0001313893-15-000002.txt : 20150429 0001313893-15-000002.hdr.sgml : 20150429 20150429094209 ACCESSION NUMBER: 0001313893-15-000002 CONFORMED SUBMISSION TYPE: 13F-HR PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20150331 FILED AS OF DATE: 20150429 DATE AS OF CHANGE: 20150429 EFFECTIVENESS DATE: 20150429 FILER: COMPANY DATA: COMPANY CONFORMED NAME: Maple Capital Management, Inc. CENTRAL INDEX KEY: 0001313893 IRS NUMBER: 200577885 STATE OF INCORPORATION: VT FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 13F-HR SEC ACT: 1934 Act SEC FILE NUMBER: 028-12099 FILM NUMBER: 15810377 BUSINESS ADDRESS: STREET 1: 535 STONE CUTTER'S WAY CITY: MONTPELIER STATE: VT ZIP: 05602 BUSINESS PHONE: 802-229-2838 MAIL ADDRESS: STREET 1: 535 STONE CUTTER'S WAY CITY: MONTPELIER STATE: VT ZIP: 05602 13F-HR 1 primary_doc.xml 13F-HR LIVE false true false 0001313893 XXXXXXXX 03-31-2015 03-31-2015 Maple Capital Management, Inc.
535 STONE CUTTER'S WAY MONTPELIER VT 05602
13F HOLDINGS REPORT 028-12099 N
Ramsey Luhr COO - Principal 802-229-2838 Ramsey Luhr Montpelier VT 04-29-2015 0 127 287529 false
INFORMATION TABLE 2 inftable.xml 3M Co. COM 88579y101 1093 6626 SH SOLE 6626 0 0 AFLAC Inc. COM 001055102 340 5315 SH SOLE 5315 0 0 AT&T, Inc. COM 00206r102 1650 50532 SH SOLE 50532 0 0 AbbVie Inc. COM 00287y109 5223 89226 SH SOLE 88926 0 300 Abbott Laboratories COM 002824100 5635 121631 SH SOLE 121231 0 400 Actavis PLC COM G0083B108 8842 29710 SH SOLE 29568 0 142 Affiliated Managers Group, Inc COM 008252108 5482 25525 SH SOLE 25400 0 125 Air Products & Chemicals Inc COM 009158106 4382 28964 SH SOLE 28714 0 250 AmTrust Financial Services COM 032359309 6935 121700 SH SOLE 121250 0 450 AmerisourceBergen Corp. COM 03073e105 2581 22710 SH SOLE 22610 0 100 Anadarko Petroleum Corp. COM 032511107 268 3236 SH SOLE 3036 0 200 Annaly Mortgage Management, In COM 035710409 1213 116590 SH SOLE 116590 0 0 Apple Computer COM 037833100 7618 61220 SH SOLE 60890 0 330 AstraZeneca PLC Spon ADR COM 046353108 226 3300 SH SOLE 3300 0 0 Automatic Data Processing COM 053015103 921 10754 SH SOLE 10754 0 0 B&G Foods, Inc. COM 05508R106 269 9125 SH SOLE 9125 0 0 BCE Inc. COM 05534b760 4043 95453 SH SOLE 95153 0 300 Bank of America Corp. COM 060505104 1206 78393 SH SOLE 78393 0 0 Berkshire Hathaway Inc. Cl B COM 084670702 740 5127 SH SOLE 5127 0 0 Biogen Idec Inc. COM 09062X103 353 837 SH SOLE 837 0 0 Boeing Co. COM 097023105 5709 38038 SH SOLE 37865 0 173 Brinker International Inc. COM 109641100 6162 100105 SH SOLE 99655 0 450 Bristol-Myers Squibb COM 110122108 438 6793 SH SOLE 6793 0 0 Buckeye Partners L P Unit Ltd COM 118230101 673 8905 SH SOLE 8905 0 0 CVS Health Corp. COM 126650100 5092 49334 SH SOLE 48909 0 425 CYS Investments Inc COM 12673a108 569 63900 SH SOLE 63900 0 0 Cadence Design Systems, Inc. COM 127387108 494 26800 SH SOLE 26800 0 0 Capstead Mortgage Corp. COM 14067E506 667 56650 SH SOLE 56650 0 0 Celgene Corp. COM 151020104 536 4650 SH SOLE 4650 0 0 Cerner Corporation COM 156782104 699 9535 SH SOLE 9535 0 0 Check Point Software COM M22465104 5829 71115 SH SOLE 70705 0 410 ChevronTexaco Corporation COM 166764100 6155 58629 SH SOLE 58464 0 165 Citizens & Northern Corp. COM 172922106 391 19400 SH SOLE 19400 0 0 Coca-Cola Co. COM 191216100 765 18876 SH SOLE 18876 0 0 Community Bank System Inc COM 203607106 1025 28967 SH SOLE 28967 0 0 ConocoPhillips COM 20825C104 1692 27181 SH SOLE 26956 0 225 Costco Wholesale COM 22160k105 353 2329 SH SOLE 2329 0 0 Diageo PLC Spon ADR COM 25243q205 574 5191 SH SOLE 5191 0 0 Discover Financial Services COM 254709108 4647 82464 SH SOLE 82064 0 400 Disney, Walt COM 254687106 531 5065 SH SOLE 5065 0 0 Donaldson Co. Inc. COM 257651109 262 6940 SH SOLE 6940 0 0 Dow Chemical Company COM 260543103 2538 52896 SH SOLE 52896 0 0 Du Pont, E. I. COM 263534109 631 8828 SH SOLE 8828 0 0 Emerson Electric Co COM 291011104 420 7415 SH SOLE 7415 0 0 Enbridge Energy Partners, L.P. COM 29250r106 2173 60342 SH SOLE 60342 0 0 Energy Transfer Partners, L.P. COM 29273R109 3268 58612 SH SOLE 58512 0 100 Energy XXI (Bermuda) Ltd. COM G10082140 228 62500 SH SOLE 62500 0 0 Enterprise Products Partners L COM 293792107 403 12232 SH SOLE 12232 0 0 Enzo Biochem, Inc. COM 294100102 41 14000 SH SOLE 14000 0 0 Exxon Mobil Corp. COM 30231G102 6459 75984 SH SOLE 75984 0 0 Fifth Third Bancorp COM 316773100 4696 249102 SH SOLE 248202 0 900 General Electric Company COM 369604103 7800 314404 SH SOLE 313804 0 600 Google, Inc. Cl C COM 38259P706 3528 6438 SH SOLE 6405 0 33 Grainger, W. W. COM 384802104 4678 19837 SH SOLE 19737 0 100 Halliburton Company COM 406216101 1879 42823 SH SOLE 42648 0 175 Health Care REIT, Inc. COM 42217K106 1334 17238 SH SOLE 17238 0 0 Henry Jack & Associates Inc. COM 426281101 217 3100 SH SOLE 3100 0 0 Home Depot Inc. COM 437076102 321 2823 SH SOLE 2823 0 0 Honeywell International COM 438516106 275 2641 SH SOLE 2641 0 0 HouseRaising, Inc. COM 44183w106 0 10000 SH SOLE 10000 0 0 Illinois Tool Works COM 452308109 400 4116 SH SOLE 4116 0 0 Intel Corporation COM 458140100 410 13117 SH SOLE 13117 0 0 International Business Machine COM 459200101 447 2785 SH SOLE 2785 0 0 Invesco Limited COM g491bt108 2777 69978 SH SOLE 69778 0 200 J.P. 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COM 655664100 5855 72900 SH SOLE 72450 0 450 Novartis AG Spon Adr COM 66987v109 211 2135 SH SOLE 2135 0 0 Omnicom Group COM 681919106 5176 66370 SH SOLE 66120 0 250 PNC Financial Services Group, COM 693475105 6751 72406 SH SOLE 72231 0 175 PPL Corporation COM 69351T106 4666 138633 SH SOLE 138033 0 600 Pardee Resources Company, Inc. COM 699437109 1126 4750 SH SOLE 4750 0 0 PepsiCo Inc. COM 713448108 6652 69565 SH SOLE 69265 0 300 Pfizer, Inc. COM 717081103 1335 38366 SH SOLE 38366 0 0 Plains All Amer Pipeline LP COM 726503105 5069 103944 SH SOLE 103644 0 300 Praxair Inc. COM 74005P104 205 1697 SH SOLE 1697 0 0 Procter & Gamble COM 742718109 2575 31431 SH SOLE 31431 0 0 Qualcomm Inc. COM 747525103 3810 54940 SH SOLE 54615 0 325 Raytheon Company COM 755111507 264 2421 SH SOLE 2421 0 0 Regions Financial Corporation COM 7591ep100 792 83828 SH SOLE 83828 0 0 Roper Technologies COM 776696106 2399 13945 SH SOLE 13945 0 0 Royal Dutch Shell PLC Spons AD COM 780259206 202 3384 SH SOLE 3384 0 0 Schlumberger Ltd COM 806857108 782 9376 SH SOLE 9376 0 0 Sherwin Williams COM 824348106 504 1773 SH SOLE 1773 0 0 Southern Company COM 842587107 323 7293 SH SOLE 7293 0 0 Stryker Corporation COM 863667101 355 3850 SH SOLE 3850 0 0 Sun Communities Inc. COM 866674104 1951 29235 SH SOLE 29235 0 0 SunTrust Banks COM 867914103 2877 70009 SH SOLE 69809 0 200 Sysco Corp. COM 871829107 287 7606 SH SOLE 7606 0 0 TJX Companies Inc. COM 872540109 7579 108199 SH SOLE 107599 0 600 Terra Nitrogen Company, LP COM 881005201 1359 9325 SH SOLE 9325 0 0 The Fresh Market Inc. COM 35804H106 2814 69250 SH SOLE 69050 0 200 Total System Services, Inc. COM 891906109 244 6400 SH SOLE 6400 0 0 Union Pacific Corp. COM 907818108 1837 16962 SH SOLE 16962 0 0 United Parcel Service, Inc. Cl COM 911312106 4098 42273 SH SOLE 42198 0 75 United Technologies COM 913017109 7063 60262 SH SOLE 59987 0 275 VIVUS, Inc. COM 928551100 60 24500 SH SOLE 24500 0 0 Verizon Communications COM 92343v104 3545 72899 SH SOLE 72824 0 75 Weatherford Int'l plc COM G48833100 731 59400 SH SOLE 59400 0 0 Whiting Petroleum Corp. COM 966387102 1248 40375 SH SOLE 40175 0 200 Wisconsin Energy Corp. COM 976657106 347 7000 SH SOLE 7000 0 0 AllianzGI NFJ Dividend Int & P XTMF 01883A107 190 11613.00 SH SOLE 1613.000 0 0 iShares Nasdaq Biotechnology I XTMF 464287556 1716 4998.000 SH SOLE 4813.000 0 185.000 iShares Russell 1000 Value Ind XTMF 464287598 412 4000.000 SH SOLE 4000.000 0 0 iShares Russell 2000 Index Fun XTMF 464287655 366 2939.000 SH SOLE 2939.000 0 0 iShares Russell 2000 Value Ind XTMF 464287630 6176 59844.00 SH SOLE 9804.000 0 40.000 iShares Russell Midcap Index F XTMF 464287499 350 2020.000 SH SOLE 2020.000 0 0 iShares S&P 500 Index Fund XTMF 464287200 312 1500.000 SH SOLE 1500.000 0 0 iShares S&P SmallCap 600 Index XTMF 464287804 438 3715.000 SH SOLE 3115.000 0 600.000 Vanguard Emerging Markets XTIF 922042858 293 7181.000 SH SOLE 7181.000 0 0 iShares MSCI EAFE Index Fund XTIF 464287465 486 7578.000 SH SOLE 6678.000 0 900.000 SPDR Gold Trust XTAL 78463v107 315 2775.000 SH SOLE 2775.000 0 0 Vanguard Short-Term Bond Fund XTMI 921937827 1193 14815.00 SH SOLE 4815.000 0 0 iShares Barclays US TIPS Fund XTMI 464287176 233 2050.000 SH SOLE 2050.000 0 0