First Financial Corp Portfolio Stock Holdings

First Financial Corp disclosed 303 stock positions valued at approximately $254.5 million in its latest SEC 13F filing. The largest holdings include First Financial Corp, Vanguard S&P 500 ETF, and Vanguard Information Technolog. The filing reflects positions held as of March 31, 2026 and was filed on April 7, 2026.

Report Period
March 31, 2026
No. of Stocks
303
Portfolio Value
$254.5M
Holdings by Sector
First Financial Corp Portfolio Holdings in Q1 2026

299 holdings in the latest reporting period.

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CompanySymbolSectorPortfolio %SharesChange (Shares)Change %Value
First Financial CorpTHFFFinancial Services15.90%640,273+1,374+0.22%$40,465,253
Vanguard S&P 500 ETFVOOOther12.61%53,718+469+0.88%$32,099,191
Vanguard Information TechnologVGTOther5.51%20,097-515-2.50%$14,022,078
Vanguard FTSE Developed MarketVEAOther3.96%157,328+12,933+8.96%$10,081,579
iShares S&P Core S&PIVVOther3.18%12,380--$8,086,740
Microsoft CorpMSFTTechnology2.46%16,945-170-0.99%$6,272,531
Vanguard Mid-Cap ETFVOOther2.30%20,379+838+4.29%$5,852,442
Vanguard Small-Cap ETFVBOther2.00%19,392+258+1.35%$5,079,153
Apple IncAAPLTechnology1.96%19,703-564-2.78%$5,000,424
Vanguard Communication ServiceVOXOther1.73%24,506+1,411+6.11%$4,407,159
Eli Lilly & CoLLYHealthcare1.55%4,290-235-5.19%$3,945,814
NVIDIA CorporationNVDATechnology1.44%21,084-1,408-6.26%$3,677,050
Vanguard Financial ETFVFHOther1.32%27,832-1,301-4.47%$3,362,384
FlexShares Intl Quality Div InIQDFOther1.30%104,470--$3,308,565
Broadcom IncAVGOTechnology1.22%10,050-60-0.59%$3,110,576
JPMorgan Chase & CoJPMFinancial Services1.17%10,109-343-3.28%$2,973,663
Vanguard Consumer DiscretionarVCROther1.06%7,536-825-9.87%$2,705,650
Vanguard Industrials ETFVISOther1.03%8,369-881-9.52%$2,612,969
Exxon Mobil CorporationXOMEnergy0.97%14,610-950-6.11%$2,478,732
Invesco NASDAQ 100 ETFQQQMOther0.97%10,393+2,126+25.72%$2,469,584
Vanguard Health Care ETFVHTOther0.96%8,935-1,158-11.47%$2,433,268
iShares MSCI EAFE ETFEFAOther0.93%24,276-770-3.07%$2,357,928
Alphabet Inc - AGOOGLCommunication Services0.85%7,484-209-2.72%$2,152,099
Amazon.Com IncAMZNConsumer Cyclical0.83%10,099-184-1.79%$2,103,319
Abbvie IncABBVHealthcare0.79%9,288-75-0.80%$2,020,047
iShares U.S. Real Estate ETFIYROther0.76%20,396+1,047+5.41%$1,928,646
iShares MSCI Emerging MarketsEMXCOther0.69%22,236-16,000-41.85%$1,749,084
Meta Platforms IncMETACommunication Services0.66%2,941+4+0.14%$1,682,634
Lockheed Martin CorpLMTIndustrials0.66%2,783-403-12.65%$1,682,018
iShares Russell 1000 ETFIWBOther0.64%4,597--$1,639,106
Abbott LaboratoriesABTHealthcare0.64%15,930+93+0.59%$1,635,533
Waste Connections IncWCNIndustrials0.62%9,750--$1,583,790
SPDR S&P Midcap 400 ETFMDYOther0.59%2,453+762+45.06%$1,512,912
SPDR Portfolio S&P Growth ETFSPYGOther0.58%15,032--$1,471,783
NextEra Energy, IncNEEUtilities0.56%15,384-1,032-6.29%$1,428,866
Merck & Co. IncMRKHealthcare0.55%11,730-112-0.95%$1,411,002
Home Depot IncHDConsumer Cyclical0.54%4,169+10+0.24%$1,371,142
Invesco QQQ Trust Series 1QQQOther0.53%2,321-28-1.19%$1,339,635
Visa Inc - AVFinancial Services0.52%4,368-147-3.26%$1,320,185
Walmart IncWMTConsumer Defensive0.51%10,440-359-3.32%$1,297,483
WisdomTree Emerg Mkts ex-St-OwXSOEOther0.46%29,440+1,468+5.25%$1,180,544
Thermo Fisher Scientific IncTMOHealthcare0.46%2,373-110-4.43%$1,166,401
Vanguard FTSE Emerging MarketsVWOOther0.46%21,532-837-3.74%$1,163,805
Proctor & Gamble CoPGConsumer Defensive0.45%7,864-1,126-12.53%$1,135,876
FlexShares Quality Dividend InQDFOther0.44%14,273-12,500-46.69%$1,128,851
iShares Tr Global InfrastrucIGFOther0.44%16,565--$1,109,855
iShares Russell 2000 ETFIWMOther0.43%4,389-8-0.18%$1,088,472
Johnson Controls InternationalJCIIndustrials0.43%8,274-1,845-18.23%$1,083,481
Chevron CorpCVXEnergy0.42%5,209-88-1.66%$1,077,742
Vanguard Consumer Staple ETFVDCOther0.41%4,688+630+15.52%$1,052,878
Palo Alto Networks IncPANWTechnology0.41%6,463+177+2.82%$1,036,148
iShares Russell 1000 Income ETIWFOther0.40%2,399--$1,022,934
Vanguard Energy ETFVDEOther0.38%5,631-1,548-21.56%$974,389
Intercontinental Exchange IncICEFinancial Services0.38%6,119-44-0.71%$962,396
Avantis US Small CapAVUVOther0.37%8,572-1,584-15.60%$946,949
Linde PLCLINOther0.37%1,894-74-3.76%$938,969
Costco Wholesale CorpCOSTConsumer Defensive0.37%934--$930,666
Vanguard Utilities ETFVPUOther0.31%4,032-524-11.50%$798,900
Mondelez International IncMDLZConsumer Defensive0.30%13,198-2,323-14.97%$760,733
iShares Russell 1000 Value ETFIWDOther0.30%3,522-81-2.25%$752,546
FlexShares Global Natural ResoGUNROther0.29%13,565-12,400-47.76%$748,246
McDonald's CorpMCDConsumer Cyclical0.29%2,385-60-2.45%$741,234
SPDR Dow Jones Industrial AverDIAOther0.29%1,600-5-0.31%$741,218
Vanguard Real Estate ETFVNQOther0.29%8,284-737-8.17%$734,791
Chipotle Mexican Grill IncCMGConsumer Cyclical0.29%22,858+620+2.79%$731,685
Suncor Energy IncSUEnergy0.29%11,062-2,770-20.03%$731,309
Cisco Systems IncCSCOTechnology0.29%9,360-35-0.37%$726,242
RTX CorpRTXIndustrials0.28%3,758--$724,918
Caterpillar IncCATIndustrials0.27%987-21-2.08%$699,250
Vanguard Materials ETFVAWOther0.26%2,949-351-10.64%$664,528
Schwab US Dividend Equity ETFSCHDOther0.24%19,986+410+2.09%$613,171
PayPal Holdings IncPYPLFinancial Services0.24%13,523-256-1.86%$611,646
Coca-Cola CoKOConsumer Defensive0.23%7,788-100-1.27%$592,277
Vanguard Mega Cap ETFMGCOther0.23%2,500-500-16.67%$590,875
BHP Billiton Ltd ADRBHPBasic Materials0.23%7,894-1,094-12.17%$574,210
iShares Russell Mid-Cap ETFIWROther0.23%5,891--$572,782
Republic Services IncRSGIndustrials0.22%2,564--$561,567
American Tower CorpAMTReal Estate0.21%3,114-120-3.71%$537,414
Marathon Petroleum CorporationMPCEnergy0.21%2,199--$536,952
Bristol-Myers SquibbBMYHealthcare0.21%8,635--$523,713
Johnson & JohnsonJNJHealthcare0.20%2,115-69-3.16%$516,991
Bank of America CorpBACFinancial Services0.20%10,582-50-0.47%$515,873
Vanguard Small-Cap Growth ETFVBKOther0.20%1,650-43-2.54%$498,713
Sysco CorpSYYConsumer Defensive0.20%6,991-2,235-24.23%$498,668
BP P.L.C.BPEnergy0.19%10,463--$491,761
Union Pacific CorpUNPIndustrials0.19%2,024-56-2.69%$491,063
Vanguard Russell 2000 ETFVTWOOther0.19%4,808--$481,617
PepsiCo IncPEPConsumer Defensive0.17%2,830-71-2.45%$439,471
SPDR Gold TrustGLDOther0.16%964-22-2.23%$414,800
Shell PLC - ADRSHELEnergy0.16%4,444--$413,292
iShares Core MSCI EAFE ETFIEFAOther0.16%4,427+82+1.89%$400,776
KLA CorpKLACTechnology0.16%272--$400,496
Mastercard IncMAFinancial Services0.16%791-15-1.86%$395,231
Marriott International Inc - CMARConsumer Cyclical0.15%1,203--$393,465
Wells Fargo & CoWFCFinancial Services0.15%4,911-214-4.18%$390,965
iShares Russell Mid-Cap ValueIWSOther0.15%2,674-2-0.07%$389,709
SPDR S&P 500 ETF TrustSPYOther0.15%575-783-57.66%$373,946
UnitedHealth Group IncUNHHealthcare0.14%1,346-20-1.46%$364,215
Alphabet Inc - CGOOGCommunication Services0.14%1,265--$362,878
Walt Disney CoDISCommunication Services0.14%3,737-60-1.58%$360,172