McRae Capital Management

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

  • Top 5 stock holdings are CELG, TRV, IBM, Eaton, PEP. These five stock positions account for 24.64% of McRae Capital Management's total stock portfolio.
  • Added to shares of DNB, Dunkin' Brands, Kinder Morgan, NEM, AIG, USB, GILD, GIS, IVV, PM.
  • Started new stock positions in GILD, GIS, AIG, IVV, Dunkin' Brands, DNB, HD, PM.
  • Reduced shares in these stocks: TEVA, HNZ, RDS.A, COH, ISRG, TRV, MDT, CELG, LIFE, TGT.
  • Sold out of its positions in HNZ, RDS.A, TEVA.
  • As of March 31, 2013, McRae Capital Management has $167.79M in assets under management (AUM). Assets under management grew from a total value of $151.54M to $167.79M.
  • Independent of market fluctuations, McRae Capital Management was a net buyer by $1.64M worth of stocks in the most recent quarter.

McRae Capital Management portfolio companies for quarter ending March 2013

Ticker Name Portfolio Weight Change Share Count Price Last Trade
CELG Celgene Corporation 5.37 77805 115.91 122.58
TRV Travelers Companies 5.25 104538 84.19 82.94
IBM International Business Machines 4.76 37440 213.30 205.72
Eaton 4.67 127880 61.25 0.00
PEP Pepsi 4.59 97407 79.11 82.54
WFC Wells Fargo & Company 4.00 181441 36.99 39.99
TGT Target Corporation 3.98 97640 68.45 69.14
CSCO Cisco Systems 3.96 318170 20.89 23.53
LIFE Life Technologies 3.95 102630 64.63 73.84
OMC Omni 3.93 111880 58.90 61.54
LOW Lowe's Companies 3.82 169175 37.92 42.28
Accenture 3.44 75975 75.97 0.00
EMC EMC Corporation 3.13 219580 23.89 23.65
MDT Medtronic 3.08 109945 46.96 51.26
COP ConocoPhillips 3.02 +3.00% 84382 60.10 62.53
USB U.S. Ban 2.94 +5.00% 145575 33.93 35.37
MSFT Microsoft Corporation 2.82 165154 28.60 34.16
T AT&T; 2.73 124643 36.69 36.62
NUAN Nuance Communications 2.69 223725 20.18 19.21
COH Coach 2.53 -3.00% 84750 49.99 57.76
DVN Devon Energy Corporation 2.31 68755 56.42 57.84
XOM Exxon Mobil Corporation 2.07 38559 90.12 91.44
ITRI Itron 1.86 67400 46.39 41.63
JNJ Johnson & Johnson 1.64 33764 81.54 86.82
DNB Dun & Bradstreet Corporation 1.47 NEW 29475 83.66 97.59
Dunkin' Brands 1.37 NEW 62250 36.88 0.00
GLD SPDR Gold Trust 1.19 12890 154.46 133.76
UTX United Technologies Corporation 1.10 19708 93.41 94.64
NEM Newmont Mining Corporation 1.02 +18.00% 40760 41.88 32.22
SO Southern Company 1.00 35590 46.92 45.12
AAPL Apple 0.97 +8.00% 3670 442.78 445.15
DHR Danaher Corporation 0.81 +3.00% 21800 62.16 62.10
GE General Electric Company 0.68 49051 23.12 23.53
INTC Intel Corporation 0.56 42786 21.83 23.92
Kinder Morgan 0.51 +60.00% 22200 38.69 0.00
MRK Merck & Co 0.48 +12.00% 18100 44.20 46.70
SCG SCANA Corporation 0.45 14700 51.16 51.29
PG Procter & Gamble Company 0.36 7802 77.03 81.75
BK Bank of New York Mellon Corporation 0.29 17535 28.00 29.51
ABT Abbott Laboratories 0.29 14000 35.29 37.76
ISRG Intuitive Surgical 0.28 -13.00% 965 491.19 501.53
BPL Buckeye Partners 0.28 7550 61.19 69.53
KMP Kinder Morgan Energy Partners 0.26 4900 89.80 87.75
VZ Verizon Communications 0.25 8500 49.18 51.38
ADP Automatic Data Processing 0.24 +2.00% 6150 65.04 69.85
KO Coca-Cola Company 0.23 9400 40.43 42.24
CVX Chevron Corporation 0.23 3251 118.73 125.45
TMO Thermo Fisher Scientific 0.23 5029 76.56 86.12
TIF Tiffany & Co. 0.22 5200 69.62 75.93
PPG PPG Industries 0.20 -5.00% 2475 134.14 155.57
AMGN Amgen 0.20 +8.00% 3320 102.41 105.91
Nextera Energy 0.19 4100 77.56 0.00
CB Chubb Corporation 0.17 3302 87.52 88.02
COST Costco Wholesale Corporation 0.17 2667 106.11 114.39
CTL CenturyLink 0.17 8000 35.12 37.27
NKE NIKE 0.16 4500 59.11 62.31
SD SandRidge Energy 0.16 49900 5.27 5.07
CL Colgate-Palmolive Company 0.15 2200 118.18 61.17
AIG American International 0.15 NEW 6705 38.78 44.69
GIS General Mills 0.14 NEW 4700 49.36 48.98
SLB Schlumberger 0.14 3200 75.00 73.80
GILD Gilead Sciences 0.14 NEW 4820 48.96 55.81
PM Philip Morris International 0.13 NEW 2300 92.61 93.87
IVV iShares S&P; 500 Index 0.13 NEW 1374 157.21 166.15
HD Home Depot 0.12 NEW 3000 69.67 78.99
TTWO Take-Two Interactive Software 0.10 10000 16.10 15.87
OCZ OCZ Technology 0.06 -16.00% 59400 1.80 1.39
HNSN Hansen Medical 0.02 20860 2.01 1.63
MBLX Metabolix 0.01 10500 1.81 1.70

Past 13F-HR SEC Filings for McRae Capital Management