Form 13F Report for the Calendar Year or Quarter Ended: 9/30/2004 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: James H. Foglesong Title: Chief Financial Officer Phone: 219-873-2608 Signature, Place, and Date of Signing: /s/ James H. Foglesong, Chief Financial Officer Michigan City, IN ----------------------------------------------- ----------------- Place 10/21/2004 ---------- 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: 64 Form 13F Information Table Value Total: $55,789,070 List of Other Included Managers: Horizon Trust & Investment Management ------------------------ INVESTMENT DIRECTION (6) ------------------------ SHARED- SHARED OTHER NAME OF ISSUER(1) TYPE(2) CUSIP(3) MARKET(4) SHARES(5) SOLE DEFINED -OTHER MANAGERS(7) ----------------- ------- -------- --------- --------- ------------------------ ----------- Abbott Laboratories Equity 2824100 625403 14764 5440 9324 0 Not Applicable ABN Amro 5.90% PFD Preferred Stock 00372P203 372880 15800 15200 600 0 Alcoa Inc Com Stk Equity 13817101 791515 23564 16594 6970 0 Alltel Corp Equity 20039103 921884 16789 12077 4712 0 Altria Group, Inc. Equity 02209S103 864783 18384 15185 3199 0 Ambac Financial Group 5.875% PFD Preferred Stock 23139603 300247 12240 9440 2800 0 American Express Company Equity 25816109 246648 4793 315 4478 0 American International Group Inc Equity 26874107 1138289 16742 11036 5706 0 Ameristock Mutual Fund Equity 03071F104 4466876 115037 66483 48553 0 Amgen Inc Equity 31162100 738416 12998 9513 3485 0 Apache Corp Equity 37411105 797952 15924 11577 4347 0 Archer Daniels Midland CO Equity 39483102 403122 23741 17793 5948 0 Bac Cap Trust III 7.00% PFD Preferred Stock 55188205 370580 14000 14000 0 0 BP Amoco PLC, ADR's Equity 55622104 1912412 33242 22667 10575 0 Bellsouth Corp Equity 79860102 322592 11895 6395 5500 0 Berkshire Hathaway Inc Del Cl A Equity 84670108 519900 6 0 6 0 Berkshire Hathaway, Inc. Cl B Equity 84670207 597168 208 22 186 0 Cendant Corp. Equity 151313103 719669 33318 22173 11145 0 ChevronTexaco Corp Equity 166764100 1228141 22896 15574 7322 0 Chiron Corp Equity 170040109 656591 14855 10642 4213 0 Citigroup, Inc. Equity 172967101 1040879 23592 16080 7512 0 Coca-Cola Company Equity 191216100 235134 5871 1850 4021 0 Costco Wholesale Corp Equity 22160K105 402024 9685 6748 2937 0 DNP Select Income Fund Inc. Equity 23325P104 2676300 238317 131119 107198 0 Du Pont DE Nemours Equity 263534109 616363 14401 10140 4261 0 Electronic Arts Inc Equity 285512109 714639 15539 11587 3952 0 Entergy Ark Inc. 6% PFD Preferred Stock 29364D795 231750 9000 6800 2200 0 Exxon Mobil Corp Equity 30231G102 560725 11602 4650 6952 0 General Electric Company Equity 369604103 2587305 77049 45182 31867 0 General Electric Cap Corp 6.10% Pfd Preferred Stock 369622519 1414780 55700 35500 20200 0 Harley-Davidson Equity 412822108 1018445 17134 11448 5686 0 ---------------------------- VOTING AUTHORITY (8) ---------------------------- NAME OF ISSUER(1) SOLE SHARED NONE ----------------- ---------------------------- Abbott Laboratories 2315 0 12449 ABN Amro 5.90% PFD 1200 0 14600 Alcoa Inc Com Stk 6243 0 17321 Alltel Corp 4325 50 12414 Altria Group, Inc. 2750 0 15634 Ambac Financial Group 5.875% PFD 3040 0 9200 American Express Company 0 0 4793 American International Group Inc 3850 0 12892 Ameristock Mutual Fund 21702.57 1655 91679 Amgen Inc 3347 0 9651 Apache Corp 3790 0 12134 Archer Daniels Midland CO 6310 0 17431 Bac Cap Trust III 7.00% PFD 3000 0 11000 BP Amoco PLC, ADR's 400 0 32842 Bellsouth Corp 2895 0 9000 Berkshire Hathaway Inc Del Cl A 0 0 6 Berkshire Hathaway, Inc. Cl B 2 0 206 Cendant Corp. 7527 0 25791 ChevronTexaco Corp 6446 0 16450 Chiron Corp 3690 0 11165 Citigroup, Inc. 5774 0 17818 Coca-Cola Company 1050 150 4671 Costco Wholesale Corp 2320 0 7365 DNP Select Income Fund Inc. 40638 1500 196179 Du Pont DE Nemours 3969 100 10332 Electronic Arts Inc 3994 0 11545 Entergy Ark Inc. 6% PFD 2000 0 7000 Exxon Mobil Corp 3200 0 8402 General Electric Company 21513 0 55536 General Electric Cap Corp 6.10% Pfd 8800 1000 45900 Harley-Davidson 4083 100 12951 ------------------------ INVESTMENT DIRECTION (6) ------------------------ SHARED- SHARED OTHER NAME OF ISSUER(1) TYPE(2) CUSIP(3) MARKET(4) SHARES(5) SOLE DEFINED -OTHER MANAGERS(7) ----------------- ------- -------- --------- --------- ------------------------ ----------- Home Depot Incorporated Equity 437076102 1207634 30807 20901 9906 0 Hubbell Inc Cl B Equity 443510201 245444 5475 0 5475 0 Innovative Comm Technologies Equity 45769Q108 100 10000 0 10000 0 International Business Machines Corp Equity 459200101 269395 3142 300 2842 0 Johnson & Johnson Equity 478160104 1187493 21081 15683 5398 0 L-3 Communications Holdings, Inc. Equity 502424104 1041783 15549 11248 4301 0 MBNA Corporation Equity 55262L100 1453838 57692 40351 17341 0 Marsh & McLennan CO Equity 571748102 727813 15905 11197 4708 0 Medimmune Inc Equity 584699102 281106 11861 7874 3987 0 Medtronic Inc Equity 585055106 954233 18386 12533 5853 0 Microsoft Corporation Equity 594918104 1255504 45407 29245 16162 0 Migratec Inc Equity 598622108 80 100000 0 100000 0 Newmont Mining Corp Equity 651639106 367564 8073 5207 2866 0 Nokia Corp ADR Equity 654902204 712589 51938 35883 16055 0 Northern Trust Corp Equity 665859104 879689 21561 15471 6090 0 Omnicom Group Inc Equity 681919106 483949 6624 4671 1953 0 Pepsico Inc Equity 713448108 775189 15934 9680 6254 0 Pfizer Inc. Equity 717081103 1036453 33871 21780 12091 0 Procter & Gamble CO Equity 742718109 1062484 19632 10925 8707 0 Qualcomm Inc Equity 747525103 1201690 30781 20729 10052 0 Rochester Gas & Electric - 6.65% PFD Preferred Stock 771367794 836784 31200 28200 3000 0 Royal Dutch Petroleum Equity 780257804 1342993 26027 19894 6133 0 Schering Plough Corporation Equity 806605101 247780 13000 6500 6500 0 Starbucks Corp Equity 855244109 627575 13805 9193 4612 0 Sungard Data Systems Inc. Equity 867363103 545450 22947 16249 6698 0 Teva Pharmaceutical Inds Ltd Equity 881624209 951535 36668 25413 11255 0 Tyco International Ltd. Equity 902124106 1120654 36551 26153 10398 0 Vectren Corp Equity 92240G101 286397 11374 7375 3999 0 Verizon Communications Equity 92343V104 222536 5651 2604 3047 0 Wal-Mart Stores Inc Equity 931142103 1192106 22408 15252 7156 0 Walgreen CO Equity 931422109 1611884 44987 27342 17645 0 Wells Fargo & CO New Equity 949746101 1614244 27071 15745 11326 0 Flextronics International Ltd Equity Y2573F102 551690 41637 29485 12152 0 ----------------------------------------------- $55,789,070 1,756,131 1,066,313 689,817 0 =============================================== ---------------------------- VOTING AUTHORITY (8) ---------------------------- NAME OF ISSUER(1) SOLE SHARED NONE ----------------- ---------------------------- Home Depot Incorporated 6930 0 23877 Hubbell Inc Cl B 0 0 5475 Innovative Comm Technologies 0 0 10000 International Business Machines Corp 0 0 3142 Johnson & Johnson 4822 40 16219 L-3 Communications Holdings, Inc. 4120 0 11429 MBNA Corporation 12174 375 45143 Marsh & McLennan CO 4370 0 11535 Medimmune Inc 2745 0 9116 Medtronic Inc 4455 100 13831 Microsoft Corporation 9919 0 35488 Migratec Inc 0 0 100000 Newmont Mining Corp 1985 0 6088 Nokia Corp ADR 11963 325 39650 Northern Trust Corp 5607 200 15754 Omnicom Group Inc 1667 0 4957 Pepsico Inc 5055 0 10879 Pfizer Inc. 7298 0 26573 Procter & Gamble CO 7528 0 12104 Qualcomm Inc 7641 0 23140 Rochester Gas & Electric - 6.65% PFD 3800 0 27400 Royal Dutch Petroleum 7535 0 18492 Schering Plough Corporation 0 0 13000 Starbucks Corp 3060 0 10745 Sungard Data Systems Inc. 5755 0 17192 Teva Pharmaceutical Inds Ltd 9680 0 26988 Tyco International Ltd. 8870 0 27681 Vectren Corp 0 0 11374 Verizon Communications 1094 0 4557 Wal-Mart Stores Inc 5794 0 16614 Walgreen CO 8185 0 36802 Wells Fargo & CO New 6169 100 20802 Flextronics International Ltd 10030 0 31607 ----------------------------- 348,425 5,695 1,402,011 =============================