HoldingsChannel.com
Cascade Investment Advisors Inc. Top Holdings
As of  03/31/2020

   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
Intel Corp 60,369 -1,995 $3,267
     INTC60,369-1,995$3,267
Microsoft Corp 19,733 -1,026 $3,112
     MSFT19,733-1,026$3,112
Apple Inc. 10,116 -1,420 $2,572
     AAPL10,116-1,420$2,572
U S Bancorp Del New 57,350 +1,940 $1,976
     USB57,350+1,940$1,976
Gilead Sciences Inc. 23,630 -530 $1,767
     GILD23,630-530$1,767
Novartis AG ADR 20,870 -445 $1,721
     NVS20,870-445$1,721
Wells Fargo & Company 59,479 -25,211 $1,707
     WFC59,479-25,211$1,707
Amgen Inc. 7,990 -270 $1,620
     AMGN7,990-270$1,620
Bristol Myers Squibb 26,235 +25 $1,462
     BMY26,235+25$1,462
Cisco Systems Inc 36,270 -165 $1,426
     CSCO36,270-165$1,426
Starbucks Corp 19,548 -85 $1,285
     SBUX19,548-85$1,285
Kroger Company 42,030 -11,645 $1,266
     KR42,030-11,645$1,266
Public Storage REIT 6,340 -25 $1,259
     PSA6,340-25$1,259
J M Smucker Co New 11,304 -1,425 $1,255
     SJM11,304-1,425$1,255
Disney Walt Hldg Co 12,918 +300 $1,248
     DIS12,918+300$1,248
SolarEdge Technologies 15,155 -6,635 $1,241
     SEDG15,155-6,635$1,241
Target Corporation 13,150 -145 $1,223
     TGT13,150-145$1,223
Allstate Corporation 13,125 -310 $1,204
     ALL13,125-310$1,204
Applied Materials Inc 24,955 -335 $1,143
     AMAT24,955-335$1,143
Emerson Electric Co 23,965 +23,965 $1,142
     EMR23,965+23,965$1,142
Kansas City Southern 8,877 -160 $1,129
     KSU8,877-160$1,129
Nutrien Ltd 32,672 +476 $1,109
     NTR32,672+476$1,109
Zebra Technologies Corp 6,027 -1,343 $1,107
     ZBRA6,027-1,343$1,107
Medtronic PLC 12,230 -155 $1,103
     MDT12,230-155$1,103
Eaton Corporation PLC 14,140 -200 $1,099
     ETN14,140-200$1,099
Amazon Com Inc 553 +483 $1,078
     AMZN553+483$1,078
Mondelez Intl Inc Class A 21,445 +820 $1,074
     MDLZ21,445+820$1,074
Facebook Inc Class A 6,435 -180 $1,073
     FB6,435-180$1,073
Johnson & Johnson 8,013 +3,745 $1,051
     JNJ8,013+3,745$1,051
F5 Networks Inc 9,740 +415 $1,039
     FFIV9,740+415$1,039
Rogers Communication Class B 24,750 +1,660 $1,028
     RCI24,750+1,660$1,028
FedEx Corporation 8,430 +450 $1,022
     FDX8,430+450$1,022
Qualcomm Inc 15,009 -175 $1,015
     QCOM15,009-175$1,015
Williams Sonoma Inc. 22,630 -700 $962
     WSM22,630-700$962
PACCAR Inc 15,645 -350 $956
     PCAR15,645-350$956
Jones Lang LaSalle 9,260 +100 $935
     JLL9,260+100$935
McKesson Corp. 6,860 -150 $928
     MCK6,860-150$928
Omnicom Group Inc 16,554 -1,180 $909
     OMC16,554-1,180$909
CoreLogic Inc. 29,720 -625 $908
     CLGX29,720-625$908
MetLife Inc 29,615 -785 $905
     MET29,615-785$905
Gentex Corp. 40,775 -2,100 $904
     GNTX40,775-2,100$904
Walgreens Boots Alliance 19,250 +2,495 $881
     WBA19,250+2,495$881
T Rowe Price Group Inc 8,930 -425 $872
     TROW8,930-425$872
Stericycle Inc. 17,860 -425 $868
     SRCL17,860-425$868
The Charles Schwab Corp 25,000 +5,745 $840
     SCHW25,000+5,745$840
Magna Intl Inc 25,915 -200 $827
     MGA25,915-200$827
Infosys Ltd Sponsored 99,300 -2,200 $815
     INFY99,300-2,200$815
Sensata Technologies 28,015 +930 $810
     ST28,015+930$810
C H Robinson Worldwide 12,180 +40 $806
     CHRW12,180+40$806
Caterpillar Inc 6,890 +6,790 $800
     CAT6,890+6,790$800

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 03/31/2020: $90,700
At 12/31/2019: $130,774

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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