COUNTRY FUND MANAGEMENT - Q2 2013 holdings

$297 Billion is the total value of COUNTRY FUND MANAGEMENT's 73 reported holdings in Q2 2013. The portfolio turnover from Q1 2013 to Q2 2013 was - .

 Value Shares↓ Weighting
AAPL NewAPPLE COMPUTER COMMON$9,407,674,00023,725
+100.0%
3.17%
APA NewAPACHE CORP. COMMON$8,341,085,00099,500
+100.0%
2.81%
XOM NewEXXON MOBIL CORP. COMMON$8,312,200,00092,000
+100.0%
2.80%
RHHBY NewROCHE HOLDINGS LTD- ADR$7,252,579,000116,800
+100.0%
2.44%
GE NewGENERAL ELECTRIC COMMON$7,165,710,000309,000
+100.0%
2.41%
CSCO NewCISCO SYSTEMS, INC. COMMON$7,127,722,000292,900
+100.0%
2.40%
JPM NewJP MORGAN CHASE & CO. COMMON$6,973,559,000132,100
+100.0%
2.35%
NVS NewNOVARTIS AG ADR$6,880,083,00097,300
+100.0%
2.32%
JNJ NewJOHNSON & JOHNSON COMMON$6,619,806,00077,100
+100.0%
2.23%
HAL NewHALLIBURTON COMPANY COMMON$6,283,032,000150,600
+100.0%
2.11%
CHK NewCHESAPEAKE ENERGY$6,228,128,000305,600
+100.0%
2.10%
STT NewSTATE STREET CORP. COMMON$6,188,429,00094,900
+100.0%
2.08%
INTC NewINTEL CORPORATION COMMON$6,088,999,000251,300
+100.0%
2.05%
AFL NewAFLAC INC. COMMON$5,928,240,000102,000
+100.0%
2.00%
MRK NewMERCK & CO INC COMMON (NEW)$5,885,215,000126,700
+100.0%
1.98%
QCOM NewQUALCOMM INC. COMMON$5,681,370,00093,000
+100.0%
1.91%
WFC NewWELLS FARGO COMPANY COMMON$5,488,910,000133,000
+100.0%
1.85%
SPLS NewSTAPLES, INC. COMMON$5,176,794,000326,200
+100.0%
1.74%
ANF NewABERCROMBIE & FITCH CO-CL A$5,036,325,000111,300
+100.0%
1.70%
NUAN NewNUANCE COMMUNICATIONS INC COMMON$5,001,120,000271,800
+100.0%
1.68%
IBM NewIBM COMMON$4,949,749,00025,900
+100.0%
1.67%
GOOGL NewGOOGLE INC. COMMON$4,894,857,0005,560
+100.0%
1.65%
GNTX NewGENTEX CORPORATION COMMON$4,845,110,000210,200
+100.0%
1.63%
MSFT NewMICROSOFT CORPORATION COMMON$4,781,028,000138,400
+100.0%
1.61%
IGT NewINTERNATIONAL GAME TECHNOLOGY$4,665,432,000279,200
+100.0%
1.57%
ACM NewAECOM TECHNOLOGY CORP COMMON$4,488,748,000141,200
+100.0%
1.51%
AXP NewAMERICAN EXPRESS COMMON$4,485,600,00060,000
+100.0%
1.51%
CVS NewCVS CAREMARK CORPORATION COMMON$4,408,578,00077,100
+100.0%
1.48%
COP NewCONOCOPHILLIPS COMMON$4,386,250,00072,500
+100.0%
1.48%
GD NewGENERAL DYNAMICS COMMON$4,292,484,00054,800
+100.0%
1.44%
STJ NewST JUDE MEDICAL INC COMMON$4,102,137,00089,900
+100.0%
1.38%
ORCL NewORACLE CORPORATION COMMON$4,029,152,000131,200
+100.0%
1.36%
R108 NewENERGIZER HOLDINGS INC. COMMON$3,950,043,00039,300
+100.0%
1.33%
PG NewPROCTER & GAMBLE COMMON$3,941,888,00051,200
+100.0%
1.33%
SLB NewSCHLUMBERGER LIMITED COMMON$3,740,652,00052,200
+100.0%
1.26%
ESRX NewEXPRESS SCRIPTS HOLDING CO$3,630,312,00058,800
+100.0%
1.22%
WMT NewWAL-MART STORES COMMON$3,538,275,00047,500
+100.0%
1.19%
CVX NewCHEVRON CORPORATION COMMON$3,479,196,00029,400
+100.0%
1.17%
PM NewPHILIP MORRIS INTERNATIONAL INC.$3,404,166,00039,300
+100.0%
1.14%
BLK NewBLACKROCK INC COMMON$3,390,420,00013,200
+100.0%
1.14%
AWK NewAMERICAN WATER WORKS COMPANY$3,327,797,00080,713
+100.0%
1.12%
JNY NewJONES GROUP INC COMMON$3,313,750,000241,000
+100.0%
1.12%
WOOF NewVCA ANTECH INC COMMON$3,219,506,000123,400
+100.0%
1.08%
BK NewBANK OF NEW YORK MELLON CORP$3,150,015,000112,300
+100.0%
1.06%
VOD NewVODAFONE GROUP PLC - ADR COMMON$3,133,205,000109,000
+100.0%
1.05%
FDX NewFEDEX CORPORATION$3,065,838,00031,100
+100.0%
1.03%
LH NewLABORATORY CORP COMMON$3,043,040,00030,400
+100.0%
1.02%
ADM NewARCHER DANIELS MIDLAND COMMON$2,987,471,00088,100
+100.0%
1.00%
MMM New3M CO COMMON$2,985,255,00027,300
+100.0%
1.00%
BAX NewBAXTER INTERNATIONAL INC. COMMON$2,971,683,00042,900
+100.0%
1.00%
NRG NewNRG ENERGY INC COMMON$2,963,700,000111,000
+100.0%
1.00%
IR NewINGERSOLL-RAND PLC COMMON$2,937,008,00052,900
+100.0%
0.99%
LUMN NewCENTURYLINK COMMON$2,937,585,00083,100
+100.0%
0.99%
ACE NewACE LIMITED COMMON$2,899,152,00032,400
+100.0%
0.98%
PFE NewPFIZER, INC. COMMON$2,711,368,00096,800
+100.0%
0.91%
DELL NewDELL INC. COMMON$2,631,887,000197,515
+100.0%
0.89%
V107SC NewWELLPOINT INC COMMON$2,627,064,00032,100
+100.0%
0.88%
KSS NewKOHLS CORP COMMON$2,616,418,00051,800
+100.0%
0.88%
EMC NewEMC CORP COMMON$2,610,010,000110,500
+100.0%
0.88%
MDT NewMEDTRONIC, INC. COMMON$2,578,647,00050,100
+100.0%
0.87%
TGT NewTARGET CORP. COMMON$2,534,048,00036,800
+100.0%
0.85%
F113PS NewCOVIDIEN PLC COMMON$2,419,340,00038,500
+100.0%
0.81%
HFC NewHOLLYFRONTIER CORP COMMON$2,398,503,00056,066
+100.0%
0.81%
CAT NewCATERPILLAR INC. COMMON$2,260,226,00027,400
+100.0%
0.76%
EMR NewEMERSON ELECTRIC COMMON$2,236,140,00041,000
+100.0%
0.75%
CMCSA NewCOMCAST CORP CLASS A COMMON$2,083,325,00049,900
+100.0%
0.70%
NEM NewNEWMONT MINING CORP. COMMON$2,048,580,00068,400
+100.0%
0.69%
NWSA NewNEWS CORP. INC CLASS A COMMON$1,697,418,00052,100
+100.0%
0.57%
KR NewKROGER COMPANY COMMON$1,512,852,00043,800
+100.0%
0.51%
JOY NewJOY GLOBAL INC COMMON$1,431,635,00029,500
+100.0%
0.48%
MON NewMONSANTO COMPANY COMMON STOCK$1,402,960,00014,200
+100.0%
0.47%
POST NewPOST HOLDINGS INC COMMON$1,132,016,00025,928
+100.0%
0.38%
BHP NewBHP LIMITED - SPONS ADR COMMON$841,836,00014,600
+100.0%
0.28%
Original filings

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

  • View 13F-HR filed 2013-07-09
Signatures

The EDGAR filing(s) were signed by:

Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
APPLE COMPUTER COMMON2Q3 20134.4%
APACHE CORP. COMMON2Q3 20133.3%
EXXON MOBIL CORP. COMMON2Q3 20133.1%
ROCHE HOLDINGS LTD- ADR2Q3 20133.1%
GENERAL ELECTRIC COMMON2Q3 20132.9%
NOVARTIS AG ADR2Q3 20132.9%
JP MORGAN CHASE & CO. COMMON2Q3 20132.3%
QUALCOMM INC. COMMON2Q3 20132.4%
MERCK & CO INC COMMON (NEW)2Q3 20132.3%
HALLIBURTON COMPANY COMMON2Q3 20132.1%

View COUNTRY FUND MANAGEMENT's complete holdings history.

Latest filings
TypeFiled
13F-HR2013-11-05
13F-HR2013-07-09
13F-HR2013-04-04
13F-HR2013-01-03
13F-HR2012-10-09
13F-HR2012-07-03
13F-HR2012-04-03
13F-HR2012-01-05
13F-HR2011-10-04
13F-HR2011-07-05

View COUNTRY FUND MANAGEMENT's complete filings history.

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