Institution Information
Reportee Signature Date Report period Total Entries Total AUM($)
FOUNDERS CAPITAL MANAGEMENT LLC 07-11-2019 06-30-2019 58 281,794,000
Institutional Holdings
Issuer Class Position Value Shares Portfolio Percentage (%) Previous Percentage (%) Shares Delta Shares Delta(%)
Berkshire Hathaway Class B CL B 1 $33,092,000 155,236 11.74 11.51 -967 -0.62
Alphabet Inc Class C CAP STK CL C 2 $25,975,000 24,031 9.22 10.42 -192 -0.79
Microsoft Corp COM 3 $18,616,000 138,964 6.61 6.06 -1,221 -0.87
Wells Fargo & Co New COM 4 $15,480,000 327,573 5.49 5.31 27,241 9.07
CarMax Inc COM 5 $13,888,000 159,947 4.93 4.17 -2,816 -1.73
Disney Walt Co COM 6 $13,279,000 95,091 4.71 3.97 -2,504 -2.57
Pepsico Incorporated COM 7 $13,120,000 100,051 4.66 4.57 -1,720 -1.69
C S X Corp COM 8 $12,941,000 167,256 4.59 4.56 959 0.58
Intel Corp. COM 9 $12,612,000 263,458 4.48 5.19 120 0.05
Fedex Corporation COM 10 $9,944,000 60,565 3.53 3.97 948 1.59
American Express Company COM 11 $9,749,000 78,978 3.46 3.20 -898 -1.12
Coca Cola Company COM 12 $9,740,000 191,290 3.46 3.31 -1,289 -0.67
Walgreens Boots Allianc COM 13 $8,861,000 162,089 3.14 3.84 -3,619 -2.18
United Technologies Corp COM 14 $8,855,000 68,014 3.14 3.22 -206 -0.30
Home Depot Inc COM 15 $8,710,000 41,880 3.09 2.95 -75 -0.18
Union Pacific Corp COM 16 $7,190,000 42,518 2.55 2.63 -373 -0.87
Lockheed Martin Corp COM 17 $6,274,000 17,258 2.23 1.90 0 0.00
Liberty Global Inc Ser C COM 18 $5,377,000 202,659 1.91 1.81 -1,545 -0.76
Apple Computer, Inc. COM 19 $4,563,000 23,054 1.62 1.62 -129 -0.56
Johnson & Johnson COM 20 $3,989,000 28,639 1.42 1.45 334 1.18
Cisco Systems Inc COM 21 $3,146,000 57,485 1.12 1.14 -84 -0.15
J M Smucker Co New COM 22 $2,995,000 26,004 1.06 1.15 -1,000 -3.70
Amgen Incorporated COM 23 $2,787,000 15,126 0.99 1.04 147 0.98
Abbott Laboratories COM 24 $2,602,000 30,937 0.92 0.89 527 1.73
Stanley Works COM 25 $2,506,000 17,331 0.89 0.91 -914 -5.01
New York Community Capital Trust V PFD 26 $2,371,000 49,558 0.84 0.91 -2,068 -4.01
Stryker Corp COM 27 $2,238,000 10,887 0.79 0.76 411 3.92
Becton Dickinson Pfd PFD 28 $2,211,000 35,707 0.78 0.87 -2,597 -6.78
Wells Fargo Ban PFD 29 $2,195,000 1,609 0.78 0.84 -172 -9.66
Abbvie Inc COM 30 $1,717,000 23,605 0.61 0.68 527 2.28
Medtronic Inc COM 31 $1,518,000 15,591 0.54 0.50 600 4.00
Stanley Black & Decker Pfd PFD 32 $1,461,000 57,547 0.52 0.58 -4,399 -7.10
Huntington Bancshar Pfd PFD 33 $1,069,000 50,595 0.38 0.41 0 0.00
Lowes Companies Inc COM 34 $1,029,000 10,198 0.37 0.41 0 0.00
Procter & Gamble COM 35 $750,000 6,839 0.27 0.27 -324 -4.52
Chevrontexaco Corp COM 36 $738,000 5,930 0.26 0.27 0 0.00
S P D R TRUST Unit SR ETF 37 $632,000 2,157 0.22 2,157 +Inf
Multi-Color Corp COM 38 $625,000 12,504 0.22 0.23 -8 -0.06
Protective Ins Corp COM 39 $579,000 35,069 0.21 0.24 1,624 4.86
Oracle Corporation COM 40 $531,000 9,322 0.19 0.18 0 0.00
Comcast Corp New Cl A COM 41 $530,000 12,545 0.19 0.18 0 0.00
Wabco Holdings Inc COM 42 $529,000 3,993 0.19 0.19 0 0.00
General Mills Inc COM 43 $420,000 8,000 0.15 0.15 0 0.00
Norfolk Southern Corp COM 44 $400,000 2,008 0.14 0.14 0 0.00
Vanguard 500 Index Fund INDEX 45 $387,000 1,428 0.14 0.14 8 0.56
Darden Restaurants Inc COM 46 $365,000 3,000 0.13 0.13 0 0.00
Facebook Inc Class A CL A 47 $349,000 1,810 0.12 0.11 0 0.00
Barnes Group Inc COM 48 $345,000 6,116 0.12 0.12 0 0.00
49
1/100 Berkshire Htwy Cla CL A 50 $318,000 1 0.11 0.11 0 0.00
Webster Financial Corp COM 51 $313,000 6,547 0.11 6,547 +Inf
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