0001731216-20-000003.txt : 20200421
0001731216-20-000003.hdr.sgml : 20200421
20200421152910
ACCESSION NUMBER: 0001731216-20-000003
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 2
CONFORMED PERIOD OF REPORT: 20200331
FILED AS OF DATE: 20200421
DATE AS OF CHANGE: 20200421
EFFECTIVENESS DATE: 20200421
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: Martin Capital Partners, LLC
CENTRAL INDEX KEY: 0001731216
IRS NUMBER: 272233908
STATE OF INCORPORATION: OR
FISCAL YEAR END: 1231
FILING VALUES:
FORM TYPE: 13F-HR
SEC ACT: 1934 Act
SEC FILE NUMBER: 028-18410
FILM NUMBER: 20805035
BUSINESS ADDRESS:
STREET 1: 940 WILLAMETTE
STREET 2: SUITE 350
CITY: EUGENE
STATE: OR
ZIP: 97401
BUSINESS PHONE: 5416364170
MAIL ADDRESS:
STREET 1: 940 WILLAMETTE
STREET 2: SUITE 350
CITY: EUGENE
STATE: OR
ZIP: 97401
13F-HR
1
primary_doc.xml
13F-HR
LIVE
false
false
false
0001731216
XXXXXXXX
03-31-2020
03-31-2020
Martin Capital Partners, LLC
940 WILLAMETTE
SUITE 350
EUGENE
OR
97401
13F HOLDINGS REPORT
028-18410
N
Ryan Adair
Operations Manager
5416364170
Ryan S Adair
Eugene
OR
04-21-2020
0
58
131272
false
INFORMATION TABLE
2
q1_2020_mcp.xml
Q1 2020 MCP 13F
Aberdeen Asia-Pacific CEF
COM
003009107
360
106610
SH
SOLE
94099
0
12511
Alliance World Dollar Govt CEF
COM
01879R106
123
13241
SH
SOLE
10971
0
2270
AmericsourceBergen
COM
03073E105
276
3124
SH
SOLE
2076
0
1048
Amgen Inc
COM
031162100
4922
24279
SH
SOLE
21933
0
2346
Apple Inc.
COM
037833100
2963
11654
SH
SOLE
10560
0
1094
AT&T
COM
00206R102
1865
63994
SH
SOLE
57270
0
6724
Bank N S Halifax
COM
064149107
3578
88116
SH
SOLE
79945
0
8171
C.H. Robinson Worldwide
COM
12541W209
228
3451
SH
SOLE
2198
0
1253
CenterPoint Energy
COM
15189T107
182
11755
SH
SOLE
7596
0
4159
Chevron Corp
COM
166764100
4126
56949
SH
SOLE
51545
0
5405
Cisco Systems Inc
COM
17275R102
4210
107105
SH
SOLE
96246
0
10859
Clorox Co Com
COM
189054109
413
2386
SH
SOLE
1568
0
818
Coca Cola Co
COM
191216100
3920
88588
SH
SOLE
80055
0
8533
Dominion Resources Inc
COM
25746U109
2043
28300
SH
SOLE
25584
0
2716
Eastman Chemical
COM
277432100
222
4759
SH
SOLE
3313
0
1446
Emerson Elec Co
COM
291011104
2389
50142
SH
SOLE
45006
0
5136
Exxon Mobil Corporation Com
COM
30231G102
2294
60427
SH
SOLE
54952
0
5475
General Mills Inc Com
COM
370334104
2358
44686
SH
SOLE
40082
0
4604
Gilead Sciences
COM
375558103
4485
59996
SH
SOLE
53602
0
6394
GlaxoSmithKline Plc
SPONSORED ADR
37733W105
2661
70224
SH
SOLE
63562
0
6663
Investors Bancorp, Inc.
COM
46146L101
175
21853
SH
SOLE
14515
0
7338
Iron Mountain
COM
46284V101
256
10749
SH
SOLE
7181
0
3568
ISHARES TR
3 7 YR TREAS BD
464288661
1356
10172
SH
SOLE
9252
0
920
ISHARES TR
0-5 YR TIPS ETF
46429B747
1902
19035
SH
SOLE
15971
0
3064
ISHARES TR
1 3 YR CR BD ETF
464288646
3590
68564
SH
SOLE
58600
0
9964
Johnson & Johnson Co
COM
478160104
5317
40544
SH
SOLE
36518
0
4026
JP Morgan Chase & Co
COM
46625H100
3925
43592
SH
SOLE
39464
0
4128
Kellogg Co
COM
487836108
2649
44150
SH
SOLE
39646
0
4504
Lloyds Banking Group
SPONSORED ADR
539439109
1938
1283253
SH
SOLE
1164231
0
119022
Medical Properties Trust Inc.
COM
58463J304
215
12413
SH
SOLE
8050
0
4363
Merck & Co
COM
58933Y105
2891
37581
SH
SOLE
33741
0
3840
Microsoft Corp.
COM
594918104
4284
27165
SH
SOLE
24456
0
2709
MSC Industrial Direct
COM
553530106
3104
56470
SH
SOLE
50112
0
6358
Omnicom Group
COM
681919106
257
4685
SH
SOLE
3125
0
1560
Paychex Inc
COM
704326107
241
3826
SH
SOLE
2517
0
1309
Pepsico Inc
COM
713448108
2334
19432
SH
SOLE
17680
0
1752
Pfizer Inc
COM
717081103
5815
178169
SH
SOLE
161308
0
16861
Principal Financial Group
COM
74251V102
202
6436
SH
SOLE
4224
0
2212
Procter & Gamble Co
COM
742718109
3465
31501
SH
SOLE
28392
0
3110
Public Service Enterprise Group
COM
744573106
3664
81583
SH
SOLE
73044
0
8540
Quest Diagnostics
COM
74834L100
234
2915
SH
SOLE
1936
0
979
Raytheon
COM
755111507
1471
11217
SH
SOLE
10187
0
1030
Robert Half International
COM
770323103
220
5832
SH
SOLE
3842
0
1990
Schwab U.S. Dividend Equity ETF
US Dividend EQ
808524797
531
11805
SH
SOLE
9635
0
2170
Spdr Series Trust
S&P DIVID ETF
78464A763
225
2815
SH
SOLE
2363
0
452
Spdr Series Trust
BLOMBERG BRC INT
78464A334
439
14815
SH
SOLE
12762
0
2053
Spdr Series Trust
PORTFOLIO SHORT
78464A474
4144
136989
SH
SOLE
117200
0
19789
Starbucks Corp
COM
855244109
3399
51701
SH
SOLE
46571
0
5130
Texas Instruments Inc
COM
882508104
4124
41273
SH
SOLE
37136
0
4138
Total SA
SPONSORED ADS
89151E109
2285
61367
SH
SOLE
56254
0
5113
ISHARES TR
1 3 YR Treas BD
464287457
2468
28481
SH
SOLE
23830
0
4651
UNILEVER PLC ADR
SPON ADR NEW
904767704
4007
79231
SH
SOLE
71775
0
7456
United Parcel Service Inc (UPS)
COM
911312106
4755
50894
SH
SOLE
45733
0
5161
US Bancorp Del Com New
COM
902973304
2994
86901
SH
SOLE
78721
0
8180
Ventas, Inc
COM
92276F100
1944
72539
SH
SOLE
64669
0
7871
Verizon Communications
COM
92343V104
4248
79069
SH
SOLE
71309
0
7760
VF Corp
COM
918204108
2114
39089
SH
SOLE
34917
0
4172
Western Asset Income CEF
COM
95766T100
472
35407
SH
SOLE
31495
0
3912