Stack Financial Management

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

  • Top 5 stock holdings are MDT, UTX, PEP, MSFT, MRO. These five stock positions account for 19.57% of Stack Financial Management's total stock portfolio.
  • Added to shares of Canadian Natl Ry (+$14.28M), CVX (+$14.12M), LH (+$13.99M), DHR (+$13.98M), BBT (+$13.93M), ABC (+$10.92M), IPG (+$9.94M), ALL (+$9.82M), APH (+$9.44M), FIS (+$9.26M).
  • Started new stock positions in FIS, BBT, AMZN, IPG, Canadian Natl Ry, APH, CVX, RDS.A, XLV, WFC, ALL, DHR, ABC, XLK, LH.
  • Reduced shares in these stocks: SYNA (-$9.65M), TEVA (-$9.15M), BRK.B, VIA.B, LOW, PG.
  • Sold out of its positions in BRK.B, SYNA, TEVA.
  • As of March 31, 2013, Stack Financial Management has $659.43M in assets under management (AUM). Assets under management grew from a total value of $470.11M to $659.43M.
  • Independent of market fluctuations, Stack Financial Management was a net buyer by $140.85M worth of stocks in the most recent quarter.

Stack Financial Management portfolio companies for quarter ending March 2013

Ticker Name Portfolio Weight Change Share Count Price Last Trade
MDT Medtronic 4.35 610534 46.96 52.88
UTX United Technologies Corporation 4.20 +4.00% 296178 93.43 95.89
PEP Pepsi 3.88 +6.00% 323349 79.11 82.19
MSFT Microsoft Corporation 3.60 +6.00% 828790 28.61 35.08
MRO Marathon Oil Corporation 3.55 +5.00% 694281 33.72 35.47
ORCL Oracle Corporation 3.54 +3.00% 722293 32.33 34.52
INTC Intel Corporation 3.02 +7.00% 912763 21.83 25.46
OXY Occidental Petroleum Corporation 3.02 +7.00% 254192 78.37 92.85
WAT Waters Corporation 2.94 +5.00% 206567 93.91 101.15
LOW Lowe's Companies 2.89 502998 37.92 41.30
SIAL Sigma-Aldrich Corporation 2.58 +5.00% 219506 77.65 82.53
CVS CVS Caremark Corporation 2.48 +3.00% 297340 54.99 59.57
GIS General Mills 2.42 +5.00% 323929 49.31 49.81
Aon 2.41 +5.00% 258863 61.50 0.00
Canadian Natl Ry 2.17 NEW 142365 100.30 0.00
CVX Chevron Corporation 2.14 NEW 118796 118.82 121.30
SYK Stryker Corporation 2.13 +7.00% 215560 65.24 67.78
LH Laboratory Corp. of America Holdings 2.12 NEW 155083 90.20 100.43
DHR Danaher Corporation 2.12 NEW 224885 62.15 63.44
BBT BB&T; Corporation 2.11 NEW 443815 31.39 33.24
MKL Markel Corporation 2.06 +8.00% 27039 503.49 530.82
JNJ Johnson & Johnson 2.00 162001 81.53 86.21
COP ConocoPhillips 1.85 202826 60.10 62.04
TJX TJX Companies 1.79 +6.00% 252895 46.75 50.26
PG Procter & Gamble Company 1.78 151903 77.06 78.86
KO Coca-Cola Company 1.70 277505 40.44 40.92
WMT Wal-Mart Stores 1.67 147285 74.83 75.47
ABC AmerisourceBergen 1.66 NEW 212205 51.45 55.58
SE Spectra Energy 1.65 +8.00% 353572 30.75 34.64
DVN Devon Energy Corporation 1.61 +13.00% 187900 56.42 55.20
K Kellogg Company 1.61 164330 64.43 64.57
DIS Walt Disney Company 1.60 +5.00% 186291 56.80 65.19
VIA.B Via 1.57 -2.00% 168220 61.48 0.00
NSC Norfolk Southern 1.54 +16.00% 132135 77.08 76.95
DRI Darden Restaurants 1.52 +3.00% 194101 51.68 52.96
IPG Interpublic Group of Companies 1.51 NEW 762472 13.03 14.74
ALL Allstate Corporation 1.49 NEW 200110 49.07 47.38
Accenture 1.49 +6.00% 128996 75.97 0.00
NCR NCR Corporation 1.45 +5.00% 347400 27.56 34.19
APH Amphenol Corporation 1.43 NEW 126510 74.65 79.32
Willis Group Holdings 1.41 235269 39.49 0.00
FIS Fidelity National Information Services 1.40 NEW 233640 39.62 44.11
WFC Wells Fargo & Company 1.39 NEW 247285 36.99 40.86
ITW Illinois Tool Works 1.39 150338 60.94 71.18
VOD Vodafone 1.35 +3.00% 314020 28.40 28.77
RDS.A Royal Dutch Shell 1.22 NEW 122980 65.16 0.00
OMC Omni 1.00 111485 58.90 63.48
AMZN Amazon 0.07 NEW 1800 266.67 280.38
GDX Market Vectors Gold Miners ETF 0.05 7900 37.85 27.58
XLK Technology SPDR 0.04 NEW 8580 30.30 31.93
XLV Health Care SPDR 0.03 NEW 4436 45.99 48.92

Past 13F-HR SEC Filings for Stack Financial Management