Saratoga Research & Investment Management

Latest statistics and disclosures from Saratoga Research & Investment Management's latest quarterly 13F-HR filing:

  • Top 5 stock holdings are MMM, WMT, OMC, JNJ, ADP. These five stock positions account for 21.10% of Saratoga Research & Investment Management's total stock portfolio.
  • Added to shares of COH (+$15.56M), Abbvie (+$14.50M), ABT (+$5.68M), Accenture, MSFT, BDX, MCD, KO, CHRW, IBM.
  • Started new stock positions in MMP, Abbvie, Enterprise Products Partners, NVS, COH.
  • Reduced shares in these stocks: ADBE (-$13.96M), NKE, SYY, PEP, MKC, TSS, NVO, GLD, NSRGY, BCR.
  • Sold out of its positions in ADBE.
  • As of March 31, 2013, Saratoga Research & Investment Management has $852.66M in assets under management (AUM). Assets under management grew from a total value of $749.09M to $852.66M.
  • Independent of market fluctuations, Saratoga Research & Investment Management was a net buyer by $36.93M worth of stocks in the most recent quarter.

Saratoga Research & Investment Management portfolio companies for quarter ending March 2013

Ticker Name Portfolio Weight Change Share Count Price Last Trade
MMM 3M Company 4.48 +2.00% 359203 106.31 111.50
WMT Wal-Mart Stores 4.18 +2.00% 475775 74.83 78.18
OMC Omni 4.17 +2.00% 603798 58.90 63.54
JNJ Johnson & Johnson 4.16 +2.00% 434622 81.53 87.10
ADP Automatic Data Processing 4.12 +2.00% 539883 65.03 71.15
SYK Stryker Corporation 4.05 529499 65.24 69.05
MDT Medtronic 4.01 728820 46.96 49.66
IBM International Business Machines 4.01 +3.00% 160278 213.30 205.65
PG Procter & Gamble Company 4.01 +2.00% 443978 77.06 80.28
ORCL Oracle Corporation 4.01 +2.00% 1057006 32.33 34.47
MCD McDonald's Corporation 3.96 +4.00% 338905 99.69 101.27
MSFT Microsoft Corporation 3.94 +8.00% 1174218 28.61 34.05
KO Coca-Cola Company 3.94 +3.00% 831325 40.44 43.30
CSCO Cisco Systems 3.89 +2.00% 1585526 20.90 23.93
UTX United Technologies Corporation 3.76 +2.00% 343547 93.43 95.74
NKE NIKE 3.73 -4.00% 539151 59.01 65.55
GD General Dynamics Corporation 3.58 +2.00% 432563 70.51 76.79
BDX Becton, Dickinson and 3.39 +7.00% 302442 95.61 101.08
SYY SYSCO Corporation 2.94 -4.00% 712520 35.17 35.09
NVO Novo Nordisk A/S 2.76 -2.00% 145838 161.50 172.97
PEP Pepsi 2.35 -4.00% 252901 79.11 84.58
ABT Abbott Laboratories 2.15 +44.00% 519450 35.32 36.75
BRK.B Berkshire Hathaway 2.05 167353 104.20 0.00
VAR Varian Medical Systems 1.95 230434 72.00 69.16
COH Coach 1.83 NEW 311336 49.99 58.84
Abbvie 1.70 NEW 355444 40.78 0.00
MKC McCormick & Company, Incorporated 1.66 -4.00% 192370 73.55 74.78
BCR C.R. Bard 1.38 -3.00% 116336 100.78 107.20
TSS Total System Services 1.31 -5.00% 451378 24.78 23.94
GLD SPDR Gold Trust 1.15 -4.00% 63222 154.47 134.19
NSRGY Nestle SA Reg Shs. Ser. B Spons 1.12 -4.00% 132180 72.47 69.70
Accenture 1.07 +61.00% 120650 75.97 0.00
CL Colgate-Palmolive Company 0.87 -4.00% 63020 118.03 62.13
FDS FactSet Research Systems 0.61 -4.00% 56485 92.61 97.75
CHRW C.H. Robinson Worldwide 0.55 +36.00% 79518 59.46 57.71
CTSH Cognizant Technology Solutions 0.32 -8.00% 35550 76.62 63.93
Public Storage Inc stock 0.10 +4.00% 33765 26.24 0.00
ECL Ecolab 0.09 9083 80.15 88.49
DEO Diageo 0.05 3195 125.82 125.43
OKS Oneok Partners 0.05 7100 57.46 53.07
PAA Plains All American Pipeline 0.05 7000 56.43 57.99
SCCO Southern Copper Corporation 0.05 10777 37.58 32.34
BMY Bristol Myers Squibb 0.04 -4.00% 8550 41.17 43.19
PAYX Paychex 0.04 -8.00% 10240 35.06 38.48
SE Spectra Energy 0.04 10865 30.74 31.54
K Kellogg Company 0.04 4675 64.39 65.85
BWP Boardwalk Pipeline Partners 0.04 10240 29.30 31.23
NGG National Grid 0.04 5865 57.97 63.73
PFE Pfizer 0.03 -5.00% 9470 28.83 29.34
CVX Chevron Corporation 0.03 2055 118.73 122.75
NVS Novartis AG 0.03 NEW 3125 71.36 75.47
MO Altria 0.03 -4.00% 7800 34.36 37.50
LO Lorillard 0.03 +200.00% 6150 40.33 44.27
Enterprise Products Partners 0.03 NEW 3863 60.32 0.00
MMP Magellan Midstream Partners 0.03 NEW 4500 53.33 52.73
KMP Kinder Morgan Energy Partners 0.03 3020 89.74 89.54