HoldingsChannel.com
Palisade Asset Management LLC Top Holdings
As of  12/31/2019

   EntityAmountChange
 09/30/2019 to 12/31/2019
Position Size
($ in 1000's)
Microsoft Corp 177,543 +347 $27,999
     MSFT177,543+347$27,999
Target Corp 157,785 -479 $20,230
     TGT157,785-479$20,230
Apple Inc 68,885 +883 $20,228
     AAPL68,885+883$20,228
Abbott Laboratories 231,659 -186 $20,122
     ABT231,659-186$20,122
SPDR S&P 500 ETF TR (SPY) 58,156 -195 $18,718
     SPY58,156-195$18,718
Amgen Inc 69,623 +130 $16,784
     AMGN69,623+130$16,784
The Home Depot Inc 76,389 +1,159 $16,682
     HD76,389+1,159$16,682
Procter & Gamble Co 130,460 +1 $16,294
     PG130,460+1$16,294
Cisco Systems Inc 337,065 +6,419 $16,166
     CSCO337,065+6,419$16,166
Johnson & Johnson 102,684 +1,594 $14,979
     JNJ102,684+1,594$14,979
US Bancorp 225,035 -1,008 $13,342
     USB225,035-1,008$13,342
3M Co 73,987 +9,218 $13,053
     MMM73,987+9,218$13,053
PepsiCo Inc 92,240 +364 $12,606
     PEP92,240+364$12,606
Aflac Inc 223,786 +947 $11,838
     AFL223,786+947$11,838
Oracle Corp 208,156 +4,015 $11,028
     ORCL208,156+4,015$11,028
United Technologies Corp 71,856 +87 $10,761
     UTX71,856+87$10,761
Ball Corp 166,013 -2,808 $10,736
     BLL166,013-2,808$10,736
Wells Fargo & Co 198,091 +2,120 $10,657
     WFC198,091+2,120$10,657
Walgreen Boots Alliance Inc Com 179,639 -10,377 $10,592
     WBA179,639-10,377$10,592
UnitedHealth Group Inc 35,632 -41,998 $10,475
     UNH35,632-41,998$10,475
McDonald s Corp 52,234 +272 $10,322
     MCD52,234+272$10,322
Becton Dickinson and Co 36,604 -35 $9,955
     BDX36,604-35$9,955
International Business Machines Corp 74,232 -2,135 $9,950
     IBM74,232-2,135$9,950
Stryker Corp 46,940 +4,783 $9,855
     SYK46,940+4,783$9,855
Sysco Corp 114,021 -738 $9,753
     SYY114,021-738$9,753
Hormel Foods Corp 215,192 -40 $9,707
     HRL215,192-40$9,707
Chevron Corp 77,940 -19,116 $9,393
     CVX77,940-19,116$9,393
Intel Corp 151,829 +3,845 $9,087
     INTC151,829+3,845$9,087
Omnicom Group Inc 111,945 +14,060 $9,070
     OMC111,945+14,060$9,070
L3HARRIS TECHNOLOGIES INC 43,066 -515 $8,521
     LHX43,066-515$8,521
Verizon Communications Inc 133,619 +3,841 $8,204
     VZ133,619+3,841$8,204
Baxter International Inc 97,829 -690 $8,180
     BAX97,829-690$8,180
Royal Bank of Canada 102,422 -633 $8,112
     RY102,422-633$8,112
Exxon Mobil Corp 112,097 -39,084 $7,822
     XOM112,097-39,084$7,822
Deere & Co 44,768 -125 $7,757
     DE44,768-125$7,757
AT&T Inc 192,628 +3,355 $7,528
     T192,628+3,355$7,528
ISHARES TR (IWM) 44,397 -1,060 $7,355
     IWM44,397-1,060$7,355
SPDR S&P MIDCAP 400 ETF TR (MDY) 19,345 -21 $7,262
     MDY19,345-21$7,262
General Dynamics Corp 39,271 +165 $6,925
     GD39,271+165$6,925
Ecolab Inc 34,720 +1,165 $6,701
     ECL34,720+1,165$6,701
AbbVie Inc 73,281 +357 $6,488
     ABBV73,281+357$6,488
Colgate Palmolive Co 92,269 -62 $6,352
     CL92,269-62$6,352
Principal Finl Group Inc 113,541 -4,815 $6,245
     PFG113,541-4,815$6,245
Xcel Energy Inc 95,522 +565 $6,065
     XEL95,522+565$6,065
Royal Dutch Shell PLC      $6,020
     RDS.A102,075+2,180$6,020
TJX Companies Inc 96,660 +91 $5,902
     TJX96,660+91$5,902
Donaldson Co Inc 98,138 UNCH $5,655
     DCI98,138UNCH$5,655
Automatic Data Processing Inc 28,639 +600 $4,883
     ADP28,639+600$4,883
Dominion Resources Inc 58,830 +2,158 $4,872
     D58,830+2,158$4,872
Kimberly Clark Corp 33,218 +1,050 $4,569
     KMB33,218+1,050$4,569

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 12/31/2019: $683,566
At 09/30/2019: $655,804

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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