SCHAPER BENZ & WISE INVESTMENT COUNSEL INC/WI Q4 2025 Filing

Filed January 12, 2026

Portfolio Value

$1.4B

Holdings

154

Report Date

Q4 2025

Filing Type

13F-HR

All Holdings (154 positions)

#StockSharesValue% PortfolioType
1
GOOGAlphabet C
178,553$56.0M4.05%
2
AAPLApple
201,226$54.7M3.95%
3
AXPAmerican Express
117,894$43.6M3.15%
4
GOOGLAlphabet A
133,285$41.7M3.01%
5
CSCOCisco Systems
518,511$39.9M2.89%
6
WATWaters
104,050$39.5M2.86%
7
SYKStryker
108,809$38.2M2.76%
8
BRK/BBerkshire Hathaway
67,217$33.8M2.44%
9
IDXXIdexx Laboratories
49,498$33.5M2.42%
10
WFCWells Fargo
348,448$32.5M2.35%
11
ORCLOracle
145,305$28.3M2.05%
12
AMDAdvanced Micro Devices
128,153$27.4M1.98%
13
LINLinde
58,814$25.1M1.81%
14
ADBEAdobe
69,236$24.2M1.75%
15
UNPUnion Pacific
102,004$23.6M1.71%
16
PLTRPalantir Technologies
130,012$23.1M1.67%
17
VVisa
64,793$22.7M1.64%
18
AFLAflac
202,999$22.4M1.62%
19
MSFTMicrosoft
46,071$22.3M1.61%
20
AMEAmetek
107,964$22.2M1.60%
21
PAYXPaychex
195,639$21.9M1.59%
22
ADIAnalog Devices
78,779$21.4M1.54%
23
ADPAutomatic Data Processing
82,345$21.2M1.53%
24
ISRGIntuitive Surgical
36,894$20.9M1.51%
25
INTUIntuit
31,216$20.7M1.49%
26
HDHome Depot
58,291$20.1M1.45%
27
JNJJohnson & Johnson
92,985$19.2M1.39%
28
SYYSysco
258,005$19.0M1.37%
29
ABTAbbott Laboratories
149,720$18.8M1.36%
30
UBERUber Technologies
218,988$17.9M1.29%
31
SSNCSS&C Technologies
197,862$17.3M1.25%
32
CVXChevron
111,500$17.0M1.23%
33
REGNRegeneron Pharmaceuticals
20,524$15.8M1.14%
34
AMZNAmazon.com
67,261$15.5M1.12%
35
USBU.S. Bancorp
285,121$15.2M1.10%
36
SBUXStarbucks
161,393$13.6M0.98%
37
INTCIntel
362,673$13.4M0.97%
38
TROWT. Rowe Price Group
129,857$13.3M0.96%
39
DISWalt Disney
115,824$13.2M0.95%
40
TFCTruist Financial
258,447$12.7M0.92%
41
NVDANVIDIA
67,102$12.5M0.90%
42
ECLEcolab
47,477$12.5M0.90%
43
SPOTSpotify Technology
20,894$12.1M0.88%
44
AXONAxon Enterprise
20,912$11.9M0.86%
45
PYPLPayPal Holdings
194,746$11.4M0.82%
46
ENBEnbridge
233,571$11.2M0.81%
47
GEGE Aerospace
35,096$10.8M0.78%
48
KMBKimberly-Clark
104,688$10.6M0.76%
49
NKENike
162,644$10.4M0.75%
50
SLBSLB
265,411$10.2M0.74%
51
EVRGEvergy
138,226$10.0M0.72%
52
IBMIBM
33,413$9.9M0.72%
53
MRKMerck & Co.
91,060$9.6M0.69%
54
CMCSAComcast
318,635$9.5M0.69%
55
MDTMedtronic
98,112$9.4M0.68%
56
AMCRAmcor plc
1,103,180$9.2M0.66%
57
AFWAlign Technology
55,480$8.7M0.63%
58
METAMeta Platforms
12,485$8.2M0.60%
59
ROKRockwell Automation
20,666$8.0M0.58%
60
SLMSLM Corporation
285,094$7.7M0.56%
61
VEEVVeeva Systems
33,802$7.5M0.55%
62
IPGPIPG Photonics
96,604$6.9M0.50%
63
CPCanadian Pacific Kansas City
90,475$6.7M0.48%
64
PAYCPaycom Software
41,381$6.6M0.48%
65
GPNGlobal Payments
79,267$6.1M0.44%
66
DUKDuke Energy
49,406$5.8M0.42%
67
DEODiageo ADR
64,561$5.6M0.40%
68
SOThe Southern Company
63,310$5.5M0.40%
69
BENFranklin Resources
211,400$5.0M0.36%
70
PFEPfizer
202,105$5.0M0.36%
71
SPYSPDR S&P 500 ETF
7,194$4.9M0.35%
72
MRSHMarsh & McLennan
25,967$4.8M0.35%
73
VWOVanguard Emerging Markets Stock Index Fund
82,194$4.4M0.32%
74
KOCoca-Cola
58,258$4.1M0.29%
75
COSTCostco Wholesale
4,713$4.1M0.29%
76
OVVOvintiv
100,063$3.9M0.28%
77
KIMKimco Realty
186,963$3.8M0.27%
78
PGProcter & Gamble
25,188$3.6M0.26%
79
ARMArm Holdings
32,624$3.6M0.26%
80
VRSNVerisign
14,606$3.5M0.26%
81
BKNGBooking Holdings
599$3.2M0.23%
82
BRK-BBerkshire Hathaway Class A
4$3.0M0.22%
83
XOMExxon Mobil
24,909$3.0M0.22%
84
IWDiShares Russell 1000 Value ETF
13,705$2.9M0.21%
85
ASBAssociated Banc-Corp
111,870$2.9M0.21%
86
AVGOBroadcom
8,178$2.8M0.20%
87
SNPSSynopsys
5,971$2.8M0.20%
88
TDYTeledyne Technologies
5,170$2.6M0.19%
89
VTIVanguard Total Stock Market Index Fund
7,302$2.4M0.18%
90
HOODRobinhood Markets
21,376$2.4M0.17%
91
GQ9SPDR Gold Shares
5,313$2.1M0.15%
92
LAMRLamar Advertising
16,284$2.1M0.15%
93
VFCV.F. Corporation
105,920$1.9M0.14%
94
PEPPepsiCo
12,713$1.8M0.13%
95
FICOFair Isaac
1,069$1.8M0.13%
96
ETSYEtsy
30,773$1.7M0.12%
97
CWBSPDR Bloomberg Convertible Securities ETF
18,743$1.7M0.12%
98
ORealty Income
27,343$1.5M0.11%
99
HQYHealthEquity
14,784$1.4M0.10%
100
MTCHMatch Group
40,873$1.3M0.10%
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