Shelter Mutual Insurance Company

Shelter Mutual Insurance as of Dec. 31, 2021

Portfolio Holdings for Shelter Mutual Insurance

Shelter Mutual Insurance holds 52 positions in its portfolio as reported in the December 2021 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
Vanguard Star Fds Vg Tl Intl Stk F (VXUS) 6.0 $23M 361k 63.57
Berkshire Hathaway I Cl A (BRK.A) 5.4 $21M 46.00 450652.17
Lowe's Companies (LOW) 4.1 $16M 62k 258.49
Verisk Analytics (VRSK) 3.9 $15M 65k 228.72
Ishares Tr Core Msci Eafe (IEFA) 3.5 $14M 180k 74.66
Visa Com Cl A (V) 3.5 $13M 62k 216.72
Procter & Gamble Company (PG) 3.4 $13M 80k 163.58
Oracle Corporation (ORCL) 3.4 $13M 149k 87.21
Vanguard Index Fds Total Stk Mkt (VTI) 3.2 $12M 51k 241.57
Union Pacific Corporation (UNP) 3.2 $12M 49k 251.93
Pepsi (PEP) 3.1 $12M 69k 173.71
Target Corporation (TGT) 2.9 $11M 48k 231.44
Wal-Mart Stores (WMT) 2.8 $11M 74k 144.69
Cme (CME) 2.7 $11M 46k 228.46
Deere & Company (DE) 2.6 $9.9M 29k 342.91
Linde SHS 2.5 $9.8M 28k 346.44
Illinois Tool Works (ITW) 2.5 $9.8M 40k 246.80
Vertex Pharmaceuticals Incorporated (VRTX) 2.5 $9.5M 43k 219.61
Qualcomm (QCOM) 2.3 $8.9M 49k 182.88
Pfizer (PFE) 2.2 $8.6M 146k 59.05
Abbott Laboratories (ABT) 2.1 $7.9M 57k 140.74
Abbvie (ABBV) 2.0 $7.8M 58k 135.40
Ishares Tr Usd Inv Grde Etf (USIG) 2.0 $7.8M 130k 59.74
Nextera Energy (NEE) 2.0 $7.7M 83k 93.36
Medtronic SHS (MDT) 1.9 $7.4M 71k 103.45
Caterpillar (CAT) 1.8 $7.1M 34k 206.75
Philip Morris International (PM) 1.8 $6.8M 72k 95.00
American Express Company (AXP) 1.7 $6.5M 40k 163.60
Ecolab (ECL) 1.6 $6.3M 27k 234.60
Bhp Group Sponsored Ads (BHP) 1.5 $5.7M 95k 60.35
Ishares Core Msci Emkt (IEMG) 1.3 $5.2M 87k 59.84
International Business Machines (IBM) 1.3 $5.1M 39k 133.67
--- Spons Adr A 1.3 $4.9M 114k 43.40
JPMorgan Chase & Co. (JPM) 1.2 $4.6M 29k 158.34
3M Company (MMM) 1.1 $4.3M 24k 177.64
Exxon Mobil Corporation (XOM) 1.1 $4.1M 66k 61.19
Vanguard Bd Index Long Term Bond (BLV) 1.0 $3.9M 38k 102.92
--- Cl A Ltd Vt Sh 0.9 $3.4M 56k 60.38
Bristol Myers Squibb (BMY) 0.9 $3.4M 54k 62.34
Otis Worldwide Corp (OTIS) 0.7 $2.7M 31k 87.08
Booking Holdings (BKNG) 0.7 $2.6M 1.1k 2399.09
Constellation Brands Cl A (STZ) 0.7 $2.6M 10k 250.97
Discovery Com Ser C 0.7 $2.6M 112k 22.90
Hasbro (HAS) 0.6 $2.4M 24k 101.77
Gilead Sciences (GILD) 0.6 $2.3M 32k 72.63
Ping Identity Hldg Corp 0.6 $2.2M 95k 22.88
Ishares Tr Mbs Etf (MBB) 0.5 $1.9M 18k 107.44
Markel Corporation (MKL) 0.4 $1.5M 1.2k 1234.17
Berkshire Hathaway Inc Del Cl B New (BRK.B) 0.3 $1.0M 3.5k 299.08
Ultra Clean Holdings (UCTT) 0.3 $1.0M 18k 57.34
Ishares Tr Core S&p500 Etf (IVV) 0.1 $334k 700.00 477.14
Brookfield Asset Mgm Cl A Exch Lt Vtg 0.0 $24k 386.00 62.18