HoldingsChannel.com
Cascade Investment Advisors Inc. Top Holdings
As of  06/30/2019

   EntityAmountChange
 03/31/2019 to 06/30/2019
Position Size
($ in 1000's)
Emerson Electric Co 83,094 +1,485 $4,399
     WFC83,094+1,485$4,399
Intel Corp 63,979 -711 $3,063
     INTC63,979-711$3,063
Microsoft Corp 22,472 -280 $3,010
     MSFT22,472-280$3,010
U S Bancorp Del New 55,760 +75 $2,922
     USB55,760+75$2,922
Apple Inc. 12,143 -35 $2,403
     AAPL12,143-35$2,403
Cisco Systems Inc 42,539 -300 $2,328
     CSCO42,539-300$2,328
Novartis AG ADR 21,940 +235 $2,003
     NVS21,940+235$2,003
Starbucks Corp 23,448 -1,055 $1,966
     SBUX23,448-1,055$1,966
Welltower Inc. REIT 22,520 +60 $1,836
     WELL22,520+60$1,836
Nutrien Ltd 31,809 -126 $1,701
     NTR31,809-126$1,701
Omnicom Group Inc 20,759 UNCH $1,701
     OMC20,759UNCH$1,701
Disney Walt Hldg Co 12,045 -225 $1,682
     DIS12,045-225$1,682
Honeywell Int l. 9,205 -230 $1,607
     HON9,205-230$1,607
Solaredge Technologies 25,110 +275 $1,568
     SEDG25,110+275$1,568
MetLife Inc 31,278 -265 $1,554
     MET31,278-265$1,554
Williams Sonoma Inc. 23,655 -75 $1,538
     WSM23,655-75$1,538
Amgen Inc. 8,315 +1,215 $1,532
     AMGN8,315+1,215$1,532
Zebra Technologies Corp 7,315 -95 $1,532
     ZBRA7,315-95$1,532
Gilead Sciences Inc. 21,870 +720 $1,478
     GILD21,870+720$1,478
J M Smucker Co New 12,734 -330 $1,467
     SJM12,734-330$1,467
Allstate Corporation 14,060 +205 $1,430
     ALL14,060+205$1,430
Target Corporation 16,425 +105 $1,423
     TGT16,425+105$1,423
ConocoPhillips 22,655 +50 $1,382
     COP22,655+50$1,382
Delta Air Lines Inc 23,780 +720 $1,350
     DAL23,780+720$1,350
Winnebago Industries 34,615 -65 $1,338
     WGO34,615-65$1,338
Sensata Technologies 26,885 +365 $1,317
     ST26,885+365$1,317
Qualcomm Inc 17,300 -3,850 $1,316
     QCOM17,300-3,850$1,316
Public Storage REIT 5,520 -100 $1,315
     PSA5,520-100$1,315
Magna Intl Inc 26,315 +240 $1,308
     MGA26,315+240$1,308
Jones Lang LaSalle 9,210 +210 $1,296
     JLL9,210+210$1,296
CoreLogic Inc. 30,580 +90 $1,279
     CLGX30,580+90$1,279
Facebook Inc Class A 6,615 -135 $1,277
     FB6,615-135$1,277
Sabre Corporation 57,525 +185 $1,277
     SABR57,525+185$1,277
PACCAR Inc 17,651 -420 $1,265
     PCAR17,651-420$1,265
F5 Networks Inc 8,670 +1,050 $1,263
     FFIV8,670+1,050$1,263
Exxon Mobil Corporation 16,325 +317 $1,251
     XOM16,325+317$1,251
FedEx Corporation 7,455 +405 $1,224
     FDX7,455+405$1,224
Medtronic PLC 12,535 +45 $1,221
     MDT12,535+45$1,221
Weyerhaeuser Co. 46,291 +5,830 $1,219
     WY46,291+5,830$1,219
Bristol Myers Squibb 26,500 +4,015 $1,202
     BMY26,500+4,015$1,202
Wal Mart Stores Inc 10,865 -400 $1,200
     WMT10,865-400$1,200
Eaton Corporation PLC 14,190 +150 $1,182
     ETN14,190+150$1,182
Kroger Company 54,230 +2,700 $1,177
     KR54,230+2,700$1,177
Borg Warner Inc 27,715 +1,200 $1,163
     BWA27,715+1,200$1,163
CitiGroup Inc.      $1,152
     C.WTA16,450+270$1,152
Mondelez Intl Inc Class A 21,025 -75 $1,133
     MDLZ21,025-75$1,133
Rogers Communication Class B 21,090 +695 $1,129
     RCI21,090+695$1,129
Applied Materials Inc 25,120 +450 $1,128
     AMAT25,120+450$1,128
Bank Montreal Quebec 14,875 +205 $1,122
     BMO14,875+205$1,122
Park Hotels & Resort 40,598 +2,687 $1,119
     PK40,598+2,687$1,119

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 06/30/2019: $117,819
At 03/31/2019: $111,518

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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