0001540944-17-000003.txt : 20170502
0001540944-17-000003.hdr.sgml : 20170502
20170502162919
ACCESSION NUMBER: 0001540944-17-000003
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 2
CONFORMED PERIOD OF REPORT: 20170331
FILED AS OF DATE: 20170502
DATE AS OF CHANGE: 20170502
EFFECTIVENESS DATE: 20170502
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: GREATMARK INVESTMENT PARTNERS, INC.
CENTRAL INDEX KEY: 0001540944
IRS NUMBER: 581735070
STATE OF INCORPORATION: GA
FISCAL YEAR END: 1231
FILING VALUES:
FORM TYPE: 13F-HR
SEC ACT: 1934 Act
SEC FILE NUMBER: 028-14722
FILM NUMBER: 17805447
BUSINESS ADDRESS:
STREET 1: 6001 RIVER RD
STREET 2: SUITE 300
CITY: COLUMBUS
STATE: GA
ZIP: 31904-4556
BUSINESS PHONE: 706-327-2128
MAIL ADDRESS:
STREET 1: 6001 RIVER RD
STREET 2: SUITE 300
CITY: COLUMBUS
STATE: GA
ZIP: 31904-4556
13F-HR
1
primary_doc.xml
13F-HR
LIVE
false
true
false
0001540944
XXXXXXXX
03-31-2017
03-31-2017
GREATMARK INVESTMENT PARTNERS, INC.
6001 RIVER RD
SUITE 300
COLUMBUS
GA
31904-4556
13F HOLDINGS REPORT
028-14722
N
Jeffrey G. Adams
President
706-327-2128
Jeffrey G. Adams
Columbus
GA
05-02-2017
0
103
242941
false
INFORMATION TABLE
2
inftable.xml
GREATMARK_13FTABLE_03-2017
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COM
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COM
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AbbVie Inc
COM
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33936
SH
SOLE
33736
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200
Abbott Laboratories
COM
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6032
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SOLE
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COM
02209S103
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SH
SOLE
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American Express Co
COM
025816109
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4975
Ameriprise Financial Inc
COM
03076C106
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SH
SOLE
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AmerisourceBergen Corp
COM
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607
6860
SH
SOLE
6760
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100
Amgen Inc
COM
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217
1320
SH
SOLE
1320
0
0
Anthem Inc
COM
036752103
3200
19348
SH
SOLE
17678
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1670
Apple Inc
COM
037833100
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95683
SH
SOLE
89936
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5747
Artisan Partners Asset Mgmt
CL A
04316A108
1087
39375
SH
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39075
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300
BP plc
SPONS ADR
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72529
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Bank of America Corp
COM
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Berkshire Hathaway Inc
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SH
SOLE
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Berkshire Hathaway Inc
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Biogen Idec Inc
COM
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Chesapeake Energy Corp
COM
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Chesapeake Energy Corp
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COM
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Cisco Systems Inc
COM
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253001
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Coach Inc
COM
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SH
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72940
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Coca-Cola Co
COM
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SH
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4625
Coherent Inc
COM
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308
1500
SH
SOLE
1500
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Colgate Palmolive Co
COM
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369
5042
SH
SOLE
5042
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ConocoPhillips
COM
20825C104
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SH
SOLE
44590
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5100
Core Laboratories NV
COM
N22717107
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SH
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8202
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300
Costco Wholesale Corp new
COM
22160K105
241
1435
SH
SOLE
1435
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0
Darden Restaurants Inc
COM
237194105
548
6555
SH
SOLE
3300
0
3255
Duke Energy Corp
COM
26441C204
289
3524
SH
SOLE
2691
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833
Emerson Electric Co
COM
291011104
4627
77302
SH
SOLE
71549
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5753
Ensco plc
CL A
G3157S106
1894
211625
SH
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204775
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6850
Express Scripts Holding Co
COM
30219G108
5360
81330
SH
SOLE
74370
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6960
Express Scripts Holding Co
COM
30219G108
26
400
SH
Call
SOLE
400
0
0
Exxon Mobil Corp
COM
30231G102
1833
22345
SH
SOLE
20701
0
1644
General Electric Co
COM
369604103
8175
274319
SH
SOLE
252400
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21919
General Mills Inc
COM
370334104
1739
29466
SH
SOLE
25126
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4340
Gilead Sciences Inc
COM
375558103
3967
58410
SH
SOLE
55810
0
2600
Helmerich & Payne Inc
COM
423452101
444
6675
SH
SOLE
6425
0
250
Home Depot Inc
COM
437076102
7029
47871
SH
SOLE
45678
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2193
Illinois Tool Works Inc
COM
452308109
6363
48031
SH
SOLE
47311
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720
Int'l Business Machines Corp
COM
459200101
258
1481
SH
SOLE
1411
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70
Intel Corp
COM
458140100
9629
266963
SH
SOLE
250185
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Johnson & Johnson
COM
478160104
9812
78776
SH
SOLE
71625
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7151
Kimberly Clark Corp
COM
494368103
233
1773
SH
SOLE
1709
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64
Kohls Corp
COM
500255104
5256
132035
SH
SOLE
124535
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Kraft Heinz Company
COM
500754106
449
4943
SH
SOLE
3491
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1452
Lilly (Eli) & Co
COM
532457108
331
3932
SH
SOLE
1912
0
2020
Marathon Petroleum Corp
COM
56585A102
409
8100
SH
SOLE
8100
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McDonalds Corp
COM
580135101
2133
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SH
SOLE
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Microsoft Corp
COM
594918104
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SH
SOLE
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National Oilwell Varco Inc
COM
637071101
710
17700
SH
SOLE
17700
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0
Newmont Mining Corp
COM
651639106
273
8290
SH
SOLE
7865
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Novartis AG
SPONS ADR
66987V109
787
10595
SH
SOLE
10420
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175
Oracle Corp
COM
68389X105
203
4540
SH
SOLE
4540
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PPG Industries Inc
COM
693506107
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SH
SOLE
7200
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PayPal Holdings Inc
COM
70450Y103
2406
55938
SH
SOLE
52960
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Paychex Inc
COM
704326107
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18174
SH
SOLE
14524
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PepsiCo Inc
COM
713448108
1346
12037
SH
SOLE
9687
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Pfizer Inc
COM
717081103
235
6883
SH
SOLE
5683
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1200
Philip Morris Intl Inc
COM
718172109
1025
9079
SH
SOLE
6297
0
2782
Potash Corp of Saskatchewan In
COM
73755L107
1841
107785
SH
SOLE
99460
0
8325
Procter & Gamble Co
COM
742718109
1682
18725
SH
SOLE
17764
0
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Qualcomm Inc
COM
747525103
6305
109950
SH
SOLE
102850
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Qualcomm Inc
COM
747525103
34
600
SH
Call
SOLE
600
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Royal Dutch Shell plc
SPONS ADR A
780259206
1211
22960
SH
SOLE
22460
0
500
Schwab Charles Corp
COM
808513105
286
7000
SH
SOLE
7000
0
0
Sherwin-Williams Co
COM
824348106
316
1020
SH
SOLE
1020
0
0
Southern Company
COM
842587107
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40763
SH
SOLE
36679
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4084
Synovus Financial Corp
COM
87161C501
1241
30252
SH
SOLE
28952
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1300
Target Corp
COM
87612E106
5458
98899
SH
SOLE
91978
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6921
Tegna Inc
COM
87901J105
213
8300
SH
SOLE
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0
300
Teva Pharmaceutical Inds Ltd
ADR
881624209
4760
148321
SH
SOLE
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Tidewater Inc
COM
886423102
63
55000
SH
Call
SOLE
55000
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Total System Services Inc
COM
891906109
2708
50654
SH
SOLE
50058
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Transocean Ltd
REG SHS
H8817H100
728
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SH
SOLE
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Travelers Companies (The)
COM
89417E109
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SH
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Umpqua Holdings Corp
COM
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SH
SOLE
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United Parcel Service
CL B
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54236
SH
SOLE
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VISA Inc
COM
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378
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SH
SOLE
3756
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500
Valeant Pharmaceuticals Intl
COM
91911K102
188
17000
SH
SOLE
17000
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Verizon Communications Inc
COM
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221
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SH
SOLE
2900
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1629
Wal-Mart Stores Inc
COM
931142103
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SH
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Walgreens Boots Alliance Inc
COM
931427108
878
10572
SH
SOLE
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Wells Fargo & Co new
COM
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4043
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SH
SOLE
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Western Union Company (The)
COM
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SH
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Zebra Technologies Corp
COM
989207105
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SH
SOLE
28960
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Vanguard Index Fds
TOTAL STK MKT
922908769
289
2380
SH
SOLE
2380
0
0
iShares Tr
RUS 1000 GRW ETF
464287614
530
4660
SH
SOLE
3245
0
1415
Calamos Convertible & High Inc
COM SHS
12811P108
3508
307974
SH
SOLE
289228
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Fidelity
LTD TRM BD ETF
316188200
363
7225
SH
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4750
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MFS Intermediate Income Trust
SH BEN INT
55273C107
137
31769
SH
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31144
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625
Nuveen AMT Free Muni Cr Inc
COM
67071L106
153
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SH
SOLE
7384
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Nuveen GA Div Adv Mun 2
COM
67072B107
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SH
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Nuveen Int Dur Qual Mun Trm
COM
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Nuveen Quality Preferred Incom
COM
67072C105
3161
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SH
SOLE
315446
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PIMCO ETF Tr
TTL RTN ACTV ETF
72201R775
784
7440
SH
SOLE
5030
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2410
Templeton Global Income
COM
880198106
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134525
SH
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Vanguard Bond Index Fd
SHORT TRM BOND
921937827
281
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SH
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2457
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1068
iShares Tr
CORE US AGGBD
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708
6530
SH
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iShares Tr
TIPS BD
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SH
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iShares Tr
IBOXX INV CP
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