Boston Trust & Investment Management

Boston Trust & Investment Management as of June 30, 2012

Portfolio Holdings for Boston Trust & Investment Management

Boston Trust & Investment Management holds 52 positions in its portfolio as reported in the June 2012 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
Brown-forman Class B 8.1 $2.1M 22k 96.90
Family Dlr Stores 3.8 $990k 15k 66.52
Franklin Res 3.7 $956k 8.6k 111.00
Mednax 3.6 $932k 14k 68.48
Laboratory Corp Amer Hldgs 3.3 $847k 9.2k 92.56
Citrix Sys 3.2 $837k 10k 83.91
Digital Realty Trust 3.1 $794k 11k 75.05
Intercontinentalex.. 3.0 $786k 5.8k 136.16
F5 Networks 2.9 $741k 7.4k 99.70
Novartis A G Sponsored Adr adr 66 2.6 $685k 12k 55.89
Energen 2.6 $675k 15k 45.12
Fiserv 2.5 $655k 9.1k 72.15
Clorox Co Del 2.5 $654k 9.0k 72.49
Southern 2.5 $652k 14k 46.26
Heinz H J 2.5 $643k 12k 54.34
Dover Corp 2.3 $607k 11k 53.56
Chipotle Mexican Grill Inc equity 16 2.3 $598k 1.6k 379.68
Coach 2.1 $534k 9.1k 58.52
Bed Bath & Beyond 2.0 $514k 8.3k 61.78
Berkshire Hathaway 1.9 $500k 4.00 125000.00
Ppg Inds 1.9 $488k 4.6k 106.09
Wal Mart Stores 1.9 $483k 6.9k 69.73
Caterpillar 1.7 $437k 5.1k 84.97
Advance Auto Parts 1.6 $424k 6.1k 70.00
Du Pont 1.6 $403k 8.0k 50.51
Fmc Technologies 1.5 $391k 10k 39.20
Graco Inc equity 38 1.5 $392k 8.5k 46.10
Hubbell Inc Cl A 1.5 $386k 5.2k 74.23
Mead Johnson Nutrition 1.4 $366k 4.5k 80.62
V F Corp 1.4 $360k 2.7k 133.33
Murphy Oil Corp 1.4 $351k 6.8k 52.00
Union Pac Corp 1.4 $351k 2.9k 119.27
Nextera Energy 1.3 $337k 4.9k 68.78
Discovery Communicatns New new com ser a 25 1.3 $333k 6.2k 53.96
Rockwell Automation 1.3 $330k 5.0k 66.00
Enterprise Products Partners Lp equity 29 1.2 $316k 6.2k 51.27
Boeing 1.2 $300k 4.0k 74.37
Plains All American Pipeline Lp equity 72 1.1 $295k 3.7k 80.73
Eaton Corp 1.1 $291k 7.4k 39.59
Sap Ag spns 1.1 $286k 4.8k 59.37
Vanguard Reit Etf R eit etf 92 1.1 $281k 4.3k 65.35
Amgen 1.0 $260k 3.6k 72.99
Thermo Fisher Scientific 1.0 $257k 5.0k 51.92
Norfolk Southern Corp 1.0 $253k 3.5k 71.77
Honeywell Intl 0.9 $246k 4.4k 55.79
Boston Beer 0.9 $242k 2.0k 121.00
Ingredion 0.9 $240k 4.8k 49.59
Schein Henry Inc equity 80 0.9 $235k 3.0k 78.33
Bp 0.9 $225k 5.6k 40.54
Northrop Grumman Corp 0.9 $224k 3.5k 63.89
Parker Hannifin Corp 0.8 $221k 2.9k 76.87
MARSH & MCLENNAN Cos 0.8 $213k 6.6k 32.27