Shelter Mutual Insurance Company

Shelter Mutual Insurance Company as of Sept. 30, 2011

Portfolio Holdings for Shelter Mutual Insurance Company

Shelter Mutual Insurance Company holds 53 positions in its portfolio as reported in the September 2011 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
International Business Machine 11.4 $4.5M 84k 53.03
Pepsico Incorporated 6.5 $2.5M 178k 14.23
Royal Dutch Shell Plc - Adr A adr 780 6.2 $2.4M 175k 13.95
Schlumberger 5.7 $2.2M 142k 15.82
Caterpillar Tractor 4.7 $1.8M 111k 16.37
Berkshire Hathaway Inc Del 4.4 $1.7M 101.00 17099.01
Spectra Energy 2.5 $991k 109k 9.08
Hospira 2.3 $915k 104k 8.76
Procter & Gamble 2.3 $906k 140k 6.47
Cme Group 2.3 $905k 17k 53.80
Wal-mart Stores 2.2 $857k 129k 6.64
Franklin Resources 2.1 $841k 37k 22.81
Union Pacific Corporation 2.0 $795k 103k 7.69
Exxon Mobil Corporation 1.9 $761k 108k 7.07
Merck & Co. 1.9 $744k 134k 5.53
Visa Inc/a 1.8 $719k 56k 12.84
Bhp Billiton Ltd - Spon Adr adr 088 1.8 $706k 113k 6.24
Emerson Electric 1.8 $705k 137k 5.15
Hewlett-packard 1.7 $675k 156k 4.33
General Electric Company 1.7 $668k 354k 1.89
Cisco Systems 1.7 $662k 235k 2.82
Weatherford International 1.6 $636k 141k 4.52
Philip Morris International 1.6 $635k 114k 5.55
Nalco Holdings 1.6 $627k 95k 6.64
Intel 1.6 $621k 254k 2.45
Verisk Analytics Inc-class A 1.6 $613k 18k 34.63
3m Company 1.5 $587k 101k 5.81
Itc Holdings 1.5 $584k 36k 16.22
Pfizer 1.4 $553k 270k 2.05
Illinois Tool Works 1.4 $548k 116k 4.73
Mead Johnson Nutrition 1.4 $548k 82k 6.67
Enbridge 1.4 $542k 109k 4.97
Ensco 1.3 $502k 66k 7.64
Berkshire Hathaway Inc-cl B 1.1 $412k 5.3k 77.44
Oracle 1.0 $391k 285k 1.37
Jm Smucker 1.0 $387k 110k 3.53
Avon Products 1.0 $373k 156k 2.39
Abbott Labs 0.9 $373k 102k 3.65
Target 0.9 $352k 72k 4.93
Medco Health Solutions 0.8 $326k 112k 2.91
Bp P.l.c. 0.8 $303k 52k 5.83
Praxair 0.8 $302k 58k 5.19
Alere 0.8 $301k 90k 3.34
Lowe's 0.7 $263k 183k 1.44
Kohl's 0.6 $251k 85k 2.95
Yum Brands 0.6 $235k 77k 3.07
Hsbc Holdings Plc-spons Adr adr 404 0.6 $213k 105k 2.03
Teva Pharmaceutical Industries 0.3 $127k 44k 2.88
Covidien 0.3 $113k 115k 0.98
Ametek 0.3 $105k 136k 0.77
Devry 0.2 $76k 18k 4.18
American Express Company 0.2 $66k 79k 0.84
Flowserve 0.1 $38k 28k 1.37