Wedgewood Investors as of March 31, 2013
Portfolio Holdings for Wedgewood Investors
Wedgewood Investors holds 0 positions in its portfolio as reported in the March 2013 quarterly 13F filing
Wedgewood Investors, Inc.
Form 13F
March 31, 2013
Share Sh/ Put/ InvestmtOther Voting Authority
Name of Issuer Symbol Class CUSIP Value Prn/Amt Prn Call Dscretn Mgrs Sole Shared None
{C} {C} {C} {C} {C} {C} {C} {C} {C} {C} {C} {C} {C}
3M Company MMM COM 88579Y101 670 6306 Sh Sole 5206 1100
Alliancebernstein Global ANAGX MF 01853W105 126 14520 Sh Sole 14520
Altria Group Inc MO COM 02209S103 1256 36534 Sh Sole 32834 3700
Artio In'tl Equity Fd BJBIX MF 04315j407 222 8450 Sh Sole 8450
AT^T Corp. T COM 00206r102 391 10647 Sh Sole 8447 2200
Barclays Bk PLC iPath S^P 500 VXZ COM 06740C519 458 21250 Sh Sole 21250
Becton Dickinson BDX COM 75887109 270 2825 Sh Sole 2825
Berkshire Hathaway Inc. BRKB COM 84670702 445 4274 Sh Sole 4274
BP-Amoco BP COM 55622104 581 13714 Sh Sole 10414 3300
Buffalo Discovery Fund BUFTX MF 119530103 1731 101344 Sh Sole 100814 530
Bulova Tech Group Inc BLVT COM 120458104 1 1010000 Sh Sole 1010000
Cabot Oil & Gas COG COM 127097103 240 3550 Sh Sole 3550
Calvert Shrt Dur Inc Fd CSDAX MF 13161t104 248 15055 Sh Sole 15055
CGM Realty Fund CGMRX MF 125325407 316 10085 Sh Sole 10085
Chevron Corporation CVX COM 166764100 607 5112 Sh Sole 4808 304
Church & Dwight Co Inc CHD COM 171340102 481 7450 Sh Sole 7450
Columbia High Yield COLHX MF 19765L587 123 25734 Sh Sole 25734
ConocoPhillips COP COM 20825c104 606 10090 Sh Sole 9700 390
Consolidated Edison ED COM 209115104 211 3450 Sh Sole 3250 200
Deere & Co DE COM 244199105 381 4431 Sh Sole 4431
Dodge & Cox Stk Fd DODGX MF 256219106 1073 7912 Sh Sole 7912
Dollar General DG COM 256677105 228 4500 Sh Sole 4500
Doubleline Core Fixed Inc DLFNX MF 258620400 341 30234 Sh Sole 29795 439
Eaton Corp PLC ETN COM 278058102 277 4515 Sh Sole 4515
Eaton Vance High Income ETHIX MF 277923405 94 20248 Sh Sole 20248
Erie Indemnity Co ERIE COM 29530P102 4139 54795 Sh Sole 54795
Exxon Mobil Corp XOM COM 30231G102 360 3670 Sh Sole 3470 200
Fidelity Adv Emrg Mkts Inc-I FMKIX MF 315920702 249 17111 Sh Sole 17111
Fidelity Blue Chip Growth K FBGKX MF 316389535 245 4574 Sh Sole 0 4574
Fidelity Spartan 500 Index FXSIX MF 315911768 241 4311 Sh Sole 0 4311
First Niagara Financial Grp FNFG COM 33582v108 385 43400 Sh Sole 43400
FMI LC Fund FMIHX MF 302933205 3210 168515 Sh Sole 168044 471
Frontier Communications FTR COM 35906a108 160 40027 Sh Sole 39763 264
General Electric Co GE COM 369604103 377 16301 Sh Sole 12601 3700
General Mills GIS COM 370334104 864 17530 Sh Sole 17130 400
Genesee & Wyoming Inc GWR COM 371559105 382 4100 Sh Sole 3800 300
Google Inc Class A GOOG COM 38259P508 322 405 Sh Sole 380 25
H J Heinz Co HNZ COM 423074103 514 7118 Sh Sole 6118 1000
Heartland Value Plus Fd HRVIX MF 422352500 425 12977 Sh Sole 12271 706
Hewlett-Packard Co. HPQ COM 428236103 380 15934 Sh Sole 15934
Home Depot Inc HD COM 437076102 356 5098 Sh Sole 4998 100
Hussman Strategic TTL Ret Fd HSTRX MF 448108209 293 24610 Sh Sole 24610
IBM IBM COM 459200101 224 1049 Sh Sole 1049
Intel Corp INTC COM 458140100 505 23115 Sh Sole 22215 900
iShares Barclays 1-3 Yr Trs Bd SHY COM 464287457 608 7197 Sh Sole 7197
iShares Barclays Agg Bond ETF AGG COM 464287226 290 2615 Sh Sole 2615
iShares IBoxx Inv Gr Corp Bd LQD COM 464287242 400 3338 Sh Sole 3338
iShares Russell 2000 ETF IWM COM 464287655 334 3541 Sh Sole 3441 100
iShares Russell 2000 Growth ETF IWO COM 464287648 375 3482 Sh Sole 3482
iShares Russell 2000 Value ETF IWN COM 464287630 377 4494 Sh Sole 4436 58
iShares Russell MC Growth ETF IWP COM 464287481 643 9203 Sh Sole 9003 200
iShares Russell MC Value ETF IWS COM 464287473 934 16382 Sh Sole 16382
iShares S^P 500 ETF IVV COM 464287200 1637 10405 Sh Sole 9805 600
Janus Flexible Bd Fd JAFIX MF 471023606 247 22889 Sh Sole 22889
JC Data Solutions Inc. JCDS COM 47214a100 1 15000 Sh Sole 15000
Johnson & Johnson JNJ COM 478160104 936 11478 Sh Sole 9228 2250
L-3 Communications Holdings LLL COM 502424104 457 5650 Sh Sole 5050 600
Laudus Growth Investors LGILX MF 51855Q549 1742 111814 Sh Sole 111445 369
Lord Abbett Shrt Dur Inc Fd LALDX MF 543916100 143 30876 Sh Sole 30876
Lord Abbett Shrt Dur Inc I Fd LLDYX MF 543916688 1955 421347 Sh Sole 421347
Lorillard Inc. LO COM 544147101 759 18800 Sh Sole 16700 2100
Mastercard Inc MA COM 57636Q104 325 600 Sh Sole 600
McDonald's Corp. MCD COM 580135101 377 3779 Sh Sole 3190 589
Microsoft Corp MSFT COM 594918104 611 21361 Sh Sole 21361
Natixis Loomis Inv Gr-Y LSIIX MF 543487136 400 31546 Sh Sole 31546
Nestle S.A. ADR NSRGY COM 641069406 738 10180 Sh Sole 8780 1400
Neuberger Berman Genesis Fd NBGIX MF 641233200 222 4099 Sh Sole 0 4099
Norfolk Southern Corp. NSC COM 655844108 447 5800 Sh Sole 5500 300
Oakmark Fund OAKMX MF 413838103 369 6933 Sh Sole 6858 75
Oneok Inc. OKE COM 682680103 527 11050 Sh Sole 9650 1400
Pepsico Inc PEP COM 713448108 565 7143 Sh Sole 5943 1200
Perkins MC Value Fd JMCVX MF 471023598 3095 130472 Sh Sole 129175 1297
Pfizer Inc PFE COM 717081103 418 14483 Sh Sole 12783 1700
Philip Morris Int'l PM COM 718172109 213 22934 Sh Sole 20834 2100
PHILLIPS 66 COM PSX COM 718546104 364 5209 Sh Sole 4964 245
Pimco Commodity Rr Strategy Fd PCRDX MF 722005550 149 23029 Sh Sole 23029
Pimco TTL Ret Inst'l Fd PTTRX MF 693390700 2991 266125 Sh Sole 266125
PPG PPG COM 693506107 306 2285 Sh Sole 2285
Procter & Gamble Co PG COM 742718109 1080 14015 Sh Sole 13315 700
Rainier Small/Mid Growth Fd RIMSX MF 750869208 234 5773 Sh Sole 5773
Raytheon Co RTN COM 755111507 257 4375 Sh Sole 4175 200
Republic Services Inc. RSG COM 760759100 269 8165 Sh Sole 7965 200
Royce Premier SC Fd RYPRX MF 780905600 218 10658 Sh Sole 10658
Royce Value Fund RYVFX MF 780905733 1514 129552 Sh Sole 127361 2191
Scout Int'l Fd UMBWX MF 81063U503 2995 87087 Sh Sole 86716 371
Scout SC Fd UMBHX MF 81063U305 746 37186 Sh Sole 37186
Senior Housing Property Trust SNH COM 81721M109 202 7515 Sh Sole 7515
Sequoia Fund SEQUX MF 817418106 4667 25031 Sh Sole 24909 122
Sit DV Gwth Fd SDVSX MF 82980D806 444 27624 Sh Sole 27624
Southern Co SO COM 842587107 223 4750 Sh Sole 3150 1600
Stanley Black & Decker Inc. SWK COM 854616109 259 3200 Sh Sole 3200
Stericycle SRCL COM 858912108 466 4390 Sh Sole 3590 800
T Rowe MC Growth RPMGX MF 779556109 282 4463 Sh Sole 4463
T Rowe Price Hi-Yld Bond Fd PRHYX MF 741481105 77 10766 Sh Sole 10766
Thompson Bond THOPX MF 884891201 591 49410 Sh Sole 49410
Thornburg LTD TERM Income THIIX MF 885215681 268 19464 Sh Sole 19464
Union Pacific Corp. UNP COM 907818108 1118 7850 Sh Sole 2350 5500
Vanguard Hi-Yld Corp VWEHX MF 922031208 63 10225 Sh Sole 10225
Vanguard Index 500 VFINX MF 922908108 1570 10858 Sh Sole 10858
Vanguard Intm Term Corp Inv VFICX MF 922031885 342 33534 Sh Sole 33534
Vanguard TTL Bond Index Fd VBMFX MF 921937108 574 52158 Sh Sole 52158
Vanguard TTL Stock Mkt ETF VTI COM 922908769 300 3701 Sh Sole 3547 154
Verizon Communications VZ COM 92343V104 603 12261 Sh Sole 12061 200
VF Corp VFC COM 918204108 218 1300 Sh Sole 1100 200
Vodafone Group PLC ADR New VOD COM 92857w209 229 8056 Sh Sole 7856 200
Wabtec Corp WAB COM 929740108 975 9550 Sh Sole 8950 600
Walgreen Co. WAG COM 931422109 210 4400 Sh Sole 3900 500
Wal-Mart Stores Inc. WMT COM 931142103 291 3887 Sh Sole 3887
Waste Management Inc. WM COM 94106L109 376 9600 Sh Sole 9600
Report Summary 110 Data Records 72,157 0 Other Managers on whose behalf report is run