Shelter Mutual Insurance Co

CIK 1455288 · SEC EDGAR에서 보기 ↗

포트폴리오 가치
$472.8M
13F 가치 기준 9,443개 중 #3,912위 · 상위 41.4%
포지션
58
기준일
2026년 6월 30일

포트폴리오 가치 분기별: +5.1% 13F는 현금을 공개하지 않습니다

상위 10개 보유 비중
40.05%
상위 25개 보유 비중
73.82%
1% 초과 포지션
38
유효 포지션 수
35.0

13F 장기 주식 보유분만 기준 (현금, 채권, 공매도 미공개)

회전율 Q2 2026: 1.53% 추정 매수 $12,022,191 · 매도 $7,076,238

중앙값 보유 기간: 7.0 분기 추적 기간 Q4 2024–Q2 2026 · 98.3% 보유 중

신규 포지션
0
증가함
2
감소
2
종료
1
이 페이지에서

섹터별 비중

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%
기타/미분류
41.5%

전체 포트폴리오 58 포지션

유형 연속 8분기 추세
IVV $31,651,087 6.69% 42,264 $10,425,681 상승 ×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 하락 ×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 하락 ×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 상승 ×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

핵심 보유 종목

3개 분기 이상 연속으로 포지션이 증가했습니다.

주식 수는 13F 신고서에 보고된 대로입니다 (분할 조정되지 않음)

증권 가치 % 포트폴리오의 연속
IVV $31,651,087 6.69% ×3 상승

상위 변동 (분기별)

증권 거래 주식 Δ 가치 Δ
IVV 추가 매수 +10K +$10.4M
CME 가격 변동만 +0 -$3.4M
CAT 축소함 -4K +$3.1M
VXUS 가격 변동만 +0 +$2.6M
VTI 가격 변동만 +0 +$2.2M
XOM 가격 변동만 +0 -$2.1M
ABBV 가격 변동만 +0 +$1.9M
SHEL 가격 변동만 +0 -$1.8M
V 가격 변동만 +0 +$1.7M
IBM 가격 변동만 +0 +$1.5M

청산 포지션

기업 이벤트(합병, 상장 폐지) 포함 — 모든 이탈이 매도는 아님

청산된 포지션은 13F 보고 변경 사항을 반영합니다. 인덱스 관리자의 경우 이러한 변경은 능동적인 결정이 아닌 기계적인(상장 폐지, M&A, 인덱스 리밸런싱) 경우가 많습니다.

증권분기 이전 주식 수 이전 가치 매도 후 가격 변동
IWR 2026년 3월 31일 3,980 $383,155 더 이상 추적하지 않음