Cairn Investment Group, Inc. holdings history

128 is the total number of securities Cairn Investment Group, Inc. has owned. The longest Cairn Investment Group, Inc. has owned a single stock is 16 quarters.

Cairn Investment Group, Inc. historical holdings. Includes current and past holdings.
Period Weighting Quarter
TickerNameLongestShortestMin.Avg.Max.FirstLatest↓ Count
VXUS Vanguard Total Interna...16160.32%6.56%9.90%Q4 2019Q3 202316
COST Costco Wholesale Corp16162.09%2.82%3.73%Q4 2019Q3 202316
COP ConocoPhillips16161.20%2.39%3.74%Q4 2019Q3 202316
KR Kroger Co16161.71%2.30%3.62%Q4 2019Q3 202316
AYI Acuity Brands Inc16161.79%2.16%2.92%Q4 2019Q3 202316
GS Goldman Sachs Group Inc16161.54%2.08%2.64%Q4 2019Q3 202316
CTSH Cognizant Tech Solutions16161.61%2.01%2.37%Q4 2019Q3 202316
NVO Novo Nordisk A/S ADR16161.01%2.00%3.84%Q4 2019Q3 202316
GOOGL Alphabet Inc. A16160.90%1.99%2.49%Q4 2019Q3 202316
ABC Cencora Inc16161.14%1.97%2.84%Q4 2019Q3 202316
OMC Omnicom Group Inc16161.32%1.96%2.80%Q4 2019Q3 202316
PCAR PACCAR Inc.16161.38%1.88%2.56%Q4 2019Q3 202316
FFIV F5 Networks Inc16161.35%1.79%2.27%Q4 2019Q3 202316
USB U.S. Bancorp16160.57%1.72%3.10%Q4 2019Q3 202316
MMM 3M Company16160.49%1.52%2.25%Q4 2019Q3 202316
BIIB Biogen Inc16160.38%1.48%2.10%Q4 2019Q3 202316
LYB LyondellBasell Industries16160.84%1.38%2.79%Q4 2019Q3 202316
SHV iShares Short Treasury16160.51%1.37%3.95%Q4 2019Q3 202316
LLY Eli Lilly & Co16160.95%1.34%2.08%Q4 2019Q3 202316
EW Edwards Lifesciences16160.74%1.32%1.81%Q4 2019Q3 202316
VZ Verizon Communications16160.87%1.20%1.99%Q4 2019Q3 202316
GILD Gilead Sciences16160.55%1.12%2.10%Q4 2019Q3 202316
MCK McKesson Corp.16160.56%1.10%1.75%Q4 2019Q3 202316
PFE Pfizer Inc16160.16%0.95%1.66%Q4 2019Q3 202316
CAH Cardinal Health Inc16160.52%0.89%1.38%Q4 2019Q3 202316
XOM Exxon Mobil Corp16160.41%0.85%1.38%Q4 2019Q3 202316
WBA Walgreens Boots Alliance16160.26%0.81%1.29%Q4 2019Q3 202316
F Ford Motor Company16160.39%0.78%1.41%Q4 2019Q3 202316
MRK Merck & Co Inc16160.19%0.72%2.57%Q4 2019Q3 202316
PEP PepsiCo Inc16160.37%0.63%3.02%Q4 2019Q3 202316
BRKB Berkshire Hathaway Inc B16160.45%0.60%1.18%Q4 2019Q3 202316
QCOM Qualcomm Inc15150.86%1.52%2.58%Q1 2020Q3 202315
KO Coca-Cola Company15150.56%0.96%1.87%Q4 2019Q2 202315
NKE Nike Inc1140.16%0.28%0.40%Q4 2019Q3 202315
UNP Union Pacific Corp15150.15%0.28%0.54%Q4 2019Q2 202315
IJR iShares Core S&P Small...14141.25%7.55%12.37%Q2 2020Q3 202314
BKNG Booking Holdings14141.61%2.05%2.62%Q2 2020Q3 202314
COLM Columbia Sportwear Co14141.50%2.02%2.49%Q2 2020Q3 202314
VONV Vanguard Russell 1000 ...14140.71%1.60%2.45%Q2 2020Q3 202314
GD General Dynamics Corp14140.76%1.01%1.31%Q2 2020Q3 202314
EMR Emerson Electric Co1310.19%0.22%0.31%Q4 2019Q3 202314
VWO Vanguard INTL Equity I...13134.95%8.35%10.76%Q3 2020Q3 202313
INTC Intel Corp13131.40%2.02%2.66%Q4 2019Q4 202213
CSCO Cisco Systems Inc1210.76%0.92%1.16%Q4 2019Q3 202313
MSFT Microsoft Corp1210.30%0.62%0.90%Q2 2020Q3 202313
BAX Baxter International Inc13130.22%0.51%1.06%Q4 2019Q4 202213
V Visa Inc1210.22%0.29%0.44%Q4 2019Q3 202313
UMPQ Umpqua Holdings Corp13130.14%0.17%0.22%Q4 2019Q4 202213
ALK Alaska Air Group Inc12120.80%1.13%1.78%Q4 2019Q3 202212
HRB H&R Block Inc12120.18%0.73%1.35%Q4 2019Q3 202212
FL Foot Locker Inc12120.33%0.66%1.08%Q4 2019Q3 202212
DNP DNP Select Income Fund1110.34%0.48%0.75%Q4 2019Q4 202212
SLB Schlumberger Ltd12120.29%0.45%0.95%Q4 2019Q3 202212
AAPL Apple Inc11110.22%5.83%8.88%Q1 2021Q3 202311
GSK GlaxoSmithKline plc ADR11110.38%0.67%1.24%Q4 2019Q2 202211
VIG Vanguard Specialized F...11110.23%0.38%0.64%Q1 2021Q3 202311
BA Boeing Company610.14%0.20%0.31%Q4 2019Q2 202311
CERN Cerner Corp10101.89%2.19%2.70%Q4 2019Q1 202210
BBL BHP Billiton ADR10100.14%0.33%0.53%Q4 2019Q1 202210
UNH UnitedHealth Group Inc10100.19%0.23%0.30%Q2 2021Q3 202310
TGT Target Corp991.35%1.65%2.14%Q4 2019Q4 20219
GBX Greenbrier Companies991.24%1.53%1.97%Q4 2019Q4 20219
JWN Nordstrom Inc990.42%0.84%1.58%Q4 2019Q4 20219
WSM Williams Sonoma990.26%0.50%0.87%Q4 2019Q4 20219
JNJ Johnson & Johnson510.14%0.39%1.82%Q4 2019Q2 20239
CTAS Cintas Corp720.15%0.18%0.20%Q2 2021Q3 20239
CMI Cummins Inc880.90%1.20%1.42%Q4 2019Q3 20218
IWM iShares Trust440.14%0.18%0.25%Q2 2021Q3 20238
FB Meta Platforms771.35%2.26%3.14%Q1 2022Q3 20237
IEFA iShares Trust770.18%0.22%0.24%Q1 2022Q3 20237
AMZN Amazon Com Inc770.19%0.21%0.24%Q1 2022Q3 20237
CVX Chevron Corp660.21%1.14%1.98%Q4 2019Q1 20216
EOG EOG Resources Inc660.69%0.93%1.13%Q2 2022Q3 20236
JPMorgan Chase & Co660.31%0.33%0.37%Q2 2022Q3 20236
DIS Walt Disney Co660.23%0.29%0.33%Q2 2022Q3 20236
ATVI Activision Blizzard Inc660.20%0.26%0.30%Q4 2019Q1 20216
AXP American Express Co660.19%0.21%0.22%Q2 2022Q3 20236
BOND Pimco ETF Tr660.16%0.19%0.24%Q1 2021Q2 20226
AMP Ameriprise Financial Inc660.16%0.19%0.20%Q2 2022Q3 20236
EXPD Expeditors INTL Wash Inc552.82%3.15%3.31%Q3 2022Q3 20235
GIS General Mills Inc550.56%0.86%1.15%Q4 2019Q4 20205
QQQ Invesco QQQ Tr320.27%0.82%1.00%Q1 2022Q3 20235
VIAC ViacomCBS Inc550.33%0.47%0.67%Q4 2019Q4 20205
ABT Abbott Labs310.13%0.30%0.60%Q4 2019Q2 20235
BIL SPDR 1-3 Month T-Bill442.71%4.67%7.22%Q4 2019Q3 20204
XLP Select Sector SPDR Tr442.96%3.30%3.49%Q1 2022Q4 20224
PETS PetMed Express Inc440.92%1.47%2.40%Q4 2019Q3 20204
BEN Franklin Resources440.57%0.87%1.20%Q4 2019Q3 20204
FLIR Flir Systems Inc310.24%0.80%2.40%Q4 2019Q1 20214
RDSB Royal Dutch Shell B ADR440.28%0.57%0.92%Q4 2019Q3 20204
VTI Vanguard Index Fds440.24%0.36%0.40%Q2 2021Q1 20224
SYY Sysco Corp310.17%0.23%0.26%Q3 2020Q4 20224
DVY iShares Trust220.14%0.15%0.16%Q1 2022Q1 20234
CMCSA Comcast Corp332.56%2.72%2.94%Q1 2023Q3 20233
GBIL Goldman Sachs ETF Tr330.73%0.86%0.98%Q1 2023Q3 20233
MHK Mohawk Industries330.44%0.63%0.81%Q4 2019Q2 20203
GLW Corning Inc330.24%0.31%0.40%Q4 2019Q2 20203
CPB Campbell Soup Co330.24%0.28%0.34%Q4 2019Q2 20203
ABBV ABBVIE Inc330.23%0.27%0.30%Q2 2022Q4 20223
BDX Becton Dickinson330.14%0.27%0.52%Q4 2021Q2 20223
PNC PNC Finl Svcs Group330.15%0.15%0.16%Q2 2021Q4 20213
WM Waste Management Inc220.64%0.71%0.78%Q4 2019Q1 20202
OXY Occidental Petroleum Co220.30%0.53%0.76%Q4 2019Q1 20202
NPK National Presto Inds220.48%0.53%0.58%Q4 2019Q1 20202
DKS Dicks Sporting Goods Inc110.33%0.34%0.35%Q4 2019Q2 20202
BNS Bank Of Nova Scotia220.31%0.32%0.32%Q4 2019Q1 20202
LOW Lowes Cos Inc220.18%0.19%0.19%Q2 2021Q3 20212
TDY Teledyne Technologies Inc110.13%0.14%0.16%Q1 2022Q4 20222
DDD 3-D Systems Corp220.11%0.11%0.12%Q4 2019Q1 20202
WY Weyerhaeuser Co112.03%2.03%2.03%Q4 2019Q4 20191
ABB ABB Ltd ADR111.84%1.84%1.84%Q4 2019Q4 20191
EEM iShares Trust111.82%1.82%1.82%Q2 2022Q2 20221
RYN Rayonier Inc111.34%1.34%1.34%Q4 2019Q4 20191
PEAK Healthpeak Properties111.01%1.01%1.01%Q4 2019Q4 20191
WPC W.P. Carey Inc110.99%0.99%0.99%Q4 2019Q4 20191
FLO Flowers Foods110.97%0.97%0.97%Q4 2019Q4 20191
CAKE Cheesecake Factory Inc.110.87%0.87%0.87%Q4 2019Q4 20191
ACWX iShares Trust110.67%0.67%0.67%Q2 2022Q2 20221
AMAT Applied Materials Inc110.42%0.42%0.42%Q4 2019Q4 20191
WPP WPP PLC110.35%0.35%0.35%Q4 2019Q4 20191
TOL Toll Brothers Inc110.34%0.34%0.34%Q4 2019Q4 20191
EXPE Expedia Group Inc110.34%0.34%0.34%Q4 2019Q4 20191
K Kellogg Co110.32%0.32%0.32%Q4 2020Q4 20201
LRCX Lam Research Corp110.28%0.28%0.28%Q4 2019Q4 20191
RQI Cohen & Steers Realty Inc110.28%0.28%0.28%Q4 2019Q4 20191
BMY Bristol Myers Squibb Co110.20%0.20%0.20%Q4 2019Q4 20191
BHP BHP Group LTD110.19%0.19%0.19%Q4 2022Q4 20221
CMF iShares Trust110.18%0.18%0.18%Q2 2021Q2 20211

The securities at the top of the list , including Vanguard Total International S, Costco Wholesale Corp, and ConocoPhillips, are the highest-conviction holdings of Cairn Investment Group, Inc..

The conviction is calculated by counting the number of quarters a security has been reported by Cairn Investment Group, Inc.. The higher the number, the higher the conviction and longer the holding period.

This page lists all the securities that Cairn Investment Group, Inc. owns currently or has owned in the past.