Shelter Mutual Insurance Company

Shelter Mutual Insurance Company as of March 31, 2012

Portfolio Holdings for Shelter Mutual Insurance Company

Shelter Mutual Insurance Company holds 51 positions in its portfolio as reported in the March 2012 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
aitken Spence Hotel Holdngs Lkr10 22.2 $7.2M 3.9M 1.86
Visa Inc/a 3.1 $991k 42k 23.43
Hospira 3.0 $985k 53k 18.55
Franklin Resources 3.0 $981k 32k 30.56
International Business Machine 3.0 $972k 43k 22.60
Schlumberger 3.0 $972k 100k 9.75
Bhp Billiton Ltd - Spon Adr adr 08860 2.9 $955k 68k 13.95
Caterpillar Tractor 2.8 $900k 84k 10.77
Lowe's 2.8 $895k 156k 5.74
Emerson Electric 2.6 $854k 55k 15.61
Verisk Analytics Inc - Class A 2.5 $800k 81k 9.89
Weatherford International 2.3 $758k 117k 6.51
Itc Holdings 2.3 $754k 23k 33.07
Ametek 2.2 $716k 77k 9.35
Oracle 2.1 $696k 161k 4.32
Spdr Trust Series 1 2.1 $676k 4.8k 140.83
Intel 2.0 $664k 237k 2.80
Cisco Systems 2.0 $666k 173k 3.84
American Express Company 2.0 $654k 115k 5.69
Hewlett-packard 2.0 $642k 69k 9.32
Royal Dutch Shell Plc - Adr A adr 78025 1.9 $634k 95k 6.70
Pepsico Incorporated 1.9 $600k 84k 7.11
Pepsico Incorporated 1.7 $557k 52k 10.77
General Electric Company 1.7 $543k 226k 2.40
Philip Morris International 1.6 $532k 85k 6.26
Pfizer 1.6 $526k 156k 3.38
Merck & Co. 1.6 $514k 92k 5.62
Kohl's 1.6 $512k 50k 10.20
Target 1.4 $461k 59k 7.76
Abbott Labs 1.3 $411k 105k 3.93
Exxon Mobil Corporation 1.3 $412k 62k 6.60
Praxair 1.2 $407k 21k 19.38
Ensco Plc adr 29358 1.2 $377k 45k 8.40
Cme 1.1 $373k 8.2k 45.49
Berkshire Hathaway 1.1 $364k 44.00 8272.73
Alere 1.1 $346k 90k 3.84
Illinois Tool Works 1.1 $341k 76k 4.49
Flowserve 0.9 $305k 11k 26.99
3m Company 0.8 $255k 48k 5.35
Procter & Gamble 0.5 $163k 92k 1.78
Mead Johnson Nutrition 0.5 $159k 38k 4.15
Avon Products 0.5 $145k 111k 1.31
Jm Smucker 0.4 $134k 63k 2.12
Ecolab 0.4 $134k 35k 3.87
Bp P.l.c. adr 05562 0.4 $126k 70k 1.81
Covidien 0.3 $95k 57k 1.68
Wal-mart Stores 0.2 $76k 99k 0.77
Hsbc Holdings Plc-spons Adr adr 40428 0.2 $79k 92k 0.86
Yum Brands 0.2 $61k 71k 0.86
Enbridge 0.1 $36k 52k 0.69
Teva Pharmaceutical Industries Ltd adr 88162 0.0 $14k 45k 0.31