HoldingsChannel.com
Palisade Asset Management LLC Top Holdings
As of  09/30/2019

   EntityAmountChange
 06/30/2019 to 09/30/2019
Position Size
($ in 1000's)
Microsoft Corp 177,196 -2,815 $24,636
     MSFT177,196-2,815$24,636
Abbott Laboratories 231,845 -2,220 $19,398
     ABT231,845-2,220$19,398
The Home Depot Inc 75,230 -469 $17,455
     HD75,230-469$17,455
SPDR S&P 500 ETF TR (SPY) 58,351 -578 $17,317
     SPY58,351-578$17,317
Target Corp 158,264 -912 $16,920
     TGT158,264-912$16,920
UnitedHealth Group Inc 77,630 -330 $16,871
     UNH77,630-330$16,871
Cisco Systems Inc 330,646 -1,605 $16,337
     CSCO330,646-1,605$16,337
Procter & Gamble Co 130,459 +940 $16,226
     PG130,459+940$16,226
Apple Inc 68,002 -920 $15,230
     AAPL68,002-920$15,230
Amgen Inc 69,493 +546 $13,448
     AMGN69,493+546$13,448
Johnson & Johnson 101,090 -178 $13,079
     JNJ101,090-178$13,079
PepsiCo Inc 91,876 -1,387 $12,596
     PEP91,876-1,387$12,596
US Bancorp 226,043 +620 $12,509
     USB226,043+620$12,509
Ball Corp 168,821 -6,410 $12,292
     BLL168,821-6,410$12,292
Aflac Inc 222,839 -2,391 $11,659
     AFL222,839-2,391$11,659
Chevron Corp 97,056 +228 $11,511
     CVX97,056+228$11,511
Oracle Corp 204,141 -930 $11,234
     ORCL204,141-930$11,234
McDonald s Corp 51,962 -648 $11,157
     MCD51,962-648$11,157
International Business Machines Corp 76,367 +450 $11,105
     IBM76,367+450$11,105
Exxon Mobil Corp 151,181 +1,501 $10,675
     XOM151,181+1,501$10,675
3M Co 64,769 +1,295 $10,648
     MMM64,769+1,295$10,648
Walgreen Boots Alliance Inc Com 190,016 +5,826 $10,510
     WBA190,016+5,826$10,510
Wells Fargo & Co 195,971 +7,500 $9,885
     WFC195,971+7,500$9,885
United Technologies Corp 71,769 -1,091 $9,798
     UTX71,769-1,091$9,798
Hormel Foods Corp 215,232 -851 $9,412
     HRL215,232-851$9,412
Becton Dickinson and Co 36,639 -345 $9,268
     BDX36,639-345$9,268
Stryker Corp 42,157 -301 $9,119
     SYK42,157-301$9,119
Sysco Corp 114,759 -1,920 $9,112
     SYY114,759-1,920$9,112
L3HARRIS TECHNOLOGIES INC 43,581 +43,581 $9,093
     LHX43,581+43,581$9,093
Baxter International Inc 98,519 -1,125 $8,617
     BAX98,519-1,125$8,617
Royal Bank of Canada 103,055 +675 $8,364
     RY103,055+675$8,364
Verizon Communications Inc 129,778 +2,190 $7,833
     VZ129,778+2,190$7,833
Omnicom Group Inc 97,885 +1,905 $7,664
     OMC97,885+1,905$7,664
Intel Corp 147,984 -660 $7,626
     INTC147,984-660$7,626
Deere & Co 44,893 -800 $7,573
     DE44,893-800$7,573
AT&T Inc 189,273 +2,109 $7,162
     T189,273+2,109$7,162
General Dynamics Corp 39,106 +131 $7,146
     GD39,106+131$7,146
ISHARES TR (IWM) 45,457 -675 $6,879
     IWM45,457-675$6,879
SPDR S&P MIDCAP 400 ETF TR (MDY) 19,366 -115 $6,826
     MDY19,366-115$6,826
Colgate Palmolive Co 92,331 -260 $6,787
     CL92,331-260$6,787
Principal Finl Group Inc 118,356 +5,220 $6,763
     PFG118,356+5,220$6,763
Ecolab Inc 33,555 -110 $6,645
     ECL33,555-110$6,645
Xcel Energy Inc 94,957 -19 $6,162
     XEL94,957-19$6,162
Royal Dutch Shell PLC      $5,879
     RDS.A99,895+6,200$5,879
AbbVie Inc 72,924 +135 $5,522
     ABBV72,924+135$5,522
TJX Companies Inc 96,569 +115 $5,383
     TJX96,569+115$5,383
Donaldson Co Inc 98,138 -570 $5,111
     DCI98,138-570$5,111
Dominion Resources Inc 56,672 +1,012 $4,593
     D56,672+1,012$4,593
Kimberly Clark Corp 32,168 -186 $4,569
     KMB32,168-186$4,569
Automatic Data Processing Inc 28,039 -9 $4,526
     ADP28,039-9$4,526

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 09/30/2019: $655,804
At 06/30/2019: $643,958

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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