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Cairn Investment Group, Inc.
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CI
Cairn Investment Group, Inc.
All holdings · as of Dec 31, 2025
66 positions
All types
Company
▲
▼
Class
Value
▲
▼
Shares
▲
▼
% of portfolio
▲
▼
S&P Global Inc.
—
$216
414
0.1%
AbbVie Inc.
—
$222
973
0.1%
Teledyne Technologies Inc
—
$228
446
0.1%
ABBOTT LABORATORIES
—
$232
1,849
0.1%
iShares Trust
—
$246
1,742
0.1%
Union Pacific Corp
—
$257
1,110
0.1%
BANK OF AMERICA CORP /DE
—
$262
4,768
0.1%
UNITEDHEALTH GROUP INC
—
$278
841
0.1%
The Boeing Company
—
$300
1,381
0.1%
iShares Trust
—
$325
475
0.2%
iShares Short Treasury
—
$328
2,975
0.2%
FORD MOTOR CO
—
$344
26,255
0.2%
iShares Trust
—
$377
4,211
0.2%
Vanguard Specialized Funds
—
$385
1,752
0.2%
CINTAS CORP
—
$391
2,077
0.2%
AMERIPRISE FINANCIAL INC
—
$399
814
0.2%
EMERSON ELECTRIC CO
—
$419
3,160
0.2%
Walt Disney Co
—
$433
3,810
0.2%
Amazon.com Inc
—
$504
2,185
0.2%
Novo Nordisk A/S ADR
—
$525
10,328
0.2%
3M CO
—
$540
3,370
0.3%
EXXON MOBIL CORP
—
$576
4,784
0.3%
Meta Platforms Inc
—
$611
925
0.3%
Visa Inc
—
$659
1,880
0.3%
Pacer FDS TR
—
$682
11,340
0.3%
AMERICAN EXPRESS CO
—
$703
1,900
0.3%
Goldman Sachs ETF Tr
—
$792
7,920
0.4%
JPMorgan Chase & Co
—
$1.1K
3,557
0.5%
MICROSOFT CORP
—
$1.4K
2,873
0.7%
US BANCORP \DE
—
$1.4K
26,538
0.7%
BIOGEN INC.
—
$1.4K
8,096
0.7%
Edwards Lifesciences Corp
—
$1.5K
17,800
0.7%
CISCO SYSTEMS, INC.
—
$1.9K
24,146
0.9%
Warren E. Buffett
—
$1.9K
3,787
0.9%
Vanguard Russell 1000 Value
—
$2.1K
22,587
1.0%
CARDINAL HEALTH INC
—
$2.4K
11,437
1.1%
GILEAD SCIENCES, INC.
—
$2.7K
21,748
1.3%
MCKESSON CORP
—
$2.9K
3,585
1.4%
FISERV INC
—
$3.1K
46,440
1.5%
ELI LILLY & Co
—
$3.2K
2,985
1.5%
EOG RESOURCES INC
—
$3.2K
30,556
1.5%
Comcast Corp.
—
$3.3K
11,570
1.6%
OMNICOM GROUP INC.
—
$3.4K
41,489
1.6%
COSTCO WHOLESALE CORP /NEW
—
$3.4K
3,911
1.6%
PACCAR INC
—
$3.6K
32,536
1.7%
KROGER CO
—
$3.6K
57,877
1.7%
Alphabet Inc.
—
$3.7K
11,934
1.8%
F5 Inc
—
$3.9K
15,358
1.9%
Cigna Group
—
$4.2K
15,188
2.0%
Cognizant Technology Solutions Corp
—
$4.7K
57,135
2.3%
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