Instuitional Investor - Murphy Pohlad Asset Management Llc

Fund Profile
Filing Period:
Fund Name: Murphy Pohlad Asset Management Llc
Portfolio Value $232,225,970
Filing Period:
No. Security Ticker Shares Value % Port
1. TRV 37,725 $9,087,575 3.91%
2. BRK.A 18,580 $8,421,942 3.62%
3. COP 62,533 $6,201,397 2.67%
4. PG 34,035 $5,705,989 2.45%
5. MDT 66,559 $5,316,732 2.28%