Michelle L. Howell

Michelle L Howell as of March 31, 2013

Portfolio Holdings for Michelle L Howell

Michelle L Howell holds 63 positions in its portfolio as reported in the March 2013 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
Midcap Spdr Tr Unit Ser 1 etf 78 5.1 $911k 4.3k 209.67
Blackrock 5.0 $906k 7.4k 122.10
Berkshire Hathaway Inc Del class b 08 4.3 $776k 7.5k 104.16
Exxon Mobil Corp 4.0 $711k 7.9k 90.17
United Technologies Corp 3.7 $664k 7.1k 93.40
Chevron Corp 3.4 $618k 5.2k 118.78
Vanguard Reit Etf R eit etf 92 3.4 $611k 8.7k 70.51
Accenture Plc Ireland 3.3 $586k 7.7k 75.91
Lowes Cos 3.3 $585k 15k 37.97
Pepsico 3.2 $584k 7.4k 79.15
Valmont Inds 3.1 $554k 9.9k 56.08
Entergy Corp 2.7 $484k 7.7k 63.19
Chubb Corp 2.6 $471k 5.4k 87.45
Bp 2.5 $443k 11k 42.34
Procter & Gamble 2.4 $433k 5.6k 77.05
Danaher Corp Del 2.4 $426k 6.9k 62.10
Ishares Tr Indexs&psmlcap 600 equity 46 2.3 $414k 4.8k 87.16
Nike Inc class b 65 2.1 $372k 6.3k 59.05
Disney 2.0 $366k 6.5k 56.74
International Business Machs 2.0 $364k 1.7k 213.11
Schlumberger 2.0 $364k 4.9k 74.82
3m Company 2.0 $358k 3.4k 106.23
Johnson & Johnson 1.9 $350k 4.3k 81.42
Apple 1.8 $331k 7.5k 43.99
Kellogg 1.7 $309k 4.8k 64.38
Oracle Corp 1.5 $277k 8.6k 32.30
Hcp 1.5 $264k 5.3k 49.81
Mcdonalds Corp 1.4 $249k 2.5k 99.60
Royal Dutch Shell 1.4 $248k 3.8k 65.26
Starbucks Corp 1.4 $243k 4.3k 56.91
Verizon Communications 1.3 $233k 4.7k 49.13
Qualcomm 1.3 $228k 3.4k 66.86
Csx Corp 1.3 $226k 9.2k 24.58
Google Inc Cl A 1.2 $219k 2.8k 78.38
Midcap Spdr Tr Unit Ser 1 etf 78 1.2 $217k 1.0k 209.66
Google Inc cl a 38 1.1 $206k 260.00 792.31
Philip Morris Intl 1.1 $207k 2.2k 92.80
Us Bancorp Del 1.1 $204k 6.0k 33.86
American Express 1.1 $204k 3.0k 67.54
Intel Corp 0.9 $167k 7.6k 21.87
Wal Mart Stores 0.9 $161k 2.2k 74.88
Abbvie Inc 00 0.8 $149k 3.7k 40.82
Bard C R 0.8 $141k 1.4k 100.71
United Healthcare Group 0.8 $136k 2.4k 57.26
Abbott Laboratories 0.7 $129k 3.7k 35.34
Pfizer 0.7 $117k 4.1k 28.82
Ishares Tr Indexs&psmlcap 600 equity 46 0.6 $105k 1.2k 87.43
Teva Pharmaceutcl Inds adr 88 0.5 $91k 2.3k 39.57
At&t 0.5 $88k 2.4k 36.90
Target Corp 0.5 $84k 1.2k 68.57
Novartis A G Sponsored Adr adr 66 0.4 $64k 900.00 71.11
Hewlett Packard 0.3 $60k 2.5k 24.00
Apple 0.2 $42k 95.00 442.11
JPMORGAN Chase & Co 0.2 $37k 775.00 47.74
Nextera Energy 0.2 $38k 500.00 76.67
Coca Cola 0.2 $28k 700.00 40.00
General Electric 0.2 $28k 1.2k 23.33
Blackrock Inc C om 09 0.1 $27k 105.00 257.14
Illinois Tool Wks 0.1 $19k 304.00 62.50
Apache Corp 0.1 $15k 200.00 75.00
Microsoft Corp 0.1 $15k 520.00 28.85
PARTNERS L P Exelon Corp 0.1 $9.0k 250.00 36.00
Cisco Sys 0.0 $4.0k 200.00 20.00