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Boston Omaha 13F holdings, Q1 1999

Holdings as of March 31, 1999 · filings on SEC EDGAR · latest filing →

Boston Omaha disclosed 66 US equity positions worth $94.3m in its Q1 1999 13F filing. The largest position was U S T at 10.6% of the reported book, followed by U S T and CSCO.

· Q2 1999 →

What did Boston Omaha own in Q1 1999? Top 50 positions

#StockSectorWeightValueSharesΔ sharesvs prior
1 U S T 10.6%$10.0m9,965
2 U S T 6.9%$6.5m6,750
3 CSCO CISCO SYSTEMS INC Technology 4.5%$4.2m68,200
4 HEWLETT PACKARD CO 3.2%$3.0m28,802
5 U S T 3.2%$3.0m2,975
6 WENDYS INTL INC 3.2%$3.0m101,400
7 STAPLES INC 3.0%$2.9m98,762
8 U S T 2.9%$2.7m2,750
9 AXP AMERICAN EXPRESS CO Financial Services 2.7%$2.5m19,000
10 GENERAL INSTRUMENT 2.4%$2.3m50,600
11 FNMA CONVERT 2.4%$2.3m2,425
12 CARNIVAL CORP 2.4%$2.2m48,000
13 GMAC CONVERT 2.3%$2.2m2,205
14 AMERICAN INTL GROUP 2.3%$2.2m18,750
15 MOTOROLA INC 2.2%$2.0m22,402
16 COMMERCIAL CREDIT CONVERT 2.1%$2.0m2,000
17 U S T 2.1%$2.0m2,000
18 FDX CORPORATION 2.1%$1.9m43,500
19 BANK BOSTON CONVERT 1.9%$1.8m1,950
20 SEARS ROEBUCK CONVERT 1.8%$1.7m1,775
21 WALT DISNEY CO CONVERT 1.8%$1.7m1,800
22 IBM CORP CONVERT 1.8%$1.7m1,700
23 U S T 1.6%$1.5m1,535
24 FORD MOTOR CREDIT CONVERT 1.6%$1.5m1,475
25 GE GENERAL ELEC CO Industrials 1.5%$1.4m12,600
26 COMPAQ COMPUTER CORP 1.4%$1.4m56,100
27 XEROX CORP 1.3%$1.2m25,200
28 CONSOLIDATED EDISON CONVERT 1.3%$1.2m1,250
29 WACHOVIA CORP CONVERT 1.2%$1.1m1,160
30 FORD MOTOR CREDIT CONVERT 1.1%$1.1m1,075
31 FORD MOTOR CREDIT CONVERT 1.1%$1.1m1,110
32 MERRILL LYNCH CONVERT 1.1%$999.0k1,000
33 SOUTHTRUST BANK AL CONVERT 1.0%$959.0k1,000
34 GUIDANT CORP 1.0%$919.0k15,700
35 AM GENERAL CORP CONVERT 0.9%$890.0k900
36 FIRST UNION CORP CONVERT 0.8%$783.0k790
37 GMAC CONVERT 0.8%$781.0k800
38 MILLENNIUM PHARMACEUTICALS 0.8%$750.0k12,000
39 MERRILL LYNCH CONVERT 0.8%$736.0k750
40 BEAR STEARNS CO CONVERT 0.8%$736.0k760
41 BEAR STEARNS CORP CONVERT 0.8%$727.0k750
42 CIGNA CORP 0.7%$706.0k8,000
43 ANHEUSER BUSCH CONVERT 0.7%$701.0k700
44 BMY BRISTOL MYERS CO Healthcare 0.7%$658.0k9,900
45 ASSOCIATES CORP CONVERT 0.7%$623.0k625
46 A T & T CORP CONVERT 0.6%$575.0k600
47 LLY LILLY ELI & CO Healthcare 0.6%$558.0k8,500
48 MERCK & CO INC 0.6%$548.0k8,100
49 AMERICAN TEL & TEL 0.6%$537.0k10,300
50 DU PONT 0.6%$535.0k7,420

Weights are shares of the reported long US equity book (options excluded). Values are as filed, normalised to whole dollars. Share changes compare against the immediately preceding filing only.