Shelter Mutual Insurance Company

Shelter Mutual Insurance Company as of March 31, 2013

Portfolio Holdings for Shelter Mutual Insurance Company

Shelter Mutual Insurance Company holds 50 positions in its portfolio as reported in the March 2013 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
swatch Group Ag Namen Akt 12.9 $3.7M 3.7M 0.99
Wal-mart Stores 3.5 $986k 80k 12.32
Verisk Analytics Inc - Class A 3.5 $985k 81k 12.18
Mead Johnson Nutrition 3.4 $966k 38k 25.22
Philip Morris International 3.4 $960k 54k 17.94
Lowe's 3.2 $916k 156k 5.87
Hsbc Holdings Plc-spons Adr adr 40428 3.2 $903k 92k 9.82
Flowserve 3.2 $895k 11k 79.20
Berkshire Hathaway 3.1 $876k 44.00 19909.09
Covidien 3.0 $840k 57k 14.84
Franklin Resources 3.0 $841k 32k 26.20
Hospira 2.9 $817k 42k 19.50
Jm Smucker 2.8 $801k 59k 13.69
Bp P.l.c. adr 05562 2.8 $802k 90k 8.93
Ecolab 2.7 $773k 35k 22.35
Teva Pharmaceutical Industries Ltd adr 88162 2.7 $774k 45k 17.32
Hospira 2.6 $743k 53k 13.99
Ensco Plc-cl A Sh s clasg3157 2.5 $694k 45k 15.46
Bhp Billiton Ltd - Spon Adr adr 08860 2.4 $683k 68k 9.98
Union Pacific Corporation 2.4 $677k 84k 8.02
Illinois Tool Works 2.2 $631k 76k 8.30
Abbvie 2.2 $629k 89k 7.07
Cisco Systems 2.2 $620k 173k 3.58
Exxon Mobil Corporation 2.0 $560k 73k 7.69
Cme 1.8 $518k 41k 12.63
Nabors Industries 1.8 $497k 67k 7.42
Pfizer 1.7 $494k 156k 3.17
Schlumberger 1.6 $467k 100k 4.68
Enbridge 1.6 $439k 52k 8.38
Union Pacific Corporation 1.3 $363k 52k 7.02
Praxair 1.2 $342k 21k 16.29
Kohl's 1.1 $316k 50k 6.29
Avon Products 1.1 $297k 111k 2.68
American Express Company 1.0 $280k 108k 2.59
Caterpillar Tractor 0.9 $267k 84k 3.20
Yum Brands 0.8 $237k 45k 5.27
General Electric Company 0.8 $233k 226k 1.03
Oracle 0.7 $205k 161k 1.27
Express Scripts Holding 0.7 $198k 38k 5.19
Intel 0.6 $175k 237k 0.74
International Business Machine 0.6 $172k 43k 4.00
Royal Dutch Shell Plc - Adr A adr 78025 0.6 $164k 95k 1.73
Visa Inc/a 0.5 $146k 30k 4.82
Abbott Labs 0.5 $143k 89k 1.61
3m Company 0.2 $71k 48k 1.49
Procter & Gamble 0.2 $66k 92k 0.72
Target 0.2 $66k 59k 1.11
Emerson Electric 0.2 $56k 55k 1.02
Merck & Co. 0.2 $44k 92k 0.48
Itc Holdings 0.1 $35k 23k 1.54