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CSM Advisors, LLC

SEC CIK
0001863523
Latest filing
Aug 14, 2026

Holdings in Q3 2021

Holdings as of Sep 30, 2021, filed Nov 15, 2021. Long positions only; changes compare share counts with Q2 2021.

Institution overview
Positions
149
−6 vs. Q2 2021
Portfolio value
$1.34B
−$150.4M (−10.1%) vs. Q2 2021
Filed
Nov 15, 2021
SEC
Holdings of CSM Advisors, LLC in Q3 2021
SecurityClassSharesValue% of portfolioShare changeActionHistory
Invesco QQQ Trust Series I46090E103ETF277,987$99.5M7.4%−96,211−25.7%Reduced–
Vanguard Morningstar Growth ETF922908736ETF281,887$81.8M6.1%00.0%Unchanged–
iShares Tr464287630RUS 2000 VAL ETF476,313$76.3M5.7%00.0%Unchanged–
Vanguard Morningstar Value ETF922908744ETF494,698$67.0M5.0%00.0%Unchanged–
SPYSPDR S&P 500 ETF TrustETF129,440$55.5M4.1%−81,838−38.7%ReducedHistory
MSFTMicrosoft CorpStock191,642$54.0M4.0%−2,690−1.4%ReducedHistory
AAPLApple Inc.Stock356,232$50.4M3.8%−4,540−1.3%ReducedHistory
Vanguard Malvern FDS922020805STRM INFPROIDX796,135$41.9M3.1%+221,941+38.7%Added–
GOOGAlphabet Inc.Stock14,497$38.6M2.9%−115−0.8%ReducedHistory
State Street SPDR Portfolio S&P 500 ETF78464A854ETF692,546$34.9M2.6%+19,524+2.9%Added–
iShares Russell 2000 Growth ETF464287648ETF115,993$34.1M2.5%00.0%Unchanged–
iShares Inc464286509MSCI CDA ETF860,709$31.2M2.3%00.0%Unchanged–
DKSDick's Sporting Goods, Inc.Stock175,192$21.0M1.6%−3,220−1.8%ReducedHistory
METAMeta Platforms, Inc.Stock61,330$20.8M1.6%−150−0.2%ReducedHistory
JPMJPMorgan Chase & CoStock118,760$19.4M1.5%+300+0.3%AddedHistory
DEDeere & CoStock57,417$19.2M1.4%+350+0.6%AddedHistory
INTCIntel CorpStock342,130$18.2M1.4%+2,100+0.6%AddedHistory
TGTTarget CorpStock79,218$18.1M1.4%+50+0.1%AddedHistory
DELLDell Technologies Inc.Stock173,261$18.0M1.3%00.0%UnchangedHistory
DISWalt Disney CoStock104,301$17.6M1.3%−1,430−1.4%ReducedHistory
GSGoldman Sachs Group IncStock45,654$17.3M1.3%−610−1.3%ReducedHistory
CSCOCisco Systems, Inc.Stock294,624$16.0M1.2%+1,100+0.4%AddedHistory
ABTAbbott LaboratoriesStock134,774$15.9M1.2%+600.0%AddedHistory
WMTWalmart Inc.Stock107,241$14.9M1.1%+1,000+0.9%AddedHistory
TROWPrice T Rowe Group IncStock75,628$14.9M1.1%+110+0.1%AddedHistory
JJacobs Solutions Inc.COM108,879$14.4M1.1%+108,879NewHistory
HONHoneywell International IncCOM65,405$13.9M1.0%−26,318−28.7%ReducedHistory
DFSDiscover Financial ServicesCOM111,861$13.7M1.0%−1,340−1.2%ReducedHistory
SBUXStarbucks CorpStock120,220$13.3M1.0%−1,650−1.4%ReducedHistory
TAT&T Inc.Stock488,917$13.2M1.0%+2,700+0.6%AddedHistory
ORCLOracle CorpStock147,589$12.9M1.0%−4,770−3.1%ReducedHistory
EXPEExpedia Group, Inc.Stock75,992$12.5M0.9%−370−0.5%ReducedHistory
Vanguard S&P 500 ETF922908363ETF30,065$11.9M0.9%−200−0.7%Reduced–
MPCMarathon Petroleum CorpStock188,714$11.7M0.9%+1,500+0.8%AddedHistory
BIIBBiogen Inc.COM40,811$11.5M0.9%−100.0%ReducedHistory
State Street SPDR Portfolio Developed World Ex-US ETF78463X889ETF317,639$11.5M0.9%00.0%Unchanged–
NSCNorfolk Southern CorpStock45,720$10.9M0.8%−320−0.7%ReducedHistory
DOVDOVER CorpCOM68,872$10.7M0.8%−1,650−2.3%ReducedHistory
PMPhilip Morris International Inc.Stock111,955$10.6M0.8%+900+0.8%AddedHistory
CECelanese CorpStock70,150$10.6M0.8%−170−0.2%ReducedHistory
FFIVF5, Inc.Stock50,010$9.94M0.7%−910−1.8%ReducedHistory
CNCCentene CorpStock153,513$9.57M0.7%+580+0.4%AddedHistory
HUMHumana IncStock24,312$9.46M0.7%−40−0.2%ReducedHistory
GOOGLAlphabet Inc.Stock3,449$9.22M0.7%+40+1.2%AddedHistory
MARMarriott International IncStock61,450$9.10M0.7%−50−0.1%ReducedHistory
WFCWells Fargo & CompanyStock194,332$9.02M0.7%+2,100+1.1%AddedHistory
BNYBank of New York Mellon CorpStock162,467$8.42M0.6%+1,280+0.8%AddedHistory
AIGAmerican International Group, Inc.Stock151,459$8.31M0.6%+1,000+0.7%AddedHistory
EOGEOG Resources IncStock102,713$8.24M0.6%+900+0.9%AddedHistory
BWABorgwarner IncCOM180,913$7.82M0.6%+1,100+0.6%AddedHistory
GILDGilead Sciences, Inc.Stock109,910$7.68M0.6%00.0%UnchangedHistory
RTXRTX CorpStock86,044$7.39M0.6%+800+0.9%AddedHistory
State Street SPDR Portfolio Intermediate Term Corporate Bond ETF78464A375ETF200,900$7.34M0.5%00.0%Unchanged–
WBAWalgreens Boots Alliance, Inc.COM147,480$6.94M0.5%00.0%UnchangedHistory
Paramount Global92556H206CL B173,023$6.84M0.5%+4,300+2.5%Added–
PEGPublic Service Enterprise Group IncCOM110,193$6.71M0.5%−170−0.2%ReducedHistory
CVXChevron CorpStock65,071$6.60M0.5%+700+1.1%AddedHistory
iShares Core MSCI Eafe ETF46432F842ETF87,150$6.47M0.5%00.0%Unchanged–
MMM3M CoStock36,690$6.44M0.5%00.0%UnchangedHistory
BMYBristol Myers Squibb CoStock91,665$5.42M0.4%−50−0.1%ReducedHistory
NCLHNorwegian Cruise Line Holdings Ltd.SHS160,817$4.29M0.3%+1,400+0.9%AddedHistory
State Street SPDR Portfolio Short Term Corporate Bond ETF78464A474ETF133,700$4.18M0.3%00.0%Unchanged–
iShares Tr464288588MBS ETF38,500$4.16M0.3%00.0%Unchanged–
Vanguard Ftse All-World Ex-US Index Fund922042775ETF51,450$3.14M0.2%00.0%Unchanged–
FCXFreeport-McMoran IncStock95,704$3.11M0.2%+4,600+5.0%AddedHistory
CARRCarrier Global CorpStock59,410$3.08M0.2%+400+0.7%AddedHistory
GTLSChart Industries IncCOM14,290$2.73M0.2%−100−0.7%ReducedHistory
State Street SPDR Portfolio S&P 600 Small Cap ETF78468R853ETF61,868$2.64M0.2%00.0%Unchanged–
WFC.PLWells Fargo & CompanyPERP PFD CNV A1,750$2.59M0.2%00.0%UnchangedHistory
NEENextera Energy IncStock31,764$2.49M0.2%+2,100+7.1%AddedHistory
SYNASYNAPTICS IncStock13,540$2.44M0.2%−100−0.7%ReducedHistory
VanEck ETF Trust92189F437FALLEN ANGEL HG65,100$2.15M0.2%00.0%Unchanged–
State Street SPDR Portfolio Long Term Corporate Bond ETF78464A367ETF65,900$2.07M0.2%00.0%Unchanged–
AAgilent Technologies, Inc.COM13,121$2.07M0.2%+300+2.3%AddedHistory
AXPAmerican Express CoStock12,309$2.06M0.2%+500+4.2%AddedHistory
CORCencora, Inc.Stock16,876$2.02M0.2%+1,000+6.3%AddedHistory
ALLAllstate CorpStock14,484$1.84M0.1%+800+5.8%AddedHistory
FHIFederated Hermes, Inc.CL B53,375$1.74M0.1%+2,000+3.9%AddedHistory
SPDR Index Shs FDS78463X509ST PORT MARK ETF39,129$1.66M0.1%−47,602−54.9%Reduced–
TTCToro CoCOM16,940$1.65M0.1%−200−1.2%ReducedHistory
CHTRCharter Communications, Inc.CL A2,227$1.62M0.1%+150+7.2%AddedHistory
ACLSAxcelis Technologies IncStock32,330$1.52M0.1%−400−1.2%ReducedHistory
DDominion Energy, IncStock20,699$1.51M0.1%−3,000−12.7%ReducedHistory
MTDRMatador Resources CoCOM39,260$1.49M0.1%00.0%UnchangedHistory
Sce Tr III78409B207FXD/FLT RT PFD56,450$1.45M0.1%00.0%Unchanged–
SMTCSemtech CorpStock18,260$1.42M0.1%00.0%UnchangedHistory
Vanguard Dividend Appreciation ETF921908844ETF8,734$1.34M0.1%00.0%Unchanged–
iShares Core Dividend Growth ETF46434V621ETF26,320$1.32M0.1%00.0%Unchanged–
AMGNAmgen IncStock6,163$1.31M0.1%+300+5.1%AddedHistory
Schwab US Dividend Equity ETF808524797ETF17,382$1.29M0.1%−1,500−7.9%Reduced–
UNFIUnited Natural Foods IncCOM24,500$1.19M0.1%00.0%UnchangedHistory
Fidelity Covington Trust316092873MSCI COMMNTN SVC21,900$1.17M0.1%00.0%Unchanged–
LNNLindsay CorpCOM7,520$1.14M0.1%00.0%UnchangedHistory
FWRDForward Air CorpCOM13,580$1.13M0.1%00.0%UnchangedHistory
SRESempraStock8,679$1.10M0.1%00.0%UnchangedHistory
LKFNLakeland Financial CorpCOM15,410$1.10M0.1%−150−1.0%ReducedHistory
Fidelity Covington Trust316092709MSCI INDL INDX20,900$1.08M0.1%00.0%Unchanged–
USBUS Bancorp DECOM NEW17,862$1.06M0.1%+600+3.5%AddedHistory
iShares Tr46435U853BROAD USD HIGH25,250$1.05M0.1%00.0%Unchanged–
LLYEli Lilly & CoStock4,507$1.04M0.1%00.0%UnchangedHistory

Options (1)

Puts and calls in the same filing. Amounts are the market value of the underlying shares, which is what 13F reports.

Option positions of CSM Advisors, LLC in Q3 2021
SecurityClassPutsCalls
SPYSPDR S&P 500 ETF TrustETF$14.6M–

Sold out since Q2 2021 (7)

Positions held at the end of Q2 2021 that are gone from this filing.

Positions of CSM Advisors, LLC sold out since Q2 2021
SecurityClassShares in Q2 2021Value in Q2 2021% of portfolio in Q2 2021History
iShares Trust iShares 0-1 Year Treasury Bond ETF464288679ETF374,810$41.4M2.8%–
SPDR Series Trust78464A755ST STR SP METAL656,608$28.3M1.9%–
State Street Energy Select Sector SPDR ETF81369Y506ETF276,015$14.9M1.0%–
DALDelta Air Lines, Inc.COM NEW191,635$8.29M0.6%History
LMTLockheed Martin CorpStock671$254.0K<0.1%History
CPSCooper-Standard Holdings Inc.COM7,930$229.0K<0.1%History
Wells Fargo & Co New PFD Ser X CL A94988U672Preferred8,000$204.0K<0.1%–