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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
MICROSOFT CORP MSFTCommon3,316,475-179,74576,312,000-26,084,00006/30/2010
WAL MART STORES INC WMTCommon1,366,504-44,98765,688,000-12,791,00006/30/2010
UNITEDHEALTH GROUP INC UNHCommon2,083,923-237,23059,183,000-16,649,00006/30/2010
COCA COLA CO KOCommon1,113,131-75,81055,790,000-9,602,00006/30/2010
COLGATE PALMOLIVE CO CLCommon643,485-34,82950,681,000-7,152,00006/30/2010
3M CO MMMCommon532,854-36,10542,090,000-5,458,00006/30/2010
APPLIED MATERIALS INC /DE AMATCommon3,497,742-250,29542,043,000-8,434,00006/30/2010
MARSH & MCLENNAN COMPANIES, INC. MMCCommon1,862,923-41,84942,009,000-4,506,00006/30/2010
DELL INC DELLCommon3,377,588-221,77540,734,000-13,328,00006/30/2010
WALT DISNEY CO/ DISCommon1,264,257-234,13039,824,000-12,485,00006/30/2010
WALGREEN CO WAGCommon1,395,175-90,36037,251,000-17,847,00006/30/2010
AUTOMATIC DATA PROCESSING INC ADPCommon918,475-43,73536,978,000-5,811,00006/30/2010
TIDEWATER INC TDWCommon835,050835,05032,333,00032,333,00006/30/2010
WELLS FARGO & CO/MN WFCCommon1,228,356-78,08031,446,000-9,210,00006/30/2010
SSGA FUNDS MANAGEMENT INC XLFCommon2,232,799-192,62030,835,000-7,850,00006/30/2010
MASCO CORP /DE/ MASCommon2,755,726-235,53029,652,000-16,772,00006/30/2010
TEXAS INSTRUMENTS INC TXNCommon1,214,485-120,29528,273,000-4,389,00006/30/2010
GENERAL ELECTRIC CO GECommon1,836,594-72,86526,484,000-8,268,00006/30/2010
INTEL CORP INTCCommon1,328,126-98,53025,832,000-5,968,00006/30/2010
MDC HOLDINGS INC MDCCommon934,997161,97525,198,000-1,556,00006/30/2010
CPI CORP CPYCommon1,063,14754,70023,836,0009,859,00006/30/2010
HARSCO CORP HSCCommon1,009,5401,009,54023,724,00023,724,00006/30/2010
VERIZON COMMUNICATIONS INC VZCommon835,311835,31123,405,00023,405,00006/30/2010
UNITED PARCEL SERVICE INC UPSCommon409,877-44,48023,318,000-5,947,00006/30/2010
MEMC ELECTRONIC MATERIALS INC WFRCommon2,272,056-118,67022,448,000-14,202,00006/30/2010
COMCAST CORP CMCSKCommon1,305,115-120,36521,443,000-4,173,00006/30/2010
EMERSON ELECTRIC CO EMRCommon471,554-55,28020,602,000-5,919,00006/30/2010
PROCTER & GAMBLE CO PGCommon342,748-10,50520,558,000-1,792,00006/30/2010
NEWPORT CORP NEWPCommon1,992,21879,69018,049,000-5,800,00006/30/2010
MAXWELL TECHNOLOGIES INC MXWLCommon1,569,615288,09017,894,0002,016,00006/30/2010
VALERO ENERGY CORP/TX VLOCommon913,075-54,67516,417,000-2,648,00006/30/2010
AMERICAN EXPRESS CO AXPCommon407,000-391,34016,158,000-16,782,00006/30/2010
FRONTIER OIL CORP /NEW/ FTOCommon1,167,349-19,75515,701,000-325,00006/30/2010
EXELON CORP EXCCommon398,460398,46015,130,00015,130,00006/30/2010
EXXON MOBIL CORP XOMCommon264,220264,22015,079,00015,079,00006/30/2010
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