Kimelman & Baird, LLC - Q4 2013 holdings

$523 Million is the total value of Kimelman & Baird, LLC's 102 reported holdings in Q4 2013. The portfolio turnover from Q3 2013 to Q4 2013 was 11.3% .

 Value Shares↓ Weighting
XOM SellExxon Mobil Corp$37,057,000
+12.6%
366,172
-4.3%
7.09%
+7.8%
GE SellGeneral Electric Co$26,771,000
+15.2%
955,098
-1.8%
5.12%
+10.3%
CPRT SellCopart Inc$25,329,000
+13.1%
691,117
-1.9%
4.85%
+8.3%
FB BuyFacebook Inc Cl A$19,936,000
+19.7%
364,800
+10.1%
3.82%
+14.7%
JPM BuyJPMorgan Chase & Co$19,275,000
+13.4%
329,594
+0.2%
3.69%
+8.7%
CMD SellCantel Medical Corp$18,270,000
+4.5%
538,790
-1.8%
3.50%
+0.1%
TFX SellTeleflex Inc$17,783,000
+13.3%
189,460
-0.7%
3.40%
+8.6%
WM SellWaste Management Inc$16,024,000
+8.6%
357,125
-0.2%
3.07%
+4.1%
GOOGL SellGoogle Inc Cl A$14,760,000
+27.4%
13,170
-0.5%
2.82%
+22.0%
RDSA  Royal Dutch Shell PLC Sp ADR Aadr$13,795,000
+8.5%
193,5650.0%2.64%
+4.0%
UNP  Union Pacific Corp$12,861,000
+8.1%
76,5560.0%2.46%
+3.6%
DOV  Dover Corp$11,889,000
+7.5%
123,1550.0%2.28%
+2.9%
HD SellHome Depot Inc$11,548,000
+7.4%
140,250
-1.0%
2.21%
+2.9%
TOL SellToll Brothers Inc$11,503,000
+3.3%
310,900
-9.5%
2.20%
-1.1%
BAC SellBank of America Corporation$11,340,000
+10.9%
728,350
-1.7%
2.17%
+6.2%
YUM BuyYum Brands Inc$11,073,000
+106.7%
146,450
+95.1%
2.12%
+98.0%
QCOM SellQualcomm Inc$11,031,000
+2.0%
148,560
-7.5%
2.11%
-2.3%
CVX SellChevron Corp$10,039,000
+2.5%
80,367
-0.3%
1.92%
-1.8%
EMR  Emerson Electric Co$9,266,000
+8.5%
132,0350.0%1.77%
+3.9%
SLB SellSchlumberger Ltd$9,209,000
-19.0%
102,200
-20.6%
1.76%
-22.4%
MRK  Merck & Co Inc$9,167,000
+5.1%
183,1610.0%1.75%
+0.7%
OXY SellOccidental Petroleum Corp$8,855,000
+1.0%
93,110
-0.6%
1.70%
-3.2%
MCD SellMcDonalds Corp$8,670,000
-0.8%
89,350
-1.7%
1.66%
-5.0%
DE SellDeere & Co$8,551,000
+7.2%
93,625
-4.5%
1.64%
+2.7%
KMI SellKinder Morgan Inc$8,197,000
-21.1%
227,700
-22.0%
1.57%
-24.3%
NUE SellNucor Corp$7,646,000
+6.1%
143,240
-2.6%
1.46%
+1.7%
KIM SellKimco Realty Corp$7,578,000
-11.7%
383,685
-9.8%
1.45%
-15.4%
ADT SellThe ADT Corporation$6,779,000
-31.8%
167,514
-31.5%
1.30%
-34.7%
STR SellQuestar Corp$6,617,000
-0.4%
287,820
-2.6%
1.27%
-4.6%
DD  Du Pont E I de Nemours & Co$6,330,000
+10.9%
97,4340.0%1.21%
+6.2%
DIS  Disney Walt Co Disney$5,892,000
+18.5%
77,1160.0%1.13%
+13.6%
ORCL SellOracle Corp$5,825,000
+13.4%
152,250
-1.7%
1.12%
+8.7%
RLOGQ SellRand Logistics Inc$5,453,000
+16.0%
945,116
-1.9%
1.04%
+11.2%
NSC  Norfolk Southern Corp$5,407,000
+20.0%
58,2480.0%1.04%
+15.0%
PG SellProcter & Gamble Co$5,126,000
+6.8%
62,969
-0.8%
0.98%
+2.4%
TKR SellTimken Co$4,816,000
-10.0%
87,450
-1.4%
0.92%
-13.8%
QEP SellQEP Resources Inc$4,653,000
+9.9%
151,800
-0.7%
0.89%
+5.3%
BMR SellBioMed Realty Trust Inc$3,976,000
-44.7%
219,435
-43.2%
0.76%
-47.0%
TESO SellTesco Corp$3,923,000
-30.1%
198,325
-41.5%
0.75%
-33.1%
DOW  Dow Chemical Co$3,478,000
+15.6%
78,3430.0%0.67%
+10.8%
MTB SellM & T Bank Corp$3,367,000
+3.7%
28,924
-0.3%
0.64%
-0.6%
HON  Honeywell Intl Inc$3,299,000
+10.0%
36,1100.0%0.63%
+5.3%
ESSX SellEssex Rent Corp$3,243,000
-24.1%
991,755
-20.8%
0.62%
-27.2%
BDE SellBlack Diamond Inc$3,233,000
+8.6%
242,570
-0.9%
0.62%
+4.0%
BMY  Bristol Myers Squibb Co$3,103,000
+14.8%
58,3840.0%0.59%
+10.0%
PEP  PepsiCo Inc$2,994,000
+4.3%
36,1000.0%0.57%0.0%
MMM  3M Co$2,798,000
+17.5%
19,9500.0%0.54%
+12.4%
MA NewMasterCard Inc Cl A$2,782,0003,330
+100.0%
0.53%
STRZA NewStarz Liberty Cap A$2,737,00093,610
+100.0%
0.52%
T SellAT&T Inc$2,734,000
+1.7%
77,772
-2.2%
0.52%
-2.6%
NVS SellNovartis AG Sp ADRadr$2,673,000
+2.8%
33,250
-1.9%
0.51%
-1.5%
CP  Canadian Pacific Railway Ltd$2,678,000
+22.7%
17,7000.0%0.51%
+17.4%
TWX SellTime Warner Inc$2,540,000
+5.5%
36,425
-0.4%
0.49%
+1.0%
MTX SellMinerals Technologies Inc$2,307,000
+17.1%
38,400
-3.8%
0.44%
+12.2%
NEE  Nextera Energy Inc$1,918,000
+6.8%
22,4000.0%0.37%
+2.2%
JNJ  Johnson & Johnson$1,901,000
+5.7%
20,7520.0%0.36%
+1.4%
KMB SellKimberly Clark Corp$1,842,000
+10.5%
17,632
-0.3%
0.35%
+6.0%
IRBT SelliRobot Corp$1,839,000
-27.4%
52,900
-21.3%
0.35%
-30.4%
NWVCF BuyEnwave Corp$1,696,000
+60.2%
1,284,500
+100.1%
0.32%
+53.3%
ABBV BuyAbbvie Inc$1,590,000
+24.7%
30,100
+5.6%
0.30%
+19.2%
TRIB NewTrinity Biotech PLC Sp ADRadr$1,574,00062,612
+100.0%
0.30%
CL  Colgate Palmolive Co$1,526,000
+9.9%
23,4000.0%0.29%
+5.4%
IP  International Paper Co$1,456,000
+9.4%
29,7000.0%0.28%
+4.9%
STAR SelliStar Financial Inc$1,435,000
+18.4%
100,580
-0.1%
0.28%
+13.6%
AAPL  Apple Inc$1,360,000
+17.6%
2,4240.0%0.26%
+12.6%
TWC SellTime Warner Cable Inc$1,322,000
+21.0%
9,757
-0.4%
0.25%
+16.1%
MJN  Mead Johnson Nutrition Co Cl A$1,184,000
+12.8%
14,1410.0%0.23%
+8.1%
CAC SellCamden Natl Corp$1,011,000
+1.7%
24,175
-0.8%
0.19%
-3.0%
GHDX SellGenomic Health Inc$998,000
-8.4%
34,100
-4.2%
0.19%
-12.4%
APC  Anadarko Petroleum Corp$956,000
-14.7%
12,0580.0%0.18%
-18.3%
SWN SellSouthwestern Energy Co$944,000
-72.7%
24,000
-74.7%
0.18%
-73.8%
ABT  Abbott Laboratories$843,000
+15.5%
22,0000.0%0.16%
+10.3%
UPS  United Parcel Service Inc Cl B$819,000
+15.0%
7,7900.0%0.16%
+10.6%
ESRX  Express Scripts Holding Co$793,000
+13.6%
11,2900.0%0.15%
+9.4%
WRI  Weingarten Realty Investorssh ben int$755,000
-6.4%
27,5240.0%0.14%
-10.6%
DLR SellDigital Realty Trust Inc$747,000
-91.2%
15,200
-90.5%
0.14%
-91.6%
COP  ConocoPhillips$672,000
+1.7%
9,5060.0%0.13%
-2.3%
AXP  American Express Co$628,000
+20.1%
6,9250.0%0.12%
+15.4%
4945SC  Kinder Morgan Energy Partnersunit ltd partn$561,000
+1.1%
6,9560.0%0.11%
-3.6%
CAT SellCaterpillar Inc$413,000
-1.9%
4,547
-9.9%
0.08%
-6.0%
PX  Praxair Inc$406,000
+8.3%
3,1200.0%0.08%
+4.0%
BRKB  Berkshire Hathaway Inc Cl B$391,000
+4.3%
3,3000.0%0.08%0.0%
PSX SellPhillips 66$393,000
+31.9%
5,090
-1.2%
0.08%
+25.0%
PFE  Pfizer Inc$384,000
+6.7%
12,5300.0%0.07%
+1.4%
DUK SellDuke Energy Corp$368,000
+1.7%
5,326
-1.5%
0.07%
-2.8%
AMGN  Amgen Inc$359,000
+1.7%
3,1500.0%0.07%
-2.8%
VZ SellVerizon Communications Inc$360,000
+4.0%
7,334
-0.9%
0.07%0.0%
D  Dominion Resources Inc VA$343,000
+3.6%
5,3000.0%0.07%0.0%
WMT SellWal Mart Stores Inc$279,000
-32.0%
3,550
-36.0%
0.05%
-35.4%
FCX  Freeport-McMoran Copper & Gold$264,000
+13.8%
7,0000.0%0.05%
+10.9%
UGI  UGI Corp$249,000
+6.0%
6,0000.0%0.05%
+2.1%
ZBH NewZimmer Holdings Inc$242,0002,600
+100.0%
0.05%
AMZN NewAmazon.com Inc$239,000600
+100.0%
0.05%
CYT  Cytec Industries Inc$233,000
+14.8%
2,5000.0%0.04%
+9.8%
BK NewBank of New York Mellon Corp$223,0006,376
+100.0%
0.04%
PSIX NewPower Solutions Intl Inc$222,0002,950
+100.0%
0.04%
CSCO SellCisco Systems Inc$210,000
-90.3%
9,375
-89.8%
0.04%
-90.7%
IBM SellInternational Business Machine$202,000
-50.6%
1,075
-51.2%
0.04%
-52.4%
KERX  Keryx Biopharmaceuticals Inc$129,000
+27.7%
10,0000.0%0.02%
+25.0%
PRST  Presstek Inc$70,0000.0%151,8000.0%0.01%
-7.1%
AQPVF  Aqua-Pure Ventures Inc$2,000
-33.3%
16,0000.0%0.00%
-100.0%
AVRG  Advanced Resources Group Inc$015,0000.0%0.00%
IGNE ExitIgene Biotechnology Inc$0-120,593,142
-100.0%
-0.03%
JOE ExitSt Joe Co$0-82,500
-100.0%
-0.32%
MOLX ExitMolex Inc$0-97,600
-100.0%
-0.75%
Original filings

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

  • View 13F-HR filed 2014-02-13
Signatures

The EDGAR filing(s) were signed by:

Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
Exxon Mobil Corp25Q2 20217.3%
Copart Inc25Q2 20215.8%
Teleflex Inc25Q2 20215.1%
JPMorgan Chase & Co25Q2 20214.3%
Home Depot Inc25Q2 20214.1%
General Electric Co25Q2 20215.6%
Waste Management Inc25Q2 20214.1%
Bank of America Corporation25Q2 20213.3%
Union Pacific Corp25Q2 20213.0%
Apple Inc25Q2 20215.2%

View Kimelman & Baird, LLC's complete holdings history.

Latest filings
TypeFiled
13F-HR2021-08-17
13F-HR2019-12-10
13F-HR2019-11-22
13F-HR2019-07-02
13F-HR2019-02-15
13F-HR2019-01-30
13F-HR2019-01-24
13F-HR2018-03-06
13F-HR2018-01-02
13F-HR2017-08-22

View Kimelman & Baird, LLC's complete filings history.

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