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.
| Action | Issuer | Ticker / CUSIP | Δ Shares | Flow ($) | Price Effect |
|---|---|---|---|---|---|
| NEW | SPDR SER TR PORTFOLIO S&P400 | 78464A847 | +124,891 | +$7.2M | $0 |
| EXITED | SPDR S&P MIDCAP 400 ETF TR UTSE | 78467Y107 | -12,000 | -$7.2M | $0 |
| ADD | VISA INC. CLASS A | V | +13,520 | +$4.7M | +$121,290 |
| EXITED | ELECTRONIC ARTS INC COM | 285512109 | -23,000 | -$4.6M | $0 |
| NEW | STARBUCKS CORP COM | SBUX | +55,000 | +$4.6M | $0 |
| ADD | ISHARES CORE MSCI EMERGING | 46434G103 | +54,171 | +$3.6M | +$305,500 |
| ADD | MICROSOFT CORP. | MSFT | +7,052 | +$3.4M | -$929,862 |
| ADD | ISHARES TR CORE MSCI EAFE | 46432F842 | +32,211 | +$2.9M | +$430,000 |
| ADD | AMAZON.COM INC. | AMZN | +10,579 | +$2.4M | +$319,826 |
| ADD | RH COM | RH | +13,500 | +$2.4M | -$120,050 |
Sector Allocation
Filing History
- 13F HOLDINGS REPORTQ/E Dec 2025110 pos · $609.4M
- 13F HOLDINGS REPORTQ/E Sep 2025108 pos · $549.5M
- 13F HOLDINGS REPORTQ/E Jun 2025109 pos · $484.9M
- 13F HOLDINGS REPORTQ/E Mar 2025112 pos · $420.4M
- 13F HOLDINGS REPORTQ/E Dec 2024114 pos · $391.3M
- 13F HOLDINGS REPORTQ/E Dec 2024106 pos · $363.1M
- 13F HOLDINGS REPORTQ/E Jun 2024112 pos · $302.9M
- 13F HOLDINGS REPORTQ/E Mar 2024105 pos · $179.1M
Top 20 Holdings — Dec 2025
| # | Issuer | Ticker | Shares | Value | % of Portfolio |
|---|---|---|---|---|---|
| 1 | ISHARES TR CORE MSCI EAFE | 46432F842 | 232,211 | $20.8M | 4.84% |
| 2 | ISHARES CORE MSCI EMERGING | 46434G103 | 289,171 | $19.4M | 4.53% |
| 3 | BROADCOM INC. | AVGO | 49,121 | $17.0M | 3.96% |
| 4 | MICROSOFT CORP. | MSFT | 34,138 | $16.5M | 3.85% |
| 5 | ALPHABET INC. CLASS C | GOOG | 51,561 | $16.2M | 3.77% |
| 6 | APPLE INC. | AAPL | 57,586 | $15.7M | 3.65% |
| 7 | ISHARES TR S&P SML 600 GWT | 464287887 | 98,000 | $13.8M | 3.23% |
| 8 | NEXTERA ENERGY INC. | NEE-PW | 156,000 | $12.5M | 2.92% |
| 9 | RAYTHEON TECHNOLOGIES CORP. | RTX | 64,600 | $11.8M | 2.76% |
| 10 | CHEVRON CORP. | CVX | 73,500 | $11.2M | 2.61% |
| 11 | TAIWAN SEMICONDUCTOR MFG LTD AD | 874039100 | 35,000 | $10.6M | 2.48% |
| 12 | JPMORGAN CHASE & CO. | VYLD | 33,000 | $10.6M | 2.48% |
| 13 | CHUBB LIMITED COM | CB | 33,100 | $10.3M | 2.41% |
| 14 | VANGUARD INDEX FDS MCAP GR IDXV | 922908538 | 36,500 | $10.2M | 2.38% |
| 15 | VISA INC. CLASS A | V | 26,520 | $9.3M | 2.17% |
| 16 | AMAZON.COM INC. | AMZN | 39,008 | $9.0M | 2.10% |
| 17 | CITIGROUP INC COM NEW | C-PR | 70,000 | $8.2M | 1.90% |
| 18 | JOHNSON CTLS INTL PLC SHS | G51502105 | 65,000 | $7.8M | 1.81% |
| 19 | ORACLE CORP. | ORCL-PD | 38,000 | $7.4M | 1.73% |
| 20 | TARGET CORP COM | TGT | 74,000 | $7.2M | 1.69% |