857,0000.48%
58NEXTERA ENERGY INCNEE-PW10,243$856,0000.48%
59DISNEY WALT CO2546871069,638$837,0000.47%
60LOCKHEED MARTIN CORPLMT1,696$825,0000.46%
61LAUDER ESTEE COS INC5184391043,317$823,0000.46%
62BERKSHIRE HATHAWAY INC DELBRK-A2,575$795,0000.44%
63REGENERON PHARMACEUTICALSREGN1,092$788,0000.44%
64SALESFORCE INCCRM5,911$784,0000.44%
65INTUITIVE SURGICAL INCISRG2,904$771,0000.43%
66CITIGROUP INCC-PR16,802$760,0000.42%
67ISHARES TR46428760611,061$755,0000.42%
68ADOBE SYSTEMS INCORPORATEDADBE2,185$735,0000.41%
69ISHARES TR4642882818,624$730,0000.41%
70TARGET CORPTGT4,791$714,0000.40%
71AMGEN INCAMGN2,647$695,0000.39%
72DOW INCDOW13,752$693,0000.39%
73PUBLIC STORAGEPSA-PS2,460$689,0000.38%
74ACCENTURE PLC IRELANDACN2,582$689,0000.38%
75ISHARES TR4642876553,936$686,0000.38%
76AUTODESK INCADSK3,525$659,0000.37%
77EXXON MOBIL CORPXOM5,814$641,0000.36%
78BADGER METER INCBMI5,823$635,0000.35%
79ISHARES TR4642874659,402$617,0000.34%
80DATADOG INCDDOG8,355$614,0000.34%
81LULULEMON ATHLETICA INCLULU1,873$600,0000.33%
82ISHARES TR4642872266,154$597,0000.33%
83CANADIAN PAC RY LTD13645T1007,384$551,0000.31%
84APPLE INCAAPL4,177$543,0000.30%
85BECTON DICKINSON & COBDX2,137$543,0000.30%
86TYSON FOODS INCTSN8,251$514,0000.29%
87FIRST TR EXCHANGE-TRADED FD33739Q4088,261$491,0000.27%
88PROCTER AND GAMBLE CO7427181093,165$480,0000.27%
89UNION PAC CORPUNP2,303$477,0000.27%
90BOEING COBA-PA2,506$477,0000.27%
91ISHARES TR4642874657,200$473,0000.26%
92MICROSOFT CORPMSFT1,952$468,0000.26%
93ISHARES TR4642875071,918$464,0000.26%
94PROLOGIS INC.PLDGP4,111$463,0000.26%
95NETFLIX INCNFLX1,540$454,0000.25%
96ABBOTT LABSABLZF4,056$445,0000.25%
97CROWN CASTLE INCCCI3,198$434,0000.24%
98LISTED FD TR53656F80514,247$434,0000.24%
99MONDELEZ INTL INC6092071056,478$432,0000.24%
100ABBVIE INCABBV2,599$420,0000.23%
101CISCO SYS INCCSCO8,791$419,0000.23%
102EXXON MOBIL CORPXOM3,800$419,0000.23%
103ISHARES U S ETF TR46431W5078,440$416,0000.23%
104JOHNSON & JOHNSONJNJ2,277$402,0000.22%
105L3HARRIS TECHNOLOGIES INCLHX1,932$402,0000.22%
106PEPSICO INCPEP2,225$402,0000.22%
107SPDR SER TR78464A47413,122$386,0000.22%
108PFIZER INCPFE7,498$384,0000.21%
109ISHARES TR46434V1007,969$381,0000.21%
110LILLY ELI & COLLY1,031$377,0000.21%
111CROWDSTRIKE HLDGS INCCRWD3,516$370,0000.21%
112BOOKING HOLDINGS INCBKNG182$367,0000.20%
113ISHARES TR4642878793,907$357,0000.20%
114PUBLIC SVC ENTERPRISE GRP IN7445731065,779$354,0000.20%
115ISHARES TR4642877053,431$346,0000.19%
116FEDEX CORPFDX1,996$346,0000.19%
117ISHARES TR4642871682,850$344,0000.19%
118ALPHABET INCGOOG3,713$329,0000.18%
119PAYPAL HLDGS INCPYPL4,591$327,0000.18%
120AUTOMATIC DATA PROCESSING INADP1,325$316,0000.18%
121TEXAS INSTRS INC8825081041,910$316,0000.18%
122VEEVA SYS INCVEEV1,946$314,0000.18%
123UNION PAC CORPUNP1,490$309,0000.17%
124EATON CORP PLCETN1,962$308,0000.17%
125JOHNSON CTLS INTL PLCG515021054,804$307,0000.17%
126ISHARES TR4642878872,823$305,0000.17%
127AMERICAN EXPRESS COAXP2,049$303,0000.17%
128NUCOR CORPNUE2,193$289,0000.16%
129CHEVRON CORP NEWCVX1,557$279,0000.16%
130GOLDMAN SACHS ETF TRNVGLF5,935$262,0000.15%
131TORONTO DOMINION BK ONTTORO3,880$251,0000.14%
132HONEYWELL INTL INC4385161061,137$244,0000.14%
133INTERNATIONAL BUSINESS MACHSINTR1,693$239,0000.13%
134ISHARES TR4642877213,200$238,0000.13%
135ISHARES INC46434G1035,059$236,0000.13%
136COLGATE PALMOLIVE COCL3,000$236,0000.13%
137M & T BK CORP55261F1041,613$234,0000.13%
138MARSH & MCLENNAN COS INC5717481021,407$233,0000.13%
1393M COMMM1,900$228,0000.13%
140ABBOTT LABSABLZF2,026$222,0000.12%
141TORO COTORO1,913$217,0000.12%
142WALMART INCWMT1,486$211,0000.12%
143VANGUARD INDEX FDS9229085532,461$203,0000.11%
144CHUBB LIMITEDCB907$200,0000.11%
145CONSTELLATION BRANDS INCSTZ837$194,0000.11%
146DANAHER CORPORATION235851102705$187,0000.10%
147AUTOMATIC DATA PROCESSING INADP712$170,0000.09%
1483M COMMM1,350$162,0000.09%
149JPMORGAN CHASE & COVYLD1,204$161,0000.09%
150DANAHER CORPORATION235851102599$159,0000.09%
151GENERAL MLS INC3703341041,850$155,0000.09%
152ALPHABET INCGOOG1,720$152,0000.08%
153ABBVIE INCABBV886$143,0000.08%
154RAYTHEON TECHNOLOGIES CORPRTX1,216$123,0000.07%
155PFIZER INCPFE2,364$121,0000.07%
156CISCO SYS INCCSCO2,527$120,0000.07%
157ISHARES INC46434G7642,498$119,0000.07%
158STRYKER CORPORATIONSYK450$110,0000.06%
159ISHARES TR46429B2674,770$108,0000.06%
160RAYTHEON TECHNOLOGIES CORPRTX900$91,0000.05%
161PARKER-HANNIFIN CORPPH297$86,0000.05%
162UNITEDHEALTH GROUP INCUNH160$85,0000.05%
163BLACKROCK INCBLK116$82,0000.05%
164BANK AMERICA CORP0605051042,371$79,0000.04%
165THERMO FISHER SCIENTIFIC INCTMO128$70,0000.04%
166AIR PRODS & CHEMS INCAIIR222$68,0000.04%
167MONDELEZ INTL INC6092071051,000$67,0000.04%
168CATERPILLAR INCCAT251$60,0000.03%
169DEERE & CODE132$57,0000.03%
170VERIZON COMMUNICATIONS INCVZ1,441$57,0000.03%
171DISNEY WALT CO254687106650$56,0000.03%
172LAM RESEARCH CORPLRCX134$56,0000.03%
173LAUDER ESTEE COS INC518439104219$54,0000.03%
174ISHARES TR464287655300$52,0000.03%
175MERCK & CO INCMRK464$51,0000.03%
176HCA HEALTHCARE INCHCA190$46,0000.03%
177UNITED RENTALS INCURI128$45,0000.03%
178BERKSHIRE HATHAWAY INC DELBRK-A140$43,0000.02%
179MCDONALDS CORPMCD165$43,0000.02%
180PNC FINL SVCS GROUP INC693475105264$42,0000.02%
181NVIDIA CORPORATIONNVDA285$42,0000.02%
182MORGAN STANLEYMS-PQ497$42,0000.02%
183VISA INCV200$42,0000.02%
184HOME DEPOT INCHD123$39,0000.02%
185REGENERON PHARMACEUTICALSREGN53$38,0000.02%
186INTUITIVE SURGICAL INCISRG135$36,0000.02%
187PROLOGIS INC.PLDGP311$35,0000.02%
188ZIONS BANCORPORATION N A989701107720$35,0000.02%
189AMAZON COM INCAMZN400$34,0000.02%
190TARGET CORPTGT210$31,0000.02%
191CITIGROUP INCC-PR654$30,0000.02%
192COSTCO WHSL CORP NEW22160K10565$30,0000.02%
193PHILLIPS 66PSX292$30,0000.02%
194NORFOLK SOUTHN CORP655844108122$30,0000.02%
195PPG INDS INC693506107227$29,0000.02%
196NIKE INCNKE250$29,0000.02%
197STARBUCKS CORPSBUX275$27,0000.02%
198SALESFORCE INCCRM200$27,0000.02%
199EDWARDS LIFESCIENCES CORPEW350$26,0000.01%
200AUTODESK INCADSK140$26,0000.01%
201BECTON DICKINSON & COBDX100$25,0000.01%
202PUBLIC STORAGEPSA-PS84$24,0000.01%
203GERON CORPGERN10,000$24,0000.01%
204CUMMINS INCCMI100$24,0000.01%
205PALO ALTO NETWORKS INCPANW165$23,0000.01%
206SERVICENOW INCNOW55$21,0000.01%
207TYSON FOODS INCTSN308$19,0000.01%
208CONOCOPHILLIPSCOP160$19,0000.01%
209LULULEMON ATHLETICA INCLULU55$18,0000.01%
210NEXTERA ENERGY INCNEE-PW200$17,0000.01%
211ALLSTATE CORPALL-PJ125$17,0000.01%
212CROWN CASTLE INCCCI125$17,0000.01%
213ADOBE SYSTEMS INCORPORATEDADBE50$17,0000.01%
214NETFLIX INCNFLX55$16,0000.01%
215LOCKHEED MARTIN CORPLMT33$16,0000.01%
216ACCENTURE PLC IRELANDACN55$15,0000.01%
217DATADOG INCDDOG175$13,0000.01%
218DOW INCDOW257$13,0000.01%
219M & T BK CORP55261F10480$12,0000.01%
220PUBLIC SVC ENTERPRISE GRP IN744573106203$12,0000.01%
221NUCOR CORPNUE92$12,0000.01%
222CROWDSTRIKE HLDGS INCCRWD100$11,0000.01%
223VEEVA SYS INCVEEV65$10,0000.01%
224ISHARES U S ETF TR46431W507176$9,0000.01%
225ISHARES TR46429B267359$8,0000.00%
226ISHARES TR46428828191$8,0000.00%
227MARSH & MCLENNAN COS INC57174810248$8,0000.00%
228COLGATE PALMOLIVE COCL100$8,0000.00%
229L3HARRIS TECHNOLOGIES INCLHX35$7,0000.00%
230AMERICAN EXPRESS COAXP41$6,0000.00%
231CONSTELLATION BRANDS INCSTZ26$6,0000.00%
232INTERNATIONAL BUSINESS MACHSINTR46$6,0000.00%
233BOEING COBA-PA26$5,0000.00%
234FEDEX CORPFDX22$4,0000.00%
235ISHARES INC46434G76411$1,0000.00%