HoldingsChannel.com
Cascade Investment Advisors Inc. Top Holdings
As of  09/30/2019

   EntityAmountChange
 06/30/2019 to 09/30/2019
Position Size
($ in 1000's)
Apple Inc. 30,124 +17,981 $6,747
     AAPL30,124+17,981$6,747
Emerson Electric Co 85,536 +2,442 $4,724
     WFC85,536+2,442$4,724
Intel Corp 64,390 +411 $3,318
     INTC64,390+411$3,318
U S Bancorp Del New 56,611 +851 $3,133
     USB56,611+851$3,133
Microsoft Corp 22,208 -264 $3,088
     MSFT22,208-264$3,088
Welltower Inc. REIT 22,886 +366 $2,075
     WELL22,886+366$2,075
SolarEdge Technologies 24,135 -975 $2,021
     SEDG24,135-975$2,021
Novartis AG ADR 22,455 +515 $1,951
     NVS22,455+515$1,951
Cisco Systems Inc 37,170 -5,369 $1,837
     CSCO37,170-5,369$1,837
Starbucks Corp 20,273 -3,175 $1,793
     SBUX20,273-3,175$1,793
Disney Walt Hldg Co 13,425 +1,380 $1,750
     DIS13,425+1,380$1,750
Williams Sonoma Inc. 24,815 +1,160 $1,687
     WSM24,815+1,160$1,687
Nutrien Ltd 33,653 +1,844 $1,679
     NTR33,653+1,844$1,679
Amgen Inc. 8,600 +285 $1,664
     AMGN8,600+285$1,664
Honeywell Int l. 9,525 +320 $1,612
     HON9,525+320$1,612
Allstate Corporation 14,325 +265 $1,557
     ALL14,325+265$1,557
Omnicom Group Inc 19,774 -985 $1,548
     OMC19,774-985$1,548
Gilead Sciences Inc. 24,340 +2,470 $1,543
     GILD24,340+2,470$1,543
Target Corporation 14,385 -2,040 $1,538
     TGT14,385-2,040$1,538
Zebra Technologies Corp 7,370 +55 $1,521
     ZBRA7,370+55$1,521
MetLife Inc 31,600 +322 $1,490
     MET31,600+322$1,490
Magna Intl Inc 27,715 +1,400 $1,478
     MGA27,715+1,400$1,478
CoreLogic Inc. 31,430 +850 $1,454
     CLGX31,430+850$1,454
J M Smucker Co New 13,194 +460 $1,452
     SJM13,194+460$1,452
Kroger Company 56,075 +1,845 $1,446
     KR56,075+1,845$1,446
Sensata Technologies 28,185 +1,300 $1,411
     ST28,185+1,300$1,411
Public Storage REIT 5,745 +225 $1,409
     PSA5,745+225$1,409
Delta Air Lines Inc 24,440 +660 $1,408
     DAL24,440+660$1,408
Bristol Myers Squibb 27,455 +955 $1,392
     BMY27,455+955$1,392
Qualcomm Inc 18,215 +915 $1,389
     QCOM18,215+915$1,389
Weyerhaeuser Co. 49,192 +2,901 $1,363
     WY49,192+2,901$1,363
Medtronic PLC 12,435 -100 $1,351
     MDT12,435-100$1,351
Sabre Corporation 59,900 +2,375 $1,341
     SABR59,900+2,375$1,341
F5 Networks Inc 9,535 +865 $1,339
     FFIV9,535+865$1,339
Jones Lang LaSalle 9,555 +345 $1,329
     JLL9,555+345$1,329
ConocoPhillips 23,205 +550 $1,322
     COP23,205+550$1,322
Applied Materials Inc 26,190 +1,070 $1,307
     AMAT26,190+1,070$1,307
PACCAR Inc 18,076 +425 $1,266
     PCAR18,076+425$1,266
Kansas City Southern 9,405 +1,455 $1,251
     KSU9,405+1,455$1,251
FedEx Corporation 8,495 +1,040 $1,237
     FDX8,495+1,040$1,237
Facebook Inc Class A 6,890 +275 $1,227
     FB6,890+275$1,227
Gentex Corp. 44,550 +700 $1,227
     GNTX44,550+700$1,227
Eaton Corporation PLC 14,690 +500 $1,221
     ETN14,690+500$1,221
Nordstrom Inc. 36,054 +5,055 $1,214
     JWN36,054+5,055$1,214
Mondelez Intl Inc Class A 21,450 +425 $1,187
     MDLZ21,450+425$1,187
CitiGroup Inc. 17,110 +17,110 $1,182
     COM17,110+17,110$1,182
Wal Mart Stores Inc 9,955 -910 $1,181
     WMT9,955-910$1,181
Kimco Realty Corp REIT 56,505 +3,180 $1,180
     KIM56,505+3,180$1,180
Winnebago Industries 30,625 -3,990 $1,174
     WGO30,625-3,990$1,174
Bank Montreal Quebec 15,550 +675 $1,147
     BMO15,550+675$1,147

See Full List: All Stocks Held By Cascade Investment Advisors Inc.
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Cascade Investment Advisors Inc.

Size ($ in 1000's)
At 09/30/2019: $129,596
At 06/30/2019: $117,819

Cascade Investment Advisors Inc. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Cascade Investment Advisors Inc. 13F filings. Link to 13F filings: SEC filings

Cascade Investment Advisors Inc. Top Holdings 13F Filings | www.HoldingsChannel.com

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