Shelter Mutual Insurance Co

CIK 1455288 · Lihat di SEC EDGAR ↗

Nilai Portofolio
$472.8M
#3.912 dari 9.443 berdasarkan nilai 13F · top 41.4%
Posisi
58
Per tanggal
30 Juni 2026

Nilai portofolio QoQ: +5.1% 13F tidak mengungkapkan kas

Bobot 10 kepemilikan teratas
40,05%
Bobot 25 kepemilikan teratas
73,82%
Posisi di atas 1%
38
Jumlah posisi efektif
35,0

Berdasarkan kepemilikan ekuitas jangka panjang 13F saja (kas, obligasi, posisi jual tidak diungkapkan)

Perputaran Q2 2026: 1,53% Perkiraan pembelian $12.022.191 · penjualan $7.076.238

Kepemilikan median: 7,0 kuartal Dilacak Q4 2024–Q2 2026 · 98,3% masih dipegang

Posisi baru
0
Meningkat
2
Menurun
2
Tertutup
1
Di halaman ini

Rincian sektor

Industrials
12,6%
Healthcare
8,2%
Financial Services
7,9%
Technology
6,3%
Retail
6,1%
Materials
4,6%
Energy
3,7%
Financials
2,5%
Consumer products
1,9%
Consumer Staples
1,8%
Utilities
1,5%
Consumer Discretionary
1,5%
Lainnya/Tidak terpetakan
41,5%

Portofolio lengkap 58 posisi

Tipe Rentetan Tren 8 kuartal
IVV $31.651.087 6,69% 42.264 $10.425.681 Naik ×3
VXUS Vanguard Total International Stock ETF $26.914.218 5,69% 314.823 $2.638.216
BRKA $25.460.900 5,38% 34 $1.044.140
CAT Caterpillar, Inc. Common Stock $17.826.426 3,77% 16.740 $3.140.050 Turun ×1
VTI $16.226.254 3,43% 43.850 $2.158.735
IEFA $15.508.334 3,28% 160.575 $971.479
ABBV AbbVie Inc. Common Stock $14.324.607 3,03% 56.925 $1.943.988
V Visa Inc. $13.932.885 2,95% 40.610 $1.658.919
WMT Walmart Inc. - Common Stock $13.791.217 2,92% 121.766 $-1.341.862
LIN Linde plc - Ordinary Shares $13.720.774 2,90% 26.440 $612.880
VRTX Vertex Pharmaceuticals Incorporated - Common Stock $13.709.748 2,90% 27.600 $1.385.244
USIG iShares Broad USD Investment Grade Corporate Bond ETF $13.536.587 2,86% 263.974 $13.199
DE Deere & Company Common Stock $12.886.414 2,73% 20.315 $1.442.974
ORCL Oracle Corporation Common Stock $12.121.151 2,56% 82.710 $-46.317
IBM International Business Machines Corporation Common Stock $10.824.054 2,29% 38.491 $1.494.220
MBB iShares MBS ETF $10.700.798 2,26% 113.212 $-48.681
LQD $10.383.028 2,20% 95.196 $7.616
CME CME Group Inc. - Class A Common Stock $10.140.514 2,14% 45.920 $-3.421.958
AXP American Express Company Common Stock $9.719.614 2,06% 28.735 $1.027.851
ITW Illinois Tool Works Inc. Common Stock $9.693.645 2,05% 35.840 $364.851
UNP Union Pacific Corporation Common Stock $9.662.256 2,04% 35.523 $1.043.666
JPM JP Morgan Chase & Co. Common Stock $9.492.570 2,01% 29.000 $961.930
LOW Lowe's Companies, Inc. Common Stock $9.066.549 1,92% 41.120 $-649.285
XOM Exxon Mobil Corporation Common Stock $8.908.675 1,88% 65.160 $-2.146.371
SHEL Shell PLC American Depositary Shares (each representing two (2) Ordinary Shares) $8.820.175 1,87% 113.750 $-1.758.575
PG Procter & Gamble Company (The) Common Stock $8.753.675 1,85% 59.695 $131.329
BHP BHP Group Limited American Depositary Shares (Each representing two Ordinary Shares) $7.887.791 1,67% 94.680 $1.000.768
NEE NextEra Energy, Inc. Common Stock $7.242.780 1,53% 82.520 $-421.678
VRSK Verisk Analytics, Inc. - Common Stock $7.127.341 1,51% 39.700 $-405.734
PEP PepsiCo, Inc. - Common Stock $6.908.108 1,46% 51.020 $-1.014.788
QCOM QUALCOMM Incorporated - Common Stock $6.612.710 1,40% 35.785 $33.984 Turun ×1
IEMG $6.388.124 1,35% 77.114 $1.009.422
TGT Target Corporation Common Stock $6.215.730 1,31% 47.590 $447.822
AGG $5.707.187 1,21% 57.660 $-16.721
BND Vanguard Total Bond Market ETF $5.621.958 1,19% 76.583 $-17.614
BAB $5.330.129 1,13% 198.589 $-23.830
IGIB iShares 5-10 Year Investment Grade Corporate Bond ETF $5.167.152 1,09% 97.200 $-3.888
BKNG Booking Holdings Inc. - Common Stock $4.901.600 1,04% 27.500 $270.248 Naik ×1
IXUS iShares Core MSCI Total International Stock ETF $4.663.095 0,99% 48.818 $436.433
GILD Gilead Sciences, Inc. - Common Stock $4.056.777 0,86% 32.110 $-418.394
BN Brookfield Corporation Class A Limited Voting Shares $3.585.908 0,76% 84.196 $178.496
PFE Pfizer, Inc. Common Stock $3.511.346 0,74% 145.820 $-583.280
GOVT $3.119.311 0,66% 136.932 $-17.801
BMY Bristol-Myers Squibb Company Common Stock $3.099.956 0,66% 53.800 $-163.014
BLV $2.619.340 0,55% 38.000 $5.700
MKL Markel Group Inc. Common Stock $2.343.612 0,50% 1.200 $46.728
OTIS Otis Worldwide Corporation Common Stock $2.233.920 0,47% 31.200 $-170.976
HAS Hasbro, Inc. - Common Stock $1.957.383 0,41% 23.700 $-260.937
BRKB $1.738.355 0,37% 3.474 $73.614
STZ Constellation Brands, Inc. Common Stock $1.432.627 0,30% 10.300 $-112.373
VCSH Vanguard Short-Term Corporate Bond ETF $929.551 0,20% 11.762 $-2.823
VCIT Vanguard Intermediate-Term Corporate Bond ETF $902.290 0,19% 10.917 $-1.092
SPAB $839.279 0,18% 32.900 $-4.277
BIV $836.030 0,18% 10.900 $-5.232
TLH $588.854 0,12% 5.868 $-2.171
VLUE $530.948 0,11% 2.657 $156.298
BBAG $477.880 0,10% 10.400 $-2.184
QLTA $475.300 0,10% 10.000 $-800

Kepemilikan dengan keyakinan

Posisi meningkat selama 3+ kuartal berturut-turut.

Jumlah saham dilaporkan dalam pengajuan 13F (tidak disesuaikan split)

Sekuritas Nilai % dari portofolio Rentetan
IVV $31.651.087 6,69% naik ×3

Penggerak teratas (QoQ)

Sekuritas Aksi Saham Δ Nilai Δ
IVV Beli lebih banyak +10K +$10.4M
CME Hanya pergerakan harga +0 -$3.4M
CAT Dipangkas -4K +$3.1M
VXUS Hanya pergerakan harga +0 +$2.6M
VTI Hanya pergerakan harga +0 +$2.2M
XOM Hanya pergerakan harga +0 -$2.1M
ABBV Hanya pergerakan harga +0 +$1.9M
SHEL Hanya pergerakan harga +0 -$1.8M
V Hanya pergerakan harga +0 +$1.7M
IBM Hanya pergerakan harga +0 +$1.5M

Posisi yang keluar

Termasuk peristiwa perusahaan (merger, delisting) — tidak semua keluar adalah penjualan

Posisi tertutup mencerminkan perubahan pelaporan 13F; bagi manajer indeks, ini sering kali mekanis (penghapusan pencatatan, M&A, penyeimbangan ulang indeks), bukan keputusan aktif.

SekuritasKuartal Saham sebelumnya Nilai sebelumnya Harga sejak keluar
IWR 31 Maret 2026 3.980 $383.155 Tidak lagi dilacak