0000950123-14-001862.txt : 20140212 0000950123-14-001862.hdr.sgml : 20140212 20140212145117 ACCESSION NUMBER: 0000950123-14-001862 CONFORMED SUBMISSION TYPE: 13F-HR PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20131231 FILED AS OF DATE: 20140212 DATE AS OF CHANGE: 20140212 EFFECTIVENESS DATE: 20140212 FILER: COMPANY DATA: COMPANY CONFORMED NAME: Hugh Johnson Advisors LLC CENTRAL INDEX KEY: 0001336098 IRS NUMBER: 432063831 STATE OF INCORPORATION: DE FISCAL YEAR END: 1205 FILING VALUES: FORM TYPE: 13F-HR SEC ACT: 1934 Act SEC FILE NUMBER: 028-11456 FILM NUMBER: 14599551 BUSINESS ADDRESS: STREET 1: 80 STATE STREET STREET 2: 4TH FLOOR CITY: ALBANY STATE: NY ZIP: 12207 BUSINESS PHONE: 518-732-1654 MAIL ADDRESS: STREET 1: 80 STATE STREET STREET 2: 4TH FLOOR CITY: ALBANY STATE: NY ZIP: 12207 FORMER COMPANY: FORMER CONFORMED NAME: Johnson Illington Advisors LLC DATE OF NAME CHANGE: 20050812 13F-HR 1 primary_doc.xml 13F-HR LIVE false true false 0001336098 XXXXXXXX 12-31-2013 12-31-2013 Hugh Johnson Advisors LLC
80 State Street 4th Floor Albany NY 12207
13F HOLDINGS REPORT 028-11456 N
C. Dianne McKnight Chief Compliance Officer 518-641-6858 C. Dianne McKnight Albany NY 02-12-2014 0 81 254650 false
INFORMATION TABLE 2 form13fInfoTable.xml INFORMATION TABLE FOR FORM 13F Abbott Laboratories Common Stock 002824100 2328 60739 SH SOLE 0 60739 0 Abbvie Inc Common Stock 00287y109 2749 52048 SH SOLE 0 52048 0 Allstate Corp Common Stock 020002101 245 4491 SH SOLE 0 4491 0 American Express Co Common Stock 025816109 5460 60174 SH SOLE 0 60174 0 Bank Montreal Que Common Stock 063671101 222 3328 SH SOLE 0 3328 0 Baxter Intl Inc Common Stock 071813109 3454 49657 SH SOLE 0 49657 0 Cameron International Corp Common Stock 13342b105 204 3423 SH SOLE 0 3423 0 Check Point Software Tech Ltd Common Stock m22465104 5039 78130 SH SOLE 0 78130 0 Church & Dwight Inc Common Stock 171340102 6517 98322 SH SOLE 0 98322 0 Cisco Systems Inc Common Stock 17275r102 234 10426 SH SOLE 0 10426 0 Colgate Palmolive Co Common Stock 194162103 6824 104639 SH SOLE 0 104639 0 ConocoPhillips Common Stock 20825c104 3092 43770 SH SOLE 0 43770 0 DirecTV Common Stock 25490a309 4396 63655 SH SOLE 0 63655 0 Disney Walt Co Disney Common Stock 254687106 7475 97846 SH SOLE 0 97846 0 Exxon Mobil Corp Common Stock 30231g102 3434 33934 SH SOLE 0 33934 0 Fifth Third Bancorp Common Stock 316773100 4876 231883 SH SOLE 0 231883 0 First Republic Bank San Fran C Common Stock 33616c100 3837 73293 SH SOLE 0 73293 0 Franklin Resources Inc Common Stock 354613101 4740 82113 SH SOLE 0 82113 0 General Electric Co Common Stock 369604103 4196 149705 SH SOLE 0 149705 0 Halliburton Co Common Stock 406216101 2056 40512 SH SOLE 0 40512 0 Hasbro Inc Common Stock 418056107 3903 70951 SH SOLE 0 70951 0 Intel Corp Common Stock 458140100 325 12530 SH SOLE 0 12530 0 International Business Machine Common Stock 459200101 4690 25006 SH SOLE 0 25006 0 Johnson & Johnson Common Stock 478160104 599 6541 SH SOLE 0 6541 0 Johnson Controls Inc Common Stock 478366107 3710 72325 SH SOLE 0 72325 0 JPMorgan Chase & Co Common Stock 46625h100 5782 98872 SH SOLE 0 98872 0 M & T Bank Corp Common Stock 55261f104 257 2207 SH SOLE 0 2207 0 McDonalds Corp Common Stock 580135101 309 3185 SH SOLE 0 3185 0 Merck & Co Inc Common Stock 58933y105 2989 59716 SH SOLE 0 59716 0 Microsoft Corp Common Stock 594918104 336 8978 SH SOLE 0 8978 0 Mylan Inc Common Stock 628530107 4623 106515 SH SOLE 0 106515 0 Northrop Grumman Corp Common Stock 666807102 206 1797 SH SOLE 0 1797 0 Oracle Corp Common Stock 68389x105 5388 140826 SH SOLE 0 140826 0 Pfizer Inc Common Stock 717081103 3792 123795 SH SOLE 0 123795 0 Procter & Gamble Co Common Stock 742718109 306 3759 SH SOLE 0 3759 0 Target Corp Common Stock 87612e106 231 3652 SH SOLE 0 3652 0 Texas Instruments Inc Common Stock 882508104 5309 120904 SH SOLE 0 120904 0 Travelers Companies Inc Common Stock 89417e109 3337 36859 SH SOLE 0 36859 0 Trustco Bank Corp NY Common Stock 898349105 449 62583 SH SOLE 0 62583 0 Union Pacific Corp Common Stock 907818108 4896 29144 SH SOLE 0 29144 0 United Technologies Corp Common Stock 913017109 4151 36481 SH SOLE 0 36481 0 Verizon Communications Inc Common Stock 92343v104 2510 51074 SH SOLE 0 51074 0 Walgreen Co Common Stock 931422109 388 6760 SH SOLE 0 6760 0 Yum Brands Inc Common Stock 988498101 274 3622 SH SOLE 0 3622 0 Anheuser-Busch InBev SA NV Sp Common Stock 03524a108 3504 32918 SH SOLE 0 32918 0 British American Tobacco PLC S Common Stock 110448107 206 1921 SH SOLE 0 1921 0 BT Group PLC ADR Common Stock 05577e101 252 3995 SH SOLE 0 3995 0 Diageo PLC Sp ADR Common Stock 25243q205 233 1757 SH SOLE 0 1757 0 Novartis AG Sp ADR Common Stock 66987v109 223 2779 SH SOLE 0 2779 0 Unilever NV NY Common Stock 904784709 338 8407 SH SOLE 0 8407 0 iShares Tr MSCI ACWI Ex Exchange Traded Fund 464288240 9935 212869 SH SOLE 0 212869 0 iShares Tr Russell 3000 Exchange Traded Fund 464287689 764 6908 SH SOLE 0 6908 0 iShares Tr S&P 500 Growth Exchange Traded Fund 464287309 2981 30187 SH SOLE 0 30187 0 iShares Tr S&P 500 Value Exchange Traded Fund 464287408 1545 18083 SH SOLE 0 18083 0 iShares Tr S&P Mid Cap 400 Gro Exchange Traded Fund 464287606 283 1885 SH SOLE 0 1885 0 iShares Tr S&P Small Cap 600 Exchange Traded Fund 464287804 7781 71300 SH SOLE 0 71300 0 Select Sector SPDR Healthcare Exchange Traded Fund 81369y209 2408 43440 SH SOLE 0 43440 0 Select Sector SPDR Tr SBI Cons Exchange Traded Fund 81369y407 2372 35490 SH SOLE 0 35490 0 Select Sector SPDR Tr SBI Cons Exchange Traded Fund 81369y308 830 19300 SH SOLE 0 19300 0 Select Sector SPDR Tr SBI Ener Exchange Traded Fund 81369y506 861 9730 SH SOLE 0 9730 0 Select Sector SPDR Tr SBI Fina Exchange Traded Fund 81369y605 3329 152295 SH SOLE 0 152295 0 Select Sector SPDR Tr SBI Indu Exchange Traded Fund 81369y704 2169 41510 SH SOLE 0 41510 0 Select Sector SPDR Tr SBI Mate Exchange Traded Fund 81369y100 3295 71290 SH SOLE 0 71290 0 Select Sector SPDR Tr SBI Tech Exchange Traded Fund 81369y803 1700 47570 SH SOLE 0 47570 0 Select Sector SPDR Tr SBI Util Exchange Traded Fund 81369y886 3323 87518 SH SOLE 0 87518 0 SPDR S&P 500 Index ETF Exchange Traded Fund 78462f103 10894 58985 SH SOLE 0 58985 0 SPDR S&P Mid Cap 400 ETF Tr Exchange Traded Fund 78467y107 15008 61459 SH SOLE 0 61459 0 SPDR Series Trust S&P Div ETF Exchange Traded Fund 78464a763 368 5068 SH SOLE 0 5068 0 Vanguard Index Funds Stock Mkt Exchange Traded Fund 922908769 6635 69176 SH SOLE 0 69176 0 iShares 2018 Inv Grade Bond Exchange Traded Fund 46432fag2 2377 24300 SH SOLE 0 24300 0 iShares Barclays CMBS Exchange Traded Fund 46429b366 7357 144123 SH SOLE 0 144123 0 iShares Sht Mat Bond ETF Exchange Traded Fund 46431w507 412 8210 SH SOLE 0 8210 0 iShares Tr Barclays 1-3 Years Exchange Traded Fund 464288646 3858 36580 SH SOLE 0 36580 0 iShares Tr Barclays 1-3 Yr Exchange Traded Fund 464287457 224 2652 SH SOLE 0 2652 0 iShares Tr Barclays Interm Cre Exchange Traded Fund 464288638 4989 46248 SH SOLE 0 46248 0 iShares Tr Barclays Interm Gov Exchange Traded Fund 464288612 6152 56223 SH SOLE 0 56223 0 iShares Tr Barclays US Aggreg Exchange Traded Fund 464287226 937 8803 SH SOLE 0 8803 0 Vanguard Bond Index Fund Inc S Exchange Traded Fund 921937827 2539 31760 SH SOLE 0 31760 0 Vanguard Bond Index Fund Inc T Exchange Traded Fund 921937835 293 3665 SH SOLE 0 3665 0 Vanguard Index Funds Total Sto Exchange Traded Fund 922908488 13333 295892 SH SOLE 0 295892 0 Vanguard Total Intl Stock Sign Exchange Traded Fund 921909792 804 23938 SH SOLE 0 23938 0