Cairn Investment Group, Inc. - Q4 2021 holdings

$145 Million is the total value of Cairn Investment Group, Inc.'s 69 reported holdings in Q4 2021. The portfolio turnover from Q3 2021 to Q4 2021 was 5.6% .

 Value Shares↓ Weighting
IJR SelliShares Core S&P Small Capcore s&p scp etf$17,418,000
+4.2%
152,113
-0.6%
12.00%
-3.0%
VWO BuyVanguard INTL Equity Indexftse emr mkt etf$12,589,000
+2.2%
254,535
+3.3%
8.67%
-4.9%
VXUS BuyVanguard Total International Svg tl intl stk f$10,751,000
+6.1%
169,122
+5.6%
7.40%
-1.3%
AAPL BuyApple Inc$7,358,000
+25.8%
41,437
+0.3%
5.07%
+17.0%
COST SellCostco Wholesale Corp$4,150,000
+12.4%
7,310
-11.0%
2.86%
+4.6%
GOOGL SellAlphabet Inc. Acap stk cl a$3,601,000
+7.0%
1,243
-1.3%
2.48%
-0.4%
VONV BuyVanguard Russell 1000 Valuevng rus1000val$3,561,000
+28.8%
48,295
+20.0%
2.45%
+19.8%
CERN BuyCerner Corp$3,507,000
+37.2%
37,762
+4.1%
2.42%
+27.6%
FFIV BuyF5 Networks Inc$3,301,000
+25.4%
13,488
+1.9%
2.27%
+16.6%
COP BuyConocoPhillips$3,176,000
+6.6%
43,996
+0.1%
2.19%
-0.8%
NVO SellNovo Nordisk A/S ADRadr$3,032,000
+15.1%
27,070
-1.4%
2.09%
+7.1%
CTSH BuyCognizant Tech Solutionscl a$2,980,000
+23.4%
33,587
+3.2%
2.05%
+14.8%
AYI SellAcuity Brands Inc$2,939,000
+21.7%
13,880
-0.4%
2.02%
+13.2%
INTC BuyIntel Corp$2,865,000
-1.7%
55,632
+1.7%
1.97%
-8.5%
OMC BuyOmnicom Group Inc$2,845,000
+50.4%
38,827
+48.7%
1.96%
+39.8%
KR SellKroger Co$2,727,000
+11.9%
60,255
-0.1%
1.88%
+4.1%
USB SellU.S. Bancorp$2,701,000
-5.6%
48,088
-0.1%
1.86%
-12.2%
BKNG SellBooking Holdings$2,535,000
+0.9%
1,057
-0.2%
1.75%
-6.1%
COLM SellColumbia Sportwear Co$2,437,000
+1.6%
25,013
-0.1%
1.68%
-5.5%
ABC SellAmerisourceBergen Corp$2,394,000
+11.1%
18,015
-0.2%
1.65%
+3.4%
GS  Goldman Sachs Group Inc$2,315,000
+1.2%
6,0520.0%1.59%
-5.8%
EW  Edwards Lifesciences$2,280,000
+14.5%
17,6000.0%1.57%
+6.4%
MMM Buy3M Company$2,118,000
+3.5%
11,922
+2.1%
1.46%
-3.7%
PCAR SellPACCAR Inc.$2,077,000
+11.2%
23,535
-0.6%
1.43%
+3.4%
F SellFord Motor Company$2,049,000
+45.9%
98,670
-0.5%
1.41%
+35.8%
QCOM SellQualcomm Inc$1,968,000
+37.6%
10,762
-3.0%
1.36%
+28.0%
TGT SellTarget Corp$1,963,000
-3.7%
8,480
-4.9%
1.35%
-10.5%
BIIB BuyBiogen Inc$1,883,000
-8.2%
7,850
+8.3%
1.30%
-14.6%
LLY SellEli Lilly & Co$1,837,000
+17.6%
6,651
-1.6%
1.26%
+9.4%
GBX SellGreenbrier Companies$1,801,000
+6.6%
39,245
-0.1%
1.24%
-0.8%
MCK SellMcKesson Corp.$1,438,000
+22.5%
5,784
-1.8%
0.99%
+13.9%
GD SellGeneral Dynamics Corp$1,415,000
+5.5%
6,786
-0.8%
0.97%
-1.9%
VZ BuyVerizon Communications$1,382,000
-1.9%
26,600
+1.9%
0.95%
-8.7%
CSCO SellCisco Systems Inc$1,381,000
+7.1%
21,795
-8.1%
0.95%
-0.4%
GILD SellGilead Sciences$1,377,000
-3.1%
18,962
-6.8%
0.95%
-9.9%
MSFT BuyMicrosoft Corp$1,308,000
+36.0%
3,889
+13.9%
0.90%
+26.5%
PFE SellPfizer Inc$1,296,000
+20.6%
21,951
-12.2%
0.89%
+12.2%
WBA SellWalgreens Boots Alliance$1,272,000
-1.6%
24,380
-11.3%
0.88%
-8.5%
ALK SellAlaska Air Group Inc$1,246,000
-14.8%
23,925
-4.2%
0.86%
-20.8%
LYB BuyLyondellBasell Industries$1,222,000
+6.7%
13,250
+8.5%
0.84%
-0.7%
SHV SelliShares Short Treasuryshort treas bd$1,213,000
-28.4%
10,985
-28.4%
0.84%
-33.4%
KO BuyCoca-Cola Company$1,087,000
+34.7%
18,355
+19.3%
0.75%
+25.5%
HRB SellH&R Block Inc$907,000
-5.7%
38,490
-0.0%
0.62%
-12.2%
VIG BuyVanguard Specialized Fundsdiv app etf$894,000
+27.5%
5,204
+13.9%
0.62%
+18.7%
CAH SellCardinal Health Inc$755,000
-20.4%
14,665
-23.6%
0.52%
-26.0%
BRKB  Berkshire Hathaway Inc Bcl b new$747,000
+9.7%
2,4980.0%0.51%
+2.0%
JWN SellNordstrom Inc$602,000
-28.4%
26,607
-16.3%
0.42%
-33.4%
PEP  PepsiCo Inc$591,000
+15.7%
3,4020.0%0.41%
+7.7%
XOM SellExxon Mobil Corp$589,000
-11.4%
9,620
-14.9%
0.41%
-17.5%
VTI  Vanguard Index Fdstotal stk mkt$583,000
+8.8%
2,4140.0%0.40%
+1.0%
GSK SellGlaxoSmithKline plc ADRsponsored adr$550,0000.0%12,475
-13.4%
0.38%
-6.9%
BAX SellBaxter International Inc$519,000
+1.8%
6,050
-4.7%
0.36%
-5.6%
DNP SellDNP Select Income$493,000
-3.5%
45,314
-5.5%
0.34%
-10.1%
SLB SellSchlumberger Ltd$483,000
-5.5%
16,118
-6.5%
0.33%
-11.9%
FL BuyFoot Locker Inc$478,000
-3.0%
10,950
+1.2%
0.33%
-9.9%
NKE SellNike Inccl b$444,000
+3.3%
2,665
-10.1%
0.31%
-3.8%
UNH BuyUnitedHealth Group Inc$443,000
+39.3%
882
+8.4%
0.30%
+29.8%
UNP  Union Pacific Corp$405,000
+28.6%
1,6100.0%0.28%
+19.7%
WSM  Williams Sonoma$380,000
-4.5%
2,2450.0%0.26%
-11.2%
V SellVisa Inc$324,000
-9.5%
1,496
-7.1%
0.22%
-15.8%
IWM  iShares Trustrussell 2000 etf$311,000
+1.6%
1,4000.0%0.21%
-5.7%
EMR  Emerson Elec Co$298,000
-1.0%
3,2000.0%0.20%
-8.1%
BOND BuyPimco ETF Tractive bd etf$271,000
+8.0%
2,475
+8.8%
0.19%
+0.5%
MRK  Merck & Co Inc$270,000
+2.3%
3,5250.0%0.19%
-4.6%
UMPQ  Umpqua Holdings Corp$236,000
-4.8%
12,2670.0%0.16%
-11.4%
BA SellBoeing Company$216,000
-12.6%
1,075
-4.4%
0.15%
-18.6%
PNC  PNC Finl Svcs Group$215,000
+2.9%
1,0700.0%0.15%
-4.5%
BDX NewBecton Dickinson$205,000815
+100.0%
0.14%
BBL SellBHP Billiton ADRsponsored adr$203,000
-7.3%
3,390
-21.9%
0.14%
-13.6%
CTAS ExitCintas Corp$0-629
-100.0%
-0.18%
LOW ExitLowes Cos Inc$0-1,263
-100.0%
-0.19%
CMI ExitCummins Inc$0-5,449
-100.0%
-0.90%
Original filings

The following EDGAR filing(s) were analyzed to create this report:

  • View 13F-HR filed 2022-02-08
Signatures

The EDGAR filing(s) were signed by:

Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
Vanguard Total International S16Q3 20239.9%
Costco Wholesale Corp16Q3 20233.7%
ConocoPhillips16Q3 20233.7%
Kroger Co16Q3 20233.6%
Acuity Brands Inc16Q3 20232.9%
Goldman Sachs Group Inc16Q3 20232.6%
Cognizant Tech Solutions16Q3 20232.4%
Novo Nordisk A/S ADR16Q3 20233.8%
Alphabet Inc. A16Q3 20232.5%
Cencora Inc16Q3 20232.8%

View Cairn Investment Group, Inc.'s complete holdings history.

Latest filings
TypeFiled
13F-HR2024-04-15
13F-HR2024-02-14
13F-HR2023-11-06
13F-HR2023-08-01
13F-HR2023-04-24
13F-HR2023-01-11
13F-HR2022-10-13
13F-HR2022-07-28
13F-HR2022-04-26
13F-HR2022-02-08

View Cairn Investment Group, Inc.'s complete filings history.

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