Cardinal Capital Management as of March 31, 2013
Portfolio Holdings for Cardinal Capital Management
Cardinal Capital Management holds 0 positions in its portfolio as reported in the March 2013 quarterly 13F filing
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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
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3M Company Common 88579Y101 5917 55659SH Sole N/A 55659
ABB Ltd ADR 000375204 766 33637SH Sole N/A 33637
Agilent Technologies Common 00846U101 2285 54453SH Sole N/A 54453
Apple Computer Common 37833100 2446 5525SH Sole N/A 5525
Automatic Data Processing Common 053015103 3211 49376SH Sole N/A 49376
Badger Meter Inc Common 056525108 305 5704SH Sole N/A 5704
Bank of Nova Scotia Common 64149107 766 13141SH Sole N/A 13141
Bard CR Inc. Common 67383109 2476 24564SH Sole N/A 24564
BB^T Corporation Common 54937107 2504 79773SH Sole N/A 79773
Becton Dickinson & Co Common 75887109 3180 33260SH Sole N/A 33260
BHP Billiton ADR ADR 88606108 1387 20275SH Sole N/A 20275
Bristow Group Inc Common 110394103 201 3052SH Sole N/A 3052
Carbo Ceramics Common 140781105 3493 38354SH Sole N/A 38354
Caterpillar Common 149123101 2419 27812SH Sole N/A 27812
Cisco Systems Inc. Common 17275R102 2432 116392SH Sole N/A 116392
Coach Inc Common 189754104 2127 42557SH Sole N/A 42557
Coca-Cola Common 191216100 3057 75588SH Sole N/A 75588
ConocoPhillips Common 20825C104 2090 34782SH Sole N/A 34782
Costco Wholesale Corp Del Common 22160K105 2866 27011SH Sole N/A 27011
Cummins Inc Common 231021106 466 4020SH Sole N/A 4020
Deere & Company Common 244199105 3603 41903SH Sole N/A 41903
Dentsply International Common 249030107 2842 66974SH Sole N/A 66974
DuPont Common 263534107 2856 58093SH Sole N/A 58093
Ecolab Inc. Common 278865100 3555 44333SH Sole N/A 44333
Elbit Systems Ltd Common M3760D101 335 7930SH Sole N/A 7930
Eli Lilly Common 532457108 2547 44845SH Sole N/A 44845
Emerson Electric Common 291011104 2591 46371SH Sole N/A 46371
ENI S P A Sponsored Adr ADR 26874R108 888 19791SH Sole N/A 19791
Exxon Mobil Common 30231G102 6025 66863SH Sole N/A 66863
Fairchild Semiconductor Common 303726103 156 11021SH Sole N/A 11021
FedEX Corp Common 31428X106 1387 14127SH Sole N/A 14127
General Electric Co Common 369604103 3864 167125SH Sole N/A 167125
General Mills Common 370334104 3406 69066SH Sole N/A 69066
Google Inc Class A Common 38259P508 3024 3808SH Sole N/A 3808
Hasbro, Inc. Common 418056107 2924 66537SH Sole N/A 66537
Honda Motor ADR ADR 438128308 767 20056SH Sole N/A 20056
HSBC Holdings ADR ADR 404280406 1096 20548SH Sole N/A 20548
Idexx Laboratories Common 45168D104 3273 35429SH Sole N/A 35429
Illinois Tool Works Inc Common 452308109 2783 45663SH Sole N/A 45663
Imperial Oil Ltd Common 453038408 547 13397SH Sole N/A 13397
Intel Common 458140100 3227 147792SH Sole N/A 147792
Internatl Business Mach Common 459200101 5574 26130SH Sole N/A 26130
J P Morgan Chase & Co Inc Common 46625H100 2703 56945SH Sole N/A 56945
Johnson & Johnson Common 478160104 5642 69206SH Sole N/A 69206
Laboratory CP Amer Hldgs Common 50540R409 2535 28105SH Sole N/A 28105
Lowes Common 548661107 2485 65537SH Sole N/A 65537
Makita Corp ADR ADR 560877300 782 17681SH Sole N/A 17681
McCormick & Company Common 579780206 2778 37770SH Sole N/A 37770
Medtronic Inc. Common 585055106 2665 56750SH Sole N/A 56750
Merck & Co Inc Common 58933Y105 2674 60506SH Sole N/A 60506
Microsoft Common 594918104 2611 91261SH Sole N/A 91261
National Fuel Gas Co Common 636180101 2305 37570SH Sole N/A 37570
Novartis ADR ADR 66987V109 1578 22149SH Sole N/A 22149
Pepsico Common 713448108 2379 30075SH Sole N/A 30075
Petmed Express Inc Common 716382106 163 12155SH Sole N/A 12155
Phillips Common 718546104 1203 17188SH Sole N/A 17188
Potash Corp Saskatchewan Common 73755L107 654 16673SH Sole N/A 16673
Proctor & Gamble Common 742718109 3337 43310SH Sole N/A 43310
Qualcomm Inc Common 747525103 2784 41595SH Sole N/A 41595
Raymond James Fincl Inc Common 754730109 262 5688SH Sole N/A 5688
Royal Bank Canada PV$1 Common 780087102 767 12723SH Sole N/A 12723
Royal Dutch Shell PLC Common 780259206 937 14374SH Sole N/A 14374
Salix Pharmaceuticals LTD Common 795435106 2468 48226SH Sole N/A 48226
Sanofi Aventis Spon ADR ADR 80105N10 1533 30009SH Sole N/A 30009
SAP AG ADR ADR 803054204 965 11977SH Sole N/A 11977
Schlumberger Ltd Common 806857108 2601 34726SH Sole N/A 34726
Siemens A G Adr ADR 826197501 710 6590SH Sole N/A 6590
Snap On Inc Common 833034101 279 3371SH Sole N/A 3371
Sonic Corp Common 835451105 208 16184SH Sole N/A 16184
Synaptics Inc Common 87157D109 202 4954SH Sole N/A 4954
T C F Financial Corp Common 872275102 188 12574SH Sole N/A 12574
Teva Pharmaceuticals Common 881624209 1202 30285SH Sole N/A 30285
Total SA Sponsor ADR ADR 89151E109 584 12165SH Sole N/A 12165
Toyota Motor Corp. ADR ADR 892331307 1231 11989SH Sole N/A 11989
Unilever PLC NEW ADR ADR 904767704 1389 32888SH Sole N/A 32888
United Parcel Service Class B Common 911312106 1358 15811SH Sole N/A 15811
Vale Sa Adr ADR 919 12E10 547 31665SH Sole N/A 31665
Wal Mart Stores Inc Common 931142103 3039 40613SH Sole N/A 40613
Wells Fargo & Co Common 949746104 2740 74071SH Sole N/A 74071
TOTAL: $161683 (thousands)