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 |