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 |