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Institutional Investment Manager
Shelter Mutual Insurance Co
Shelter Mutual Insurance Co (CIK: 0001455288) incorporated in Missouri, located at 1817 W Broadway, Columbia, MO. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q3)
Portfolio Summary: 45 holdings with a total value of $363,462,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 BERKSHIRE HATHAWAY INC DEL 101 20,897,000 5.75%
2 PEPSICO INC 177,930 16,564,000 4.56%
3 UNION PAC CORP 145,800 15,808,000 4.35%
4 INTERNATIONAL BUSINESS MACHS 72,300 13,725,000 3.78%
5 ROYAL DUTCH SHELL PLC 174,880 13,313,000 3.66%
6 SCHLUMBERGER LTD 124,160 12,626,000 3.47%
7 3M CO 85,660 12,137,000 3.34%
8 VISA INC 56,010 11,951,000 3.29%
9 PROCTER AND GAMBLE CO 140,090 11,731,000 3.23%
10 ORACLE CORP 285,380 10,925,000 3.01%
11 EXXON MOBIL CORP 107,652 10,124,000 2.79%
12 COVIDIEN PLC 114,850 9,936,000 2.73%
13 WAL-MART STORES INC 129,042 9,868,000 2.72%
14 ILLINOIS TOOL WKS INC 115,920 9,786,000 2.69%
15 LOWES COS INC 182,900 9,679,000 2.66%
16 SMUCKER J M CO 97,120 9,614,000 2.65%
17 CATERPILLAR INC 94,300 9,339,000 2.57%
18 GENERAL ELECTRIC CO 353,490 9,057,000 2.49%
19 INTEL CORP 253,650 8,832,000 2.43%
20 EMERSON ELEC CO 136,970 8,571,000 2.36%
21 MERCK & CO INC 134,440 7,970,000 2.19%
22 PFIZER INC 269,500 7,969,000 2.19%
23 MEAD JOHNSON NUTRITION CO 82,130 7,903,000 2.17%
24 PRAXAIR INC 58,140 7,500,000 2.06%
25 AMERICAN EXPRESS CO 84,240 7,374,000 2.03%
26 VERISK ANALYTICS INC 117,800 7,173,000 1.97%
27 PHILIP MORRIS INTL INC 85,820 7,157,000 1.97%
28 ECOLAB INC 62,214 7,144,000 1.97%
29 CME GROUP INC 84,100 6,725,000 1.85%
30 EXPRESS SCRIPTS HLDG CO 90,662 6,404,000 1.76%
31 FRANKLIN RESOURCES INC 110,610 6,040,000 1.66%
32 BHP BILLITON LTD 101,030 5,949,000 1.64%
33 CISCO SYS INC 234,600 5,905,000 1.62%
34 ABBVIE INC 102,100 5,897,000 1.62%
35 ENBRIDGE INC 109,120 5,225,000 1.44%
36 TARGET CORP 76,450 4,791,000 1.32%
37 ABBOTT LABS 102,100 4,247,000 1.17%
38 ITC HOLDINGS ORD 108,030 3,849,000 1.06%
39 BP PLC 79,300 3,485,000 0.96%
40 ENSCO PLC 84,100 3,474,000 0.96%
41 TEVA PHARMACEUTICAL INDS LTD 44,100 2,370,000 0.65%
42 AVON PRODS INC 156,180 1,968,000 0.54%
43 MALLINCKRODT PUB LTD CO SHS 14,356 1,294,000 0.36%
44 BERKSHIRE HATHAWAY INC DEL 5,320 735,000 0.20%
45 VODAFONE GROUP PLC NEW 13,100 431,000 0.12%

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001455288-14-000004, filed 2014.11.13).

From 2023-01-03 onward, the SEC requires values to be reported in nearest dollars. Earlier filings reported values in thousands; therefore, positions shown as $0 in older filings may represent actual values between $0–$999.