Consu

Consu as of Dec. 31, 2010

Portfolio Holdings for Consu

Consu holds 48 positions in its portfolio as reported in the December 2010 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
Kraft Foods 9.6 $8.7M 275k 31.51
Spdr S&p 500 Etf (SPY) 9.3 $8.4M 67k 125.75
Coca Cola 8.3 $7.5M 266k 28.18
iShares MSCI Cntry Asa Jpn Idx Fnd (AAXJ) 7.8 $7.0M 111k 63.70
SELECT SECTOR SPDR TR SBI INT- energy 4.6 $4.2M 647k 6.43
SPDR Gold Trust (GLD) 2.1 $1.9M 14k 138.72
Darden Restaurants (DRI) 1.9 $1.7M 36k 46.44
Yum! Brands (YUM) 1.9 $1.7M 34k 49.05
T. Rowe Price (TROW) 1.7 $1.5M 24k 64.54
Honeywell International (HON) 1.7 $1.5M 28k 53.16
Spectra Energy 1.6 $1.5M 59k 24.99
Mattel (MAT) 1.6 $1.5M 58k 25.43
Altria (MO) 1.6 $1.5M 60k 24.62
United Parcel Service (UPS) 1.6 $1.5M 20k 72.58
Xilinx 1.6 $1.4M 50k 28.98
McDonald's Corporation (MCD) 1.6 $1.4M 19k 76.76
AFLAC Incorporated (AFL) 1.6 $1.4M 25k 56.43
Linear Technology Corporation 1.6 $1.4M 41k 34.59
Chubb Corporation 1.6 $1.4M 24k 59.64
Meredith Corporation 1.6 $1.4M 40k 34.65
Philip Morris International (PM) 1.5 $1.4M 23k 58.53
Chevron Corporation (CVX) 1.5 $1.4M 15k 91.25
Marathon Oil Corporation (MRO) 1.5 $1.3M 36k 37.03
Praxair 1.5 $1.3M 14k 95.47
TECO Energy 1.5 $1.3M 75k 17.80
Travelers Companies (TRV) 1.4 $1.3M 23k 55.71
Waste Management (WM) 1.4 $1.3M 34k 36.87
Verizon Communications (VZ) 1.4 $1.2M 35k 35.78
Bemis Company 1.4 $1.2M 38k 32.66
Automatic Data Processing (ADP) 1.4 $1.2M 26k 46.28
At&t (T) 1.4 $1.2M 41k 29.38
Pitney Bowes (PBI) 1.4 $1.2M 50k 24.18
Intel Corporation (INTC) 1.3 $1.2M 57k 21.03
Clorox Company (CLX) 1.3 $1.2M 19k 63.28
Lorillard 1.3 $1.2M 15k 82.06
JPMorgan Chase & Co. (JPM) 1.3 $1.2M 28k 42.42
Duke Energy Corporation 1.3 $1.2M 67k 17.81
ConAgra Foods (CAG) 1.3 $1.2M 51k 22.58
Exxon Mobil Corporation (XOM) 1.3 $1.1M 16k 73.12
Wal-Mart Stores (WMT) 1.3 $1.1M 21k 53.93
Hudson City Ban 1.2 $1.1M 88k 12.74
Johnson & Johnson (JNJ) 1.2 $1.1M 18k 61.85
Eli Lilly & Co. (LLY) 1.2 $1.1M 31k 35.04
Baxter International (BAX) 1.2 $1.0M 21k 50.62
Abbott Laboratories (ABT) 1.1 $1.0M 22k 47.91
Lockheed Martin Corporation (LMT) 1.1 $1.0M 15k 69.91
BERKSHIRE HATHAWAY Inc Del cl a 0.3 $236k 168.00 1402.38
Frontier Communications 0.1 $81k 8.4k 9.73