BERKSHIRE HATHAWAY INC DEL BRK.B
7.48% 7.44% $64.2M 128,286 $57.3M 119,626 +8,660 +7.24% Add APPLE INC AAPL
6% 5.9% $51.5M 178,001 $45.5M 179,222 -1,221 -0.68% Reduce JOHNSON & JOHNSON JNJ
4.9% 5.29% $42.0M 165,525 $40.8M 166,982 -1,457 -0.87% Reduce CATERPILLAR INC CAT
4.69% 3.65% $40.3M 37,820 $28.1M 39,682 -1,862 -4.69% Reduce JPMORGAN CHASE & CO JPM
4.15% 4.18% $35.6M 108,791 $32.2M 109,485 -694 -0.63% Reduce MICROSOFT CORP MSFT
3.72% 4.03% $31.9M 85,564 $31.0M 83,877 +1,687 +2.01% Add GOLDMAN SACHS GROUP INC GS
3.04% 2.91% $26.1M 25,851 $22.5M 26,555 -704 -2.65% Reduce CUMMINS INC CMI
2.81% 2.39% $24.1M 33,794 $18.4M 34,260 -466 -1.36% Reduce A Alphabet Inc Class C GOOG
2.67% 2.49% $23.0M 64,958 $19.2M 67,013 -2,055 -3.07% Reduce ABBVIE INC ABBV
2.35% 2.27% $20.2M 80,166 $17.5M 80,406 -240 -0.30% Reduce I ISHARES RUSSELL MIDCAP ETF IWR
2.13% 2.08% $18.3M 165,548 $16.0M 164,662 +886 +0.54% Add DEERE & CO DE
1.82% 1.81% $15.6M 24,668 $13.9M 24,722 -54 -0.22% Reduce MCKESSON CORP COM MCK
1.76% 2.23% $15.1M 19,954 $17.2M 19,898 +56 +0.28% Add CORNING INC GLW
1.73% 1.17% $14.9M 58,307 $9.0M 66,541 -8,234 -12.37% Reduce ORACLE CORP ORCL
1.58% 1.78% $13.6M 92,830 $13.8M 93,518 -688 -0.74% Reduce G GENERAL DYNAMICS CORP GD
1.58% 1.55% $13.6M 36,726 $11.9M 37,184 -458 -1.23% Reduce ALPHABET INC GOOGL
1.52% 1.36% $13.0M 36,433 $10.5M 36,526 -93 -0.25% Reduce EXXON MOBIL CORP XOM
1.48% 2.06% $12.7M 93,216 $15.9M 93,604 -388 -0.41% Reduce V VANGUARD INDEX FDS VB
1.39% 1.35% $12.0M 39,471 $10.4M 39,650 -179 -0.45% Reduce CHEVRON CORPORATION CVX
1.35% 1.88% $11.6M 70,189 $14.5M 69,966 +223 +0.32% Add I ISHARES RUSSELL IWM
1.34% 1.2% $11.5M 38,312 $9.3M 37,383 +929 +2.49% Add CISCO SYS INC CSCO
1.23% 0.94% $10.6M 90,244 $7.2M 92,994 -2,750 -2.96% Reduce V VANGUARD WORLD FD VGT
1.17% 1% $10.0M 84,082 $7.7M 11,065 +73,017 +659.89% Add AMAZON COM INC AMZN
1.16% 1.12% $10.0M 41,825 $8.6M 41,515 +310 +0.75% Add Markel Group Inc. MKL
1.15% 0.98% $9.9M 5,071 $7.6M 3,952 +1,119 +28.31% Add US BANCORP USB
1.14% 1.09% $9.8M 161,453 $8.4M 161,603 -150 -0.09% Reduce MCDONALDS CORP MCD
1.13% 1.45% $9.7M 35,877 $11.1M 35,873 +4 +0.01% Add BROOKFIELD CORP BN
1.04% 1.04% $8.9M 209,496 $8.0M 198,648 +10,848 +5.46% Add PEPSICO INC PEP
1.03% 1.33% $8.8M 65,277 $10.2M 65,836 -559 -0.85% Reduce PROCTER & GAMBLE CO PG
0.98% 1.1% $8.4M 57,507 $8.5M 58,922 -1,415 -2.40% Reduce VISA INC V
0.96% 0.94% $8.3M 24,086 $7.2M 23,961 +125 +0.52% Add FEDEX CORP FDX
0.96% 1.22% $8.3M 26,361 $9.4M 26,312 +49 +0.19% Add ABBOTT LABORATORIES ABT
0.95% 1.23% $8.2M 89,925 $9.5M 92,218 -2,293 -2.49% Reduce AIR PRODUCTS AND CHEMICALS I APD
0.91% 1.02% $7.8M 26,542 $7.9M 27,117 -575 -2.12% Reduce V VANGUARD MID VO
0.89% 0.88% $7.6M 94,528 $6.8M 23,732 +70,796 +298.31% Add V VANGUARD BD INDEX FDS BSV
0.88% 1.01% $7.6M 97,226 $7.8M 99,061 -1,835 -1.85% Reduce WELLS FARGO CO NEW WFC
0.81% 0.87% $7.0M 84,621 $6.7M 84,621 0 0.00% Unchanged I ISHARES S&P 100 ETF OEF
0.73% 0.72% $6.3M 17,210 $5.6M 17,567 -357 -2.03% Reduce V VANGUARD INDEX FDS VUG
0.72% 0.69% $6.1M 71,325 $5.3M 12,191 +59,134 +485.06% Add TEXAS INSTRS INC TXN
0.71% 0.52% $6.1M 20,576 $4.0M 20,686 -110 -0.53% Reduce V VANGUARD SMALL VBR
0.7% 0.66% $6.0M 24,732 $5.1M 23,452 +1,280 +5.46% Add TRAVELERS COS TRV
0.67% 0.69% $5.8M 17,555 $5.3M 18,113 -558 -3.08% Reduce EOG RES INC EOG
0.62% 0.78% $5.3M 41,229 $6.0M 41,649 -420 -1.01% Reduce C CITIGROUP INC C
0.62% 0.57% $5.3M 38,178 $4.4M 38,723 -545 -1.41% Reduce MORGAN STANLEY MS
0.61% 0.55% $5.2M 25,073 $4.2M 25,673 -600 -2.34% Reduce V VANGUARD INDEX FDS VTV
0.61% 0.59% $5.2M 23,920 $4.6M 23,373 +547 +2.34% Add AUTOMATIC DATA PROCESSING IN ADP
0.57% 0.61% $4.9M 22,042 $4.7M 23,113 -1,071 -4.63% Reduce WALMART INC WMT
0.57% 0.7% $4.9M 43,072 $5.4M 43,172 -100 -0.23% Reduce V VANGUARD SCOTTSDALE FDS VGSH
0.57% 0.61% $4.9M 83,496 $4.7M 80,906 +2,590 +3.20% Add B BANK OF AMER CORP BAC
0.55% 0.52% $4.7M 82,474 $4.0M 81,642 +832 +1.02% Add