WEIK CAPITAL MANAGEMENT - Q4 2016 holdings

$179 Million is the total value of WEIK CAPITAL MANAGEMENT's 112 reported holdings in Q4 2016. The portfolio turnover from Q3 2016 to Q4 2016 was 6.6% .

 Value Shares↓ Weighting
BRKB SellBerkshire Hathaway B$11,688,000
+9.4%
71,715
-3.0%
6.54%
+6.5%
TJX SellTJX Companies$10,403,000
-1.7%
138,467
-2.2%
5.82%
-4.3%
MHK SellMohawk Industries$7,294,000
-0.5%
36,530
-0.2%
4.08%
-3.1%
NSRGY SellNestle Reg ADR$6,816,000
-9.4%
95,015
-0.2%
3.82%
-11.8%
MSFT SellMicrosoft Corp.$6,632,000
+5.4%
106,730
-2.3%
3.71%
+2.6%
WFC SellWells Fargo$5,359,000
+23.5%
97,241
-0.8%
3.00%
+20.2%
CMCSA SellComcast Corp. A$5,128,000
+3.2%
74,267
-0.8%
2.87%
+0.5%
BRKA SellBerkshire Hathaway A$4,638,000
-2.5%
19
-13.6%
2.60%
-5.1%
JNJ SellJohnson & Johnson$4,625,000
-3.7%
40,146
-1.3%
2.59%
-6.3%
PGR SellProgressive Corp.$4,056,000
+10.5%
114,255
-2.0%
2.27%
+7.6%
TIF SellTiffany & Company$3,452,000
+5.4%
44,580
-1.1%
1.93%
+2.7%
MMM Sell3M Company$3,306,000
-0.1%
18,512
-1.4%
1.85%
-2.7%
KO SellCoca-Cola Co.$3,142,000
-6.3%
75,795
-4.4%
1.76%
-8.8%
WMT SellWal-Mart Stores$3,090,000
-7.4%
44,710
-3.4%
1.73%
-9.9%
WBA SellWalgreens Boots$2,763,000
+2.6%
33,385
-0.1%
1.55%
-0.1%
DPS SellDr Pepper Snapple$2,592,000
-1.4%
28,585
-0.7%
1.45%
-4.1%
TRV SellTravelers, Inc.$2,442,000
-4.2%
19,945
-10.4%
1.37%
-6.8%
HD SellHome Depot$2,385,000
+1.3%
17,790
-2.7%
1.34%
-1.4%
MLM SellMartin Marietta Matrls.$2,337,000
+18.6%
10,550
-4.1%
1.31%
+15.4%
COST SellCostco Wholesale$2,253,000
+4.4%
14,073
-0.5%
1.26%
+1.6%
PM SellPhilip Morris Int'l.$2,180,000
-8.4%
23,829
-2.7%
1.22%
-10.8%
UNP SellUnion Pacific$1,974,000
+6.0%
19,040
-0.3%
1.10%
+3.2%
AAP SellAdvance Auto Parts$1,844,000
+5.3%
10,901
-7.2%
1.03%
+2.4%
CTAS SellCintas Corp.$1,840,000
+1.7%
15,925
-0.9%
1.03%
-1.1%
LBRDK SellLiberty Broadband C$1,820,000
+3.2%
24,573
-0.4%
1.02%
+0.5%
XOM SellExxonMobil Corp.$1,749,000
+1.0%
19,373
-2.3%
0.98%
-1.7%
UNH SellUnitedHealth Group$1,743,000
+11.6%
10,890
-2.4%
0.98%
+8.7%
SellBoeing Co.$1,597,000
+17.6%
10,260
-0.5%
0.89%
+14.5%
AIG SellAmerican Int'l Group$1,448,000
+9.5%
22,175
-0.4%
0.81%
+6.7%
THO SellThor Industries$1,349,000
+10.9%
13,480
-6.1%
0.76%
+8.0%
MA SellMastercard, Inc.$1,342,000
+0.7%
13,000
-0.8%
0.75%
-2.1%
HOG SellHarley Davidson$1,315,000
+3.5%
22,540
-6.6%
0.74%
+0.8%
PG SellProcter & Gamble$1,253,000
-14.0%
14,905
-8.2%
0.70%
-16.2%
DVN SellDevon Energy$1,216,000
+3.1%
26,635
-0.4%
0.68%
+0.4%
GS SellGoldman Sachs$1,056,000
+42.1%
4,410
-4.2%
0.59%
+38.4%
MDLZ SellMondelez Int'l$964,000
-0.6%
21,750
-1.6%
0.54%
-3.2%
DISH SellDish Network$952,000
+5.0%
16,430
-0.8%
0.53%
+2.1%
CFRUY SellRichemont ADR$891,000
-1.1%
135,850
-8.7%
0.50%
-3.7%
MCD SellMcDonalds Corp.$845,000
-1.9%
6,940
-7.0%
0.47%
-4.4%
MO SellAltria Group$791,000
+2.6%
11,700
-4.1%
0.44%0.0%
AAPL SellApple Inc.$765,000
-4.0%
6,601
-6.3%
0.43%
-6.6%
VWO SellVgd Emerging Mkts ETFetf$606,000
-4.0%
16,924
-8.1%
0.34%
-6.6%
CLC SellCLARCOR Inc.$602,000
+23.6%
7,300
-2.7%
0.34%
+20.4%
LUK SellLeucadia National$589,000
+16.6%
25,315
-4.5%
0.33%
+13.8%
GE SellGeneral Electric$570,000
+5.4%
18,025
-1.4%
0.32%
+2.6%
USB SellU.S. Bancorp$550,000
+18.8%
10,700
-0.9%
0.31%
+15.8%
HP SellHelmerich & Payne$476,000
+14.1%
6,150
-0.8%
0.27%
+11.2%
BAC SellBank of America$469,000
+36.3%
21,200
-3.6%
0.26%
+32.8%
CL SellColgate-Palmolive$423,000
-12.2%
6,470
-0.5%
0.24%
-14.4%
SCHX SellSchwab Large-Cap ETFetf$353,000
+2.3%
6,625
-60.5%
0.20%0.0%
ESRX SellExpress Scripts$271,000
-3.9%
3,940
-1.5%
0.15%
-6.2%
IVV SelliShares S&P 500 ETFetf$270,000
+1.9%
1,200
-1.6%
0.15%
-0.7%
GHC SellGraham Holdings$256,000
+2.8%
500
-3.5%
0.14%0.0%
PNC SellPNC Financial$254,000
+13.9%
2,170
-12.1%
0.14%
+10.9%
AXP SellAmerican Express$248,000
+5.5%
3,350
-8.8%
0.14%
+3.0%
CECE SellCECO Environmental$237,000
+16.7%
17,000
-5.6%
0.13%
+13.7%
ASNA SellAscena Retail$220,000
+9.5%
35,500
-1.4%
0.12%
+6.0%
HRC ExitHill-Rom Holdings$0-3,500
-100.0%
-0.12%
INT ExitWorld Fuel Services$0-5,750
-100.0%
-0.15%
AGN ExitAllergan PLC$0-1,175
-100.0%
-0.16%
VRX ExitValeant Pharmaceuticals$0-30,955
-100.0%
-0.44%
Original filings

The following EDGAR filing(s) were analyzed to create this report:

  • View 13F-HR filed 2017-02-09
Signatures

The EDGAR filing(s) were signed by:

Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
Berkshire Hathaway B42Q3 20238.3%
Microsoft Corp.42Q3 20239.4%
TJX Companies42Q3 20236.8%
Nestle Reg ADR42Q3 20234.8%
Progressive Corp.42Q3 20236.7%
Mohawk Industries42Q3 20234.6%
Berkshire Hathaway A42Q3 20233.7%
Johnson & Johnson42Q3 20233.2%
Diageo PLC ADR42Q3 20233.1%
Wal-Mart Stores42Q3 20233.1%

View WEIK CAPITAL MANAGEMENT's complete holdings history.

Latest filings
TypeFiled
13F-HR2024-05-14
13F-HR2024-02-13
13F-HR2023-11-13
13F-HR2023-08-14
13F-HR2023-05-15
13F-HR2023-02-10
13F-HR2022-11-14
13F-HR2022-08-12
13F-HR2022-05-13
13F-HR2022-02-14

View WEIK CAPITAL MANAGEMENT's complete filings history.

Compare quarters

Issues

The following issues were detected while analyzing the report:

  • The reported total value is incorrect (178613000.0 != 178610000.0)

Export WEIK CAPITAL MANAGEMENT's holdings