FCHI8,141.92-0.19%
GDAXI24,083.53-0.19%
DJI49,152.65-0.16%
XLE56.76-0.18%
STOXX50E5,860.32-0.39%
XLF51.780.69%
FTSE10,321.09-0.56%
IXIC24,869.040.13%
RUT2,788.220.04%
GSPC7,172.230.10%
Temp29.3°C
UV12.5
Feels33.3°C
Humidity66%
Wind13.7 km/h
Air QualityAQI 1
Cloud Cover25%
Rain0%
Sunrise06:00 AM
Sunset06:47 PM
Time12:25 PM

Institutional Manager · CIK 0001993352

INSPIRE TRUST CO, N.A.

RENO, NV · File #028-23958

Latest AUM
$609.4M
Positions
110
Top-10 Concentration
36.1%
Filings
8

Portfolio Value Over Time

2024-03
2024-06
2024-12
2024-12
2025-03
2025-06
2025-09
2025-12

Biggest QoQ Changes

Ranked by conviction flow (share change × current price) so mark-to-market moves don't dominate. Price effect column shows how much of the $ change was just the stock moving.

ActionIssuerTicker / CUSIPΔ SharesFlow ($)Price Effect
NEWSPDR SER TR PORTFOLIO S&P40078464A847+124,891+$7.2M$0
EXITEDSPDR S&P MIDCAP 400 ETF TR UTSE78467Y107-12,000-$7.2M$0
ADDVISA INC. CLASS AV+13,520+$4.7M+$121,290
EXITEDELECTRONIC ARTS INC COM285512109-23,000-$4.6M$0
NEWSTARBUCKS CORP COMSBUX+55,000+$4.6M$0
ADDISHARES CORE MSCI EMERGING46434G103+54,171+$3.6M+$305,500
ADDMICROSOFT CORP.MSFT+7,052+$3.4M-$929,862
ADDISHARES TR CORE MSCI EAFE46432F842+32,211+$2.9M+$430,000
ADDAMAZON.COM INC.AMZN+10,579+$2.4M+$319,826
ADDRH COMRH+13,500+$2.4M-$120,050

Sector Allocation

Technology
12.2%$74.3M
Industrials
8.0%$49.1M
Healthcare
5.6%$34.3M
Financials
5.5%$33.4M
Energy
3.4%$20.7M
Real Estate
2.6%$15.7M
Materials
1.9%$11.4M
Utilities
1.3%$8.1M

Filing History

Top 20 Holdings — Dec 2025

#IssuerTickerSharesValue% of Portfolio
1ISHARES TR CORE MSCI EAFE46432F842232,211$20.8M4.84%
2ISHARES CORE MSCI EMERGING46434G103289,171$19.4M4.53%
3BROADCOM INC.AVGO49,121$17.0M3.96%
4MICROSOFT CORP.MSFT34,138$16.5M3.85%
5ALPHABET INC. CLASS CGOOG51,561$16.2M3.77%
6APPLE INC.AAPL57,586$15.7M3.65%
7ISHARES TR S&P SML 600 GWT46428788798,000$13.8M3.23%
8NEXTERA ENERGY INC.NEE-PW156,000$12.5M2.92%
9RAYTHEON TECHNOLOGIES CORP.RTX64,600$11.8M2.76%
10CHEVRON CORP.CVX73,500$11.2M2.61%
11TAIWAN SEMICONDUCTOR MFG LTD AD87403910035,000$10.6M2.48%
12JPMORGAN CHASE & CO.VYLD33,000$10.6M2.48%
13CHUBB LIMITED COMCB33,100$10.3M2.41%
14VANGUARD INDEX FDS MCAP GR IDXV92290853836,500$10.2M2.38%
15VISA INC. CLASS AV26,520$9.3M2.17%
16AMAZON.COM INC.AMZN39,008$9.0M2.10%
17CITIGROUP INC COM NEWC-PR70,000$8.2M1.90%
18JOHNSON CTLS INTL PLC SHSG5150210565,000$7.8M1.81%
19ORACLE CORP.ORCL-PD38,000$7.4M1.73%
20TARGET CORP COMTGT74,000$7.2M1.69%