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Cairn Investment Group, Inc.

All holdings · as of Dec 31, 2025

66 positions

CompanyClassValueShares% of portfolio
S&P Global Inc.$2164140.1%
AbbVie Inc.$2229730.1%
Teledyne Technologies Inc$2284460.1%
ABBOTT LABORATORIES$2321,8490.1%
iShares Trust$2461,7420.1%
Union Pacific Corp$2571,1100.1%
BANK OF AMERICA CORP /DE$2624,7680.1%
UNITEDHEALTH GROUP INC$2788410.1%
The Boeing Company$3001,3810.1%
iShares Trust$3254750.2%
iShares Short Treasury$3282,9750.2%
FORD MOTOR CO$34426,2550.2%
iShares Trust$3774,2110.2%
Vanguard Specialized Funds$3851,7520.2%
CINTAS CORP$3912,0770.2%
AMERIPRISE FINANCIAL INC$3998140.2%
EMERSON ELECTRIC CO$4193,1600.2%
Walt Disney Co$4333,8100.2%
Amazon.com Inc$5042,1850.2%
Novo Nordisk A/S ADR$52510,3280.2%
3M CO$5403,3700.3%
EXXON MOBIL CORP$5764,7840.3%
Meta Platforms Inc$6119250.3%
Visa Inc$6591,8800.3%
Pacer FDS TR$68211,3400.3%
AMERICAN EXPRESS CO$7031,9000.3%
Goldman Sachs ETF Tr$7927,9200.4%
JPMorgan Chase & Co$1.1K3,5570.5%
MICROSOFT CORP$1.4K2,8730.7%
US BANCORP \DE$1.4K26,5380.7%
BIOGEN INC.$1.4K8,0960.7%
Edwards Lifesciences Corp$1.5K17,8000.7%
CISCO SYSTEMS, INC.$1.9K24,1460.9%
Warren E. Buffett$1.9K3,7870.9%
Vanguard Russell 1000 Value$2.1K22,5871.0%
CARDINAL HEALTH INC$2.4K11,4371.1%
GILEAD SCIENCES, INC.$2.7K21,7481.3%
MCKESSON CORP$2.9K3,5851.4%
FISERV INC$3.1K46,4401.5%
ELI LILLY & Co$3.2K2,9851.5%
EOG RESOURCES INC$3.2K30,5561.5%
Comcast Corp.$3.3K11,5701.6%
OMNICOM GROUP INC.$3.4K41,4891.6%
COSTCO WHOLESALE CORP /NEW$3.4K3,9111.6%
PACCAR INC$3.6K32,5361.7%
KROGER CO$3.6K57,8771.7%
Alphabet Inc.$3.7K11,9341.8%
F5 Inc$3.9K15,3581.9%
Cigna Group$4.2K15,1882.0%
Cognizant Technology Solutions Corp$4.7K57,1352.3%
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