Shelter Mutual Insurance as of June 30, 2020
Portfolio Holdings for Shelter Mutual Insurance
Shelter Mutual Insurance holds 47 positions in its portfolio as reported in the June 2020 quarterly 13F filing
Company (Ticker) | Portfolio Weight | Valued At | Change in Shares | Share Count | Share Price |
---|---|---|---|---|---|
Vanguard Star Fd Intl Stk Idxf (VXUS) | 6.6 | $18M | 361k | 49.17 | |
Visa Com Cl A (V) | 6.5 | $18M | 91k | 193.17 | |
Berkshire Hathaway I Cl A (BRK.A) | 4.6 | $12M | 46.00 | 267304.35 | |
Verisk Analytics (VRSK) | 4.1 | $11M | 65k | 170.20 | |
Procter & Gamble Company (PG) | 4.1 | $11M | 91k | 119.57 | |
Pepsi (PEP) | 3.8 | $10M | 78k | 132.25 | |
Oracle Corporation (ORCL) | 3.8 | $10M | 186k | 55.27 | |
Wal-Mart Stores (WMT) | 3.7 | $10M | 84k | 119.78 | |
Lowe's Companies (LOW) | 3.2 | $8.6M | 64k | 135.11 | |
Union Pacific Corporation (UNP) | 3.1 | $8.2M | 49k | 169.06 | |
Vanguard Total Stock Market ETF (VTI) | 3.0 | $8.0M | 51k | 156.54 | |
Cme (CME) | 2.9 | $7.8M | 48k | 162.54 | |
Intel Corporation (INTC) | 2.8 | $7.5M | 125k | 59.83 | |
Caterpillar (CAT) | 2.6 | $7.0M | 55k | 126.50 | |
Illinois Tool Works (ITW) | 2.6 | $6.9M | 40k | 174.84 | |
Deere & Company (DE) | 2.5 | $6.7M | 43k | 157.16 | |
Medtronic SHS (MDT) | 2.4 | $6.5M | 71k | 91.70 | |
Linde SHS | 2.3 | $6.1M | 29k | 212.09 | |
Target Corporation (TGT) | 2.2 | $6.0M | 50k | 119.92 | |
Abbvie (ABBV) | 2.1 | $5.7M | 58k | 98.17 | |
International Business Machines (IBM) | 2.1 | $5.7M | 47k | 120.78 | |
Ecolab (ECL) | 2.0 | $5.3M | 27k | 198.96 | |
Abbott Laboratories (ABT) | 1.9 | $5.2M | 57k | 91.43 | |
Philip Morris International (PM) | 1.9 | $5.0M | 72k | 70.07 | |
Nextera Energy (NEE) | 1.8 | $5.0M | 21k | 240.18 | |
Smucker J M Com New (SJM) | 1.8 | $4.9M | 47k | 105.82 | |
Pfizer (PFE) | 1.8 | $4.8M | 146k | 32.70 | |
Bhp Group Sponsored Ads (BHP) | 1.8 | $4.7M | 95k | 49.73 | |
American Express Company (AXP) | 1.5 | $3.9M | 41k | 95.19 | |
3M Company (MMM) | 1.4 | $3.7M | 24k | 155.99 | |
Royal Dutch Shell Pl Spons Adr A | 1.4 | $3.7M | 114k | 32.69 | |
Truist Financial Corp equities (TFC) | 1.3 | $3.4M | 90k | 37.55 | |
Exxon Mobil Corporation (XOM) | 1.1 | $3.0M | 66k | 44.72 | |
Gilead Sciences (GILD) | 0.9 | $2.5M | 32k | 76.95 | |
Activision Blizzard | 0.8 | $2.2M | 29k | 75.88 | |
Enbridge (ENB) | 0.8 | $2.2M | 71k | 30.41 | |
Discovery Com Ser C | 0.8 | $2.2M | 112k | 19.26 | |
Brookfield Asset Mgm Cl A Ltd Vt Sh | 0.7 | $1.8M | 56k | 32.91 | |
Cigna Corp (CI) | 0.7 | $1.8M | 9.6k | 187.70 | |
Constellation Brands Cl A (STZ) | 0.7 | $1.8M | 10k | 174.95 | |
Hasbro (HAS) | 0.7 | $1.8M | 24k | 74.94 | |
Otis Worldwide Corp (OTIS) | 0.7 | $1.8M | 31k | 56.86 | |
Booking Holdings (BKNG) | 0.7 | $1.8M | 1.1k | 1592.73 | |
General Electric Company | 0.6 | $1.6M | 230k | 6.83 | |
Schlumberger (SLB) | 0.6 | $1.5M | 81k | 18.39 | |
Markel Corporation (MKL) | 0.4 | $1.1M | 1.2k | 923.33 | |
Berkshire Hathaway I Cl B New (BRK.B) | 0.2 | $620k | 3.5k | 178.47 |