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Cairn Investment Group, Inc. 13F holdings

Filed 2026-07-28 · Cairn Investment Group, Inc. · 65 positions · $226.7M

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TickerCompanySharesValue% of portfolio
VXUSVanguard Total International S311.6K$26.6M11.7%
VWOVanguard INTL Equity Index217.3K$13.0M5.7%
BILSPDR Ser Tr137.6K$12.6M5.6%
EWZiShares Trust284.3K$9.8M4.3%
XLVSelect Sector SPDR TR60.4K$9.6M4.2%
GSGoldman Sachs Group Inc9.1K$9.2M4.1%
AYIAcuity Brands Inc22.6K$8.5M3.8%
AAPLApple Inc29.2K$8.5M3.7%
EXPDExpeditors INTL Wash Inc44.6K$7.3M3.2%
—BorgWarner Inc108.9K$7.2M3.2%
EWMiShares Inc263.4K$7.1M3.1%
MRKMerck & Co Inc54.9K$7.1M3.1%
FFIVF5 Networks Inc15.2K$6.3M2.8%
BKNGBooking Holdings32.9K$5.9M2.6%
—Sysco Corp66.8K$5.6M2.5%
PEPPepsiCo Inc36.8K$5.0M2.2%
QCOMQualcomm Inc25.7K$4.8M2.1%
CICigna Group15.5K$4.3M1.9%
INGRIngredion Inc45.0K$4.3M1.9%
EOGEOG Resources Inc31.1K$4.0M1.8%
PCARPACCAR Inc.32.8K$3.9M1.7%
COSTCostco Wholesale Corp4.1K$3.8M1.7%
KRKroger Co57.6K$3.2M1.4%
LLYEli Lilly & Co2.6K$3.1M1.4%
GDXVaneck Vectors ETF Tr39.3K$3.0M1.3%
CMCSAComcast Corp117.4K$2.9M1.3%
CSCOCisco Systems Inc23.9K$2.8M1.2%
GILDGilead Sciences21.2K$2.7M1.2%
MCKMcKesson Corp.3.5K$2.7M1.2%
CAHCardinal Health Inc11.0K$2.6M1.2%
CTSHCognizant Tech Solutions60.8K$2.4M1.0%
VONVVanguard Russell 1000 Value21.8K$2.3M1.0%
GOOGLAlphabet Inc. A6.5K$2.3M1.0%
FISVFiserv Inc46.3K$2.3M1.0%
BRK-BBerkshire Hathaway Inc B3.6K$1.8M0.8%
BIIBBiogen Inc8.0K$1.7M0.8%
EWEdwards Lifesciences17.8K$1.6M0.7%
USBU.S. Bancorp26.0K$1.6M0.7%
MSFTMicrosoft Corp4.1K$1.5M0.7%
—JPMorgan Chase & Co3.8K$1.2M0.5%
GBILGoldman Sachs ETF Tr7.9K$793,0000.3%
COWZPacer FDS TR12.4K$769,0000.3%
AMZNAmazon Com Inc2.9K$688,0000.3%
EXMOCExxon Mobil Corp4.8K$654,0000.3%
AXPAmerican Express Co1.9K$643,0000.3%
VVisa Inc1.6K$563,0000.2%
MMM3M Company3.4K$546,0000.2%
EMREmerson Elec Co3.2K$452,0000.2%
NVONovo Nordisk A/S ADR9.3K$447,0000.2%
VIGVanguard Specialized Funds1.8K$415,0000.2%
IEFAiShares Trust4.2K$407,0000.2%
AMPAmeriprise Financial Inc814$373,0000.2%
DISWalt Disney Co3.8K$366,0000.2%
IVViShares Trust475$356,0000.2%
UNHUnitedHealth Group Inc841$350,0000.2%
CTASCintas Corp1.9K$326,0000.1%
SHViShares Short Treasury2.9K$317,0000.1%
UNPUnion Pacific Corp1.1K$302,0000.1%
SCHOSchwab Strategic TR12.5K$301,0000.1%
TDYTeledyne Technologies Inc446$297,0000.1%
Top Fund Holdings
13F
Top Fund Holdings

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13F data from SEC EDGAR. Quotes are delayed and not for trading. Not investment advice.

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13F data from SEC EDGAR. Quotes are delayed and not for trading. Not investment advice.
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