KELLY LAWRENCE W & ASSOCIATES INC/CA - Q1 2015 holdings

$463 Million is the total value of KELLY LAWRENCE W & ASSOCIATES INC/CA's 204 reported holdings in Q1 2015. The portfolio turnover from Q4 2014 to Q1 2015 was 4.2% .

 Value Shares↓ Weighting
GILD  Gilead Sciences Inc.$3,827,000
+4.1%
39,0000.0%0.83%
+7.8%
AFL  AFLAC Inc.$2,407,000
+4.7%
37,6060.0%0.52%
+8.4%
KO  Coca Cola Co$927,000
-3.9%
22,8640.0%0.20%
-0.5%
XOM  Exxon Mobil Corp$921,000
-8.0%
10,8340.0%0.20%
-4.8%
ETP  Energy Transfer Partners$869,000
-14.1%
15,5750.0%0.19%
-10.9%
PFE  Pfizer Inc$802,000
+11.7%
23,0670.0%0.17%
+15.3%
SIEGY  Siemens AG Spons ADR (new)$793,000
-4.7%
7,3300.0%0.17%
-1.2%
CVS  CVS Caremark Corp$723,000
+7.3%
7,0030.0%0.16%
+11.4%
MMM  3M Co.$685,000
+0.4%
4,1540.0%0.15%
+4.2%
EW  Edwards Lifesciences Inc.$655,000
+11.8%
4,6000.0%0.14%
+15.6%
ALB  Albemarle Corp.$615,000
-12.1%
11,6400.0%0.13%
-8.9%
ABBV  AbbVie Inc.$580,000
-10.5%
9,9100.0%0.12%
-7.4%
VOD  Vodafone Group PLC Spons ADR$545,000
-4.4%
16,6820.0%0.12%
-0.8%
SCHW  Charles Schwab Corp (New)$546,000
+0.6%
17,9570.0%0.12%
+4.4%
ABT  Abbott Labs$462,000
+3.1%
9,9600.0%0.10%
+7.5%
VRSN  Verisign Inc. Com.$412,000
+17.4%
6,1530.0%0.09%
+21.9%
PCAR  Paccar Inc$387,000
-7.0%
6,1250.0%0.08%
-3.4%
TEVA  Teva Pharmaceutical Inds ADR$380,000
+8.3%
6,1000.0%0.08%
+12.3%
ORCL  Oracle Systems Corp$380,000
-4.0%
8,8000.0%0.08%
-1.2%
UTX  United Technologies$363,000
+2.0%
3,1000.0%0.08%
+5.4%
BP  BP PLC Spons ADR$358,000
+2.6%
9,1490.0%0.08%
+5.5%
SNR  New Senior Investment Group$350,000
+0.9%
21,0800.0%0.08%
+5.6%
MET  Metlife Inc.$346,000
-6.7%
6,8510.0%0.08%
-2.6%
DCUA  Dominion Res 6.125% 4/01/2016cv pfd$309,000
-6.4%
5,5000.0%0.07%
-2.9%
EQR  Equity Residential Sh Ben Int$305,000
+8.5%
3,9110.0%0.07%
+11.9%
AVY  Avery Dennison Corp.$299,000
+2.0%
5,6500.0%0.06%
+6.6%
BRKB  Berkshire Hathaway Cl B$298,000
-3.9%
2,0670.0%0.06%
-1.5%
WBA  Walgreens Boots Alliance Inc$272,000
+11.0%
3,2160.0%0.06%
+15.7%
UPS  United Parcel Service Cl B$262,000
-12.7%
2,7000.0%0.06%
-9.5%
COP  ConocoPhillips$249,000
-9.8%
4,0000.0%0.05%
-6.9%
GIS  General Mills Inc$242,000
+6.1%
4,2750.0%0.05%
+8.3%
ICE  IntercontinentalExchange Group$241,000
+6.2%
1,0350.0%0.05%
+10.6%
MO  Altria Group Inc$218,000
+1.4%
4,3640.0%0.05%
+4.4%
MRK  Merck & Co Inc$219,000
+1.4%
3,8100.0%0.05%
+4.4%
AWR  Amer States Water Co$203,000
+6.3%
5,0800.0%0.04%
+10.0%
BXP  Boston Properties Inc.$183,000
+8.9%
1,3060.0%0.04%
+11.4%
SRE  Sempra Energy$177,000
-2.2%
1,6240.0%0.04%0.0%
BA  Boeing Co.$169,000
+15.8%
1,1200.0%0.04%
+20.0%
STT  State Street Corp$158,000
-6.5%
2,1500.0%0.03%
-2.9%
WEC  Wisconsin Energy Corp$148,000
-6.3%
3,0000.0%0.03%
-3.0%
VFC  V F Corp$136,000
+0.7%
1,8000.0%0.03%
+3.6%
NLY  Annaly Capital Mgmt Inc.$130,000
-3.7%
12,5000.0%0.03%0.0%
JPM  JPMorgan Chase & Co$109,000
-3.5%
1,8000.0%0.02%0.0%
ALV  Autoliv Inc Com$106,000
+10.4%
9000.0%0.02%
+15.0%
TGT  Target Corp$95,000
+8.0%
1,1500.0%0.02%
+11.1%
SWH  Stanley Black & Decker Corp 6.cv pfd$82,0000.0%7000.0%0.02%
+5.9%
AXP  American Express Co$78,000
-16.1%
1,0000.0%0.02%
-10.5%
BMR  Biomed Realty Trust$59,000
+5.4%
2,6000.0%0.01%
+8.3%
UNM  Unum Group$61,000
-3.2%
1,8000.0%0.01%0.0%
WFCPRJCL  Wells Fargo & Co New Dep Shs Sprd$50,0000.0%1,7000.0%0.01%
+10.0%
NLYPRCCL  Annaly Cap Mgmt Inc PFD STK Cprd$50,0000.0%2,0000.0%0.01%
+10.0%
ZTS  Zoetis Inc Cl A$53,000
+8.2%
1,1460.0%0.01%
+10.0%
TG  Tredegar Corp.$42,000
-10.6%
2,0800.0%0.01%
-10.0%
HSP  Hospira Inc$35,000
+45.8%
4000.0%0.01%
+60.0%
BK  Bank of New York Mellon$36,000
-2.7%
9000.0%0.01%0.0%
AMGN  Amgen, Inc. Com$26,0000.0%1620.0%0.01%
+20.0%
 Vivendi ORD Shs$20,0000.0%7920.0%0.00%0.0%
SBUX  Starbucks Corp$19,000
+18.8%
2000.0%0.00%
+33.3%
OGE  OGE Energy Corp.$15,000
-11.8%
4800.0%0.00%
-25.0%
CAH  Cardinal Health Inc.$8,0000.0%930.0%0.00%0.0%
HSY  Hershey Co$11,0000.0%1090.0%0.00%0.0%
WFC  Wells Fargo & Co New$9,0000.0%1700.0%0.00%0.0%
HYH  Halyard Health Inc.$11,000
+10.0%
2240.0%0.00%0.0%
WMT  WalMart Stores, Inc.$4,0000.0%440.0%0.00%0.0%
PCRFY  Panasonic Corp ADR (new)$6,0000.0%4650.0%0.00%0.0%
SLV  iShares Silver Trust$5,0000.0%3000.0%0.00%0.0%
DG  Dollar Gen Corp.$6,000
+20.0%
750.0%0.00%0.0%
DD  Du Pont E I Nemours Com$4,0000.0%550.0%0.00%0.0%
CWGL  Crimson Wine Group Ltd$020.0%0.00%
LUK  Leucadia Natl Corp$1,0000.0%260.0%0.00%
ZBH  Zimmer Hldgs Inc. Com$1,0000.0%80.0%0.00%
RSHCQ  RadioShack Corp$01,0000.0%0.00%
NOK  Nokia Corp Sponsored ADR$1,0000.0%1500.0%0.00%
FRCMQ  Fairpoint Communication (new)$0750.0%0.00%
Original filings

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

  • View 13F-HR filed 2015-05-14
Signatures

The EDGAR filing(s) were signed by:

Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
Apple, Inc.42Q3 20239.6%
Costco Wholesale42Q3 20235.1%
Pepsico Inc42Q3 20234.3%
Johnson & Johnson42Q3 20234.0%
Capital One Finl Corp42Q3 20233.4%
Disney Walt Co Del42Q3 20233.4%
Albemarle Corp.42Q3 20236.7%
Nestle SA Spons ADR (For Reg)42Q3 20232.7%
Chevron Corp42Q3 20232.6%
Cisco Systems42Q3 20231.6%

View KELLY LAWRENCE W & ASSOCIATES INC/CA's complete holdings history.

Latest filings
TypeFiled
13F-HR2024-05-15
13F-HR2024-02-14
13F-HR2023-11-14
13F-HR2023-08-14
13F-HR2023-05-15
13F-HR2023-02-14
13F-HR2022-11-15
13F-HR2022-08-15
13F-HR2022-05-16
13F-HR2022-02-11

View KELLY LAWRENCE W & ASSOCIATES INC/CA's complete filings history.

Compare quarters

Issues

The following issues were detected while analyzing the report:

  • The reported total value is incorrect (463433000.0 != 463435000.0)

Export KELLY LAWRENCE W & ASSOCIATES INC/CA's holdings