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13F-HR filed by Lakeside Advisors, INC.

Lakeside Advisors, INC. filed this 13F-HR for the quarter ended 2024-03-31, filed 2024-04-29, with 63 holding rows worth $156,277,532.

Accession
0001398344-24-008147
Filed
2024-04-29
Accepted by EDGAR
acceptance time not in the bulk data set
Ingested
Source
SEC quarterly data set

Original filing

13F report for Q1 2024

A holdings report, 63 entries on the cover page, a total value of $156,277,532 stated on the cover page (in dollars after the unit check, H1), rows summing to $156,277,532 with VALUE read as dollars as filed, 13F file number 028-22356. The quarter's positions are built on this report. The resolved quarter.

The information table after summing rows of one CUSIP and put or call (H4), with the CUSIP and issuer name as filed. Values in dollars after the unit check (method).

Issuer as filedCUSIPClassAmountValueValue read asType
Microsoft Corp594918104COM103,579$43,577,934dollars as filed
Berkshire Hathaway Inc084670702COM31,140$13,094,993dollars as filed
Costco Wholesale Corporation22160K105COM15,161$11,107,330dollars as filed
NUCOR CORP COM670346105Stock40,858$8,085,891dollars as filed
Procter & Gamble Co742718109COM40,244$6,529,658dollars as filed
VTI922908769COM19,900$5,172,010dollars as filed
USBANCORPDEL902973304COM NEW108,336$4,842,621dollars as filed
Waste Management, Inc.94106L109COM20,951$4,465,693dollars as filed
EXPEDITORS INTL WASH INC COM302130109Stock34,198$4,157,507dollars as filed
Johnson & Johnson478160104COM24,269$3,839,070dollars as filed
3M CO88579Y119COM SHS32,622$3,460,194dollars as filed
AbbVie,Inc.00287Y109COM18,001$3,277,982dollars as filed
PACCAR INC COM693718108Stock22,760$2,819,699dollars as filed
Starbucks Corporation855244109COM28,867$2,638,130dollars as filed
NOVO-NORDISK A S ADR670100205ADR20,250$2,600,100dollars as filed
GENERAL ELECTRIC CO369604137COM11,542$2,025,967dollars as filed
Apple Inc037833100COM11,705$2,007,092dollars as filed
AT&T Inc00206R102COM111,654$1,965,117dollars as filed
NVIDIA Corp67066G104COM2,080$1,879,405dollars as filed
Home Depot, Inc437076102COM4,875$1,870,050dollars as filed
KROGER CO COM501044101Stock32,650$1,865,295dollars as filed
EXXON MOBIL CORP30231G102COM15,608$1,814,231dollars as filed
Medtronic PlcG5960L103COM16,205$1,412,241dollars as filed
McDonalds Corporation580135101COM4,651$1,311,349dollars as filed
DAVIS FUNDAMENTAL ETF TR23908L405CMN67,500$1,302,075dollars as filed
Intel Corp458140100COM27,996$1,236,570dollars as filed
Chubb LimitedH1467J104COM4,228$1,095,591dollars as filed
FEDEX CORP COM31428X106Stock3,463$1,003,375dollars as filed
Lowes Companies,Inc.548661107COM3,812$971,031dollars as filed
CONSTELLATION ENERGY CORP COM21037T109Stock4,766$880,995dollars as filed
COLUMBIA ETF TR I19761L607MULTI SEC MUNI40,964$846,316dollars as filed
Gilead Sciences,Inc.375558103COM11,347$831,147dollars as filed
CSX Corporation126408103COM21,600$800,712dollars as filed
Boeing Company097023105COM3,830$739,152dollars as filed
Vanguard S&P 500 ETF922908363COM1,400$672,980dollars as filed
Caterpillar Inc.149123101COM1,782$653,088dollars as filed
EXELON CORP COM30161N101Stock17,058$640,869dollars as filed
Qualcomm Incorporated747525103COM3,391$574,169dollars as filed
Eli Lilly and Company532457108COM677$526,679dollars as filed
Cisco Systems,Inc.17275R102COM10,378$517,984dollars as filed
International Business Machines Corporation459200101COM2,675$510,818dollars as filed
Wells Fargo & Company949746101COM8,200$475,297dollars as filed
Mondelez International,Inc. Class A609207105COM6,163$431,378dollars as filed
GE HEALTHCARE TECHNOLOGIES INC COMMON STOCK36266G107Stock4,583$416,641dollars as filed
GUINNESS ATKINSON ETF FDS DIVIDEND BUILDER402031835ETF14,928$408,191dollars as filed
MasterCard, Inc57636Q104COM810$390,072dollars as filed
Amazon.com, Inc023135106COM2,060$371,583dollars as filed
Chevron Corporation166764100COM2,346$369,994dollars as filed
NIKE,Inc. Class B654106103COM3,850$361,823dollars as filed
Alphabet Inc. Reg. Shares C02079K107COM2,313$352,177dollars as filed
JPMorgan Chase & Co46625H100COM1,751$350,665dollars as filed
Amgen Inc.031162100COM1,090$309,988dollars as filed
Vanguard Dividend Appreciation ETF921908844SHS1,673$305,507dollars as filed
GUINNESS ATKINSON FDS402031850SUSTAINABLE ENER10,602$297,136dollars as filed
NORTHERN LTS FD TR III66538R631FPA GBL EQTY ETF9,400$271,378dollars as filed
INVESTMENT MANAGERS SER TR46143U849KNWLDL LD ETF5,800$259,301dollars as filed
WAFD INC938824109COM8,735$253,583dollars as filed
Pfizer Inc.717081103COM8,512$236,208dollars as filed
MARRIOTT INTL INC NEW CL A571903202Stock900$227,193dollars as filed
Verizon Communications Inc92343V104COM4,909$205,982dollars as filed
GUINNESS ATKINSON FDS402031843ASIA PAC ETF13,900$194,739dollars as filed
MICROVISION INC DEL594960304COM NEW47,638$87,654dollars as filed
ABERDEEN ASIA-PACIFIC INCOME F003009107COM27,833$77,932dollars as filed

Amendment chain

FilingRoleFiledAcceptedIngested
13F-HR 0001398344-24-008147this filing2024-04-29acceptance time not in the bulk data set