FARR MILLER & WASHINGTON LLC/DC

Latest statistics and disclosures from FARR MILLER & WASHINGTON LLC/DC's latest quarterly 13F-HR filing:

FARR MILLER & WASHINGTON LLC/DC portfolio companies for quarter ending March 2013

Ticker Name Portfolio Weight Change Share Count Price Last Trade
JNJ Johnson & Johnson 4.21 305432 81.53 88.09
CVS CVS Caremark Corporation 3.62 389837 54.99 59.44
XOM Exxon Mobil Corporation 3.57 234547 90.11 91.76
PG Procter & Gamble Company 3.54 +37.00% 272044 77.06 80.02
MDT Medtronic 3.37 424973 46.96 49.84
LOW Lowe's Companies 3.37 525717 37.92 42.67
MON Monsanto Company 3.07 171781 105.63 108.38
GOOG Google 3.04 22623 794.19 909.18
JPM JPMorgan Chase & Co. 2.98 371759 47.46 52.30
PEP Pepsi 2.95 220435 79.11 83.80
CVX Chevron Corporation 2.93 +39.00% 146002 118.82 123.42
UTX United Technologies Corporation 2.88 182508 93.43 97.35
WMT Wal-Mart Stores 2.71 214482 74.83 77.87
PNC PNC Financial Services 2.65 +5.00% 236211 66.50 71.51
PDCO Patterson Companies 2.64 410303 38.04 38.68
MSFT Microsoft Corporation 2.56 530606 28.61 34.87
SLB Schlumberger 2.51 198434 74.89 75.74
QCOM QUALCOMM 2.48 219149 66.94 66.61
GS Goldman Sachs 2.34 94296 147.15 158.18
NTAP NetApp 2.34 406011 34.16 37.84
DHR Danaher Corporation 2.31 219847 62.15 63.25
SYK Stryker Corporation 2.30 208362 65.24 68.90
YUM Yum! Brands 2.23 183319 71.94 70.16
FDX FedEx Corporation 2.16 130081 98.20 100.05
Accenture 2.16 167973 75.97 0.00
FDO Family Dollar Stores 2.07 +72.00% 207304 59.05 64.30
COL Rockwell Collins 2.01 188684 63.12 66.46
CELG Celgene Corporation 1.93 98440 115.91 124.91
CMG Chipotle Mexican Grill 1.83 33259 325.87 375.16
CTSH Cognizant Technology Solutions 1.77 136528 76.62 65.50
O'reilly Automotive 1.55 89616 102.44 0.00
DCI Donaldson Company 1.53 250123 36.19 38.18
CL Colgate-Palmolive Company 1.44 72055 118.03 62.04
IBM International Business Machines 1.05 +8.00% 29036 213.29 208.44
ABT Abbott Laboratories 1.03 172748 35.32 37.35
SPY SPDR S&P; 500 ETF 0.90 +6.00% 33843 156.66 166.94
KO Coca-Cola Company 0.73 107223 40.44 42.97
MMM 3M Company 0.64 35535 106.32 111.39
PFE Pfizer 0.61 +2.00% 124216 28.86 28.96
BMY Bristol Myers Squibb 0.49 70115 41.19 43.30
VZ Verizon Communications 0.49 +7.00% 58697 49.15 53.35
XEL Xcel Energy 0.48 94701 29.70 30.42
SYY SYSCO Corporation 0.46 76725 35.16 35.14
LNT Alliant Energy Corporation 0.43 50815 50.18 52.81
CMA Comerica Incorporated 0.42 68760 35.95 39.88
DPS Dr Pepper Snapple 0.42 53073 46.95 49.25
WY Weyerhaeuser Company 0.40 75865 31.38 32.48
UPS United Parcel Service 0.37 -5.00% 25325 85.88 88.70
CSCO Cisco Systems 0.34 95829 20.89 24.24
Burke & Herbert/bhrb 0.31 824 2195.39 0.00
INTC Intel Corporation 0.29 78384 21.84 24.04
DE Deere & Company 0.28 19240 85.97 86.97
WRE Washington Real Estate Investment Trust 0.27 +4.00% 56870 27.84 29.73
BDN Brandywine Realty Trust 0.20 79759 14.84 15.80
BA Boeing Company 0.18 12229 85.86 98.78
GLD SPDR Gold Trust 0.16 5992 154.54 131.07
T AT&T; 0.15 +30.00% 24707 36.67 37.44
BBT BB&T; Corporation 0.14 +248.00% 25501 31.37 32.48
FITB Fifth Third Ban 0.14 51280 16.30 18.25
ADP Automatic Data Processing 0.13 11373 65.07 71.63
GE General Electric Company 0.12 +6.00% 31349 23.13 23.46
Abbvie 0.12 NEW 17958 40.76 0.00
HD Home Depot 0.10 8574 69.75 76.86
EWJ iShares MSCI Japan Index 0.10 +6.00% 53100 10.79 12.11
AAPL Apple 0.09 -2.00% 1230 442.28 434.23
MRK Merck & Co 0.09 +31.00% 12336 44.18 45.99
SRCL Stericycle 0.09 4816 106.10 113.01
BRK.A Berkshire Hathaway 0.08 3 156333.33 0.00
WAG Walgreen Company 0.08 +5.00% 10050 47.66 49.61
FAST Fastenal Company 0.08 9732 51.38 51.11
MCD McDonald's Corporation 0.07 +61.00% 4195 99.64 101.54
AMGN Amgen 0.07 3980 102.51 104.69
TJX TJX Companies 0.07 8541 46.72 51.33
ORCL Oracle Corporation 0.07 -4.00% 13525 32.31 35.03
Enterprise Products Partners 0.07 7100 60.28 0.00
LLY Eli Lilly & Co. 0.06 6200 56.77 55.90
NSC Norfolk Southern 0.06 +33.00% 4369 77.13 80.23
ED Consolidated Edison 0.06 NEW 6000 61.00 60.79
D Dominion Resources 0.06 NEW 6189 58.17 61.17
KMB Kimberly-Clark Corporation 0.06 +38.00% 3575 97.90 104.35
WFC Wells Fargo & Company 0.06 9475 36.94 39.88
DD E.I. du Pont de Nemours & Company 0.06 7083 49.13 55.89
WAT Waters Corporation 0.06 -5.00% 3475 93.81 98.00
OXY Occidental Petroleum Corporation 0.06 4795 78.42 92.84
AVB AvalonBay Communities 0.06 2722 126.75 139.78
STZ Constellation Brands 0.06 7400 47.70 52.21
Seaspan 0.06 16475 20.03 0.00
KMP Kinder Morgan Energy Partners 0.06 3921 89.77 88.38
Duke Energy 0.06 NEW 5103 72.51 0.00
BF.B Brown-Forman Corporation 0.05 3750 71.47 0.00
RDS.A Royal Dutch Shell 0.05 4150 65.06 0.00
SIAL Sigma-Aldrich Corporation 0.05 4000 77.75 84.19
TXN Texas Instruments Incorporated 0.05 7570 35.54 36.77
MAR Marriott International 0.05 7680 42.19 43.73
MKL Markel Corporation 0.05 -5.00% 581 504.30 539.00
CXW Corrections Corporation of America 0.05 -5.00% 8015 39.05 39.48
VGK Vanguard European ETF 0.05 6400 49.06 52.51
CB Chubb Corporation 0.04 NEW 2600 87.69 89.88
CMP Compass Minerals International 0.04 -5.00% 2755 78.77 89.72
BRK.B Berkshire Hathaway 0.04 2250 104.00 0.00
TEVA Teva Pharmaceutical Industries 0.04 5600 39.64 40.23
TROW T. Rowe Price 0.04 NEW 3034 74.82 78.36
Willis Group Holdings 0.04 NEW 5895 39.53 0.00
DOW Dow Chemical Company 0.04 7500 31.87 35.82
LMT Lockheed Martin Corporation 0.04 -27.00% 2628 96.65 106.41
IT Gartner 0.04 -5.00% 4650 54.41 57.81
Nextera Energy 0.04 NEW 2796 77.61 0.00
PM Philip Morris International 0.04 2600 92.69 95.68
AZO AutoZone 0.04 625 396.80 409.30
BIV Vanguard Intermediate-Term Bond ETF 0.04 NEW 3000 88.00 87.46
DRC Dresser-Rand 0.04 -5.00% 3875 61.68 64.76
FRT Federal Realty Inv. Trust 0.04 NEW 1994 107.82 116.82
RYN Rayonier 0.04 NEW 4005 59.68 60.31
Hldgs 0.04 NEW 6830 32.06 0.00
Jp Morgan Alerian Mlp Index 0.04 NEW 4600 45.43 0.00
Tearlab 0.04 38228 6.91 0.00
ANSS ANSYS 0.03 NEW 2505 81.44 76.24
PETM PetSmart 0.03 -5.00% 3255 62.06 69.60
IVC Invacare Corporation 0.03 11763 13.09 14.56
SAPE Sapient Corporation 0.03 -5.00% 12160 12.17 11.08
SAI SAIC 0.03 -4.00% 11298 13.54 15.47
HBAN Huntington Bancshares Incorporated 0.02 NEW 19325 7.35 7.74
DSWL Deswell Industries 0.02 41000 2.54 2.58
EVF Eaton Vance Senior Income Trust 0.01 10749 7.54 7.73
TSI TCW Strategic Income Fund 0.01 10340 5.80 6.02