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VOL. XII · NO. 117Established MMXIV · George Town, Grand CaymanAtlantic Edition · $4.50

The Cayman Journal

Finance · Business · Technology · Caribbean & Global Affairs
13F HOLDINGS REPORT

Auto-Owners Insurance Co

Quarter ended Q3 2023 · Filed August 2, 2023 · Accession 0001964189-23-000006

Total Value
$3.08B
Positions
192
Other Managers
2
Confidential Omitted
No
View on SEC.gov

Holdings (192)

#IssuerTicker / CUSIPSharesValue% of Filing
1SPDR INDEX SHS FDS78463X8898,915,000$290.1M9.42%
2SCHWAB STRATEGIC TR8085247557,416,000$239.6M7.78%
3ISHARES TR4642871502,125,300$207.9M6.75%
4ISHARES TR4642888773,338,000$163.4M5.30%
5SPDR SER TR78464A1021,073,000$149.7M4.86%
6ISHARES TR46435G3262,226,000$136.0M4.41%
7SELECT SECTOR SPDR TR81369Y6052,885,700$97.3M3.16%
8BERKSHIRE HATHAWAY INC DELBRK-A151$78.2M2.54%
9PEPSICO INCPEP315,378$58.4M1.90%
10ALPHABET INCGOOG474,800$57.4M1.86%
11META PLATFORMS INCMETA179,400$51.5M1.67%
12SPDR SER TR78468R7881,360,000$50.5M1.64%
13JOHNSON & JOHNSONJNJ288,260$47.7M1.55%
14GENERAL ELECTRIC CO369604301414,848$45.6M1.48%
15VANGUARD WHITEHALL FDS921946406412,700$43.8M1.42%
16SPDR INDEX SHS FDS78463X8891,330,000$43.3M1.41%
17VANGUARD TAX-MANAGED FDS921943858912,750$42.2M1.37%
18AMAZON COM INCAMZN290,300$37.8M1.23%
19ISHARES INC4642863191,430,000$35.0M1.14%
20SPDR SER TR78464A847750,000$34.5M1.12%
21VANGUARD INTL EQUITY INDEX F922042858826,716$33.6M1.09%
223M COMMM322,390$32.3M1.05%
23MSC INDL DIRECT INC553530106333,800$31.8M1.03%
24COCA COLA COKO525,500$31.6M1.03%
25MICROSOFT CORPMSFT90,145$30.7M1.00%
26SPDR INDEX SHS FDS78463X889930,000$30.3M0.98%
27RAYTHEON TECHNOLOGIES CORPRTX303,919$29.8M0.97%
28ISHARES TR464287663374,000$29.2M0.95%
29WELLS FARGO CO NEW949746101635,018$27.1M0.88%
30ENTERPRISE PRODS PARTNERS L2937921071,000,000$26.4M0.86%
31CISCO SYS INCCSCO503,940$26.1M0.85%
32SELECT SECTOR SPDR TR81369Y605766,900$25.9M0.84%
33ISHARES TR464287150258,900$25.3M0.82%
34CHUBB LIMITEDCB130,000$25.0M0.81%
35COCA-COLA FEMSA SAB DE CVCOCSF300,000$25.0M0.81%
36ISHARES TR464287150219,450$21.5M0.70%
37BECTON DICKINSON & COBDX81,235$21.4M0.70%
38ISHARES TR464287663274,000$21.4M0.70%
39US BANCORP DELUSB-PS625,000$20.6M0.67%
40VANGUARD WORLD FDS92204A10868,700$19.4M0.63%
41SELECT SECTOR SPDR TR81369Y605544,800$18.4M0.60%
42ISHARES INC46434G103360,000$17.7M0.58%
43VANGUARD WHITEHALL FDS921946406167,000$17.7M0.58%
44ISHARES TR46434V621339,500$17.5M0.57%
45ISHARES TR464287663216,000$16.9M0.55%
46SCHWAB STRATEGIC TR808524755519,000$16.8M0.54%
47ISHARES TR464288877330,000$16.2M0.52%
48HONDA MOTOR LTDHNDAF532,650$16.1M0.52%
49SPDR SER TR78468R788420,000$15.6M0.51%
50VANGUARD WHITEHALL FDS921946406144,500$15.3M0.50%
51INTEL CORPINTC455,308$15.2M0.49%
52SELECT SECTOR SPDR TR81369Y860401,531$15.1M0.49%
53ISHARES TR464288877295,000$14.4M0.47%
54BANK NEW YORK MELLON CORP064058100322,300$14.3M0.47%
55DUPONT DE NEMOURS INCDD189,877$13.6M0.44%
56SCHWAB STRATEGIC TR808524755418,000$13.5M0.44%
57KRAFT HEINZ COKHC371,998$13.2M0.43%
58VANGUARD INTL EQUITY INDEX F922042858313,000$12.7M0.41%
59AVALONBAY CMNTYS INCAWX65,000$12.3M0.40%
60CARNIVAL CORPCUKPF650,000$12.2M0.40%
61GE HEALTHCARE TECHNOLOGIES IGEHC138,281$11.2M0.36%
62SPDR SER TR78464A10273,900$10.3M0.33%
63SPDR SER TR78468R788270,000$10.0M0.33%
64PRUDENTIAL FINL INCPUKPF110,000$9.7M0.32%
65NORTHERN TR CORPNTRSO120,000$8.9M0.29%
66TRUIST FINL CORP89832Q109288,000$8.7M0.28%
67SPDR SER TR78464A847180,000$8.3M0.27%
68ALPHABET INCGOOG68,000$8.2M0.27%
69META PLATFORMS INCMETA28,000$8.0M0.26%
70KELLOGG COBEKE109,400$7.4M0.24%
71WORKDAY INCWDAY32,600$7.4M0.24%
72VANGUARD INTL EQUITY INDEX F922042858171,000$7.0M0.23%
73VANGUARD INDEX FDS92290875133,598$6.7M0.22%
74ENBRIDGE INCENNPF179,110$6.7M0.22%
75SPDR SER TR78464A10247,200$6.6M0.21%
76ISHARES TR46435G326103,000$6.3M0.20%
77GENERAL ELECTRIC CO36960430155,762$6.1M0.20%
78AMAZON COM INCAMZN43,000$5.6M0.18%
79VANGUARD TAX-MANAGED FDS921943858112,000$5.2M0.17%
80ISHARES TR46434V621100,000$5.2M0.17%
81ISHARES TR46435G32683,000$5.1M0.16%
82SPDR SER TR78464A847110,000$5.1M0.16%
83STRYKER CORPORATIONSYK16,293$5.0M0.16%
84APPLE INCAAPL25,000$4.8M0.16%
85ALPHABET INCGOOG38,000$4.6M0.15%
86NOVARTIS AGNVSEF45,143$4.6M0.15%
87ISHARES INC464286319170,000$4.2M0.14%
88SELECT SECTOR SPDR TR81369Y860106,711$4.0M0.13%
89PROCTER AND GAMBLE CO74271810926,109$4.0M0.13%
90ISHARES TR46434V62175,000$3.9M0.13%
91ISHARES INC464286319150,000$3.7M0.12%
92BERKSHIRE HATHAWAY INC DELBRK-A7$3.6M0.12%
93MICROSOFT CORPMSFT10,400$3.5M0.11%
94GENERAL ELECTRIC CO36960430132,050$3.5M0.11%
95KRAFT HEINZ COKHC97,900$3.5M0.11%
96AMERICAN EXPRESS COAXP19,950$3.5M0.11%
97VANGUARD INDEX FDS92290876915,600$3.4M0.11%
98BERKSHIRE HATHAWAY INC DELBRK-A9,580$3.3M0.11%
99AMAZON COM INCAMZN25,000$3.3M0.11%
100ZIMMER BIOMET HOLDINGS INCZBH22,350$3.3M0.11%
101TORONTO DOMINION BK ONTTORO50,875$3.2M0.10%
102ISHARES TR46428827352,300$3.1M0.10%
103SELECT SECTOR SPDR TR81369Y86075,806$2.9M0.09%
104CISCO SYS INCCSCO54,120$2.8M0.09%
105JOHNSON & JOHNSONJNJ15,940$2.6M0.09%
106ISHARES TR46429B66323,800$2.4M0.08%
107MICROSOFT CORPMSFT7,000$2.4M0.08%
108HONDA MOTOR LTDHNDAF78,000$2.4M0.08%
109META PLATFORMS INCMETA8,200$2.4M0.08%
110AT&T INCT-PC144,553$2.3M0.07%
111BECTON DICKINSON & COBDX8,610$2.3M0.07%
112VANGUARD WORLD FDS92204A1087,900$2.2M0.07%
113UNITED PARCEL SERVICE INCUPS12,300$2.2M0.07%
114THERMO FISHER SCIENTIFIC INCTMO4,190$2.2M0.07%
115BERKSHIRE HATHAWAY INC DELBRK-A4$2.1M0.07%
1163M COMMM20,400$2.0M0.07%
117KRAFT HEINZ COKHC55,833$2.0M0.06%
118ORACLE CORPORCL-PD16,187$1.9M0.06%
119APPLIED MATLS INC03822210513,000$1.9M0.06%
120GENERAC HLDGS INCGNRC11,000$1.6M0.05%
121PEPSICO INCPEP8,800$1.6M0.05%
122CISCO SYS INCCSCO31,080$1.6M0.05%
123GE HEALTHCARE TECHNOLOGIES IGEHC18,587$1.5M0.05%
124FIRST CTZNS BANCSHARES INC N31946M1031,145$1.5M0.05%
125JOHNSON & JOHNSONJNJ8,560$1.4M0.05%
126WALGREENS BOOTS ALLIANCE INC93142710848,000$1.4M0.04%
127HONDA MOTOR LTDHNDAF45,000$1.4M0.04%
128BECTON DICKINSON & COBDX5,010$1.3M0.04%
129ILLINOIS TOOL WKS INC4523081095,100$1.3M0.04%
130VANGUARD INDEX FDS9229087695,400$1.2M0.04%
131LINDE PLCLIN3,100$1.2M0.04%
1323M COMMM11,700$1.2M0.04%
133VANGUARD WORLD FDS92204A1084,100$1.2M0.04%
134KELLOGG COBEKE16,300$1.1M0.04%
135WORKDAY INCWDAY4,800$1.1M0.04%
136COCA COLA COKO17,200$1.0M0.03%
137VANGUARD TAX-MANAGED FDS92194385821,000$969,7800.03%
138PEPSICO INCPEP5,100$944,6220.03%
139QUALCOMM INCQCOM7,839$933,1550.03%
140ABBOTT LABSABLZF8,358$911,1890.03%
141RAYTHEON TECHNOLOGIES CORPRTX9,100$891,4360.03%
142C H ROBINSON WORLDWIDE INCCHRW9,400$886,8900.03%
143GE HEALTHCARE TECHNOLOGIES IGEHC10,683$867,8870.03%
144SNAP ON INCSNA2,975$857,3650.03%
145MERCK & CO INCMRK7,300$842,3470.03%
146BLACKROCK INCBLK1,200$829,3680.03%
147SYSCO CORPSYY11,100$823,6200.03%
148INTEL CORPINTC24,100$805,9040.03%
149MONDELEZ INTL INC60920710510,600$773,1640.03%
150GOLDMAN SACHS GROUP INCGSCE2,301$742,1650.02%
151MSC INDL DIRECT INC5535301067,700$733,6560.02%
152WARNER BROS DISCOVERY INCWBD58,167$729,4140.02%
153ECOLAB INCECL3,600$672,0840.02%
154COGNIZANT TECHNOLOGY SOLUTIOCTSH10,232$667,9450.02%
155BANK AMERICA CORP06050510422,373$641,8810.02%
156MORGAN STANLEYMS-PQ7,500$640,5000.02%
157CARRIER GLOBAL CORPORATIONCARR12,787$635,6420.02%
158KELLOGG COBEKE9,400$633,5600.02%
159PNC FINL SVCS GROUP INC6934751055,000$629,7500.02%
160AMPCO-PITTSBURG CORPAP195,500$621,6900.02%
161RIO TINTO PLCRTNTF9,600$612,8640.02%
162WORKDAY INCWDAY2,700$609,9030.02%
163DOVER CORPDOV3,900$575,8350.02%
164JPMORGAN CHASE & COVYLD3,915$569,3980.02%
165OTIS WORLDWIDE CORPOTIS6,393$569,0410.02%
166HILLENBRAND INC43157110810,500$538,4400.02%
167RAYTHEON TECHNOLOGIES CORPRTX5,300$519,1880.02%
168EXPEDITORS INTL WASH INC3021301094,095$496,0270.02%
169COCA COLA COKO7,500$451,6500.01%
170COLGATE PALMOLIVE COCL5,600$431,4240.01%
171MSC INDL DIRECT INC5535301064,500$428,7600.01%
172CVS HEALTH CORPCVS5,657$391,0680.01%
173GENERAL MTRS CO37045V1009,800$377,8880.01%
174VODAFONE GROUP PLC NEW92857W30839,733$375,4770.01%
175VERIZON COMMUNICATIONS INCVZ10,033$373,1270.01%
176INTEL CORPINTC11,000$367,8400.01%
177CME GROUP INCCME1,959$362,9830.01%
178HOWMET AEROSPACE INCHWM7,033$348,5550.01%
179COSTCO WHSL CORP NEW22160K105630$339,1790.01%
180ANALOG DEVICES INCADI1,736$338,1900.01%
181FORTIVE CORPFTV4,350$325,2500.01%
182MOODYS CORPMCO933$324,4230.01%
183AGNICO EAGLE MINES LTDAEM5,400$269,8920.01%
184VMWARE INC9285634021,827$262,5220.01%
185DELL TECHNOLOGIES INCDELL4,147$224,3940.01%
186ARCELORMITTAL SA LUXEMBOURGARCXF8,066$220,5240.01%
187UNION PAC CORPUNP1,022$209,1220.01%
188KYNDRYL HLDGS INCKD15,700$208,4960.01%
189BARRICK GOLD CORP06790110810,200$172,6860.01%
190GRAHAM CORPGHM11,000$146,0800.00%
191AMPCO-PITTSBURG CORPAP29,600$94,1280.00%
192AMPCO-PITTSBURG CORPAP17,000$54,0600.00%