HoldingsChannel.com
Stillwater Investment Management LLC Top Holdings
As of  09/30/2019

   EntityAmountChange
 06/30/2019 to 09/30/2019
Position Size
($ in 1000's)
iShares S&P 500 ETF (IVV) 208,856 +1,439 $62,348
     IVV208,856+1,439$62,348
iShares Russell Midcap ETF (IWR) 365,019 -2,435 $20,423
     IWR365,019-2,435$20,423
iShares Russell 2000 ETF (IWM) 79,347 +2,427 $12,008
     IWM79,347+2,427$12,008
Apple Inc. 44,619 +470 $9,993
     AAPL44,619+470$9,993
S&P Select Financial SPDR ETF (XLF) 271,500 +2,603 $7,602
     XLF271,500+2,603$7,602
Amazon.com Inc. 3,916 +91 $6,798
     AMZN3,916+91$6,798
Visa Inc. 38,497 -394 $6,622
     V38,497-394$6,622
S&P Select Technology SPDR ETF (XLK) 65,526 +681 $5,277
     XLK65,526+681$5,277
Facebook Inc. 25,412 -143 $4,525
     FB25,412-143$4,525
3M 25,476 -210 $4,188
     MMM25,476-210$4,188
JP Morgan Chase & Co. 34,332 -213 $4,041
     JPM34,332-213$4,041
McDonalds Corp. 18,166 +54 $3,900
     MCD18,166+54$3,900
Johnson & Johnson 29,006 +291 $3,753
     JNJ29,006+291$3,753
Cisco Systems Inc. 69,562 +336 $3,437
     CSCO69,562+336$3,437
Costco Whsl Corp. 11,761 -145 $3,389
     COST11,761-145$3,389
Starbucks Corp. 37,979 -118 $3,358
     SBUX37,979-118$3,358
Nike Inc. 34,792 -536 $3,268
     NKE34,792-536$3,268
S&P Select Energy SPDR ETF (XLE) 55,052 -1,005 $3,259
     XLE55,052-1,005$3,259
Amgen Inc. 15,205 +48 $2,942
     AMGN15,205+48$2,942
Verizon Communications 47,249 -496 $2,852
     VZ47,249-496$2,852
Comcast Corp Cl A 63,250 -708 $2,851
     CMCSA63,250-708$2,851
Bank of America Corp 93,208 +1,040 $2,719
     BAC93,208+1,040$2,719
Berkshire Hathaway Inc. B      $2,699
     BRK.B12,977-25$2,699
Deere & Co. 15,189 -135 $2,562
     DE15,189-135$2,562
Pfizer Corp. 70,897 +2,101 $2,547
     PFE70,897+2,101$2,547
S&P Select Health Care SPDR ET (XLV) 27,901 +1,010 $2,515
     XLV27,901+1,010$2,515
Proctor & Gamble 20,091 +195 $2,499
     PG20,091+195$2,499
Gilead Sciences Inc. 38,927 -691 $2,467
     GILD38,927-691$2,467
S&P Select Materials SPDR ETF (XLB) 42,249 -2,140 $2,459
     XLB42,249-2,140$2,459
Alphabet Class A 1,990 UNCH $2,430
     GOOGL1,990UNCH$2,430
Intel Corporation 45,732 -990 $2,357
     INTC45,732-990$2,357
Walt Disney Co. Holdings 17,838 +108 $2,325
     DIS17,838+108$2,325
Goldman Sachs Group Inc. 10,533 -124 $2,183
     GS10,533-124$2,183
Kimberly Clark 15,032 -36 $2,135
     KMB15,032-36$2,135
Pepsico Inc. 15,219 +79 $2,086
     PEP15,219+79$2,086
S&P Select Industrial SPDR ETF (XLI) 26,647 +10 $2,069
     XLI26,647+10$2,069
Caterpillar Inc. 15,908 +137 $2,009
     CAT15,908+137$2,009
CitiGroup Inc. 28,918 -924 $1,998
     C28,918-924$1,998
Coca Cola Co. 35,397 -668 $1,927
     KO35,397-668$1,927
Marathon Petroleum Corp. 31,357 -691 $1,905
     MPC31,357-691$1,905
US Bancorp 32,671 +746 $1,808
     USB32,671+746$1,808
Cummins 10,898 -424 $1,773
     CMI10,898-424$1,773
Alphabet Class C Non Voting 1,330 UNCH $1,621
     GOOG1,330UNCH$1,621
Baxter International 18,052 +49 $1,579
     BAX18,052+49$1,579
Phillips 66 12,786 -89 $1,309
     PSX12,786-89$1,309
Exxon Mobil 17,062 -1,985 $1,205
     XOM17,062-1,985$1,205
Diageo PLC 7,331 -367 $1,199
     DEO7,331-367$1,199
Xcel Energy 16,295 +109 $1,057
     XEL16,295+109$1,057
Conoco Phillips 18,174 -982 $1,036
     COP18,174-982$1,036
Microsoft Corporation 6,964 +23 $968
     MSFT6,964+23$968

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

See Details: Top 10 Stocks Held By Stillwater Investment Management LLC

Size ($ in 1000's)
At 09/30/2019: $240,586
At 06/30/2019: $238,313

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

Stillwater Investment Management LLC Top Holdings 13F Filings | www.HoldingsChannel.com

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