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 |