UNITED STATES SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 13F

FORM 13F COVER PAGE
OMB APPROVAL
OMB Number:3235-0006
Expires:July 31, 2015
Estimated average burden
hours per response:23.8

Report for the Calendar Year or Quarter Ended:
12-31-2022
Check here if Amendment: Amendment Number:
This Amendment (Check only one.): is a restatement.
adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name:
Indiana Trust & Investment Management CO
Address:
4045 EDISON LAKES PARKWAY SUITE 100
MISHAWAKA, IN 46545
Form 13F File Number:

The institutional investment manager filing this report and the person by whom it is signed hereby represent that the person signing the report is authorized to submit it, that all information contained herein is true, correct and complete, and that it is understood that all required items, statements, schedules, lists, and tables, are considered integral parts of this form.


Person Signing this Report on Behalf of Reporting Manager:
Name:
Barbara Jean Fox
Title:
Vice President, Director of Operations
Phone:
574-243-3688


Signature, Place, and Date of Signing:

Barbara Jean Fox
                         [Signature]
Mishawaka, INDIANA
                 [City, State]
01-09-2023
                           [Date]
                          

Report Type (Check only one.):

13F HOLDINGS REPORT. (Check here if all holdings of this reporting manager are reported in this report.) 

13F NOTICE. (Check here if no holdings reported are in this report, and all holdings are reported by other reporting manager(s).) 

13F COMBINATION REPORT. (Check here if a portion of the holdings for this reporting manager are reported in this report and a portion are reported by other reporting manager(s).)


Form 13F Summary Page

Report Summary:

Number of Other Included Managers:
0
Form 13F Information table Entry Total:
135
Form 13F Information table Value Total:
177189
          (thousands)

List of Other Included Managers:

Provide a numbered list of the name(s) and Form 13F file number(s) of all institutional investment managers with respect to which this report is filed, other than the manager filing this report.
[If there are no entries in this list, state "NONE" and omit the column headings and list entries.]

  
NONE


UNITED STATES SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 13F

FORM 13F INFORMATION TABLE
OMB APPROVAL
OMB Number:3235-0006
Expires:July 31, 2015
Estimated average burden
hours per response:23.8

COLUMN 1COLUMN 2COLUMN 3COLUMN 4COLUMN 5COLUMN 6COLUMN 7COLUMN 8
VALUESHRS ORSH/PUT/INVESTMENTOTHERVOTING AUTHORITY
NAME OF ISSUERTITLE OF CLASSCUSIP(x$1000)PRN AMTPRNCALLDISCRETIONMANAGERSOLESHAREDNONE
Aflac Inc ComCom0010551021,13415,770SHSOLE015,770 0 0
AT&T Inc ComCom00206R10221411,633SHSOLE011,633 0 0
Abbott Laboratories ComCom0028241009458,606SHSOLE08,606 0 0
AbbVie IncCom00287Y1091,94912,062SHSOLE012,062 0 0
Air Products & Chemicals Inc ComCom0091581065971,936SHSOLE01,936 0 0
Alphabet Inc Cap Stock Cl C (Google)Com02079K1076066,828SHSOLE06,828 0 0
Alphabet Inc Cap Stock Cl A (Google)Com02079K3053,32037,629SHSOLE037,629 0 0
Altria Group Inc ComCom02209S10386618,947SHSOLE018,947 0 0
Amazon.Com Inc ComCom0231351061,71120,364SHSOLE020,364 0 0
American Electric Power Co Inc ComCom0255371014815,070SHSOLE05,070 0 0
American Express Co ComCom0258161094262,882SHSOLE02,882 0 0
Amgen Inc ComCom0311621005392,054SHSOLE02,054 0 0
Analog Devices Inc ComCom0326541052461,500SHSOLE01,500 0 0
Analog Devices Inc ComCom03265410519115SHDFND0115 0 0
Elevance Health IncCom0367521031,0892,123SHSOLE02,123 0 0
Apple Computer Inc ComCom0378331009,33771,860SHSOLE071,860 0 0
Archer Daniels Midland Co ComCom0394831023413,673SHSOLE03,673 0 0
Ball Corp ComCom0584981063,94077,035SHSOLE077,035 0 0
Berkshire Hathaway Inc Cl BCom0846707029393,041SHSOLE03,041 0 0
Berkshire Hathaway Inc Cl BCom0846707021342SHDFND042 0 0
Blackrock IncCom09247X1011,5042,122SHSOLE02,122 0 0
Boeing Co ComCom0970231054722,477SHSOLE02,477 0 0
Bristol Myers Squibb CO ComCom1101221081,29417,978SHSOLE017,978 0 0
CSX Corp ComCom12640810350116,174SHSOLE016,174 0 0
CVS Health Corp ComCom1266501009139,793SHSOLE09,793 0 0
Cardinal Ethanol LLCCom14150E10846530SHSOLE030 0 0
Caterpillar Inc ComCom1491231011,1674,870SHSOLE04,870 0 0
Chevron CorporationCom1667641001,4398,015SHSOLE08,015 0 0
Chevron CorporationCom166764100530SHDFND030 0 0
Cisco Systems ComCom17275R1024018,426SHSOLE08,426 0 0
Coca Cola Corp ComCom1912161003475,450SHSOLE05,450 0 0
Cohen & Steers RealtyCom1924761093,50159,874SHSOLE059,874 0 0
Colgate Palmolive Co ComCom1941621032352,983SHSOLE02,983 0 0
ConocoPhillips Inc ComCom20825C1043342,830SHSOLE02,830 0 0
ConocoPhillips Inc ComCom20825C104648SHDFND048 0 0
Costco Whsl Corp New ComCom22160K1052,3695,190SHSOLE05,190 0 0
Costco Whsl Corp New ComCom22160K105613SHDFND013 0 0
Crystal Valley Finc CorpCom22941P1002674,560SHSOLE04,560 0 0
Deere & COCom2441991056571,532SHSOLE01,532 0 0
Deere & COCom244199105818SHDFND018 0 0
Disney CO ComCom2546871067568,698SHSOLE08,698 0 0
Duke Energy Corp New ComCom26441C2042962,872SHSOLE02,872 0 0
EOG Resources Inc ComCom26875P1013402,627SHSOLE02,627 0 0
EOG Resources Inc ComCom26875P101538SHDFND038 0 0
Emerson Elec CO ComCom2910111042983,102SHSOLE03,102 0 0
Energy Transfer LPCom29273V1006474SHSOLE0474 0 0
Energy Transfer LPCom29273V10013311,220SHDFND011,220 0 0
Equity Residential Pptys Tr ComCom29476L1073626,134SHSOLE06,134 0 0
Exxon Mobil Corp ComCom30231G1021,90417,263SHSOLE017,263 0 0
Meta Platforms Inc (formerly Facebook Inc)Com30303M1023973,298SHSOLE03,298 0 0
Fedex Corp ComCom31428X1063171,833SHSOLE01,833 0 0
1st Source Corp ComCom3369011031,44927,293SHSOLE027,293 0 0
Fiserv Inc ComCom3377381082,74027,112SHSOLE027,112 0 0
Ford Mtr Co ComCom34537086016013,721SHSOLE013,721 0 0
Franklin Res Inc ComCom3546131012148,119SHSOLE08,119 0 0
General Dynamics Corp ComCom3695501089403,788SHSOLE03,788 0 0
General Mills Inc ComCom3703341042072,472SHSOLE02,472 0 0
General Mills Inc ComCom370334104896SHDFND096 0 0
Grainger W W Inc ComCom384802104325585SHSOLE0585 0 0
Home Depot Inc ComCom4370761027682,432SHSOLE02,432 0 0
Honeywell Intl Inc ComCom4385161061,2455,809SHSOLE05,809 0 0
Horizon Bancorp IncCom4404071041,26383,738SHSOLE083,738 0 0
Illinois Tool Works Inc ComCom4523081093501,591SHSOLE01,591 0 0
Intel Corp ComCom45814010036413,759SHSOLE013,759 0 0
Intercontinental Exchange IncCom45866F1042712,637SHSOLE02,637 0 0
Intl Business Machines Corp ComCom4592001014873,457SHSOLE03,457 0 0
iShares Russell 1000 IndexCom4642876225,37125,514SHSOLE025,514 0 0
JPMorgan Chase & Co ComCom46625H1003,06122,829SHSOLE022,829 0 0
John Hancock Alter Asset AllocationCom47804A12234924,068SHSOLE024,068 0 0
Johnson & Johnson ComCom4781601041,89710,739SHSOLE010,739 0 0
Kimberly Clark Corp ComCom4943681032161,594SHSOLE01,594 0 0
Lilly Eli & CO ComCom5324571085,19914,212SHSOLE014,212 0 0
Lilly Eli & CO ComCom5324571081542SHDFND042 0 0
Lockheed Martin Corp ComCom539830109440904SHSOLE0904 0 0
Lowes Companies Inc ComCom5486611072,20311,057SHSOLE011,057 0 0
Lowes Companies Inc ComCom5486611071472SHDFND072 0 0
McDonalds Corp ComCom5801351011,5135,742SHSOLE05,742 0 0
Merck & Co IncCom58933Y1056075,468SHSOLE05,468 0 0
MetLife Inc ComCom59156R1085077,000SHSOLE07,000 0 0
Microsoft Corp ComCom5949181042,2399,337SHSOLE09,337 0 0
NextEra Energy, Inc.Com65339F1011,09713,122SHSOLE013,122 0 0
NextEra Energy, Inc.Com65339F101781SHDFND081 0 0
Nike Inc Class B ComCom6541061031,31211,213SHSOLE011,213 0 0
Norfolk Southern Corp ComCom6558441083991,618SHSOLE01,618 0 0
Norfolk Southern Corp ComCom655844108727SHDFND027 0 0
Nucor Corp ComCom6703461052511,905SHSOLE01,905 0 0
Nvidia Corp ComCom67066G1041,3128,976SHSOLE08,976 0 0
Old National Bancorp ComCom6800331071,31172,905SHSOLE072,905 0 0
Oracle Corp ComCom68389X1052,38629,189SHSOLE029,189 0 0
OrthoPediatrics Corp.Com68752L1002696,765SHSOLE06,765 0 0
Paychex Inc ComCom7043261072041,764SHSOLE01,764 0 0
Pepsico Inc ComCom7134481081,7389,619SHSOLE09,619 0 0
Pfizer Inc ComCom7170811031,47828,854SHSOLE028,854 0 0
Pfizer Inc ComCom71708110313248SHDFND0248 0 0
Pimco All Asset Instl ClCom72200562617,4491,660,233SHSOLE01,660,233 0 0
Pimco All Asset Instl ClCom722005626282,684SHDFND02,684 0 0
Principal Diversified Real Asset InstCom74254V1665,567506,135SHSOLE0506,135 0 0
Principal Diversified Real Asset InstCom74254V1663296SHDFND0296 0 0
Principal Global Multi-Strategy InstlCom74255L69613,7491,362,609SHSOLE01,362,609 0 0
Principal Global Multi-Strategy InstlCom74255L696343,335SHDFND03,335 0 0
Procter & Gamble Co ComCom7427181091,97813,050SHSOLE013,050 0 0
Procter & Gamble Co ComCom742718109744SHDFND044 0 0
Prudential Financial ComCom7443201026296,324SHSOLE06,324 0 0
Qualcomm Inc ComCom7475251034303,910SHSOLE03,910 0 0
Russell Inv Global Real EstateCom78249376114,967550,881SHSOLE0550,881 0 0
Russell Inv Global Real EstateCom782493761411,519SHDFND01,519 0 0
Technology Select Sector SPDRCom81369Y8032592,080SHSOLE02,080 0 0
Starbucks Corp ComCom8552441092952,970SHSOLE02,970 0 0
Stryker CorpCom8636671018843,616SHSOLE03,616 0 0
Sysco Corp ComCom8718291077059,223SHSOLE09,223 0 0
TJX Cos Inc ComCom8725401092,02825,483SHSOLE025,483 0 0
TJX Cos Inc ComCom87254010919234SHDFND0234 0 0
Target Corp ComCom87612E1064543,043SHSOLE03,043 0 0
Tesla IncCom88160R1013102,520SHSOLE02,520 0 0
3M Corp ComCom88579Y1012602,164SHSOLE02,164 0 0
US Bancorp ComCom9029733042585,916SHSOLE05,916 0 0
United Parcel Svc Inc Cl B ComCom9113121064832,779SHSOLE02,779 0 0
Unitedhealth Group Inc ComCom91324P102337636SHSOLE0636 0 0
Vanguard Real Estate Index AdmiralCom92190887711,966102,390SHSOLE0102,390 0 0
Vanguard Real Estate Index AdmiralCom9219088775354,574SHDFND04,574 0 0
Vanguard REIT Index ETFCom9229085533554,301SHSOLE04,301 0 0
Verizon Communications ComCom92343V10469117,548SHSOLE017,548 0 0
Visa Inc Class A SharesCom92826C8391,7568,453SHSOLE08,453 0 0
Wal Mart Stores Inc ComCom9311421036464,553SHSOLE04,553 0 0
Walgreens Boots Alliance Inc ComCom9314271082406,437SHSOLE06,437 0 0
Wells Fargo & Co New ComCom9497461012185,290SHSOLE05,290 0 0
Zimmer Biomet Hldgs Inc ComCom98956P1022792,190SHSOLE02,190 0 0
iCapital KKR Private Markets FundComALTGKKRPE76021,201SHSOLE021,201 0 0
Central Park Group Activist Fund LLC Series BComCPGHEDG00420250,000SHSOLE0250,000 0 0
Eaton Corp PLCComG291831035243,337SHSOLE03,337 0 0
Medtronic Hldg LtdComG5960L1033414,386SHSOLE04,386 0 0
Goldman Sachs Impact Private EquityComGSIMPACT1493469,833SHSOLE0469,833 0 0
The Home Lumber & Supply CoComHOMLUMSUP1,0081,211SHSOLE01,211 0 0
Oakland Enterprises IncComOAKLANDEN120120,104SHSOLE0120,104 0 0
Suneris, Inc Series A Preferred StockPfd StkSUNEPFD004040,000SHSOLE040,000 0 0