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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

INSPIRE TRUST CO, N.A.

Quarter ended Q4 2025 · Filed February 10, 2026 · Accession 0001993352-26-000001

Total Value
$609.4M
Positions
110
Other Managers
0
Confidential Omitted
No
View on SEC.gov

Holdings (110)

#IssuerTicker / CUSIPSharesValue% of Filing
1ISHARES TR CORE MSCI EAFE46432F842232,211$20.8M3.41%
2ISHARES CORE MSCI EMERGING46434G103289,171$19.4M3.19%
3BROADCOM INC.AVGO49,121$17.0M2.79%
4MICROSOFT CORP.MSFT34,138$16.5M2.71%
5ALPHABET INC. CLASS CGOOG51,561$16.2M2.65%
6APPLE INC.AAPL57,586$15.7M2.57%
7ISHARES TR S&P SML 600 GWT46428788798,000$13.8M2.27%
8NEXTERA ENERGY INC.NEE-PW156,000$12.5M2.06%
9RAYTHEON TECHNOLOGIES CORP.RTX64,600$11.8M1.94%
10CHEVRON CORP.CVX73,500$11.2M1.84%
11TAIWAN SEMICONDUCTOR MFG LTD AD87403910035,000$10.6M1.75%
12JPMORGAN CHASE & CO.VYLD33,000$10.6M1.74%
13CHUBB LIMITED COMCB33,100$10.3M1.70%
14VANGUARD INDEX FDS MCAP GR IDXV92290853836,500$10.2M1.67%
15VISA INC. CLASS AV26,520$9.3M1.53%
16AMAZON.COM INC.AMZN39,008$9.0M1.48%
17CITIGROUP INC COM NEWC-PR70,000$8.2M1.34%
18JOHNSON CTLS INTL PLC SHSG5150210565,000$7.8M1.28%
19ORACLE CORP.ORCL-PD38,000$7.4M1.22%
20TARGET CORP COMTGT74,000$7.2M1.19%
21SPDR SER TR PORTFOLIO S&P40078464A847124,891$7.2M1.19%
22BRISTOL-MYERS SQUIBB COMPANYCELG-RI130,000$7.0M1.15%
23WILLIAMS COS INC COM969457100114,500$6.9M1.13%
24UNITEDHEALTH GROUP INC.UNH20,708$6.8M1.12%
25BERKSHIRE HATHAWAY INC. CLASS BBRK-A13,200$6.6M1.09%
26INTERNATIONAL BUSINESS MACHS COINTR22,300$6.6M1.08%
27PROLOGIS INC. COMPLDGP51,000$6.5M1.07%
28FERGUSON ENTERPRISES INCFERG29,000$6.5M1.06%
29WEYERHAEUSER CO MTN BE COM NEWWY272,000$6.4M1.06%
30JOHNSON & JOHNSONJNJ31,000$6.4M1.05%
31MORGAN STANLEY COM NEWMS-PQ36,019$6.4M1.05%
32SEMPRA COMSREA72,000$6.4M1.04%
33CISCO SYSTEMS INC.CSCO80,000$6.2M1.01%
34AT&T INC COMT-PC244,000$6.1M0.99%
35DELTA AIR LINES INC DEL COM NEWDAL87,000$6.0M0.99%
36UBS GROUP AG SHSUBS130,000$6.0M0.99%
37VERIZON COMMUNICATIONS INC.VZ147,000$6.0M0.98%
383M CO COMMMM37,000$5.9M0.97%
39WALT DISNEY COMPANY25468710652,000$5.9M0.97%
40OGE ENERGY CORP COMOGE138,000$5.9M0.97%
41SLB LIMITEDSLB152,500$5.9M0.96%
42TOYOTA MOTOR CORP ADSTOYOF27,000$5.8M0.95%
43JACOBS SOLUTIONS INC COMJ43,500$5.8M0.95%
44TRUIST FINL CORP COM89832Q109116,000$5.7M0.94%
45STATE STR CORP COMSTT-PG44,000$5.7M0.93%
46MEDTRONIC PLC SHSMDT58,500$5.6M0.92%
47UBER TECHNOLOGIES INC COMUBER68,049$5.6M0.91%
48STATE STREET SPDR S&P 500 ETFSPY7,871$5.4M0.88%
49UNION PAC CORP COMUNP22,200$5.1M0.84%
50FIDELITY NATL INFORMATION SVCS31620M10676,000$5.1M0.83%
51COSTCO WHOLESALE CORP.22160K1055,700$4.9M0.81%
52OCCIDENTAL PETE CORP COM674599105119,000$4.9M0.80%
53SHELL PLC SPON ADSRYDAF65,000$4.8M0.78%
54UNITED PARCEL SERVICE INC CL BUPS48,000$4.8M0.78%
55PEPSICO INC.PEP33,000$4.7M0.78%
56ISHARES S&P SMALL-CAP 600 VALUE46428787941,500$4.7M0.77%
57LINDELIN11,000$4.7M0.77%
58T-MOBILE US INC COMTMUSZ23,000$4.7M0.77%
59STARBUCKS CORP COMSBUX55,000$4.6M0.76%
60SALESFORCE INC.CRM17,013$4.5M0.74%
61INTERCONTINENTAL EXCHANGE INC C45866F10427,514$4.5M0.73%
62BOOKING HOLDINGS INC COMBKNG825$4.4M0.72%
63THERMO FISHER SCIENTIFIC INC.TMO7,500$4.3M0.71%
64TJX COS INC87254010928,135$4.3M0.71%
65ADOBE INC.ADBE12,208$4.3M0.70%
66BOEING CO COMBA-PA19,500$4.2M0.69%
67ISHARES SILVER TR ISHARESSLV65,000$4.2M0.69%
68DEVON ENERGY CORP25179M103114,000$4.2M0.69%
69INTERNATIONAL FLAVORS&FRAGRANC45950610161,000$4.1M0.67%
70VANGUARD INTL EQUITY INDEX FDS92204271827,000$3.9M0.64%
71BALL CORP COMBALL72,000$3.8M0.63%
72DEXCOM INC COMDXCM57,039$3.8M0.62%
73FORTINET INC COMFTNT47,500$3.8M0.62%
74PFIZER INC.PFE150,000$3.7M0.61%
75BIOGEN INC COMBIIB20,000$3.5M0.58%
76MOSAIC CO NEW COMMOS139,380$3.4M0.55%
77RH COMRH18,500$3.3M0.54%
78VERISK ANALYTICS INCVRSK14,000$3.1M0.51%
79CLOROX CO DEL COMCLX31,000$3.1M0.51%
80RPM INTERNATIONAL INC74968510330,000$3.1M0.51%
81CONAGRA BRANDS INC COMCAG180,000$3.1M0.51%
82APTIV PLC SHSAPTV40,000$3.0M0.50%
83SIMON PPTY GROUP INC NEW COM82880610915,500$2.9M0.47%
84MADISON SQUARE GRDN SPRT CORP C55825T10311,000$2.8M0.47%
85FREEPORT MCMORANFCX55,000$2.8M0.46%
86GENERAL MLS INC COM37033410460,000$2.8M0.46%
87AMERICAN TOWER CORP NEW COM03027X10015,400$2.7M0.44%
88BARRICK MINING CORPORATION06849F10858,700$2.6M0.42%
89CROWN CASTLE INC COMCCI28,000$2.5M0.41%
90EQUINIX INC COMEQIX3,100$2.4M0.39%
91REALTY INCOME CORP COMO41,000$2.3M0.38%
92DUKE ENERGY CORP NEW COM NEWDUKB19,000$2.2M0.37%
93DOMINION ENERGY INC COMD38,000$2.2M0.37%
94PUBLIC SVC ENTERPRISE GRP INC C74457310627,000$2.2M0.36%
95UDR INC COMUDR56,000$2.1M0.34%
96SPDR SER TR PRTFLO S&P500 GW78464A40918,347$2.0M0.32%
97EOG RES INC COMEOG18,000$1.9M0.31%
98MERCADOLIBRE INCMELI900$1.8M0.30%
99ONEOK INC NEW COMOKE24,000$1.8M0.29%
100IRON MTN INC DEL COM46284V10120,000$1.7M0.27%
101VAIL RESORTS INC COMMTN12,000$1.6M0.26%
102CANADIAN NATURAL RESOURCES13638510135,000$1.2M0.19%
103BLUE OWL CAPITAL INCOWL76,000$1.1M0.19%
104ALEXANDRIA REAL ESTATE01527110923,000$1.1M0.18%
105NOVO-NORDISK A S ADRNONOF20,000$1.0M0.17%
106NVIDIA CORP.NVDA4,539$846,5240.14%
107FMC CORP COM NEWFMC40,000$554,8000.09%
108ISHARES CORE U.S. AGGREGATE BON4642872264,486$448,0620.07%
109META PLATFORMS INC. CLASS AMETA451$297,7010.05%
110ISHARES TR CORE S&P MCP ETF4642875073,761$248,2260.04%