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 belowPositions 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| Issuer | Class | Value | Shares | Type | CUSIP |
|---|---|---|---|---|---|
| Vanguard Total International S | VG TL INTL STK F | $26.6K | 311,629 | — | 921909768 |
| Vanguard INTL Equity Index | FTSE EMR MKT ETF | $13K | 217,342 | — | 922042858 |
| SPDR Ser Tr | SPDR BLOOMBERG | $12.6K | 137,640 | — | 78468R663 |
| iShares Trust | MSCI BRAZIL ETF | $9.8K | 284,345 | — | 464286400 |
| Select Sector SPDR TR | ST STR CARE ETF | $9.6K | 60,400 | — | 81369Y209 |
| Goldman Sachs Group Inc | COM | $9.2K | 9,111 | — | 38141G104 |
| Acuity Brands Inc | COM | $8.5K | 22,647 | — | 00508Y102 |
| Apple Inc | COM | $8.5K | 29,235 | — | 037833100 |
| Expeditors INTL Wash Inc | COM | $7.3K | 44,608 | — | 302130109 |
| BorgWarner Inc | COM | $7.2K | 108,925 | — | 011536697 |
| iShares Inc | MSCI MLY ETF | $7.1K | 263,410 | — | 46434G814 |
| Merck & Co Inc | COM | $7.1K | 54,875 | — | 58933Y105 |
| F5 Networks Inc | COM | $6.3K | 15,198 | — | 315616102 |
| Booking Holdings | COM | $5.9K | 32,880 | — | 09857L108 |
| Sysco Corp | COM | $5.6K | 66,760 | — | 009810862 |
| PepsiCo Inc | COM | $5K | 36,805 | — | 713448108 |
| Qualcomm Inc | COM | $4.8K | 25,728 | — | 747525103 |
| Cigna Group | COM | $4.3K | 15,498 | — | 125523100 |
| Ingredion Inc | COM | $4.3K | 45,035 | — | 457187102 |
| EOG Resources Inc | COM | $4K | 31,114 | — | 26875P101 |
| PACCAR Inc. | COM | $3.9K | 32,791 | — | 693718108 |
| Costco Wholesale Corp | COM | $3.8K | 4,111 | — | 22160K105 |
| Kroger Co | COM | $3.2K | 57,557 | — | 501044101 |
| Eli Lilly & Co | COM | $3.1K | 2,610 | — | 532457108 |
| Vaneck Vectors ETF Tr | GOLD MINERS ETF | $3K | 39,330 | — | 92189F106 |
| Comcast Corp | CL A | $2.9K | 117,440 | — | 20030N101 |
| Cisco Systems Inc | COM | $2.8K | 23,936 | — | 17275R102 |
| Gilead Sciences | COM | $2.7K | 21,247 | — | 375558103 |
| McKesson Corp. | COM | $2.7K | 3,550 | — | 58155Q103 |
| Cardinal Health Inc | COM | $2.6K | 11,015 | — | 14149Y108 |
| Cognizant Tech Solutions | CL A | $2.4K | 60,810 | — | 192446102 |
| Vanguard Russell 1000 Value | VNG RUS1000VAL | $2.3K | 21,752 | — | 92206C714 |
| Alphabet Inc. A | CAP STK CL A | $2.3K | 6,454 | — | 02079K305 |
| Fiserv Inc | COM | $2.3K | 46,255 | — | 337738108 |
| Berkshire Hathaway Inc B | CL B NEW | $1.8K | 3,637 | — | 084670702 |
| Biogen Inc | COM | $1.7K | 8,043 | — | 09062X103 |
| Edwards Lifesciences | COM | $1.6K | 17,800 | — | 28176E108 |
| U.S. Bancorp | COM | $1.6K | 26,013 | — | 902973304 |
| Microsoft Corp | COM | $1.5K | 4,070 | — | 594918104 |
| JPMorgan Chase & Co | COM | $1.2K | 3,757 | — | 46615H100 |
| Goldman Sachs ETF Tr | TREASURYACCESS | $793 | 7,920 | — | 381430529 |
| Pacer FDS TR | US CASH COWS 100 | $769 | 12,370 | — | 69374H881 |
| Amazon Com Inc | COM | $688 | 2,885 | — | 023135106 |
| Exxon Mobil Corp | COM | $654 | 4,784 | — | 30231G102 |
| American Express Co | COM | $643 | 1,900 | — | 025816109 |
| Visa Inc | COM CL A | $563 | 1,640 | — | 92826C839 |
| 3M Company | COM | $546 | 3,370 | — | 88579Y101 |
| Emerson Elec Co | COM | $452 | 3,160 | — | 291011104 |
| Novo Nordisk A/S ADR | ADR | $447 | 9,333 | — | 670100205 |
| Vanguard Specialized Funds | DIV APP ETF | $415 | 1,752 | — | 921908844 |
| iShares Trust | CORE MSCI EAFE | $407 | 4,211 | — | 46432F842 |
| Ameriprise Financial Inc | COM | $373 | 814 | — | 03076C106 |
| Walt Disney Co | COM | $366 | 3,810 | — | 254687106 |
| iShares Trust | CORE S&P500 ETF | $356 | 475 | — | 464287200 |
| UnitedHealth Group Inc | COM | $350 | 841 | — | 91324P102 |
| Cintas Corp | COM | $326 | 1,917 | — | 172908105 |
| iShares Short Treasury | SHORT TREAS BD | $317 | 2,875 | — | 464288679 |
| Union Pacific Corp | COM | $302 | 1,110 | — | 907818108 |
| Schwab Strategic TR | SHT TM US TRES | $301 | 12,474 | — | 808524862 |
| Teledyne Technologies Inc | COM | $297 | 446 | — | 879360105 |
| Boeing Co | COM | $288 | 1,331 | — | 097023105 |
| iShares Trust | SELECT DIVID ETF | $272 | 1,742 | — | 464287168 |
| Bank Amer Corp | COM | $272 | 4,768 | — | 060505104 |
| Johnson & Johnson | COM | $269 | 1,060 | — | 478160104 |
| AbbVie Inc | COM | $245 | 973 | — | 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