HoldingsChannel.com
Palisade Asset Management LLC Top Holdings
As of  03/31/2019

   EntityAmountChange
 12/31/2018 to 03/31/2019
Position Size
($ in 1000's)
Microsoft Corp 182,231 -45,864 $21,492
     MSFT182,231-45,864$21,492
UnitedHealth Group Inc 77,945 -530 $19,273
     UNH77,945-530$19,273
Abbott Laboratories 235,182 -66,366 $18,800
     ABT235,182-66,366$18,800
Cisco Systems Inc 336,121 -106,902 $18,147
     CSCO336,121-106,902$18,147
SPDR S&P 500 ETF TR (SPY) 59,044 +396 $16,679
     SPY59,044+396$16,679
The Home Depot Inc 76,204 -24,364 $14,623
     HD76,204-24,364$14,623
Johnson & Johnson 101,428 -30,554 $14,179
     JNJ101,428-30,554$14,179
Procter & Gamble Co 130,119 -50,525 $13,539
     PG130,119-50,525$13,539
Amgen Inc 70,267 -22,502 $13,349
     AMGN70,267-22,502$13,349
Apple Inc 69,539 -23,750 $13,209
     AAPL69,539-23,750$13,209
Target Corp 160,257 -52,222 $12,862
     TGT160,257-52,222$12,862
3M Co 61,269 -16,119 $12,730
     MMM61,269-16,119$12,730
Exxon Mobil Corp 150,225 -53,044 $12,138
     XOM150,225-53,044$12,138
Chevron Corp 97,221 -31,754 $11,976
     CVX97,221-31,754$11,976
PepsiCo Inc 93,985 -33,587 $11,518
     PEP93,985-33,587$11,518
Aflac Inc 226,846 -90,995 $11,342
     AFL226,846-90,995$11,342
Oracle Corp 206,911 -84,487 $11,113
     ORCL206,911-84,487$11,113
Walgreen Boots Alliance Inc Com 172,960 -62,998 $10,943
     WBA172,960-62,998$10,943
Ball Corp 178,441 -104,853 $10,325
     BLL178,441-104,853$10,325
US Bancorp 212,813 -73,770 $10,255
     USB212,813-73,770$10,255
International Business Machines Corp 72,164 -25,182 $10,182
     IBM72,164-25,182$10,182
McDonald s Corp 53,031 -22,669 $10,071
     MCD53,031-22,669$10,071
Hormel Foods Corp 216,958 -98,400 $9,711
     HRL216,958-98,400$9,711
United Technologies Corp 72,960 -27,595 $9,404
     UTX72,960-27,595$9,404
Becton Dickinson and Co 37,113 -17,455 $9,268
     BDX37,113-17,455$9,268
Stryker Corp 43,143 +5,409 $8,522
     SYK43,143+5,409$8,522
Wells Fargo & Co 175,638 -70,040 $8,487
     WFC175,638-70,040$8,487
Baxter International Inc 100,429 -58,245 $8,166
     BAX100,429-58,245$8,166
Intel Corp 149,504 -6,650 $8,028
     INTC149,504-6,650$8,028
Sysco Corp 118,074 -66,470 $7,883
     SYY118,074-66,470$7,883
Royal Bank of Canada 101,909 -48,515 $7,699
     RY101,909-48,515$7,699
Verizon Communications Inc 127,788 +390 $7,556
     VZ127,788+390$7,556
Deere & Co 45,983 -24,855 $7,350
     DE45,983-24,855$7,350
ISHARES TR (IWM) 47,080 -5,273 $7,207
     IWM47,080-5,273$7,207
L3 Technologies Inc 34,454 -18,695 $7,110
     LLL34,454-18,695$7,110
Omnicom Group Inc 96,525 -49,625 $7,045
     OMC96,525-49,625$7,045
SPDR S&P MIDCAP 400 ETF TR (MDY) 19,493 -538 $6,733
     MDY19,493-538$6,733
General Dynamics Corp 38,565 -17,395 $6,528
     GD38,565-17,395$6,528
Colgate Palmolive Co 92,501 -54,525 $6,340
     CL92,501-54,525$6,340
Ecolab Inc 33,695 +5,020 $5,949
     ECL33,695+5,020$5,949
AT&T Inc 188,554 -1,501 $5,913
     T188,554-1,501$5,913
Royal Dutch Shell PLC      $5,861
     RDS.A93,647-60,772$5,861
AbbVie Inc 72,514 -497 $5,844
     ABBV72,514-497$5,844
Xcel Energy Inc 95,076 -1,832 $5,344
     XEL95,076-1,832$5,344
TJX Companies Inc 96,854 -4,954 $5,154
     TJX96,854-4,954$5,154
Donaldson Co Inc 99,108 +9,198 $4,961
     DCI99,108+9,198$4,961
Principal Finl Group Inc 94,386 -72,321 $4,737
     PFG94,386-72,321$4,737
Automatic Data Processing Inc 28,048 +592 $4,480
     ADP28,048+592$4,480
Dominion Resources Inc 55,660 UNCH $4,267
     D55,660UNCH$4,267
C.H. Robinson Worldwide Inc 47,963 +420 $4,172
     CHRW47,963+420$4,172

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 03/31/2019: $631,285
At 12/31/2018: $681,519

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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