Philadelphia Trust Company

Latest statistics and disclosures from Philadelphia Trust Company's latest quarterly 13F-HR filing:

Philadelphia Trust Company portfolio companies for quarter ending March 2013

Ticker Name Portfolio Weight Change Share Count Price Last Trade
ABT Abbott Laboratories 2.61 +169.00% 1032647 35.32 37.76
PG Procter & Gamble Company 2.58 +24.00% 467738 77.06 81.75
Kraft Foods 2.40 NEW 650668 51.53 0.00
PNC PNC Financial Services 2.35 +5.00% 493890 66.50 70.36
XOM Exxon Mobil Corporation 2.30 356112 90.11 91.44
WFC Wells Fargo & Company 2.29 864948 36.99 39.99
PEP Pepsi 2.22 +3.00% 391899 79.11 82.54
USB U.S. Ban 2.20 +3.00% 904284 33.93 35.37
D Dominion Resources 2.17 NEW 519578 58.18 57.62
DVN Devon Energy Corporation 2.12 NEW 523817 56.42 57.84
HES Hess 2.11 +8.00% 411247 71.61 67.48
IBM International Business Machines 2.10 -2.00% 137332 213.30 205.72
TDC Teradata Corporation 2.07 NEW 492974 58.51 54.37
DD E.I. du Pont de Nemours & Company 2.05 +14.00% 581697 49.16 55.35
AMGN Amgen 2.02 +2337.00% 274685 102.51 105.91
PBCT People's United Financial 1.99 2069621 13.42 13.74
CSX CSX Corporation 1.98 +29.00% 1124041 24.63 25.50
EMC EMC Corporation 1.98 +34.00% 1158431 23.89 23.65
T AT&T; 1.97 NEW 747661 36.69 36.62
LH Laboratory Corp. of America Holdings 1.94 NEW 299497 90.20 99.73
MMM 3M Company 1.90 NEW 249503 106.31 109.88
CLX Clorox Company 1.88 -14.00% 295804 88.53 86.61
BRCM Broadcom Corporation 1.84 +3.00% 739057 34.68 36.59
F Ford Motor Company 1.78 +16.00% 1888730 13.15 14.79
AAP Advance Auto Parts 1.76 -4.00% 297076 82.65 83.39
AAPL Apple 1.72 -4.00% 54114 442.66 445.15
JPM JPMorgan Chase & Co. 1.71 +9.00% 501920 47.46 53.66
CVX Chevron Corporation 1.71 -2.00% 201165 118.82 125.45
Citi 1.70 NEW 535190 44.24 0.00
RTN Raytheon Company 1.65 NEW 390345 58.79 66.31
Xylem 1.65 +2.00% 837456 27.56 0.00
COH Coach 1.58 NEW 441537 49.99 57.76
LLL L-3 Communications Holdings 1.56 -7.00% 268176 80.92 84.71
UTX United Technologies Corporation 1.55 +1574.00% 230708 93.43 94.64
QCOM QUALCOMM 1.44 300266 66.94 63.79
BRK.B Berkshire Hathaway 1.43 192025 104.20 0.00
WM Waste Management 1.40 497882 39.21 42.28
ROK Rockwell Automation 1.40 +805.00% 226445 86.35 86.90
Express Scripts Holding 1.36 NEW 328982 57.62 0.00
MSFT Microsoft Corporation 1.34 +2121.00% 652771 28.61 34.16
Mondelez Int 1.34 -12.00% 608521 30.62 0.00
LOW Lowe's Companies 1.31 -34.00% 480541 37.92 42.28
WLL Whiting Petroleum Corporation 1.30 +4.00% 355849 50.84 44.83
VZ Verizon Communications 1.28 -37.00% 364350 49.15 51.38
GOOG Google 1.21 NEW 21246 794.17 873.32
Abbvie 1.10 NEW 376477 40.78 0.00
IFF International Flavors & Fragrances 0.96 -3.00% 175162 76.67 81.98
FITB Fifth Third Ban 0.94 NEW 806690 16.31 18.25
HSP Hospira 0.90 +521.00% 383350 32.83 35.08
FFIV F5 Networks 0.89 -19.00% 139528 89.08 81.56
ILMN Illumina 0.84 -3.00% 215982 53.98 70.31
PRGO Perrigo Company 0.70 +6.00% 81761 118.74 117.99
Hillshire Brands 0.59 +279.00% 233840 35.15 0.00
BHI Baker Hughes Incorporated 0.48 NEW 145655 46.41 47.17
SXT Sensient Technologies Corporation 0.45 +13.00% 161610 39.09 40.91
RPM RPM International 0.34 +87.00% 149625 31.58 32.89
VIA.B Via 0.32 NEW 72200 61.48 0.00
PPL PPL Corporation 0.32 -9.00% 144631 31.31 30.79
EBAY eBay 0.31 -76.00% 80092 54.23 54.64
VOD Vodafone 0.31 +63.00% 153650 28.40 29.45
GS Goldman Sachs 0.30 NEW 28753 147.15 158.72
MCD McDonald's Corporation 0.27 -85.00% 38182 99.68 100.14
CLC CLARCOR 0.27 NEW 71285 52.38 53.93
WMB Williams Companies 0.26 NEW 96960 37.46 36.70
CBS CBS Corporation 0.24 -89.00% 70554 46.69 50.75
POR Portland General Electric Company 0.23 108045 30.33 31.07
HNZ H.J. Heinz Company 0.23 -90.00% 43717 72.26 72.46
NFG National Fuel Gas 0.21 -10.00% 46985 61.36 61.70
DOLE Dole Food Company 0.20 NEW 253125 10.90 11.06
Itt 0.20 -6.00% 99278 28.43 0.00
CSCO Cisco Systems 0.19 -20.00% 128189 20.90 23.53
TWI Titan International 0.19 NEW 126235 21.08 23.13
HXL Hexcel Corporation 0.18 -24.00% 88630 29.01 34.29
NWN Northwest Natural Gas 0.17 54820 43.82 43.77
GLW Corning Incorporated 0.16 -88.00% 169806 13.33 15.66
SE Spectra Energy 0.16 NEW 70542 30.75 31.29
MDT Medtronic 0.16 -86.00% 47501 46.97 51.26
EMR Emerson Electric 0.15 -28.00% 36675 55.87 56.94
TTEK Tetra Tech 0.15 -5.00% 68309 30.49 27.83
MPR Met-Pro Corporation 0.15 -2.00% 204034 10.33 13.53
NU Northeast Utilities System 0.14 -10.00% 44158 43.46 43.03
RSG Republic Services 0.14 +72.00% 57246 33.00 34.56
NI NiSource 0.14 -7.00% 65389 29.35 28.49
Kinder Morgan 0.14 NEW 48940 38.68 0.00
GE General Electric Company 0.13 +47.00% 81160 23.11 23.53
TKR Timken Company 0.13 NEW 31600 56.58 56.17
LM Legg Mason 0.12 NEW 53459 32.16 34.75
HON Honeywell International 0.12 21745 75.33 79.29
ATK Alliant Techsystems 0.12 -23.00% 22550 72.42 77.74
ATI Allegheny Technologies Incorporated 0.12 -10.00% 51875 31.71 28.26
BA Boeing Company 0.10 -95.00% 16537 85.87 100.00
AGL AGL Resources 0.09 -55.00% 28859 41.96 0.00
CMI Cummins 0.09 -53.00% 10745 115.77 116.31
STR Questar Corporation 0.09 -66.00% 52037 24.33 24.48
YORW York Water Company 0.09 65975 18.79 18.50
LLY Eli Lilly & Co. 0.08 +28.00% 19400 56.80 54.01
HSC Harsco Corporation 0.08 -22.00% 43075 24.77 22.66
APD Air Products & Chemicals 0.08 -42.00% 12770 87.16 93.93
Nextera Energy 0.08 14952 77.65 0.00
Fusion-io 0.08 NEW 65550 16.37 0.00
INTC Intel Corporation 0.07 -20.00% 47597 21.83 23.92
TSN Tyson Foods 0.07 -93.00% 40960 24.83 24.88
COP ConocoPhillips 0.07 NEW 15160 60.09 62.53
NDAQ NASDAQ OMX 0.06 NEW 27250 32.29 30.35
PFE Pfizer 0.06 -10.00% 30572 28.85 28.98
GIS General Mills 0.06 15992 49.34 48.98
MRK Merck & Co 0.06 +20.00% 17824 44.21 46.70
TGT Target Corporation 0.06 -16.00% 11670 68.47 69.14
SCG SCANA Corporation 0.06 -13.00% 17250 51.19 51.29
JNJ Johnson & Johnson 0.05 +17.00% 8960 81.58 86.82
BMY Bristol Myers Squibb 0.05 +14.00% 17179 41.21 47.40
AVY Avery Dennison Corporation 0.05 -60.00% 15450 43.04 43.66
MO Altria 0.05 22150 34.40 36.75
SO Southern Company 0.05 -8.00% 14330 46.89 45.12
ANF Abercrombie & Fitch 0.05 -91.00% 16065 46.19 50.02
DVY iShares Dow Jones Select Dividend 0.05 NEW 11395 63.36 65.89
NTRS Northern Trust Corporation 0.04 +11.00% 9960 54.52 57.15
FDX FedEx Corporation 0.04 NEW 5760 98.26 97.82
HD Home Depot 0.04 +98.00% 8170 69.77 78.99
FE FirstEnergy 0.04 12282 42.18 42.62
AGN Allergan 0.04 NEW 5000 111.60 98.02
WTR Aqua America 0.04 17507 31.42 32.23
ARTNA Artesian Resources Corporation 0.04 25400 22.48 22.61
PKT Procera Networks 0.04 43829 11.89 13.44
Duke Energy 0.04 +15.00% 7326 72.62 0.00
CME CME 0.03 -5.00% 5975 61.42 64.54
Ace Limited Cmn 0.03 +2.00% 5396 88.95 0.00
KO Coca-Cola Company 0.03 -51.00% 11861 40.47 42.24
BEN Franklin Resources 0.03 NEW 3000 150.67 162.94
NEM Newmont Mining Corporation 0.03 -20.00% 10410 41.88 32.22
NUE Nucor Corporation 0.03 9160 46.18 45.42
AIV Apartment Investment and Management 0.03 -18.00% 11879 30.64 31.61
Tyco International Ltd S hs 0.03 11629 31.99 0.00
ITW Illinois Tool Works 0.03 -25.00% 5825 60.94 70.23
WFMI Whole Foods Market 0.03 NEW 5250 86.67 0.00
CAG ConAgra Foods 0.03 10845 35.78 34.77
PEG Public Service Enterprise 0.03 -29.00% 11827 34.33 33.92
MET MetLife 0.03 +2.00% 11565 38.05 41.61
ALXN Alexion Pharmaceuticals 0.03 4000 92.25 99.17
LQD iShares IBoxx $ Invest Grade Corp Bd Fd 0.03 -26.00% 3575 120.00 119.69
TIP iShares Barclays TIPS Bond Fund 0.03 3530 121.25 118.31
Gnc Holdings Inc Cl A 0.03 NEW 11000 39.27 0.00
Pentair 0.03 -3.00% 8668 52.72 0.00
HIG Hartford Financial Services 0.02 -11.00% 11675 25.78 30.24
BAX Baxter International 0.02 -83.00% 4680 72.65 71.51
TEVA Teva Pharmaceutical Industries 0.02 8081 39.72 39.05
CMC Commercial Metals Company 0.02 -6.00% 16711 15.86 15.42
NOV National-Oilwell Var 0.02 NEW 4665 70.74 69.26
WSM Williams-Sonoma 0.02 6580 51.52 55.00
OXY Occidental Petroleum Corporation 0.02 3413 78.23 90.43
PM Philip Morris International 0.02 NEW 2908 92.85 93.87
EXC Exelon Corporation 0.02 -27.00% 9520 34.45 34.65
DGX Quest Diagnostics Incorporated 0.02 6052 56.51 62.50
MIN MFS Intermediate Income Trust 0.01 16100 6.46 5.90
FNFG First Niagara Financial 0.01 -6.00% 11000 8.82 9.86
Iamgold 0.01 10000 7.20 0.00
MCR MFS Charter Income Trust 0.01 12000 10.17 10.32
RAD Rite Aid Corporation 0.00 22764 1.89 2.87

Past 13F-HR SEC Filings for Philadelphia Trust Company