Boston Omaha 13F holdings, Q3 2003
Holdings as of September 30, 2003 · filings on SEC EDGAR · latest filing →
Boston Omaha disclosed 96 US equity positions worth $188.7m in its Q3 2003 13F filing. The largest position was IBM at 7.9% of the reported book, followed by GE and ABT. Against the Q2 2003 filing, it opened 1 new position, added to 49 and reduced 0 among the top 50 holdings.
What did Boston Omaha own in Q3 2003? Top 50 positions
| # | Stock | Sector | Weight | Value | Shares | Δ shares | vs Q2 2003 |
|---|---|---|---|---|---|---|---|
| 1 | IBM I B M | Technology | 7.9% | $14.9m | 168,561 | 70% | added |
| 2 | GE GENERAL ELEC CO | Industrials | 6.8% | $12.8m | 430,083 | 100% | added |
| 3 | ABT ABBOTT LABS | Healthcare | 6.6% | $12.5m | 293,479 | 121% | added |
| 4 | AMERICAN INTL GROUP INC | 5.6% | $10.5m | 182,654 | 144% | added | |
| 5 | PG PROCTER & GAMBLE COMPANY | Consumer Defensive | 4.7% | $9.0m | 96,483 | 153% | added |
| 6 | EXMOC EXXON MOBIL CORPORATION | 4.7% | $8.8m | 241,627 | 146% | added | |
| 7 | MERCK & CO INC | 4.3% | $8.2m | 161,866 | 160% | added | |
| 8 | SYY SYSCO CORP | Consumer Defensive | 3.2% | $6.0m | 184,243 | 172% | added |
| 9 | JNJ JOHNSON & JOHNSON | Healthcare | 3.0% | $5.7m | 116,007 | 143% | added |
| 10 | PEP PEPSICO INC | Consumer Defensive | 2.9% | $5.5m | 119,310 | 106% | added |
| 11 | MBI MBIA INC | Financial Services | 2.4% | $4.6m | 83,497 | 189% | added |
| 12 | STT STATE STR CORP | Financial Services | 2.3% | $4.3m | 95,189 | 154% | added |
| 13 | KMB KIMBERLY CLARK CORP | Consumer Defensive | 2.1% | $4.0m | 76,967 | 142% | added |
| 14 | EAT BRINKER INTL INC | Consumer Cyclical | 1.9% | $3.5m | 105,175 | 154% | added |
| 15 | EMR EMERSON ELEC CO | Industrials | 1.8% | $3.4m | 63,640 | 70% | added |
| 16 | MBNA CORP | 1.7% | $3.2m | 142,551 | 187% | added | |
| 17 | INTC INTEL CORP | Technology | 1.7% | $3.1m | 113,934 | 103% | added |
| 18 | GILLETTE CO | 1.7% | $3.1m | 97,580 | 213% | added | |
| 19 | BAC BANK AMER CORP | Financial Services | 1.6% | $2.9m | 37,760 | 155% | added |
| 20 | AMGN AMGEN INC | Healthcare | 1.4% | $2.7m | 42,220 | 113% | added |
| 21 | FEDERAL NAT MORTGAGE ASSN | 1.4% | $2.7m | 38,228 | 139% | added | |
| 22 | KO COCA COLA CO | Consumer Defensive | 1.3% | $2.5m | 59,149 | 135% | added |
| 23 | ANHEUSER BUSCH | 1.2% | $2.3m | 47,200 | 1080% | added | |
| 24 | HD HOME DEPOT INC | Consumer Cyclical | 1.2% | $2.3m | 70,846 | 129% | added |
| 25 | WYETH | 1.2% | $2.2m | 48,049 | 153% | added | |
| 26 | BP BP AMOCO P L C | Energy | 1.2% | $2.2m | 52,044 | 138% | added |
| 27 | CVS CVS CORP | Healthcare | 0.9% | $1.8m | 56,759 | 48% | added |
| 28 | FIRST DATA CORP | 0.9% | $1.7m | 43,681 | 253% | added | |
| 29 | SIGMA ALDRICH CORP | 0.8% | $1.5m | 28,841 | 347% | added | |
| 30 | CSCO CISCO SYS INC | Technology | 0.8% | $1.5m | 75,571 | 81% | added |
| 31 | RAYTHEON CO | 0.8% | $1.4m | 51,060 | 63% | added | |
| 32 | BANK NEW YORK INC | 0.7% | $1.4m | 48,561 | 78% | added | |
| 33 | APD AIR PRODS & CHEMS INC | Basic Materials | 0.7% | $1.4m | 31,188 | 254% | added |
| 34 | HEWLETT PACKARD CO | 0.7% | $1.2m | 63,932 | 26% | added | |
| 35 | AXP AMERICAN EXPRESS CO | Financial Services | 0.7% | $1.2m | 27,375 | 11% | added |
| 36 | LLY LILLY, ELI AND COMPANY | Healthcare | 0.6% | $1.2m | 19,774 | 355% | added |
| 37 | VZ VERIZON COMMUNICATIONS | Communication Services | 0.6% | $1.1m | 34,616 | 65% | added |
| 38 | NOKIA CORP | 0.6% | $1.1m | 69,160 | 20% | added | |
| 39 | ANADARKO PETE CORP | 0.6% | $1.1m | 25,294 | 183% | added | |
| 40 | WRIGLEY WM JR CO | 0.6% | $1.1m | 19,045 | 397% | added | |
| 41 | VODAFONE GROUP PLC | 0.5% | $1.0m | 51,298 | 216% | added | |
| 42 | VANGUARD WINDSOR FD INC MUTUAL FUNDS | 0.5% | $990.0k | 69,289 | – | new | |
| 43 | PALL CORP | 0.5% | $984.0k | 43,835 | 72% | added | |
| 44 | CVX CHEVRONTEXACO CORP | Energy | 0.4% | $845.0k | 11,828 | 76% | added |
| 45 | DOW CHEMICAL CORP | 0.4% | $835.0k | 25,658 | 34% | added | |
| 46 | CB CHUBB CORP | Financial Services | 0.4% | $824.0k | 12,695 | 43% | added |
| 47 | MMM 3M CO | Industrials | 0.4% | $801.0k | 11,600 | 176% | added |
| 48 | CIGNA CORP | 0.4% | $785.0k | 17,587 | 107% | added | |
| 49 | STAPLES INC | 0.4% | $775.0k | 32,515 | 104% | added | |
| 50 | BMY BRISTOL MYERS SQUIBB CO | Healthcare | 0.4% | $738.0k | 28,776 | 241% | added |
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.