WIMMER ASSOCIATES 1, LLC - Q3 2016 holdings

$111 Million is the total value of WIMMER ASSOCIATES 1, LLC's 110 reported holdings in Q3 2016. The portfolio turnover from Q2 2016 to Q3 2016 was 4.8% .

 Value Shares↓ Weighting
MMM Sell3M Company$6,636,000
+0.4%
37,653
-0.2%
5.97%
+1.3%
VIG SellVanguard Dividend Appreciation ETFdiv app etf$3,097,0000.0%36,895
-0.8%
2.79%
+0.9%
VTI SellVanguard Total Stock Market ETFtotal stk mkt$2,933,000
-2.8%
26,343
-6.5%
2.64%
-2.0%
SPY SellSPDRs S&P 500 Index ETFtr unit$2,811,000
-8.9%
12,995
-11.8%
2.53%
-8.1%
PEP SellPepsico Inc$2,810,000
+1.6%
25,836
-1.0%
2.53%
+2.5%
V SellVisa, Inc$2,612,000
+7.7%
31,579
-3.4%
2.35%
+8.6%
JNJ SellJohnson & Johnson$2,601,000
-6.7%
22,021
-4.2%
2.34%
-5.9%
SBUX SellStarbucks Corp$2,446,000
-7.1%
45,178
-1.9%
2.20%
-6.2%
XOM SellExxon Mobil Corp$2,413,000
-7.4%
27,643
-0.5%
2.17%
-6.5%
AAPL SellApple Inc$2,411,000
+8.2%
21,325
-8.5%
2.17%
+9.1%
INTC SellIntel Corp$2,304,000
+14.9%
61,046
-0.2%
2.07%
+15.9%
VZ SellVerizon Communications Inc$2,244,000
-7.5%
43,170
-0.7%
2.02%
-6.7%
PRF SellPowerShares RAFI 1000 ETFftse rafi 1000$2,044,000
-9.2%
21,835
-12.2%
1.84%
-8.4%
VNQ SellVanguard REIT Index ETFreit etf$1,930,000
-12.5%
22,250
-10.6%
1.74%
-11.7%
DIS SellWalt Disney Co$1,915,000
-5.4%
20,621
-0.4%
1.72%
-4.5%
GOOGL SellAlphabet Inc Cl A (Formerly Google Cl A)cap stk cl a$1,894,000
+14.1%
2,355
-0.2%
1.70%
+15.1%
NVO SellNovo Nordisk AS ADRadr$1,872,000
-24.0%
45,015
-1.7%
1.68%
-23.3%
GE SellGeneral Electric Co$1,861,000
-7.9%
62,836
-2.1%
1.68%
-7.1%
PG SellProcter & Gamble Co$1,794,000
+4.3%
19,984
-1.6%
1.62%
+5.2%
LMT SellLockheed Martin Corp$1,737,000
-7.4%
7,244
-4.2%
1.56%
-6.6%
FDX SellFedEx Corp$1,727,000
+14.8%
9,889
-0.2%
1.55%
+15.8%
CVX SellChevron Corp$1,721,000
-6.5%
16,718
-4.8%
1.55%
-5.7%
COST SellCostco Wholesale Corp$1,687,000
-5.3%
11,063
-2.5%
1.52%
-4.5%
UPS SellUnited Parcel Service, Inc$1,491,000
+0.1%
13,631
-1.4%
1.34%
+0.9%
NTRS SellNorthern Trust Corp$1,486,000
-1.2%
21,852
-3.7%
1.34%
-0.3%
BRKB SellBerkshire Hathaway ClBcl b new$1,400,000
-1.5%
9,690
-1.3%
1.26%
-0.7%
GOOG SellAlphabet Inc Cl C (Formerly Google Cl C)cap stk cl c$1,299,000
+9.9%
1,671
-2.1%
1.17%
+10.8%
MSFT SellMicrosoft Corp$1,289,000
+11.6%
22,375
-0.9%
1.16%
+12.5%
PYPL SellPayPal Holdings, Inc$1,253,000
+8.5%
30,590
-3.3%
1.13%
+9.4%
PSX SellPhillips 66$1,209,000
+1.0%
15,007
-0.5%
1.09%
+1.9%
AMZN SellAmazon.Com Inc$1,131,000
+13.9%
1,351
-2.7%
1.02%
+14.9%
GILD SellGilead Sciences, Inc$1,086,000
-7.0%
13,728
-1.9%
0.98%
-6.2%
USB SellUS Bancorp$1,055,000
+4.2%
24,599
-2.0%
0.95%
+5.2%
AMGN SellAmgen Inc$991,000
-1.5%
5,942
-10.1%
0.89%
-0.7%
SYY SellSysco Corp$931,000
-4.4%
18,997
-1.0%
0.84%
-3.6%
VOO SellVanguard S&P 500 ETF$912,000
-12.2%
4,590
-15.1%
0.82%
-11.4%
COP SellConocoPhillips$782,000
-18.5%
17,987
-18.2%
0.70%
-17.8%
MMC SellMarsh & McLennan Co Inc$726,000
-2.8%
10,800
-1.0%
0.65%
-2.1%
LOW SellLowes Companies$635,000
-13.5%
8,788
-5.2%
0.57%
-12.7%
KMI SellKinder Morgan$625,000
+17.9%
27,016
-4.6%
0.56%
+19.0%
HSY SellHershey Company$614,000
-25.3%
6,425
-11.3%
0.55%
-24.6%
EMR SellEmerson Electric Co$545,000
+2.4%
9,999
-1.9%
0.49%
+3.4%
SellTarget Corp$533,000
-3.8%
7,759
-2.2%
0.48%
-2.8%
AGN SellAllergan plc$496,000
-3.5%
2,155
-3.1%
0.45%
-2.8%
TMO SellThermo Fisher Scientific, Inc$492,000
+3.8%
3,091
-3.6%
0.44%
+4.7%
CAT SellCaterpillar Inc$466,000
+12.8%
5,254
-3.7%
0.42%
+13.6%
IBM SellIBM Corp$450,000
-3.0%
2,832
-7.4%
0.40%
-2.2%
IBB Sellishares Biotechnology ETFnasdq biotec etf$415,000
+2.7%
1,433
-8.6%
0.37%
+3.9%
DD SellEI DuPont De Nemours & Co$400,000
-4.5%
5,966
-7.7%
0.36%
-3.7%
NVS SellNovartis AG ADRsponsored adr$399,000
-9.7%
5,059
-5.6%
0.36%
-8.9%
GPC SellGenuine Parts Co$394,000
-2.0%
3,925
-1.3%
0.36%
-1.1%
DUK SellDuke Energy Corp$377,000
-12.3%
4,705
-6.2%
0.34%
-11.7%
ORCL SellOracle Corp$374,000
-5.3%
9,530
-1.3%
0.34%
-4.3%
NVDA SellNVIDIA Corp$359,000
+35.5%
5,240
-7.1%
0.32%
+36.9%
MDY SellSPDR S&P MidCap 400 ETFutser1 s&pdcrp$325,000
-5.0%
1,150
-8.4%
0.29%
-3.9%
PFE SellPfizer Inc$321,000
-10.3%
9,466
-6.8%
0.29%
-9.4%
JPM SellJP Morgan Chase & Co$305,000
-4.4%
4,582
-10.6%
0.28%
-3.5%
XLNX SellXilinx, Inc$270,000
+10.7%
4,975
-6.1%
0.24%
+11.5%
UL SellUnilever Plc ADRspon adr new$235,000
-8.2%
4,948
-7.5%
0.21%
-7.0%
HON SellHoneywell International Inc$229,000
-8.4%
1,960
-8.8%
0.21%
-7.6%
PSA ExitPublic Storage$0-875
-100.0%
-0.20%
EMC ExitEMC Corp$0-16,922
-100.0%
-0.41%
DE ExitDeere & Co$0-7,015
-100.0%
-0.51%
Original filings

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

  • View 13F-HR filed 2016-11-10
Signatures

The EDGAR filing(s) were signed by:

Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
Apple Inc32Q3 20237.3%
VANGUARD DIVIDEND APPRECIATION INDEX ETF32Q3 20235.1%
Microsoft Corp32Q3 20235.5%
3M Company32Q3 20236.0%
Visa, Inc32Q3 20233.8%
VANGUARD TOTAL STOCK MARKET INDEX ETF32Q3 20233.6%
Alphabet Inc Cl A (Formerly Google Cl A)32Q3 20233.9%
SPDRs S&P 500 Index ETF32Q3 20232.8%
Pepsico Inc32Q3 20232.6%
Amazon.Com Inc32Q3 20233.8%

View WIMMER ASSOCIATES 1, LLC's complete holdings history.

Latest filings
TypeFiled
13F-HR2024-05-14
13F-HR2024-02-14
13F-HR2023-11-14
13F-HR2023-08-14
13F-HR2023-05-16
13F-HR2023-02-14
13F-HR2022-11-14
13F-HR2022-08-12
13F-HR2022-05-13
13F-HR2022-02-16

View WIMMER ASSOCIATES 1, LLC's complete filings history.

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