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)

StockValue
GOOGAlphabet C
$56.0M
AAPLApple
$54.7M
AXPAmerican Express
$43.6M
GOOGLAlphabet A
$41.7M
CSCOCisco Systems
$39.9M
WATWaters
$39.5M
SYKStryker
$38.2M
BRK/BBerkshire Hathaway
$33.8M
IDXXIdexx Laboratories
$33.5M
WFCWells Fargo
$32.5M
ORCLOracle
$28.3M
AMDAdvanced Micro Devices
$27.4M
LINLinde
$25.1M
ADBEAdobe
$24.2M
UNPUnion Pacific
$23.6M
PLTRPalantir Technologies
$23.1M
VVisa
$22.7M
AFLAflac
$22.4M
MSFTMicrosoft
$22.3M
AMEAmetek
$22.2M
PAYXPaychex
$21.9M
ADIAnalog Devices
$21.4M
ADPAutomatic Data Processing
$21.2M
ISRGIntuitive Surgical
$20.9M
INTUIntuit
$20.7M
HDHome Depot
$20.1M
JNJJohnson & Johnson
$19.2M
SYYSysco
$19.0M
ABTAbbott Laboratories
$18.8M
UBERUber Technologies
$17.9M
SSNCSS&C Technologies
$17.3M
CVXChevron
$17.0M
REGNRegeneron Pharmaceuticals
$15.8M
AMZNAmazon.com
$15.5M
USBU.S. Bancorp
$15.2M
SBUXStarbucks
$13.6M
INTCIntel
$13.4M
TROWT. Rowe Price Group
$13.3M
DISWalt Disney
$13.2M
TFCTruist Financial
$12.7M
NVDANVIDIA
$12.5M
ECLEcolab
$12.5M
SPOTSpotify Technology
$12.1M
AXONAxon Enterprise
$11.9M
PYPLPayPal Holdings
$11.4M
ENBEnbridge
$11.2M
GEGE Aerospace
$10.8M
KMBKimberly-Clark
$10.6M
NKENike
$10.4M
SLBSLB
$10.2M
EVRGEvergy
$10.0M
IBMIBM
$9.9M
MRKMerck & Co.
$9.6M
CMCSAComcast
$9.5M
MDTMedtronic
$9.4M
AMCRAmcor plc
$9.2M
AFWAlign Technology
$8.7M
METAMeta Platforms
$8.2M
ROKRockwell Automation
$8.0M
SLMSLM Corporation
$7.7M
VEEVVeeva Systems
$7.5M
IPGPIPG Photonics
$6.9M
CPCanadian Pacific Kansas City
$6.7M
PAYCPaycom Software
$6.6M
GPNGlobal Payments
$6.1M
DUKDuke Energy
$5.8M
DEODiageo ADR
$5.6M
SOThe Southern Company
$5.5M
BENFranklin Resources
$5.0M
PFEPfizer
$5.0M
SPYSPDR S&P 500 ETF
$4.9M
MRSHMarsh & McLennan
$4.8M
VWOVanguard Emerging Markets Stock Index Fund
$4.4M
KOCoca-Cola
$4.1M
COSTCostco Wholesale
$4.1M
OVVOvintiv
$3.9M
KIMKimco Realty
$3.8M
PGProcter & Gamble
$3.6M
ARMArm Holdings
$3.6M
VRSNVerisign
$3.5M
BKNGBooking Holdings
$3.2M
BRK-BBerkshire Hathaway Class A
$3.0M
XOMExxon Mobil
$3.0M
IWDiShares Russell 1000 Value ETF
$2.9M
ASBAssociated Banc-Corp
$2.9M
AVGOBroadcom
$2.8M
SNPSSynopsys
$2.8M
TDYTeledyne Technologies
$2.6M
VTIVanguard Total Stock Market Index Fund
$2.4M
HOODRobinhood Markets
$2.4M
GQ9SPDR Gold Shares
$2.1M
LAMRLamar Advertising
$2.1M
VFCV.F. Corporation
$1.9M
PEPPepsiCo
$1.8M
FICOFair Isaac
$1.8M
ETSYEtsy
$1.7M
CWBSPDR Bloomberg Convertible Securities ETF
$1.7M
ORealty Income
$1.5M
HQYHealthEquity
$1.4M
MTCHMatch Group
$1.3M
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