Cairn Investment Group, Inc.

Holdings as of 2026-06-30, filed 2026-07-28

This is history, not a current position. These holdings describe 2026-06-30, and the report became public 28 days later. The portfolio has changed since.

Aggregates

computed from the positions below
Positions reported
65
Value reported by manager
$226.7K
Sum of our stored positions
$226.7K
should match the line above
Disclosure lag
28 d
quarter end to filing
Top 5 concentration
31.6%
of the positions shown
New positions
0
vs previous quarter
Exited
0
vs previous quarter
Option positions
0
puts and calls

Positions

65 largest shown
IssuerClassValueSharesTypeCUSIP
Vanguard Total International SVG TL INTL STK F$26.6K311,629—921909768
Vanguard INTL Equity IndexFTSE EMR MKT ETF$13K217,342—922042858
SPDR Ser TrSPDR BLOOMBERG$12.6K137,640—78468R663
iShares TrustMSCI BRAZIL ETF$9.8K284,345—464286400
Select Sector SPDR TRST STR CARE ETF$9.6K60,400—81369Y209
Goldman Sachs Group IncCOM$9.2K9,111—38141G104
Acuity Brands IncCOM$8.5K22,647—00508Y102
Apple IncCOM$8.5K29,235—037833100
Expeditors INTL Wash IncCOM$7.3K44,608—302130109
BorgWarner IncCOM$7.2K108,925—011536697
iShares IncMSCI MLY ETF$7.1K263,410—46434G814
Merck & Co IncCOM$7.1K54,875—58933Y105
F5 Networks IncCOM$6.3K15,198—315616102
Booking HoldingsCOM$5.9K32,880—09857L108
Sysco CorpCOM$5.6K66,760—009810862
PepsiCo IncCOM$5K36,805—713448108
Qualcomm IncCOM$4.8K25,728—747525103
Cigna GroupCOM$4.3K15,498—125523100
Ingredion IncCOM$4.3K45,035—457187102
EOG Resources IncCOM$4K31,114—26875P101
PACCAR Inc.COM$3.9K32,791—693718108
Costco Wholesale CorpCOM$3.8K4,111—22160K105
Kroger CoCOM$3.2K57,557—501044101
Eli Lilly & CoCOM$3.1K2,610—532457108
Vaneck Vectors ETF TrGOLD MINERS ETF$3K39,330—92189F106
Comcast CorpCL A$2.9K117,440—20030N101
Cisco Systems IncCOM$2.8K23,936—17275R102
Gilead SciencesCOM$2.7K21,247—375558103
McKesson Corp.COM$2.7K3,550—58155Q103
Cardinal Health IncCOM$2.6K11,015—14149Y108
Cognizant Tech SolutionsCL A$2.4K60,810—192446102
Vanguard Russell 1000 ValueVNG RUS1000VAL$2.3K21,752—92206C714
Alphabet Inc. ACAP STK CL A$2.3K6,454—02079K305
Fiserv IncCOM$2.3K46,255—337738108
Berkshire Hathaway Inc BCL B NEW$1.8K3,637—084670702
Biogen IncCOM$1.7K8,043—09062X103
Edwards LifesciencesCOM$1.6K17,800—28176E108
U.S. BancorpCOM$1.6K26,013—902973304
Microsoft CorpCOM$1.5K4,070—594918104
JPMorgan Chase & CoCOM$1.2K3,757—46615H100
Goldman Sachs ETF TrTREASURYACCESS$7937,920—381430529
Pacer FDS TRUS CASH COWS 100$76912,370—69374H881
Amazon Com IncCOM$6882,885—023135106
Exxon Mobil CorpCOM$6544,784—30231G102
American Express CoCOM$6431,900—025816109
Visa IncCOM CL A$5631,640—92826C839
3M CompanyCOM$5463,370—88579Y101
Emerson Elec CoCOM$4523,160—291011104
Novo Nordisk A/S ADRADR$4479,333—670100205
Vanguard Specialized FundsDIV APP ETF$4151,752—921908844
iShares TrustCORE MSCI EAFE$4074,211—46432F842
Ameriprise Financial IncCOM$373814—03076C106
Walt Disney CoCOM$3663,810—254687106
iShares TrustCORE S&P500 ETF$356475—464287200
UnitedHealth Group IncCOM$350841—91324P102
Cintas CorpCOM$3261,917—172908105
iShares Short TreasurySHORT TREAS BD$3172,875—464288679
Union Pacific CorpCOM$3021,110—907818108
Schwab Strategic TRSHT TM US TRES$30112,474—808524862
Teledyne Technologies IncCOM$297446—879360105
Boeing CoCOM$2881,331—097023105
iShares TrustSELECT DIVID ETF$2721,742—464287168
Bank Amer CorpCOM$2724,768—060505104
Johnson & JohnsonCOM$2691,060—478160104
AbbVie IncCOM$245973—00287Y109
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 2026-07-28