Form 13F Report for the Calendar Year or Quarter Ended: 6/30/2009 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: Horizon Bancorp Address: 515 Franklin Square Michigan City, IN 46360 Form 13F File Number 28-6479 Person Signing this Report on Behalf of Reporting Manager: Name: Mark E. Secor Title: Chief Financial Officer Phone: 219-873-2611 Signature, Place, and Date of Signing: /s/ Mark E. Secor, Chief Financial Officer Michigan City, IN ------------------------------------------ ----------------- Place 8/14/2009 --------- Date Report Type (check only one): [X] 13F Holdings Report [ ] 13F Notice [ ] 13F Combination Report List of Other Managers Reporting for this Manager: Horizon Trust & Investment Management Report Summary: Number of Other Included Managers: 1 Form 13F Information Table Entry Total: 46 Form 13F Information Table Value Total: $65,148,662.00 List of Other Included Managers: Horizon Trust & Investment Management INVESTMENT DIRECTION (6) --------------------------- VOTING AUTHORITY (8) SHARES/PV SHARED- SHARED- OTHER --------------------- NAME OF ISSUER (1) TYPE (2) CUSIP (3) MARKET (4) (5) SOLE DEFINED OTHER MANAGERS (7) SOLE SHARED NONE ------------------ -------- --------- -------------- --------- --------- --------- ------- ------------ ---- ------ --------- Aflac Inc Equity 1055102 331,264 10,655 4,783 5,872 0 0 0 10,655 AT&T Inc Com Equity 00206R102 425,236 17,119 0 17,119 0 0 0 17,119 ADR BP Amoco PLC Equity 55622104 869,111 18,228 0 18,228 0 0 0 18,228 Berkshire Hathaway Inc Cl B Equity 84670207 338,800 117 20 97 0 0 0 117 Chevron Corp Equity 166764100 763,796 11,529 3,872 7,657 0 0 0 11,529 Cisco Systems Incorporated Equity 17275R102 219,716 11,781 5,105 6,676 0 0 0 11,781 Conagra Foods Equity 205887102 228,644 11,996 5,629 6,367 0 0 0 11,996 DirectTV Group Inc Equity 25459L106 278,482 11,270 5,302 5,968 0 0 0 11,270 Du Pont E I De Nemours & Co Equity 263534109 202,372 7,899 2,384 5,515 0 0 0 7,899 Exxon Mobil Corporation Equity 30231G102 882,194 12,619 0 12,619 0 0 0 12,619 General Electric Co Equity 369604103 356,265 30,398 6,823 23,575 0 0 0 30,398 Horizon Bancorp Ind Equity 440407104 10,336,295 636,080 2,500 633,580 0 0 0 636,080 International Business Machines Equity 459200101 579,427 5,549 1,814 3,735 0 0 0 5,549 iShares S&P North Amer Technology Equity 464287549 1,166,235 27,649 13,384 14,265 0 0 0 27,649 Johnson & Johnson Equity 478160104 655,756 11,545 3,784 7,761 0 0 0 11,545 Johnson Controls Incorporated Equity 478366107 216,375 9,962 4,469 5,493 0 0 0 9,962 L-3 Communication Holdings Corporation Equity 502424104 451,941 6,514 2,713 3,801 0 0 0 6,514 Laboratory Corp Of America Holdings Equity 50540R409 453,583 6,691 3,179 3,512 0 0 0 6,691 Marathon Oil Corporation Equity 565849106 327,001 10,853 5,141 5,712 0 0 0 10,853 Microsoft Corporation Equity 594918104 367,674 15,468 6,406 9,062 0 0 0 15,468 Omnicom Group Equity 681919106 249,261 7,893 3,590 4,303 0 0 0 7,893 Paychex Incorporated Equity 704326107 249,253 9,891 4,490 5,401 0 0 0 9,891 Pepsico Incorporated Equity 713448108 488,759 8,893 3,178 5,715 0 0 0 8,893 Philip Morris Intl Inc Equity 718172109 247,805 5,681 0 5,681 0 0 0 5,681 Powershares ETF Trust Wndrhll Equity 73935X500 172,751 17,138 9,118 8,020 0 0 0 17,138 Research In Motion Equity 760975102 259,479 3,650 1,856 1,794 0 0 0 3,650 Ridgeworth US Govt Ultra-Short Bond I Equity 76628T439 1,214,046 120,203 20,432 99,770 0 0 0 120,203 Energy Select SPDR Equity 81369Y506 1,097,030 22,831 11,220 11,611 0 0 0 22,831 Select Sector Spdr Tr Utils Equity 81369Y886 682,134 24,458 11,843 12,615 0 0 0 24,458 Tjx Cos Inc New Equity 872540109 302,268 9,608 4,560 5,048 0 0 0 9,608 ADR Teva Pharmaceutical Ind Equity 881624209 420,574 8,524 4,509 4,015 0 0 0 8,524 Vanguard GNMA Admiral Fund Equity 922031794 16,710,222 1,574,950 708,101 866,849 0 0 13,998 1,560,952 Vanguard Inflation Protected Sec Fund #119 Equity 922031869 7,287,511 599,795 304,281 295,514 0 0 3,063 596,732 Vanguard World Funds Consumer Disc Equity 92204A108 293,249 8,130 4,188 3,942 0 0 0 8,130 Vanguard World Fds Consumer Staples ETF Equity 92204A207 801,810 13,901 6,981 6,920 0 0 0 13,901 Vanguard World Fds Financials ETF Equity 92204A405 952,231 39,553 20,327 19,226 0 0 0 39,553 Vanguard World Funds Health Care Equity 92204A504 1,028,441 22,098 11,760 10,338 0 0 0 22,098 Vanguard World Funds Industrial Equity 92204A603 491,346 12,031 6,148 5,883 0 0 0 12,031 Vanguard World Fds Materials ETF Equity 92204A801 340,536 6,545 3,327 3,218 0 0 0 6,545 Vanguard World Funds Telcomm ETF Equity 92204A884 616,627 12,402 6,219 6,183 0 0 0 12,402 Wal-Mart Stores Equity 931142103 480,573 9,921 3,730 6,191 0 0 0 9,921 Walgreen Company Equity 931422109 421,949 14,352 3,602 10,750 0 0 0 14,352 Wells Fargo & Company New Equity 949746101 937,479 38,643 11,510 27,133 0 0 0 38,643 Wyeth Equity 983024100 9,668,161 213,002 0 213,002 0 0 0 213,002 Accenture Ltd Co Equity G1150G111 259,315 7,750 3,595 4,155 0 0 0 7,750 OpenTV Corp Cl A Equity G67543101 25,685 19,312 0 19,312 0 0 0 19,312 -------------- --------- --------- --------- ------- ------------ ---- ------ --------- $65,148,662.00 3,705,077 1,245,873 2,459,203 0 0 17,061 3,688,016 ============== ========= ========= ========= ======= ============ ==== ====== =========