HoldingsChannel.com
All Stocks Held By Watchman Group Inc.
As of  06/30/2022, we find all stocks held by Watchman Group Inc. to be as follows, presented in the table below with each row detailing each Watchman Group Inc. position, ordered by largest to smallest position size. The all-stocks-held-by-Watchman Group Inc. table shows the entity held in the first column (click any entity to explore other funds holding positions), the share amount held, the share count change between the last two reporting periods, and finally the position size for all stocks held by Watchman Group Inc. as of the latest filing.

   EntityAmountChange
 03/31/2022 to 06/30/2022
Position Size
($ in 1000's)
Vanguard Intermediate Term Corp Bd ETF (VCIT) 176,373 +176,373 $14,113
     VCIT176,373+176,373$14,113
Vanguard Short Term Bond ETF (BSV) 144,853 +138,406 $11,123
     BSV144,853+138,406$11,123
DFA US Targeted Value ETF (DFAT) 248,790 +42,335 $10,006
     DFAT248,790+42,335$10,006
Vanguard Short Term Corporate Bond ETF (VCSH) 61,935 -6,239 $4,723
     VCSH61,935-6,239$4,723
Microsoft Corp 18,363 +156 $4,716
     MSFT18,363+156$4,716
Berkshire Hathaway Inc B      $4,656
     BRK.B17,054+362$4,656
Johnson & Johnson 22,844 -38 $4,055
     JNJ22,844-38$4,055
General Dynamics 17,767 +30 $3,931
     GD17,767+30$3,931
Lowes Companies Inc 21,737 +370 $3,797
     LOW21,737+370$3,797
LKQ Corp 75,706 +3,545 $3,716
     LKQ75,706+3,545$3,716
Union Pacific Corp 16,895 +240 $3,603
     UNP16,895+240$3,603
Stryker Corp 17,687 +510 $3,518
     SYK17,687+510$3,518
PepsiCo Inc 21,086 +137 $3,514
     PEP21,086+137$3,514
Visa Inc 17,777 +275 $3,500
     V17,777+275$3,500
Qualcomm 26,707 +950 $3,412
     QCOM26,707+950$3,412
Aflac Inc 58,640 -370 $3,245
     AFL58,640-370$3,245
Intuit Inc 8,364 +367 $3,224
     INTU8,364+367$3,224
UFP Industries Inc 46,575 +60 $3,174
     UFPI46,575+60$3,174
Accenture PLC A 11,409 +65 $3,168
     ACN11,409+65$3,168
Amgen Inc 12,770 -89 $3,107
     AMGN12,770-89$3,107
Amphenol Corp 47,788 +285 $3,077
     APH47,788+285$3,077
Meta Platforms Inc Class A 18,926 +3,588 $3,052
     FB18,926+3,588$3,052
D.R. Horton Inc 41,883 +685 $2,772
     DHI41,883+685$2,772
Alphabet Inc C 1,232 +63 $2,695
     GOOG1,232+63$2,695
Alphabet Inc A 1,228 -1 $2,676
     GOOGL1,228-1$2,676
Carlisle Companies Inc 11,209 -226 $2,675
     CSL11,209-226$2,675
Procter & Gamble Co 17,215 +247 $2,475
     PG17,215+247$2,475
PACCAR Inc 29,952 +200 $2,466
     PCAR29,952+200$2,466
Verisk Analytics Inc 14,115 +286 $2,443
     VRSK14,115+286$2,443
ITT Inc 35,461 +901 $2,384
     ITT35,461+901$2,384
Tesla Motors Inc 3,533 +24 $2,379
     TSLA3,533+24$2,379
The Cooper Companies Inc 7,557 +7,557 $2,366
     COO7,557+7,557$2,366
Merck & Co 25,280 -30 $2,305
     MRK25,280-30$2,305
Skyworks Solutions Inc 24,820 +720 $2,299
     SWKS24,820+720$2,299
Generac Holdings Inc 10,756 +3,685 $2,265
     GNRC10,756+3,685$2,265
Omnicell Inc 19,854 +389 $2,258
     OMCL19,854+389$2,258
NVR Inc 518 +9 $2,074
     NVR518+9$2,074
Ii Vi 40,276 +915 $2,052
     IIVI40,276+915$2,052
Federal Signal 56,725 +56,725 $2,019
     FSS56,725+56,725$2,019
Walt Disney Co 21,291 -301 $2,010
     DIS21,291-301$2,010
CME Group Inc Class A 8,199 +8,199 $1,678
     CME8,199+8,199$1,678
PayPal Holdings Inc 22,428 +2,708 $1,566
     PYPL22,428+2,708$1,566
Warner Brothers Discovery Inc. 112,568 +112,568 $1,511
     WBDWV112,568+112,568$1,511
iShares Russell 1000 Value (IWD) 9,447 UNCH $1,370
     IWD9,447UNCH$1,370
Vanguard 500 ETF (VOO) 3,130 UNCH $1,086
     VOO3,130UNCH$1,086
The Home Depot Inc 2,459 -77 $674
     HD2,459-77$674
Vanguard Ultra Short Bond ETF (VUSB) 13,650 +13,650 $672
     VUSB13,650+13,650$672
iShares JPMorgan Emg Mkts Bond ETF (EMB) 7,850 -15,345 $670
     EMB7,850-15,345$670
Apple Inc 3,968 -204 $543
     AAPL3,968-204$543
Costco Wholesale Corp 1,057 -175 $507
     COST1,057-175$507
Yum Brands Inc 4,448 UNCH $505
     YUM4,448UNCH$505
SPDR S&P 500 ETF (SPY) 1,180 +1,180 $445
     SPY1,180+1,180$445
DFA Emerging Core ETF (DFAE) 17,890 +380 $414
     DFAE17,890+380$414
McDonalds Corp 1,561 UNCH $385
     MCD1,561UNCH$385
Wal Mart Stores Inc 3,004 -234 $365
     WMT3,004-234$365
Cisco Systems Inc 7,295 -370 $311
     CSCO7,295-370$311
Coca Cola Co 4,800 UNCH $302
     KO4,800UNCH$302
PIMCO Active Bond ETF (BOND) 2,932 -1,202 $279
     BOND2,932-1,202$279
Vanguard Total Stock Mkt ETF (VTI) 1,447 UNCH $273
     VTI1,447UNCH$273
iShares Short Maturity Bond ETF (NEAR) 5,307 -11,515 $261
     NEAR5,307-11,515$261
iShares Russell 1000 Growth (IWF) 1,125 +130 $246
     IWF1,125+130$246
Intel Corp 6,386 UNCH $239
     INTC6,386UNCH$239
Rave Restaurant Group Inc 212,450 UNCH $232
     RAVE212,450UNCH$232
Vanguard Large Cap ETF (VV) 1,344 UNCH $232
     VV1,344UNCH$232
Exxon Mobil Corp 2,575 UNCH $221
     XOM2,575UNCH$221
Ring Energy Inc 35,000 UNCH $93
     REI35,000UNCH$93
iShares US Medical Devices (IHI) 13,290 UNCH $67
     IHI13,290UNCH$67
Accelerate Diagnostics Inc 20,000 +0 $20
     AXDX20,000UNCH$20
Amazon.com Inc $0 (exited)
     AMZN0-101$0
DFA International Core ETF $0 (exited)
     DFAI0-22,573$0
DFA US Core Equity 1 ETF $0 (exited)
     DFAU0-178,512$0
Discovery Communications Inc C $0 (exited)
     DISCK0-115,755$0
Docusign $0 (exited)
     DOCU0-17,729$0
Enterprise Products Partners LP $0 (exited)
     EPD0-7,925$0
FedEx Corp $0 (exited)
     FDX0-13,911$0
Global Payments Inc $0 (exited)
     GPN0-1,674$0
iShares Core S&P Small Cap ETF $0 (exited)
     IJR0-1,859$0
Nestle SA ADR $0 (exited)
     NSRGY0-7,160$0
Polaris Industries $0 (exited)
     PII0-22,706$0
Unilever PLC ADR 0 -8,625 $0 (exited)
     UL0-8,625$0

See Summary: Watchman Group Inc. Top Holdings
See Details: Top 10 Stocks Held By Watchman Group Inc.

EntityShares/Amount
Change
Position Value
Change
VCIT +176,373+$14,113
COO +7,557+$2,366
FSS +56,725+$2,019
CME +8,199+$1,678
WBDWV +112,568+$1,511
VUSB +13,650+$672
SPY +1,180+$445
EntityShares/Amount
Change
Position Value
Change
DFAU -178,512-$5,627
FDX -13,911-$3,219
DISCK -115,755-$2,891
PII -22,706-$2,391
DOCU -17,729-$1,899
NSRGY -7,160-$932
DFAI -22,573-$636
UL -8,625-$393
AMZN -101-$329
GPN -1,674-$229
EntityShares/Amount
Change
Position Value
Change
BSV +138,406+$10,621
DFAT +42,335+$389
GNRC +3,685+$163
FB +3,588-$359
LKQ +3,545+$439
PYPL +2,708-$715
QCOM +950-$524
IIVI +915-$801
ITT +901-$215
SWKS +720-$913
EntityShares/Amount
Change
Position Value
Change
EMB -15,345-$1,598
NEAR -11,515-$573
VCSH -6,239-$601
BOND -1,202-$141
CSCO -370-$116
AFL -370-$555
DIS -301-$952
WMT -234-$117
CSL -226-$137
Size ($ in 1000's)
At 06/30/2022: $162,210
At 03/31/2022: $168,641

Watchman Group Inc. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Watchman Group Inc. 13F filings. Link to 13F filings: SEC filings

All Stocks Held By Watchman Group Inc. | www.HoldingsChannel.com

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