MERIDIAN MANAGEMENT

Latest statistics and disclosures from MERIDIAN MANAGEMENT's latest quarterly 13F-HR filing:

MERIDIAN MANAGEMENT portfolio companies for December 2015 quarter

Ticker Name Portfolio Weight Change Share Count Price Last Trade
CSJ iShares Barclays 1-3 Year Cred Bd Fd ETF 13.62 -3.00% 203284 104.60 105.16
Ishares Tr fltg rate nt 6.83 -2.00% 211484 50.44 0.00
SCHA Schwab U S Small Cap ETF 4.65 139422 52.09 55.93
VEA Vanguard Europe Pacific ETF 4.02 -9.00% 170872 36.72 39.04
IWF iShares Russell 1000 Growth Index 3.45 -4.00% 54093 99.48 97.71
VO Vanguard Mid-Cap ETF 3.04 -3.00% 39507 120.11 125.59
Alphabet Inc Class C cs 2.74 NEW 5647 758.81 0.00
UTX United Technologies Corporation 2.64 +30.00% 42818 96.08 118.52
Express Scripts Holding 2.64 47217 87.40 0.00
AAPL Apple 2.62 38916 105.25 123.28
V Visa 2.38 47969 77.55 266.74
Allergan 2.30 11476 312.48 0.00
TRN Trinity Industries 2.14 139219 24.02 30.84
NVO Novo Nordisk A/S 2.07 55582 58.08 46.07
LOW Lowe's Companies 1.99 40787 76.03 73.15
VWO Vanguard Emerging Markets ETF 1.85 -19.00% 88176 32.71 39.44
UPS United Parcel Service 1.83 +66.00% 29601 96.25 99.32
BLK BlackRock 1.78 8170 340.51 357.74
Level 3 Communications 1.76 50555 54.36 0.00
WFC Wells Fargo & Company 1.73 49562 54.36 53.90
AMGN Amgen 1.67 16079 162.32 153.92
XOM Exxon Mobil Corporation 1.63 32676 77.95 84.57
EMC EMC Corporation 1.57 95177 25.68 26.24
SLB Schlumberger 1.50 -2.00% 33474 69.76 81.67
ZMH Zimmer Holdings 1.48 22581 102.61 116.78
MON Monsanto Company 1.37 21760 98.53 117.22
DIS Walt Disney Company 1.34 19835 105.07 103.60
AET Aetna 1.33 NEW 19145 108.12 100.76
EOG EOG Resources 1.29 +39.00% 28532 70.80 86.44
AXP American Express Company 1.28 28736 69.56 79.39
BAC Bank of America Corporation 1.24 NEW 114902 16.83 15.95
FLR Fluor Corporation 1.22 40225 47.21 57.12
SHW Sherwin-Williams Company 1.18 NEW 7110 259.63 281.82
HD Home Depot 1.14 13470 132.22 113.11
BIIB Biogen Idec 1.12 5716 306.33 415.20
JCI Johnson Controls 1.04 -12.00% 41039 39.50 48.46
Nxp Semiconductors N V 1.03 NEW 19080 84.22 0.00
Paypal Holdings 1.00 42961 36.20 0.00
WMT Wal-Mart Stores 0.98 -39.00% 24918 61.28 81.06
CSCO Cisco Systems 0.96 55154 27.16 28.51
CIU iShares Barclays Inter Crd Bd Fund ETF) 0.92 -3.00% 13345 107.31 109.75
KO Coca-Cola Company 0.78 28347 42.97 40.22
GE General Electric Company 0.77 38400 31.15 25.35
IBM International Business Machines 0.75 8469 137.68 158.25
PFE Pfizer 0.74 35561 32.28 33.78
SHY iShares Lehman 1-3 Year Treas.Bond 0.63 -13.00% 11595 84.35 84.58
BMY Bristol Myers Squibb 0.49 11040 68.75 66.08
CSX CSX Corporation 0.30 18000 25.94 33.62
T AT&T; 0.28 +3.00% 12539 34.37 32.70
BRK.A Berkshire Hathaway 0.25 2 198000.00 0.00
IWP iShares Russell Midcap Growth Idx. 0.24 4140 92.03 95.82
ISI iShares S&P; 1500 Index Fund 0.24 4050 92.84 0.00
IVV iShares S&P; 500 Index 0.23 -7.00% 1753 204.79 205.96
VYM Vanguard High Dividend Yield ETF 0.21 4855 66.74 67.70
OII Oceaneering International 0.19 8000 37.50 51.70
Ishares High Dividend Equity F 0.19 4000 73.50 0.00
LMT Lockheed Martin Corporation 0.18 1304 217.02 197.87
APC Anadarko Petroleum Corporation 0.17 5400 48.52 79.89
PBI Pitney Bowes 0.16 12000 20.67 22.29
SFNC Simmons First National Corporation 0.16 5008 51.32 42.52
IYW iShares Dow Jones US Technology 0.16 2300 106.96 104.97
OZRK Bank of the Ozarks 0.15 +4.00% 4800 49.38 36.25
IWM iShares Russell 2000 Index 0.14 +4.00% 1965 112.47 119.90
IVW iShares S&P; 500 Growth Index 0.13 NEW 1800 115.56 113.07
RF Regions Financial Corporation 0.11 18397 9.62 9.54

Past 13F-HR SEC Filings for MERIDIAN MANAGEMENT