Shelter Mutual Insurance Company

Shelter Mutual Insurance Company as of March 31, 2011

Portfolio Holdings for Shelter Mutual Insurance Company

Shelter Mutual Insurance Company holds 52 positions in its portfolio as reported in the March 2011 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
International Business Machs C 4.4 $14M 84k 163.07
Schlumberger 4.2 $13M 142k 93.26
Royal Dutch Shell Plc S pons adr a 780 4.1 $13M 175k 72.86
Berkshire Hathaway 4.0 $13M 101.00 125297.03
Caterpillar 3.9 $12M 111k 111.35
Pepsico 3.7 $12M 178k 64.41
Bhp Billiton Ltd - Spon Adr adr 088 3.6 $11M 117k 95.88
Union Pacific Corp. Com 907 3.2 $10M 103k 98.33
Oracle Corp 3.0 $9.5M 285k 33.43
3m 3.0 $9.5M 101k 93.50
Exxon Mobil Corporation 2.9 $9.1M 108k 84.13
Procter & Gamble Co/the 2.8 $8.6M 140k 61.60
Emerson Elec 2.5 $8.0M 137k 58.43
Smucker J M 2.5 $7.8M 110k 71.39
Philip Morris International 2.4 $7.5M 114k 65.63
General Electric 2.3 $7.1M 354k 20.05
Wal-mart Stores Inc. Com 931 2.1 $6.7M 129k 52.05
Praxair 2.1 $6.6M 65k 101.61
Illinois Tool Works 2.0 $6.2M 116k 53.72
Covidien Plc shs g25 1.9 $6.0M 115k 51.94
Ametek 1.9 $6.0M 136k 43.87
Hospira 1.8 $5.8M 104k 55.20
Medco Health Solutions 1.8 $5.6M 99k 56.16
Pfizer 1.8 $5.5M 270k 20.31
Hewlett-packard 1.6 $5.1M 125k 40.97
Intel Corp 1.6 $5.1M 254k 20.18
Lowe's Cos 1.5 $4.8M 183k 26.43
Abbott Laboratories 1.5 $4.8M 97k 49.05
Mead Johnson Nutrition 1.5 $4.8M 82k 57.93
Hsbc Holdings Plc-spons Adr adr 404 1.5 $4.7M 90k 51.80
Franklin Resources 1.5 $4.6M 37k 125.09
Kohls Corp. 1.4 $4.5M 85k 53.04
Merck & Co 1.4 $4.4M 134k 33.01
Cme Group 1.4 $4.3M 14k 301.54
Avon Products 1.4 $4.2M 156k 27.04
Visa Inc-class A Shares 1.3 $4.0M 55k 73.62
Cisco Systems 1.3 $4.0M 235k 17.15
Flowers Foods 1.3 $3.9M 77k 51.38
Flowserve Corp. 1.1 $3.6M 28k 128.79
Target Corp 1.1 $3.6M 72k 50.01
American Express 1.1 $3.6M 79k 45.21
Alere 1.1 $3.5M 90k 39.14
Enbridge Inc C om 292 1.1 $3.4M 55k 61.46
Weatherford Intl 1.0 $3.2M 141k 22.60
Spectra Energy Corp 0.9 $3.0M 109k 27.18
Transocean Ltd R eg shs h88 0.9 $2.9M 37k 77.95
Nalco Holding 0.8 $2.6M 95k 27.31
Itc Holdings Corp 0.8 $2.5M 36k 69.90
Bp Plc - Spons Adr 055 0.7 $2.3M 52k 44.13
Devry 0.6 $2.0M 36k 55.08
Verisk Analytics Inc-class A 0.2 $580k 18k 32.77
Berkshire Hathaway Inc-cl B 0.1 $445k 5.3k 83.65