0001398344-19-014188.txt : 20190813
0001398344-19-014188.hdr.sgml : 20190813
20190813162246
ACCESSION NUMBER: 0001398344-19-014188
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 2
CONFORMED PERIOD OF REPORT: 20190630
FILED AS OF DATE: 20190813
DATE AS OF CHANGE: 20190813
EFFECTIVENESS DATE: 20190813
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: Altavista Wealth Management, Inc.
CENTRAL INDEX KEY: 0001434981
IRS NUMBER: 510498914
STATE OF INCORPORATION: NC
FISCAL YEAR END: 1231
FILING VALUES:
FORM TYPE: 13F-HR
SEC ACT: 1934 Act
SEC FILE NUMBER: 028-13966
FILM NUMBER: 191020927
BUSINESS ADDRESS:
STREET 1: 4 VANDERBILT PARK DRIVE, SUITE 310
CITY: ASHEVILLE
STATE: NC
ZIP: 28803
BUSINESS PHONE: 828-684-2600
MAIL ADDRESS:
STREET 1: 4 VANDERBILT PARK DRIVE, SUITE 310
CITY: ASHEVILLE
STATE: NC
ZIP: 28803
13F-HR
1
primary_doc.xml
13F-HR
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0001434981
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06-30-2019
06-30-2019
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Altavista Wealth Management, Inc.
4 VANDERBILT PARK DRIVE, SUITE 310
ASHEVILLE
NC
28803
13F HOLDINGS REPORT
028-13966
N
Christine B. Nelson
Director of Operations
828-684-2600
/s/ Christine B. Nelson
Asheville
NC
08-13-2019
0
161
312222
INFORMATION TABLE
2
fp0044037_13fhr-table.xml
13F INFORMATION TABLE
iShares Core US Aggregate Bond ETF
COM
464287226
33511
300953
SH
SOLE
300953
0
0
Berkshire Hathaway B
COM
084670702
10365
48623
SH
SOLE
48623
0
0
Microsoft Corp
COM
594918104
9683
72279
SH
SOLE
72279
0
0
SPDRR Blmbg Barclays 1-3 Mth T-Bill ETF
COM
78468R663
7875
85967
SH
SOLE
85967
0
0
Johnson & Johnson
COM
478160104
7784
55887
SH
SOLE
55887
0
0
Apple Computer Inc
COM
037833100
7664
38722
SH
SOLE
38722
0
0
Cisco Systems Inc
COM
17275R102
7388
134997
SH
SOLE
134997
0
0
Intel Corp
COM
458140100
6937
144905
SH
SOLE
144905
0
0
Tractor Supply Company
COM
892356106
6792
62427
SH
SOLE
62427
0
0
Pepsi Co
COM
713448108
6553
49977
SH
SOLE
49977
0
0
Roper Industries Inc
COM
776696106
6502
17751
SH
SOLE
17751
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Wal-Mart Stores Inc
COM
931142103
6439
58280
SH
SOLE
58280
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Stryker
COM
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30660
SH
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McDonalds Corp
COM
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29201
SH
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0
Facebook Inc. Com
COM
30303M102
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29035
SH
SOLE
29035
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Lowes Companies Inc
COM
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Procter & Gamble
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Walt Disney Co
COM
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Amazon Com Inc
COM
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COM
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COM
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SPDRR Gold Shares
COM
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Pfizer Incorporated
COM
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SPDRR Blmbg Barclays 1-10 Year TIPS ETF
COM
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Home Depot Inc
COM
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21678
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Union Pacific Corp
COM
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Lincoln National Corp
COM
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Corning Inc
COM
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Ecolab Inc
COM
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19639
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19639
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iShares Core MSCI Emerging Markets
COM
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SOLE
73525
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Unilever PLC ADR
COM
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3282
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Exxon Mobil Corp.
COM
30231G102
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SOLE
41078
0
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Valero Energy Corporation
COM
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36303
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SOLE
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Stanley Black & Decker Inc Com
COM
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SOLE
17474
0
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iShares NASDAQ Biotech
COM
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2446
22423
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SOLE
22423
0
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Darden Restaurants Inc
COM
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SOLE
19989
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Vanguard Total Stock Market ETF
COM
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15227
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Unitedhealth Group Inc
COM
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2253
9234
SH
SOLE
9234
0
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Vanguard Intl Eqty Index
COM
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2187
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SOLE
42896
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Mastercard Inc
COM
57636Q104
2144
8104
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8104
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Bank of America Corp.
COM
060505104
1849
63745
SH
SOLE
63745
0
0
VanEck Vectors AMT-Free Interm Muni ETF
COM
92189H201
1840
36979
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SOLE
36979
0
0
Target Corporation
COM
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1732
19995
SH
SOLE
19995
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Vanguard 500 ETF
COM
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1719
6385
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SOLE
6385
0
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Automatic Data Processing
COM
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1612
9753
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SOLE
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SPDR Nuveen Barclays Cap Sh Term FD
COM
78468R739
1558
31850
SH
SOLE
31850
0
0
Aptiv
COM
G6095L109
1484
18364
SH
SOLE
18364
0
0
Vanguard Short-Term Treasury ETF
COM
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1479
24280
SH
SOLE
24280
0
0
Duke Energy Corporation
COM
26441C204
1469
16651
SH
SOLE
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CVS Corp
COM
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Verizon Communications
COM
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Travelers Companies Inc
COM
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Sector Spdr Fincl Select
COM
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COM
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Chevron Corp
COM
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Vanguard High Dividend Yield ETF
COM
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1282
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SOLE
14666
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Constellation Brand Cl A
COM
21036P108
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6119
SH
SOLE
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Merck & Co Inc
COM
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Nextera Energy Inc Com
COM
65339F101
1153
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SH
SOLE
5627
0
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Conoco-Phillips
COM
20825C104
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18722
SH
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Emerson Electric
COM
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SH
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Thermo Fisher Scientific Inc
COM
883556102
1083
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SH
SOLE
3689
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Amgen, Inc.
COM
031162100
1075
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SH
SOLE
5836
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iShares Barclay Tips
COM
464287176
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SH
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Vanguard Short-Term Bond Index Fund ETF
COM
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SH
SOLE
12070
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ING Group Pfd
PFD
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SH
SOLE
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First Bancorp N C
COM
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SOLE
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Vanguard FTSE Europe ETF
COM
922042874
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SH
SOLE
16572
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Deere & Co
COM
244199105
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5423
SH
SOLE
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Royal Bk Cda Montreal
COM
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Sysco Corp
COM
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Sector Spdr Engy Select
COM
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Renaissancere
COM
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Philip Morris Intl
COM
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iShares Floating Rate Bond ETF
COM
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General Mills Inc
COM
370334104
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Altria Group Inc
COM
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Aegon Nv Cap
COM
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Vanguard Dividend Appreciation ETF
COM
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Wells Fargo & Co New
COM
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Coca Cola Company
COM
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AT&T
COM
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iShares National Muni Bond ETF
COM
464288414
681
6024
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SOLE
6024
0
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Alphabet Inc Class C
COM
02079K107
672
622
SH
SOLE
622
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iShares MSCI EAFE ETF
COM
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636
9682
SH
SOLE
9682
0
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Annaly Capital
COM
035710870
616
24245
SH
SOLE
24245
0
0
Qualcomm Inc
COM
747525103
585
7690
SH
SOLE
7690
0
0
SPDRR S&P 500 ETF
COM
78462F103
570
1947
SH
SOLE
1947
0
0
Gabelli Divid & Incm Pfd
PFD
345395206
566
21497
SH
SOLE
21497
0
0
Nestle S A Reg B Adr
COM
641069406
553
5350
SH
SOLE
5350
0
0
General Electric Co.
COM
369604103
553
52681
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52681
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United Technologies
COM
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537
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Toro Co Com
COM
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BB&T Corporation
COM
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Abbott Laboratories
COM
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Vanguard Tax-Exempt Bond ETF
COM
922907746
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SH
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Assured Gty Muni
COM
04623A304
480
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SH
SOLE
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3M Company
COM
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Allergan Inc
COM
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iShares S&P Midcap
COM
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Baxter International Inc
COM
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International Business Machines
COM
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Enbridge Inc
COM
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Alibaba Group Hldg
COM
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Oracle Corporation
COM
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Bristol-Myers Squibb Co
COM
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Russell Midcap ETF
COM
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0
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iShares CEF Real Estate
COM
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399
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SH
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Broadcom Inc Com
COM
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386
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SH
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Dupont De Nemours Inc
COM
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380
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SOLE
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Total Systems Services
COM
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373
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SH
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Vanguard Short-Term Corporate Bond ETF
COM
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372
4615
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0
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Eversource Energy
COM
30040W108
366
4827
SH
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4827
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iShares COMEX Gold Trust
COM
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352
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26050
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Abbvie Inc
COM
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345
4747
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Mondelez
COM
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Texas Instruments Inc
COM
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Ametek INC
COM
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327
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3604
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Harris Corporation
COM
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324
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Four Corners Property Trust
COM
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324
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Kimberly-Clark Corp
COM
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321
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SH
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Hometrust Bancshares Inc
COM
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317
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Capital One
COM
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315
12215
SH
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12215
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Public Storage
COM
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309
12390
SH
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12390
0
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Dominion Resources Inc VA New
COM
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308
3977
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3977
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Vanguard Total International Stock
COM
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306
5800
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5800
0
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Lilly Eli & Company
COM
532457108
305
2750
SH
SOLE
2750
0
0
iShares S&P 600 Smallcap
COM
464287804
300
3837
SH
SOLE
3837
0
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Honeywell, Inc.
COM
438516106
297
1702
SH
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1702
0
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Blackrock Core Bd TRUST
COM
09249E101
292
20750
SH
SOLE
20750
0
0
Magellan Midstream Partne
COM
559080106
285
4450
SH
SOLE
4450
0
0
Fedex Corporation
COM
31428X106
277
1685
SH
SOLE
1685
0
0
Boston Scientific Corp Co
COM
101137107
262
6098
SH
SOLE
6098
0
0
Public Service Enterprise Group Inc
COM
744573106
261
4437
SH
SOLE
4437
0
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Accenture Ltd Cl A
COM
G1151C101
258
1398
SH
SOLE
1398
0
0
iPathR Bloomberg Cmdty TR ETN
COM
06738C778
257
11547
SH
SOLE
11547
0
0
Fifth Third Bancorp
COM
316773100
257
9199
SH
SOLE
9199
0
0
Sector Spdr Health Fund
COM
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254
2747
SH
SOLE
2747
0
0
Yum Brands Inc Com
COM
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250
2258
SH
SOLE
2258
0
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Dow Inc
COM
260557103
250
5065
SH
SOLE
5065
0
0
Nokia Corp Spon Adr
COM
654902204
248
49600
SH
SOLE
49600
0
0
Preferredplus Tr
COM
73941X593
243
16598
SH
SOLE
16598
0
0
Paypal Holdings Inc
COM
70450Y103
243
2124
SH
SOLE
2124
0
0
Russell 2000 Growth ETF
COM
464287648
237
1182
SH
SOLE
1182
0
0
Allstate Corp
COM
020002879
237
9345
SH
SOLE
9345
0
0
Waste Management, Inc.
COM
94106L109
237
2055
SH
SOLE
2055
0
0
Host Hotels & Resorts
COM
44107P104
232
12710
SH
SOLE
12710
0
0
SPDRR Portfolio Mid Cap ETF
COM
78464A847
229
6715
SH
SOLE
6715
0
0
Eaton Corp PLC
COM
G29183103
227
2722
SH
SOLE
2722
0
0
Becton Dickinson
COM
075887109
224
888
SH
SOLE
888
0
0
The Southern Company
COM
842587107
223
4038
SH
SOLE
4038
0
0
Unilever N V Ny Shs Newf
COM
904784709
222
3650
SH
SOLE
3650
0
0
Vanguard Energy ETF
COM
92204A306
221
2600
SH
SOLE
2600
0
0
Blackrock Global Energy
COM
09250U101
219
18388
SH
SOLE
18388
0
0
Norfolk Southern Corp
COM
655844108
219
1100
SH
SOLE
1100
0
0
Boeing Co
COM
097023105
219
601
SH
SOLE
601
0
0
Goldman Sachs Gp Dep Shs
COM
38143Y665
215
11177
SH
SOLE
11177
0
0
Northrop Grumman Corp
COM
666807102
210
651
SH
SOLE
651
0
0
American National Bankshares Inc
COM
027745108
205
5302
SH
SOLE
5302
0
0
Nuveen NC Premium Income Muni
COM
67060P100
204
15308
SH
SOLE
15308
0
0