Cardinal Capital Management as of June 30, 2012
Portfolio Holdings for Cardinal Capital Management
Cardinal Capital Management holds 0 positions in its portfolio as reported in the June 2012 quarterly 13F filing
{S} {C} {C} {C} {C} {C} {C} FORM 13F INFORMATION TABLE COLUMN 1 COLUMN 2 COLUMN 3 COLUMN 4 COLUMN 5 COLUMN 6 COLUMN 7 COLUMN 8 TITLE OF VALUE SHRS OR SH/ PUT/ INVESTMENT OTHER VOTING AUTHORITY NAME OF ISSUER CLASS CUSIP (X$1000) PRN AMT PRN CALL DISCRETION MANAGERS SOLE SHARED NONE ---------------------------------------------------------------------------------------------------------------------------------- 3M Company Common 88579Y101 4883 54493SH Sole N/A 54493 A T & T Inc. Common 00206R102 223 6260SH Sole N/A 6260 ABB Ltd ADR 375204 419 25690SH Sole N/A 25690 Agilent Technologies Common 00846U101 2036 51885SH Sole N/A 51885 Apple Computer Common 37833100 3251 5567SH Sole N/A 5567 Automatic Data Processing Common 053015103 2711 48706SH Sole N/A 48706 Bank of Nova Scotia Common 64149107 579 11171SH Sole N/A 11171 Bard CR Inc. Common 67383109 2552 23750SH Sole N/A 23750 BB^T Corporation Common 54937107 2377 77060SH Sole N/A 77060 Becton Dickinson & Co Common 75887109 2453 32822SH Sole N/A 32822 BHP Billiton ADR ADR 88606108 1146 17547SH Sole N/A 17547 Canon ADR ADR 138006309 721 18059SH Sole N/A 18059 Carbo Ceramics Common 140781105 1933 25191SH Sole N/A 25191 Caterpillar Common 149123101 2224 26193SH Sole N/A 26193 Chevron Corp Common 166764100 201 1902SH Sole N/A 1902 Cisco Systems Inc. Common 17275R102 1983 115516SH Sole N/A 115516 Coca-Cola Common 191216100 3017 38582SH Sole N/A 38582 ConocoPhillips Common 20825C104 1946 34830SH Sole N/A 34830 Costco Wholesale Corp Del Common 22160K105 3397 35754SH Sole N/A 35754 Cummins Inc Common 231021106 390 4020SH Sole N/A 4020 Deere & Company Common 244199105 3448 42638SH Sole N/A 42638 Dentsply International Common 249030107 2542 67229SH Sole N/A 67229 DuPont Common 263534107 2892 57181SH Sole N/A 57181 Ecolab Inc. Common 278865100 2987 43584SH Sole N/A 43584 Elbit Systems Ltd Common M3760D101 190 5482SH Sole N/A 5482 Eli Lilly Common 532457108 1926 44882SH Sole N/A 44882 Emerson Electric Common 291011104 2094 44959SH Sole N/A 44959 ENI S P A Sponsored Adr ADR 26874R108 691 16257SH Sole N/A 16257 Exxon Mobil Common 30231G102 5862 68511SH Sole N/A 68511 FedEX Corp Common 31428X106 1288 14059SH Sole N/A 14059 General Electric Co Common 369604103 3464 166231SH Sole N/A 166231 General Mills Common 370334104 2610 67725SH Sole N/A 67725 Google Inc Class A Common 38259P508 2190 3775SH Sole N/A 3775 Hasbro, Inc. Common 418056107 2207 65169SH Sole N/A 65169 Honda Motor ADR ADR 438128308 561 16196SH Sole N/A 16196 HSBC Holdings ADR ADR 404280406 733 16609SH Sole N/A 16609 Idexx Laboratories Common 45168D104 3588 37327SH Sole N/A 37327 Illinois Tool Works Inc Common 452308109 2398 45330SH Sole N/A 45330 Imperial Oil Ltd Common 453038408 445 10662SH Sole N/A 10662 Intel Common 458140100 3836 143954SH Sole N/A 143954 Internatl Business Mach Common 459200101 5357 27389SH Sole N/A 27389 IShares MidCap S^P 400 ETF 464287507 273 2895SH Sole N/A 2895 J P Morgan Chase & Co Inc Common 46625H100 1986 55588SH Sole N/A 55588 Johnson & Johnson Common 478160104 5415 80146SH Sole N/A 80146 Laboratory CP Amer Hldgs Common 50540R409 2528 27293SH Sole N/A 27293 Lowes Common 548661107 2409 84709SH Sole N/A 84709 Makita Corp ADR ADR 560877300 532 15171SH Sole N/A 15171 McCormick & Company Common 579780206 3047 50247SH Sole N/A 50247 Medtronic Inc. Common 585055106 2138 55212SH Sole N/A 55212 Merck & Co Inc Common 58933Y105 2529 60574SH Sole N/A 60574 Microsoft Common 594918104 2739 89542SH Sole N/A 88542 National Fuel Gas Co Common 636180101 1772 37717SH Sole N/A 37717 Novartis ADR ADR 66987V109 1068 19107SH Sole N/A 19107 Pepsico Common 713448108 2100 29715SH Sole N/A 29715 Phillips Common 718546104 562 16918SH Sole N/A 16918 Potash Corp Saskatchewan Common 73755L107 564 12904SH Sole N/A 12904 Proctor & Gamble Common 742718109 2658 43402SH Sole N/A 43402 Qualcomm Inc Common 747525103 2243 40289SH Sole N/A 40289 Royal Bank Canada PV$1 Common 780087102 556 10850SH Sole N/A 10850 Royal Dutch Shell PLC Common 780259206 789 11704SH Sole N/A 11704 Salix Pharmaceuticals LTD Common 795435106 2625 48226SH Sole N/A 48226 Sanofi Aventis Spon ADR ADR 80105N10 1026 27151SH Sole N/A 27151 SAP AG ADR ADR 803054204 630 10617SH Sole N/A 10617 Schlumberger Ltd Common 806857108 2209 34029SH Sole N/A 34029 Siemens A G Adr ADR 826197501 446 5300SH Sole N/A 5300 Sonic Corp Common 835451105 137 13656SH Sole N/A 13656 T C F Financial Corp Common 872275102 116 10123SH Sole N/A 10123 Teva Pharmaceuticals Common 881624209 947 24020SH Sole N/A 24020 Toyota Motor Corp. ADR ADR 892331307 819 10172SH Sole N/A 10172 Unilever PLC NEW ADR ADR 904767704 1194 35399SH Sole N/A 35399 Union Pacific Corp Common 907818108 227 1900SH Sole N/A 1900 United Parcel Service Class B Common 911312106 1226 15564SH Sole N/A 15564 Vale Sa Adr ADR 919 12E10 380 19154SH Sole N/A 19154 Wal Mart Stores Inc Common 931142103 2819 40434SH Sole N/A 40434 Wells Fargo & Co Common 949746104 2407 71977SH Sole N/A 71977 TOTAL: $142866 (thousands)