First City Capital Management, Inc. - Q1 2017 holdings

$136 Million is the total value of First City Capital Management, Inc.'s 139 reported holdings in Q1 2017. The portfolio turnover from Q4 2016 to Q1 2017 was 9.7% .

 Value Shares↓ Weighting
XOM SellExxon Mobil Corpcs$6,206,000
-9.2%
75,669
-0.1%
4.57%
-11.0%
SellCoca Cola Cocs$4,683,000
+1.4%
110,350
-1.0%
3.45%
-0.5%
HD SellHome Depot Inccs$4,631,000
+9.1%
31,537
-0.3%
3.41%
+7.1%
MO SellAltria Group Inccs$4,093,000
+1.7%
57,314
-3.7%
3.02%
-0.3%
T SellAT&T Inccs$3,609,000
-3.3%
86,857
-1.0%
2.66%
-5.1%
PFE SellPfizer Inccs$3,144,000
+4.6%
91,915
-0.6%
2.32%
+2.6%
GE SellGeneral Electric Cocs$2,902,000
-8.1%
97,372
-2.5%
2.14%
-9.8%
PG SellProcter & Gamble Cocs$2,389,000
+4.5%
26,586
-2.2%
1.76%
+2.5%
MSFT SellMicrosoft Corpcs$2,336,000
+5.2%
35,476
-0.7%
1.72%
+3.2%
BMY SellBristol Myers Squibb Cocs$2,258,000
-10.9%
41,527
-4.3%
1.66%
-12.7%
MRK SellMerck & Co Inccs$2,174,000
+7.7%
34,217
-0.2%
1.60%
+5.6%
VZ SellVerizon Communications Inccs$2,110,000
-9.3%
43,281
-0.7%
1.55%
-11.0%
LMT SellLockheed Martin Corpcs$2,093,000
+5.8%
7,820
-1.2%
1.54%
+3.8%
JNJ SellJohnson & Johnsoncs$1,860,000
+4.3%
14,930
-3.5%
1.37%
+2.3%
CMI SellCummins Inccs$1,807,000
+10.5%
11,950
-0.2%
1.33%
+8.3%
SO SellSouthern Cocs$1,756,000
-2.2%
35,273
-3.4%
1.29%
-4.1%
CINF SellCincinnati Finl Corpcs$1,716,000
-5.9%
23,742
-1.4%
1.26%
-7.7%
PAYX SellPaychex Inccs$1,710,000
-3.9%
29,037
-0.7%
1.26%
-5.8%
CAH SellCardinal Health Inccs$1,661,000
+13.0%
20,371
-0.2%
1.22%
+10.9%
JPM SellJP Morgan Chase & Cocs$1,651,000
-1.4%
18,796
-3.1%
1.22%
-3.3%
RTN SellRaytheon Cocs$1,604,000
+6.4%
10,515
-0.9%
1.18%
+4.4%
AVY SellAvery Dennison Corpcs$1,600,000
+13.3%
19,854
-1.2%
1.18%
+11.2%
BAC SellBank of America Corp.cs$1,569,000
+6.6%
66,529
-0.1%
1.16%
+4.6%
GSK SellGlaxosmithkline Plccs$1,514,000
+0.8%
35,905
-7.9%
1.12%
-1.2%
CVX SellChevron Corpcs$1,416,000
-11.3%
13,190
-2.8%
1.04%
-13.0%
UTX SellUnited Technologies Corpcs$1,373,000
+0.3%
12,239
-2.0%
1.01%
-1.7%
HON SellHoneywell Intl Inccs$1,320,000
+7.6%
10,570
-0.2%
0.97%
+5.5%
AAPL SellApple Inc Comcs$1,306,000
+20.1%
9,090
-3.2%
0.96%
+17.9%
NOC SellNorthrop Grumman Corpcs$1,226,000
+1.2%
5,156
-1.0%
0.90%
-0.7%
NSC SellNorfolk Southern Corp Comcs$1,185,000
+2.9%
10,582
-0.8%
0.87%
+0.9%
HRS SellHarris Corp Del Comcs$1,157,000
+8.3%
10,395
-0.2%
0.85%
+6.2%
ABBV SellAbbvie Inccs$1,027,000
+3.7%
15,768
-0.3%
0.76%
+1.7%
WFC SellWells Fargo & Cocs$969,000
+0.5%
17,410
-0.4%
0.71%
-1.4%
MMM Sell3m Cocs$870,000
+6.0%
4,549
-1.0%
0.64%
+3.9%
PEP SellPepsico Inccs$817,000
+5.6%
7,308
-1.2%
0.60%
+3.6%
BDX SellBecton Dickinson & Cocs$812,000
+7.7%
4,428
-2.7%
0.60%
+5.7%
CSCO SellCisco Sys Inc Comcs$709,000
+11.3%
20,965
-0.5%
0.52%
+9.2%
SPY SellStandard & Poors 500cs$670,000
+4.5%
2,844
-0.9%
0.49%
+2.7%
FSP SellFranklin Street Pptys Corpcs$638,000
-6.6%
52,564
-0.3%
0.47%
-8.4%
AZN SellAstrazeneca Plccs$589,000
+13.5%
18,930
-0.3%
0.43%
+11.3%
PNC SellPnc Finl Svcs Group Inccs$526,000
-3.8%
4,374
-6.4%
0.39%
-5.8%
DOV SellDover Corpcs$491,000
+7.0%
6,105
-0.4%
0.36%
+4.9%
NVS SellNovartis A Gcs$483,000
+1.5%
6,506
-0.4%
0.36%
-0.3%
MGU SellMacquarie Global Infrasture Trmf$477,000
-42.1%
20,873
-50.0%
0.35%
-43.3%
D SellDominion Res Inc Vacs$407,000
-0.7%
5,253
-1.9%
0.30%
-2.6%
SDIV SellGlobal Super Dividend Etfcs$346,000
-4.2%
16,128
-7.0%
0.26%
-5.9%
CNI SellCanadian Natl Ry Cocs$316,000
+7.8%
4,280
-1.4%
0.23%
+5.9%
VGK SellVanguard / European Etfcs$290,000
-1.0%
5,630
-7.9%
0.21%
-2.7%
DEO SellDiageo P L Ccs$289,000
+10.3%
2,500
-1.0%
0.21%
+8.1%
KMI SellKinder Morgan Inccs$272,000
+3.0%
12,530
-1.7%
0.20%
+1.0%
COP SellConocophillips Comcs$269,000
-8.2%
5,384
-7.8%
0.20%
-10.0%
KKR SellKKR & Co Lpcs$246,000
+8.8%
13,484
-8.3%
0.18%
+6.5%
NS SellNustar Energy Lp Unit Comcs$212,000
+3.4%
4,075
-1.0%
0.16%
+1.3%
APTS SellPreferred Apartment Communitiecs$206,000
-13.8%
15,623
-2.4%
0.15%
-15.1%
CCJ SellCameco Corpcs$162,000
+3.8%
14,600
-2.0%
0.12%
+1.7%
PSO SellPearson Plccs$87,000
-18.7%
10,238
-4.7%
0.06%
-20.0%
DSU ExitBlackrock Debt Strat Fd Inc Cobf$0-13,496
-100.0%
-0.12%
WMT ExitWal Mart Stores Inccs$0-2,931
-100.0%
-0.15%
GS ExitGoldman Sachs Group Inccs$0-1,065
-100.0%
-0.19%
PSX ExitPhillips 66cs$0-3,143
-100.0%
-0.20%
SE ExitSpectra Energy Corpcs$0-7,701
-100.0%
-0.24%
HAR ExitHarman Intl Inds Inccs$0-3,850
-100.0%
-0.32%
Original filings

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

  • View 13F-HR/A filed 2017-05-17
Signatures

The EDGAR filing(s) were signed by:

Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
EXXON MOBIL CORP42Q3 20236.6%
HOME DEPOT INC42Q3 20235.1%
MICROSOFT CORP42Q3 20235.3%
PROCTER & GAMBLE CO42Q3 20232.4%
LILLY ELI & CO42Q3 20233.5%
BRISTOL-MYERS SQUIBB CO42Q3 20232.4%
MERCK & CO INC NEW42Q3 20232.1%
ABBVIE INC42Q3 20232.9%
JOHNSON & JOHNSON42Q3 20231.6%
LOCKHEED MARTIN CORP42Q3 20231.7%

View First City Capital Management, Inc.'s complete holdings history.

Latest filings
TypeFiled
13F-HR/A2024-02-07
13F-HR2024-02-07
13F-HR2023-10-26
13F-HR2023-07-19
13F-HR2023-05-01
13F-HR2023-02-13
13F-HR2022-10-24
13F-HR2022-07-21
13F-HR2022-05-04
13F-HR2022-02-07

View First City Capital Management, Inc.'s complete filings history.

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Issues

The following issues were detected while analyzing the report:

  • The reported has been restated
  • The reported has been amended

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