Daniel J. Teed as of March 31, 2012
Portfolio Holdings for Daniel J. Teed
Daniel J. Teed holds 0 positions in its portfolio as reported in the March 2012 quarterly 13F filing
Wedgewood Investors, Inc. Form 13F March 31, 2012 Title of Value Share/ Sh/ Put/ Invstmt Other Voting Authority Name os Issuer Symbol Class CUSIP (1,000) PrnAmt Prn Call Dscretn Mgrs Sole Shared None {C} {C} {C} {C} {C} {C} {C} {C} {C} {C} {C} {C} {C} {C} 3M Company MMM COM 88579Y101 632 7,081 Sh Sole 5,981 1,100 Altria Group Inc MO COM 02209S103 1,146 37,134 Sh Sole 33,334 3,800 Artio In'tl Equity Fd BJBIX MF 04315j407 210 8,450 Sh Sole 8,450 AT^T Corp. T COM 00206r102 267 8,544 Sh Sole 6,344 2,200 Becton Dickinson BDX COM 075887109 441 5,675 Sh Sole 5,675 "Berkshire Hathaway Inc., Class 84670702COM 086470702 396 4,874 Sh Sole 4,374 500 Boeing Co BA COM 097023105 286 3,850 Sh Sole 3,750 100 BP-Amoco BP COM 055622104 748 16,614 Sh Sole 12,914 3,700 Buffalo Science & Technology FunBUFTX MF 119530103 1,803 106,322 Sh Sole 105,992 330 Calvert Shrt Dur Inc Fd CSDAX MF 13161t104 241 15,055 Sh Sole 15,055 CGM Realty Fund CGMRX MF 125325407 303 10,155 Sh Sole 10,155 Chevron Corporation CVX COM 166764100 377 3,512 Sh Sole 3,208 304 Church & Dwight Co Inc CHD COM 171340102 379 7,700 Sh Sole 7,700 Citigroup Inc C COM 172967101 217 5,938 Sh Sole 5,788 150 ConocoPhillips COP COM 20825c104 220 2,889 Sh Sole 2,499 390 Consolidated Edison ED COM 209115104 209 3,575 Sh Sole 3,375 200 Corning Inc GLW COM 219350105 175 12,400 Sh Sole 12,400 Dodge & Cox Stk Fd DODGX MF 256219106 1,335 11,648 Sh Sole 11,648 Erie Indemnity Co ERIE COM 29530P102 4,395 56,395 Sh Sole 56,395 Exxon Mobil Corp XOM COM 30231G102 1,432 16,514 Sh Sole 9,964 6,550 Fedex Corp FDX COM 31428X106 797 8,670 Sh Sole 7,670 1,000 Fidelity Adv Emrg Mkts Inc-I FMKIX MF 315920702 287 20,644 Sh Sole 19,857 787 Fidelity Blue Chip Growth K FBGKX MF 316389535 308 6,105 Sh Sole 6,105 Fidelity Spartan 500 Index FXSIX MF 315911768 285 5,696 Sh Sole 5,696 First Niagara Financial Grp FNFG COM 33582v108 337 34,200 Sh Sole 34,200 FMI LC Fund FMIHX MF 302933205 3,002 177,228 Sh Sole 175,878 1,350 General Electric Co GE COM 369604103 252 12,559 Sh Sole 8,359 4,200 General Mills GIS COM 370334104 694 17,580 Sh Sole 16,780 800 Genesee & Wyoming Inc GWR COM 371559105 262 4,800 Sh Sole 4,500 300 Google Inc Class A GOOG COM 38259P508 423 660 Sh Sole 635 25 H J Heinz Co HNZ COM 423074103 397 7,418 Sh Sole 6,418 1,000 Heartland Value Plus Fd HRVIX MF 422352500 407 13,406 Sh Sole 12,727 679 Hussman Strategic TTL Ret Fd HSTRX MF 448108209 301 24,577 Sh Sole 24,577 IBM IBM COM 459200101 253 1,211 Sh Sole 1,211 Intel Corp INTC COM 458140100 236 8,377 Sh Sole 6,477 1,900 iShares Barclays 1-3 Yr Trs Bd FSHY COM 464287457 628 7,445 Sh Sole 7,445 iShares Barclays Agg Bond ETF AGG COM 464287226 287 2,615 Sh Sole 2,615 iShares IBoxx Inv Gr Corp Bd LQD COM 464287242 385 3,329 Sh Sole 3,329 iShares MSCI Emerging Mkt ETF EEM COM 464287234 229 5,340 Sh Sole 4,640 700 iShares Russell 2000 ETF IWM COM 464287655 258 3,121 Sh Sole 3,021 100 iShares Russell 2000 Growth ETF IWO COM 464287648 382 4,010 Sh Sole 3,810 200 iShares Russell 2000 Value ETF IWN COM 464287630 335 4,594 Sh Sole 4,392 202 iShares Russell MC Growth ETF IWP COM 464287481 654 10,409 Sh Sole 9,409 1,000 iShares Russell MC Value ETF IWS COM 464287473 815 16,942 Sh Sole 16,742 200 iShares S^P 500 ETF IVV COM 464287200 1,731 12,258 Sh Sole 10,808 1,450 Janus Flexible Bd Fd JAFIX MF 471023606 269 25,235 Sh Sole 25,235 JC Data Solutions Inc. JCDS COM 47214a100 18 15,000 Sh Sole 15,000 Johnson & Johnson JNJ COM 478160104 1,441 21,842 Sh Sole 18,342 3,500 Kraft Foods Inc Cl A KFT COM 50075N104 400 10,512 Sh Sole 9,952 560 L-3 Communications Holdings LLL COM 502424104 552 7,800 Sh Sole 6,900 900 Lord Abbett Shrt Dur Inc Fd LALDX MF 543916100 142 30,876 Sh Sole 30,876 Lord Abbett Shrt Dur Inc I Fd LLDYX MF 543916688 1,850 402,135 Sh Sole 402,135 Lorillard Inc. LO COM 544147101 531 4,100 Sh Sole 3,400 700 McDonald's Corp. MCD COM 580135101 777 7,919 Sh Sole 7,230 689 Meridian Growth Fund MERDX MF 589619105 340 7,234 Sh Sole 7,234 Natixis Loomis Inv Gr-Y LSIIX MF 543487136 407 32,813 Sh Sole 32,813 Nestle S.A. ADR NSRGY COM 641069406 662 10,530 Sh Sole 9,080 1,450 Neuberger Berman Genesis Fd NBGIX MF 641233200 274 5,533 Sh Sole 5,533 Norfolk Southern Corp. NSC COM 655844108 342 5,200 Sh Sole 4,900 300 Oneok Inc. OKE COM 682680103 447 5,475 Sh Sole 4,775 700 Pepsico Inc PEP COM 713448108 568 8,560 Sh Sole 7,360 1,200 Perkins MC Value Fd JMCVX MF 471023598 2,695 121,329 Sh Sole 121,329 Pfizer Inc PFE COM 717081103 390 17,233 Sh Sole 14,533 2,700 Philip Morris Int'l PM COM 718172109 2,103 23,734 Sh Sole 21,534 2,200 Pimco Commodity Rr Strategy Fd PCRDX MF 722005550 95 14,466 Sh Sole 14,466 Pimco Total Return Inst'l Fd PTTRX MF 693390700 2,875 259,280 Sh Sole 259,280 Procter & Gamble Co PG COM 742718109 935 13,915 Sh Sole 13,215 700 Rainier Small/Mid Growth Fd RIMSX MF 750869208 266 7,217 Sh Sole 7,217 Raytheon Co RTN COM 755111507 342 6,475 Sh Sole 6,275 200 Republic Services Inc. RSG COM 760759100 469 15,334 Sh Sole 13,934 1,400 Royce Premier SC Fd RYPRX MF 780905600 227 10,993 Sh Sole 10,993 Royce Value Fund RYVFX MF 780905733 1,265 104,475 Sh Sole 102,816 1,659 Scout Int'l Fd UMBWX MF 81063U503 2,914 91,736 Sh Sole 90,798 938 Scout SC Fd UMBHX MF 81063U305 814 48,770 Sh Sole 47,479 1,291 Sequoia Fund SEQUX MF 817418106 4,242 26,321 Sh Sole 26,013 308 Sit DV Gwth Fd SDVSX MF 82980D806 412 28,409 Sh Sole 27,231 1,178 Southern Co SO COM 842587107 263 5,850 Sh Sole 4,250 1,600 Stericycle SRCL COM 858912108 304 3,640 Sh Sole 2,840 800 T Rowe MC Growth RPMGX MF 779556109 287 4,810 Sh Sole 4,810 Thompson Plumb Bond Fund THOPX MF 884891201 624 54,059 Sh Sole 54,059 Thornburg LTD TERM Income THIIX MF 885215681 297 22,138 Sh Sole 22,138 Union Pacific Corp. UNP COM 907818108 693 6,450 Sh Sole 950 5,500 Vanguard Hi-Yld Corp VWEHX MF 922031208 60 10,225 Sh Sole 10,225 Vanguard Index 500 VFINX MF 922908108 1,901 14,646 Sh Sole 14,646 Vanguard Intm Term Corp Inv VFICX MF 922031885 337 33,387 Sh Sole 33,387 Vanguard Natural Resources VNR COM 92205f106 229 8,300 Sh Sole 7,500 800 Verizon Communications VZ COM 92343V104 397 10,374 Sh Sole 10,174 200 VF Corp VFC COM 918204108 358 2,450 Sh Sole 2,050 400 VM Ware Inc Cl A VMW COM 928563402 294 2,620 Sh Sole 2,420 200 Vodafone Group PLC ADR New VOD COM 92857w209 209 7,556 Sh Sole 7,356 200 Wabtec Corp WAB COM 929740108 682 9,050 Sh Sole 8,450 600 Wal-Mart Stores Inc. WMT COM 931142103 256 4,187 Sh Sole 4,187 Waste Management Inc. WM COM 94106L109 322 9,200 Sh Sole 9,200 Report Summary 92 Data Records 65,734 0 Other Managers on whose behalf report is run