Cardinal Capital Management

Holdings as of 2026-06-30, filed 2026-07-21

This is history, not a current position. These holdings describe 2026-06-30, and the report became public 21 days later. The portfolio has changed since.

Aggregates

computed from the positions below
Positions reported
138
Value reported by manager
$826.3M
Sum of our stored positions
$826.3M
should match the line above
Disclosure lag
21 d
quarter end to filing
Top 5 concentration
15.5%
of the positions shown
New positions
0
vs previous quarter
Exited
0
vs previous quarter
Option positions
0
puts and calls

Positions

138 largest shown
IssuerClassValueSharesTypeCUSIP
ELI LILLY & COCOM$31.8M26,505532457108
JOHNSON & JOHNSONCOM$29.2M114,813478160104
APPLE INCCOM$25M86,434037833100
ALPHABET INCCAP STK CL A$22.7M63,55102079K305
BANK OF NY MELLON CORPCOM$19.6M135,400064058100
COSTCO WHOLESALE CORPORATIONCOM$19.3M20,61622160K105
JPMORGAN CHASE & COCOM$19.1M58,42346625H100
MICROSOFT CORPCOM$18.7M50,127594918104
CISCO SYS INCCOM$18.3M156,09417275R102
DEERE & COCOM$17.5M27,589244199105
WALMART INCCOM$17.4M153,893931142103
EXXON MOBIL CORPCOM$15.7M115,02730231G102
CUMMINS INCCOM$14.9M20,873231021106
QUALCOMM INCCOM$12.9M69,614747525103
EMERSON ELEC COCOM$12.7M88,412291011104
INTERNATIONAL BUSINESS MACHSCOM$12.6M44,694459200101
MERCK & CO INCCOM$12.4M96,23558933Y105
ECOLAB INCCOM$12M42,962278865100
ILLINOIS TOOL WKS INCCOM$11.8M43,427452308109
KEYSIGHT TECHNOLOGIES INCCOM$11.6M33,04149338L103
LABCORP HOLDINGS INCCOM SHS$10.8M38,484504922105
LOWES COS INCCOM$10.6M48,228548661107
TRUIST FINL CORPCOM$10.3M207,73289832Q109
AUTOMATIC DATA PROCESSING INCOM$10.1M44,656053015103
AGILENT TECHNOLOGIES INCCOM$10M75,20000846U101
CONOCOPHILLIPSCOM$9.6M92,01220825C104
STARBUCKS CORPCOM$9.5M93,350855244109
STATE STR CORPCOM$9.3M54,929857477103
OIL DRI CORP AMERCOM$8.9M87,391677864100
ARGAN INCCOM$8.8M11,04204010E109
3M COCOM$8.8M54,32088579Y101
PROCTER & GAMBLE COCOM$8.8M59,816742718109
PRICE T ROWE GROUP INCCOM$8.3M73,05074144T108
HASBRO INCCOM$8.2M99,780418056107
ROYAL BK CDACOM$8.2M39,630780087102
F5 INCCOM$8.1M19,383315616102
NATIONAL FUEL GAS COCOM$7.8M100,653636180101
NOVARTIS AGSPONSORED ADR$7.8M49,67066987V109
CURTISS WRIGHT CORPCOM$7.8M10,229231561101
IDEXX LABS INCCOM$7.4M14,15145168D104
COCA COLA COCOM$6.8M83,625191216100
MEDTRONIC PLCSHS$6.7M85,040G5960L103
UNITED THERAPEUTICS CORP DELCOM$6.5M11,97091307C102
SYNAPTICS INCCOM$6.2M49,68587157D109
BRISTOL-MYERS SQUIBB COCOM$6.1M105,075110122108
MCCORMICK & CO INCCOM NON VTG$5.8M114,444579780206
FEDEX CORPCOM$5.7M18,26231428X106
TORONTO DOMINION BK ONTCOM NEW$5.6M46,344891160509
BANK NOVA SCOTIA B CCOM$5.4M62,606064149107
REGENERON PHARMACEUTICALSCOM$5.2M8,39775886F107
LANDSTAR SYS INCCOM$5.2M25,240515098101
BECTON DICKINSON & COCOM$5.1M33,970075887109
TELEDYNE TECHNOLOGIES INCCOM$5.1M7,603879360105
PREFORMED LINE PRODS COCOM$5M12,198740444104
ALPHABET INCCAP STK CL C$4.9M13,94202079K107
PHILLIPS 66COM$4.8M28,388718546104
UNITED STS LIME & MINERALS ICOM$4.7M44,576911922102
PEPSICO INCCOM$4.6M33,874713448108
BALCHEM CORPCOM$4.5M26,722057665200
SNAP ON INCCOM$4.5M11,212833034101
SHELL PLCSPON ADS$4.5M57,591780259305
RAYMOND JAMES FINL INCCOM$4.3M28,509754730109
SAP SESPON ADR$4.2M27,561803054204
WEBSTER FINL CORPCOM$4.2M55,026947890109
TOYOTA MOTOR CORPADS$4.1M24,586892331307
INTERDIGITAL INCCOM$4.1M14,58045867G101
ELBIT SYS LTDORD$3.9M5,127M3760D101
DEXCOM INCCOM$3.8M56,890252131107
CACI INTL INCCL A$3.7M7,956127190304
CIRRUS LOGIC INCCOM$3.6M24,253172755100
GENERAL MILLS INCCOM$3.6M103,403370334104
TOTALENERGIES SEACT$3.6M45,547F92124100
JAZZ PHARMACEUTICALS PLCSHS USD$3.6M14,867G50871105
SPIRE INCCOM$3.5M43,95584857L101
BANCO SANTANDER CHILE NEWSP ADR REP COM$3.4M104,64105965X109
HUNTINGTON BANCSHARES INCCOM$3.4M192,606446150104
SANOFI SASPONSORED ADR$3.4M80,45080105N105
BADGER METER INCCOM$3.3M22,515056525108
GSK PLCSPONSORED ADR$3.3M62,10137733W204
ENERSYSCOM$3.3M13,99229275Y102
PHIBRO ANIMAL HEALTH CORPCL A COM$3.1M99,72371742Q106
PFIZER INCCOM$3M124,537717081103
CULLEN FROST BANKERS INCCOM$3M19,329229899109
F N B CORPCOM$2.9M153,002302520101
DOLBY LABORATORIES INCCOM CL A$2.9M54,61325659T107
UNITED PARCEL SVCS INCCL B$2.8M26,066911312106
QNITY ELECTRONICS INCCOMMON STOCK$2.8M17,12874743L100
KIMBALL ELECTRONICS INCCOM$2.8M108,17249428J109
BANK OZK LITTLE ROCK ARKCOM$2.7M51,31706417N103
HENRY JACK & ASSOC INCCOM$2.6M19,159426281101
CHARLES RIV LABS INTL INCCOM$2.5M11,206159864107
UNION BANKSHARES INCCOM$2.5M104,509905400107
WILEY JOHN & SONS INCCL A$2.4M50,389968223206
NOVO-NORDISK A SADR$2.4M50,261670100205
NXP SEMICONDUCTORS N VCOM$2.4M8,533N6596X109
HUB GROUP INCCL A$2.4M54,305443320106
UNILEVER PLCSPON ADR NEW$2.4M39,489904767803
TOMPKINS FINL CORPCOM$2.4M25,088890110109
MORNINGSTAR INCCOM$2.3M15,051617700109
GRACO INCCOM$2.3M30,314384109104
LINDSAY CORPCOM$2.3M18,404535555106
GARTNER INCCOM$2.3M17,553366651107
CORTEVA INCCOM$2.3M26,70122052L104
HALOZYME THERAPEUTICS INCCOM$2.2M28,07640637H109
LA Z BOY INCCOM$2.1M52,292505336107
YETI HLDGS INCCOM$2.1M42,31498585X104
VISTEON CORPCOM NEW$2.1M21,05792839U206
GENTEX CORPCOM$2M80,375371901109
MIDDLEBY CORPCOM$2M11,652596278101
MOHAWK INDS INCCOM$1.9M16,049608190104
CAL MAINE FOODS INCCOM NEW$1.9M23,829128030202
ROGERS COMMUNICATIONS INCCL B$1.9M58,390775109200
UTAH MED PRODS INCCOM$1.9M27,094917488108
HAEMONETICS CORP MASSCOM$1.9M24,817405024100
ALARM COM HLDGS INCCOM$1.7M37,313011642105
VEEVA SYS INCCL A COM$1.7M9,637922475108
OMEGA FLEX INCCOM$1.7M53,895682095104
WORTHINGTON ENTERPRISES INCCOM$1.7M31,607981811102
SCHEIN HENRY INCCOM$1.6M19,621806407102
ALCON AGORD SHS$1.6M23,846H01301128
WATERS CORPCOM$1.6M4,244941848103
UNIVERSAL DISPLAY CORPCOM$1.5M17,73491347P105
INSTEEL INDS INCCOM$1.5M49,90545774W108
SMITH A O CORPCOM$1.5M23,728831865209
FEDEX FGHT HLDG CO INCCOMMON STOCK$1.4M8,998314352105
CHECK POINT SOFTWARE TECH LTORD$1.2M9,374M22465104
INTEL CORPCOM$1.1M8,123458140100
AMCOR PLCCOM NEW$1.1M25,718G0250X149
AMAZON COM INCCOM$1.1M4,461023135106
WORTHINGTON STL INCCOM SHS$959.4K28,571982104101
ISHARES TRISHS 1-5YR INVS$724.6K13,826464288646
DUPONT DE NEMOURS INCCOMMON STOCK$704.1K5,19126614N201
TAIWAN SEMICONDUCTOR MANUFACSPONSORED ADS$504.3K1,054874039100
STATE STR SPDR S&P 500 ETF TTR UNIT$483K64578462F103
HALEON PLCSPON ADS$475.3K50,939405552100
ISHARES TRMSCI EAFE ETF$347.7K3,347464287465
ISHARES TRRUSSELL 2000 ETF$324K1,078464287655
VANGUARD INDEX FDSS&P 500 ETF SHS$204K297922908363
Values are shown exactly as filed. Before 2023 managers reported in thousands of dollars and afterwards in whole dollars; the reporting unit is not always determinable from the document, so nothing is converted automatically.

Source: U.S. Securities and Exchange Commission, Form 13F · as of 2026-07-21