Consu

Consu as of March 31, 2011

Portfolio Holdings for Consu

Consu holds 51 positions in its portfolio as reported in the March 2011 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
Berkshire Hathaway (BRK.B) 12.1 $7.9M 94k 83.63
Weyerhaeuser Company (WY) 2.3 $1.5M 59k 24.60
Williams Companies (WMB) 2.1 $1.4M 44k 31.18
Chevron Corporation (CVX) 2.0 $1.3M 12k 107.49
ConocoPhillips (COP) 2.0 $1.3M 16k 79.86
General Electric Company 1.9 $1.3M 63k 20.05
KLA-Tencor Corporation (KLAC) 1.9 $1.3M 27k 47.32
Pfizer (PFE) 1.9 $1.2M 61k 20.31
Applied Materials (AMAT) 1.9 $1.2M 79k 15.62
JPMorgan Chase & Co. (JPM) 1.9 $1.2M 27k 46.10
BB&T Corporation 1.9 $1.2M 45k 27.45
Exxon Mobil Corporation (XOM) 1.9 $1.2M 14k 84.13
International Paper Company (IP) 1.9 $1.2M 40k 30.18
Honeywell International (HON) 1.9 $1.2M 20k 59.71
Xilinx 1.8 $1.2M 36k 32.80
Occidental Petroleum Corporation (OXY) 1.8 $1.2M 11k 104.49
Medtronic 1.8 $1.2M 30k 39.35
Lorillard 1.8 $1.2M 12k 95.01
MetLife (MET) 1.8 $1.2M 26k 44.73
Philip Morris International (PM) 1.8 $1.2M 18k 65.63
Eaton Corporation 1.8 $1.1M 21k 55.44
International Business Machines (IBM) 1.8 $1.1M 7.0k 163.07
Walgreen Company 1.8 $1.1M 29k 40.14
Cardinal Health (CAH) 1.8 $1.1M 28k 41.13
Automatic Data Processing (ADP) 1.8 $1.1M 22k 51.31
Lowe's Companies (LOW) 1.8 $1.1M 43k 26.43
Johnson Controls 1.7 $1.1M 27k 41.57
Northeast Utilities System 1.7 $1.1M 32k 34.60
U.S. Bancorp (USB) 1.7 $1.1M 42k 26.43
Baxter International (BAX) 1.7 $1.1M 21k 53.77
Harris Corporation 1.7 $1.1M 23k 49.60
Morgan Stanley (MS) 1.7 $1.1M 41k 27.32
L-3 Communications Holdings 1.7 $1.1M 14k 78.31
At&t (T) 1.7 $1.1M 36k 30.61
Raytheon Company 1.7 $1.1M 22k 50.87
CMS Energy Corporation (CMS) 1.7 $1.1M 56k 19.64
Analog Devices (ADI) 1.7 $1.1M 28k 39.38
Simon Property (SPG) 1.7 $1.1M 10k 107.16
Freeport-McMoRan Copper & Gold (FCX) 1.7 $1.1M 20k 55.55
Murphy Oil Corporation (MUR) 1.7 $1.1M 15k 73.42
National Semiconductor Corporation 1.7 $1.1M 75k 14.34
Abbott Laboratories (ABT) 1.6 $1.1M 22k 49.05
BERKSHIRE HATHAWAY Inc Del cl a 1.6 $1.1M 168.00 6252.38
Dr Pepper Snapple 1.6 $1.0M 27k 37.16
AFLAC Incorporated (AFL) 1.6 $1.0M 19k 52.78
Darden Restaurants (DRI) 1.6 $1.0M 21k 49.13
Hasbro (HAS) 1.6 $1.0M 21k 46.84
McDonald's Corporation (MCD) 1.5 $976k 13k 76.09
Johnson & Johnson (JNJ) 1.5 $965k 16k 59.25
SYSCO Corporation (SYY) 1.5 $959k 35k 27.70
Intel Corporation (INTC) 1.5 $957k 47k 20.18