Maryland Capital Management

Latest statistics and disclosures from Maryland Capital Management's latest quarterly 13F-HR filing:

Maryland Capital Management portfolio companies for March 2015 quarter

Ticker Name Portfolio Weight Change Share Count Price Last Trade
Actavis 4.73 101879 297.62 0.00
UA Under Armour 4.29 340566 80.75 75.07
UTHR United Therapeutics Corporation 3.90 145078 172.44 161.87
VFC V.F. Corporation 3.50 297797 75.31 73.33
CMG Chipotle Mexican Grill 3.43 +2.00% 33773 650.53 665.38
AAPL Apple 3.37 173583 124.43 123.28
Express Scripts Holding 3.20 236052 86.77 0.00
Catamaran 3.11 +3.00% 334358 59.54 0.00
MA MasterCard Incorporated 2.91 +5.00% 216102 86.39 87.52
ABT Abbott Laboratories 2.70 +2.00% 373249 46.33 46.40
GE General Electric Company 2.60 +3.00% 672230 24.81 25.35
PEP Pepsi 2.49 +2.00% 166771 95.62 93.96
AMTD TD Ameritrade Holding 2.42 +4.00% 416090 37.26 37.51
YUM Yum! Brands 2.41 +4.00% 196332 78.72 77.05
SBNY Signature Bank 2.39 +10.00% 118041 129.58 124.56
MSFT Microsoft Corporation 2.35 +5.00% 370718 40.66 42.00
PG Procter & Gamble Company 2.34 +4.00% 183178 81.94 81.31
TROW T. Rowe Price 2.25 +4.00% 178168 80.98 81.65
CMI Cummins 2.12 +7.00% 98136 138.64 137.75
EBAY eBay 2.07 230158 57.68 59.78
CXO Concho Resources 2.00 +12.00% 110630 115.92 107.77
QCOM QUALCOMM 1.97 +6.00% 182070 69.34 71.27
LVS Las Vegas Sands 1.86 +11.00% 216916 55.04 52.42
Tripadvisor 1.81 +15.00% 139565 83.17 0.00
Google Inc Class C 1.54 +15.00% 18055 548.01 0.00
VB Vanguard Small-Cap ETF 1.17 NEW 61443 122.55 118.34
VNQ Vanguard REIT ETF 1.16 NEW 87903 84.31 80.84
IVV iShares S&P; 500 Index 1.14 NEW 35022 207.83 205.96
Alerian Mlp Etf 1.12 NEW 432808 16.57 0.00
GOOG Google 1.07 12362 554.66 554.33
XOM Exxon Mobil Corporation 1.03 -3.00% 77723 85.00 84.57
COP ConocoPhillips 1.03 +5.00% 106238 62.26 61.42
T AT&T; 0.99 +6.00% 193429 32.65 32.70
VZ Verizon Communications 0.97 +4.00% 127749 48.63 48.01
VO Vanguard Mid-Cap ETF 0.88 NEW 42608 132.70 125.59
Global X Etf equity 0.70 NEW 193920 23.14 0.00
VEA Vanguard Europe Pacific ETF 0.66 NEW 105865 39.83 39.04
Duke Energy 0.58 48611 76.79 0.00
BRK.B Berkshire Hathaway 0.57 +14.00% 25524 144.33 0.00
IWM iShares Russell 2000 Index 0.57 NEW 29275 124.38 119.90
HCN Health Care REIT 0.54 -3.00% 45113 77.36 74.30
PFE Pfizer 0.49 +3.00% 89627 34.79 33.78
LLY Eli Lilly & Co. 0.48 +3.00% 42748 72.66 68.81
VWO Vanguard Emerging Markets ETF 0.47 NEW 74242 40.87 39.44
DD E.I. du Pont de Nemours & Company 0.46 41050 71.46 79.13
INTC Intel Corporation 0.45 +3.00% 93107 31.27 32.76
EFA iShares MSCI EAFE Index Fund 0.43 NEW 43325 64.17 62.56
JNJ Johnson & Johnson 0.41 -7.00% 26009 100.60 98.55
RWR SPDR DJ Wilshire REIT 0.41 NEW 27842 94.57 90.66
Kinder Morgan 0.41 62968 42.05 0.00
CVX Chevron Corporation 0.40 24462 104.98 102.86
OFC Corporate Office Properties Trust 0.40 -3.00% 87805 29.38 28.77
BBT BB&T; Corporation 0.38 62800 39.00 37.76
HD Home Depot 0.36 20383 113.62 113.11
CHI Calamos Conv. Opptys. & Income Fund 0.33 NEW 161620 12.98 13.03
BMY Bristol Myers Squibb 0.31 31166 64.49 66.08
PPL PPL Corporation 0.31 -3.00% 59510 33.66 31.37
MCD McDonald's Corporation 0.30 +12.00% 19459 97.45 96.21
MRK Merck & Co 0.30 +5.00% 33617 57.49 56.20
SO Southern Company 0.29 -10.00% 42599 44.27 43.68
Enterprise Products Partners 0.28 -9.00% 54732 32.92 0.00
PM Philip Morris International 0.26 +14.00% 22171 75.32 77.69
JPM JPMorgan Chase & Co. 0.25 -5.00% 26896 60.59 60.16
POM Pepco Holdings 0.25 -6.00% 58678 26.82 26.90
KMB Kimberly-Clark Corporation 0.24 +5.00% 14386 107.07 103.80
Baltimore Gas & Electric Cap D pfd 0.24 -6.00% 59430 25.67 0.00
MO Altria 0.23 -5.00% 28972 50.01 52.47
IBM International Business Machines 0.23 -3.00% 9034 160.51 158.25
RKT Rock-Tenn Company 0.23 22599 64.52 63.64
Goldman Sachs Group Inc 6.125% preferred 0.23 56770 25.93 0.00
Metlife Inc. 6.5% Pfd Non-cumu pfd 0.22 54975 25.90 0.00
HCP HCP 0.21 +4.00% 30986 43.21 40.24
Abbvie 0.20 +21.00% 22390 58.54 0.00
KO Coca-Cola Company 0.19 +3.00% 29625 40.54 40.22
HYG iShares iBoxx $ High Yid Corp Bond 0.19 NEW 13587 90.60 90.34
Medtronic 0.19 NEW 15666 78.00 0.00
WMT Wal-Mart Stores 0.18 -10.00% 14336 82.24 81.06
WFC Wells Fargo & Company 0.18 21060 54.42 53.90
Jp Morgan Chase Cap Xx1 pfd 0.18 45455 25.41 0.00
AGG iShares Lehman Aggregate Bond 0.17 NEW 9924 111.48 110.29
ED Consolidated Edison 0.16 16516 60.97 59.90
D Dominion Resources 0.15 13637 70.90 69.17
WRE Washington Real Estate Investment Trust 0.15 35225 27.62 26.64
CINF Cincinnati Financial Corporation 0.14 -5.00% 17335 53.30 52.08
LOW Lowe's Companies 0.14 +3.00% 12057 74.40 73.15
AWF AllianceBernstein Global Hgh Incm Fd 0.14 NEW 73615 12.57 12.60
AJG Arthur J. Gallagher & Co. 0.13 -6.00% 17155 46.75 45.96
CVS CVS Caremark Corporation 0.13 -13.00% 7898 103.19 101.90
SPH Suburban Propane Partners 0.13 -16.00% 19975 42.95 43.73
MMM 3M Company 0.12 -27.00% 4709 165.00 162.72
Nextera Energy 0.12 -3.00% 7430 104.01 0.00
DHR Danaher Corporation 0.12 8850 84.86 84.59
DIS Walt Disney Company 0.11 6655 104.88 103.60
KYN Kayne Anderson MLP Investment 0.11 NEW 19690 35.50 34.45
EEM iShares MSCI Emerging Markets Indx 0.10 NEW 15685 40.14 38.45
EEP Enbridge Energy Partners 0.10 -6.00% 18150 36.00 36.35
CHY Calamos Convertible & Hi Income Fund 0.10 NEW 45890 14.16 14.22
ORCL Oracle Corporation 0.09 13879 43.16 41.62
MKC McCormick & Company, Incorporated 0.09 -9.00% 7225 77.09 72.00
LQD iShares IBoxx $ Invest Grade Corp Bd Fd 0.09 NEW 4725 121.69 120.16
USB U.S. Ban 0.08 +11.00% 11274 43.64 43.76
LMT Lockheed Martin Corporation 0.08 +20.00% 2525 202.77 197.87
WTR Aqua America 0.08 18732 26.37 25.80
SASR Sandy Spring Ban 0.08 18400 26.25 25.56
Partnerre Ltd. 6.5% Perpetual pfd 0.08 20605 25.86 0.00
HYT BlackRock Corporate High Yield Fund VI, 0.08 NEW 48500 11.15 11.27
CSCO Cisco Systems 0.07 +9.00% 16450 27.54 28.51
UNH UnitedHealth 0.07 +37.00% 3673 118.16 113.33
MMP Magellan Midstream Partners 0.07 5600 76.79 78.66
QQQQ PowerShares QQQ Trust, Series 1 0.07 NEW 4140 105.49 0.00
IWF iShares Russell 1000 Growth Index 0.07 NEW 4661 98.86 97.71
IWR iShares Russell Midcap Index Fund 0.07 NEW 2589 173.04 169.15
DIA SPDR Dow Jones Industrial Average ETF 0.07 NEW 2581 177.45 176.97
EWL iShares MSCI Switzerland Index Fund 0.07 NEW 14425 33.21 32.09
Phillips 66 0.07 -4.00% 5441 78.66 0.00
Allianzgi Conv & Inc Fd taxable cef 0.07 NEW 51400 9.15 0.00
COST Costco Wholesale Corporation 0.06 +4.00% 2600 151.54 148.30
CL Colgate-Palmolive Company 0.06 +28.00% 5866 69.38 68.17
UTX United Technologies Corporation 0.06 -10.00% 3330 117.12 118.52
F Ford Motor Company 0.06 -18.00% 25534 16.14 15.85
TJX TJX Companies 0.06 +16.00% 5230 69.98 67.66
IBB iShares NASDAQ Biotechnology Index 0.06 NEW 1057 343.42 341.41
PAA Plains All American Pipeline 0.06 +10.00% 7726 48.80 47.37
Ishares Tr Phill Invstmrk 0.06 NEW 8995 41.58 0.00
EPI WisdomTree India Earnings Fund 0.06 NEW 16860 22.78 23.12
MKC.V McCormick & Company, Incorporated 0.06 5000 77.60 0.00
Marathon Petroleum 0.06 3840 102.34 0.00
FXI iShares FTSE/Xinhua China 25 Index 0.05 NEW 6710 44.41 40.81
BAC Bank of America Corporation 0.05 20954 15.37 15.95
PAYX Paychex 0.05 +50.00% 6535 49.58 48.92
SYY SYSCO Corporation 0.05 -5.00% 8630 37.78 38.41
DOW Dow Chemical Company 0.05 +26.00% 6017 48.00 47.09
BCR C.R. Bard 0.05 1920 167.19 166.60
RDS.A Royal Dutch Shell 0.05 +5.00% 5030 59.63 0.00
Accenture 0.05 -10.00% 3350 93.73 0.00
V Visa 0.05 +383.00% 4727 65.37 266.74
PEG Public Service Enterprise 0.05 +7.00% 6910 41.97 39.84
OHI Omega Healthcare Investors 0.05 -2.00% 7505 40.51 38.61
SPG Simon Property 0.05 1749 195.43 179.63
VV Vanguard Large-Cap ETF 0.05 NEW 3177 95.06 94.44
VCR Vanguard Consumer Discretionary ETF 0.05 NEW 2564 122.46 120.44
HIO Western Asst High Incm Opprtnty Fnd 0.05 NEW 60000 5.32 5.37
IYH iShares Dow Jones US Healthcare 0.05 NEW 2029 154.26 150.90
Aegon N V Pfd Perp 6.375 ps 0.05 +3.00% 13400 25.45 0.00
Ishares Tr cmn 0.05 NEW 7875 37.21 0.00
Summit Financial 0.05 NEW 26000 11.96 0.00
Canadian Natl Ry 0.04 -33.00% 4000 66.75 0.00
NSC Norfolk Southern 0.04 NEW 2700 102.96 108.18
SPY SPDR S&P; 500 ETF 0.04 NEW 1347 206.38 205.25
NBL Noble Energy 0.04 4600 48.91 44.22
UNP Union Pacific Corporation 0.04 2138 108.51 114.86
GIS General Mills 0.04 4960 56.65 51.55
OXY Occidental Petroleum Corporation 0.04 -9.00% 3880 72.94 74.23
SLB Schlumberger 0.04 -2.00% 3171 83.57 81.67
TGT Target Corporation 0.04 +5.00% 3060 82.03 77.89
EMC EMC Corporation 0.04 9255 25.61 26.24
BPL Buckeye Partners 0.04 3155 75.47 75.87
MAR Marriott International 0.04 3188 80.30 81.60
HPT Hospitality Properties Trust 0.04 7895 32.92 30.62
Arch Capital 0.04 +15.00% 4500 61.56 0.00
YHOO Yahoo! 0.04 5500 44.36 42.61
IYK iShares Dow Jones US Consumer Goods 0.04 NEW 2397 105.55 103.13
IYF iShares Dow Jones US Financial 0.04 NEW 2662 89.03 88.01
IYJ iShares Dow Jones US Industrial 0.04 NEW 2407 108.02 107.08
Goldman Sachs Group sdbc2 0.04 10400 25.48 0.00
Hpt 7.125% Ser. D P referred stock 0.04 8720 26.49 0.00
PNC PNC Financial Services 0.03 NEW 2297 93.16 93.21
CAT Caterpillar 0.03 NEW 2705 79.81 79.57
EW Edwards Lifesciences 0.03 NEW 1500 142.67 135.16
SRCL Stericycle 0.03 NEW 1475 140.34 135.67
ITW Illinois Tool Works 0.03 -14.00% 2185 97.03 96.27
UTF Cohen & Steers infrastucture Fund 0.03 NEW 9392 22.76 22.30
BLV Vanguard Long-Term Bond ETF 0.03 NEW 2290 96.51 94.21
MHY Western Asset Managed High Incm Fnd 0.03 NEW 41900 5.18 5.24
FCH FelCor Lodging Trust Incorporated 0.02 11300 11.50 10.50
NIHD NII Holdings 0.00 40000 0.05 0.06
Avalon Rare Metals Inc C ommon stock 0.00 NEW 60000 0.23 0.00
Cannabis Science 0.00 17000 0.06 0.00
Lai Sun Development 0.00 NEW 749000 0.02 0.00