HoldingsChannel.com
Palisade Asset Management LLC Top Holdings
As of  03/31/2020

   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
Microsoft Corp 175,495 -2,048 $27,677
     MSFT175,495-2,048$27,677
Abbott Laboratories 229,475 -2,184 $18,108
     ABT229,475-2,184$18,108
Apple Inc 68,397 -488 $17,393
     AAPL68,397-488$17,393
Target Corp 165,531 +7,746 $15,389
     TGT165,531+7,746$15,389
Procter & Gamble Co 129,433 -1,027 $14,238
     PG129,433-1,027$14,238
The Home Depot Inc 76,208 -181 $14,229
     HD76,208-181$14,229
Amgen Inc 69,733 +110 $14,137
     AMGN69,733+110$14,137
Cisco Systems Inc 344,168 +7,103 $13,529
     CSCO344,168+7,103$13,529
Johnson & Johnson 103,133 +449 $13,524
     JNJ103,133+449$13,524
SPDR S&P 500 ETF TR (SPY) 51,746 -6,410 $13,338
     SPY51,746-6,410$13,338
3M Co 87,044 +13,057 $11,882
     MMM87,044+13,057$11,882
PepsiCo Inc 91,130 -1,110 $10,945
     PEP91,130-1,110$10,945
Ball Corp 163,654 -2,359 $10,582
     BLL163,654-2,359$10,582
Oracle Corp 212,556 +4,400 $10,273
     ORCL212,556+4,400$10,273
Hormel Foods Corp 216,158 +966 $10,082
     HRL216,158+966$10,082
International Business Machines Corp 79,894 +5,662 $8,863
     IBM79,894+5,662$8,863
Walgreen Boots Alliance Inc Com 190,517 +10,878 $8,716
     WBA190,517+10,878$8,716
McDonald s Corp 52,143 -91 $8,622
     MCD52,143-91$8,622
Becton Dickinson and Co 37,134 +530 $8,532
     BDX37,134+530$8,532
Intel Corp 151,539 -290 $8,201
     INTC151,539-290$8,201
US Bancorp 234,065 +9,030 $8,064
     USB234,065+9,030$8,064
Baxter International Inc 97,641 -188 $7,927
     BAX97,641-188$7,927
Aflac Inc 225,473 +1,687 $7,720
     AFL225,473+1,687$7,720
Stryker Corp 45,975 -965 $7,654
     SYK45,975-965$7,654
L3HARRIS TECHNOLOGIES INC 42,381 -685 $7,634
     LHX42,381-685$7,634
Verizon Communications Inc 134,319 +700 $7,217
     VZ134,319+700$7,217
United Technologies Corp 73,143 +1,287 $6,900
     UTX73,143+1,287$6,900
Omnicom Group Inc 116,010 +4,065 $6,369
     OMC116,010+4,065$6,369
Royal Bank of Canada 101,645 -777 $6,256
     RY101,645-777$6,256
Deere & Co 44,653 -115 $6,169
     DE44,653-115$6,169
UnitedHealth Group Inc 24,619 -11,013 $6,139
     UNH24,619-11,013$6,139
Colgate Palmolive Co 91,979 -290 $6,104
     CL91,979-290$6,104
Chevron Corp 80,890 +2,950 $5,861
     CVX80,890+2,950$5,861
Wells Fargo & Co 202,981 +4,890 $5,826
     WFC202,981+4,890$5,826
Xcel Energy Inc 95,922 +400 $5,784
     XEL95,922+400$5,784
AT&T Inc 194,693 +2,065 $5,675
     T194,693+2,065$5,675
AbbVie Inc 72,856 -425 $5,551
     ABBV72,856-425$5,551
Ecolab Inc 34,435 -285 $5,366
     ECL34,435-285$5,366
General Dynamics Corp 40,382 +1,111 $5,343
     GD40,382+1,111$5,343
Sysco Corp 116,884 +2,863 $5,333
     SYY116,884+2,863$5,333
Donaldson Co Inc 130,854 +32,716 $5,055
     DCI130,854+32,716$5,055
ISHARES TR (IWM) 43,362 -1,035 $4,963
     IWM43,362-1,035$4,963
Exxon Mobil Corp 129,282 +17,185 $4,909
     XOM129,282+17,185$4,909
SPDR S&P MIDCAP 400 ETF TR (MDY) 17,765 -1,580 $4,670
     MDY17,765-1,580$4,670
TJX Companies Inc 97,019 +359 $4,638
     TJX97,019+359$4,638
General Mills Inc 84,937 +1,995 $4,482
     GIS84,937+1,995$4,482
Dominion Resources Inc 58,920 +90 $4,253
     D58,920+90$4,253
Kimberly Clark Corp 32,648 -570 $4,175
     KMB32,648-570$4,175
Principal Finl Group Inc 127,431 +13,890 $3,994
     PFG127,431+13,890$3,994
Automatic Data Processing Inc 28,389 -250 $3,880
     ADP28,389-250$3,880

See Full List: All Stocks Held By Palisade Asset Management LLC
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Palisade Asset Management LLC

Size ($ in 1000's)
At 03/31/2020: $548,507
At 12/31/2019: $683,566

Palisade Asset Management LLC holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Palisade Asset Management LLC 13F filings. Link to 13F filings: SEC filings

Palisade Asset Management LLC Top Holdings 13F Filings | www.HoldingsChannel.com

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