Universe · entity

Cairn Investment Group, Inc.

Institutional manager (13F) · CIK 1800358
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $198k
#IssuerValueShares
1Vanguard Total International S$24k307,719
2Vanguard INTL Equity Index$12k215,017
3iShares Trust$11k284,790
4SPDR Ser Tr$10k105,875
5Apple Inc$10k37,565
6BorgWarner Inc$9k158,725
7Goldman Sachs Group Inc$8k9,036
8iShares Inc$7k263,785
9Merck & Co Inc$7k54,675
10Expeditors INTL Wash Inc$6k44,608
11Acuity Brands Inc$6k22,667
12PepsiCo Inc$6k35,933
13Booking Holdings$5k1,282
14Sysco Corp$5k66,760
15Qualcomm Inc$5k34,963
16EOG Resources Inc$4k30,881
17F5 Networks Inc$4k15,278
18Kroger Co$4k57,557
19Cigna Group$4k15,211
20Costco Wholesale Corp$4k3,911
21PACCAR Inc.$4k32,304
22Vaneck Vectors ETF Tr$4k39,460
23Cognizant Tech Solutions$4k57,845
24Comcast Corp$3k111,975
25McKesson Corp.$3k3,570
26Gilead Sciences$3k21,363
27Fiserv Inc$3k46,350
28Eli Lilly & Co$3k2,785
29Cardinal Health Inc$2k11,240
30Vanguard Russell 1000 Value$2k21,897
31Cisco Systems Inc$2k23,936
32Alphabet Inc. A$2k6,454
33Berkshire Hathaway Inc B$2k3,637
34Biogen Inc$1k8,043
35Edwards Lifesciences$1k17,800
36U.S. Bancorp$1k26,538
37JPMorgan Chase & Co$1k3,557
38Microsoft Corp$1k2,770
39Exxon Mobil Corp$8124,784
40Goldman Sachs ETF Tr$7947,920
41Pacer FDS TR$74011,835
42American Express Co$5751,900
43Visa Inc$4961,640
443M Company$4893,370
45Amazon Com Inc$4552,185
46Emerson Elec Co$4143,160
47iShares Trust$3814,211
48Vanguard Specialized Funds$3771,752
49Walt Disney Co$3673,810
50Ameriprise Financial Inc$362814
All filings on EDGAR ↗

Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.