0001398344-22-003172.txt : 20220214
0001398344-22-003172.hdr.sgml : 20220214
20220214140027
ACCESSION NUMBER: 0001398344-22-003172
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 2
CONFORMED PERIOD OF REPORT: 20211231
FILED AS OF DATE: 20220214
DATE AS OF CHANGE: 20220214
EFFECTIVENESS DATE: 20220214
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: 22629225
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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false
false
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0001434981
XXXXXXXX
12-31-2021
12-31-2021
false
Altavista Wealth Management, Inc.
4 VANDERBILT PARK DRIVE, SUITE 310
ASHEVILLE
NC
28803
13F HOLDINGS REPORT
028-13966
N
Christine B. Nelson
Chief Compliance Officer
828-684-2600
/s/ Christine B. Nelson
Asheville
NC
02-10-2022
0
189
495503
INFORMATION TABLE
2
fp0072198_13fhr-table.xml
13F INFORMATION TABLE
iShares Core US Aggregate Bond ETF
COM
464287226
57052
500106
SH
SOLE
500106
0
0
Apple Computer Inc
COM
037833100
24706
139135
SH
SOLE
139135
0
0
Microsoft Corp
COM
594918104
18935
56300
SH
SOLE
56300
0
0
Berkshire Hathaway B
COM
084670702
16763
56062
SH
SOLE
56062
0
0
Tractor Supply Company
COM
892356106
14817
62101
SH
SOLE
62101
0
0
SPDRR Blmbg Barclays 1-10 Year TIPS ETF
COM
78468R861
12518
592695
SH
SOLE
592695
0
0
3M Company
COM
88579Y101
12352
69540
SH
SOLE
69540
0
0
Pepsi Co
COM
713448108
11900
68503
SH
SOLE
68503
0
0
Lowes Companies Inc
COM
548661107
11483
44424
SH
SOLE
44424
0
0
Alphabet Inc Class A
COM
02079K305
11213
3871
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3871
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iShares Core MSCI EAFE
COM
46432F842
10442
139901
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Johnson & Johnson
COM
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10104
59066
SH
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59066
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Cisco Systems Inc
COM
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Pfizer Inc
COM
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Vanguard FTSE All-Wld ex-US ETF
COM
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Amazon Com Inc
COM
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2470
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Roper Industries Inc
COM
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16536
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Home Depot Inc
COM
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McDonalds Corp
COM
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COM
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Stryker
COM
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COM
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Meta Platforms Inc Class A
COM
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21789
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Broadcom Inc Com
COM
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Union Pacific Corp
COM
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COM
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Accenture Ltd Cl A
COM
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12247
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Mastercard Inc
COM
57636Q104
4874
13566
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13566
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iShares Core S&P Mid-Cap ETF
COM
464287507
4720
16672
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16672
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Ecolab Inc
COM
278865100
4573
19494
SH
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19494
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Vanguard 500 ETF
COM
922908363
4471
10241
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10241
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Procter & Gamble
COM
742718109
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26345
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SPDRR Gold Shares
COM
78463V107
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25135
0
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Stanley Black & Decker Inc Com
COM
854502101
3701
19619
SH
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19619
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Intel Corp
COM
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3481
67588
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67588
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Valero Energy Corporation
COM
91913Y100
3449
45922
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45922
0
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iShares NASDAQ Biotech
COM
464287556
3427
22454
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SOLE
22454
0
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Vanguard Total Stock Market ETF
COM
922908769
3354
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13891
0
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Lincoln National Corp
COM
534187109
2765
40508
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SOLE
40508
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Anheuser-Busch InBev SA/NV ADR
COM
03524A108
2593
42831
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SOLE
42831
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Thermo Fisher Scientific Inc
COM
883556102
2561
3838
SH
SOLE
3838
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iShares Core S&P Small-Cap ETF
COM
464287804
2514
21950
SH
SOLE
21950
0
0
SPDRR Gold MiniShares
COM
98149E204
2490
136978
SH
SOLE
136978
0
0
Vanguard Short-Term Treasury ETF
COM
92206C102
2418
39744
SH
SOLE
39744
0
0
Unitedhealth Group Inc
COM
91324P102
2210
4401
SH
SOLE
4401
0
0
Nextera Energy Inc Com
COM
65339F101
2191
23472
SH
SOLE
23472
0
0
Unilever PLC ADR
COM
904767704
2186
40639
SH
SOLE
40639
0
0
iShares Core MSCI Emerging Markets
COM
46434G103
2102
35117
SH
SOLE
35117
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Automatic Data Processing
COM
053015103
2089
8470
SH
SOLE
8470
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iShares Russell 2500 ETF
COM
46435G268
2058
31003
SH
SOLE
31003
0
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Duke Energy Corporation
COM
26441C204
2045
19497
SH
SOLE
19497
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Target Corporation
COM
87612E106
1976
8539
SH
SOLE
8539
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Constellation Brand Cl A
COM
21036P108
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7554
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Markel Holdings
COM
570535104
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Real Estate Select Sector SPDR
COM
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Alphabet Inc Class C
COM
02079K107
1762
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SH
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609
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VanEck Vectors AMT-Free Interm Muni ETF
COM
92189H201
1731
33768
SH
SOLE
33768
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Darden Restaurants Inc
COM
237194105
1599
10617
SH
SOLE
10617
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Conoco-Phillips
COM
20825C104
1590
22030
SH
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22030
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Vanguard Dividend Appreciation ETF
COM
921908844
1585
9230
SH
SOLE
9230
0
0
Verizon Communications
COM
92343V104
1525
29357
SH
SOLE
29357
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iPathR Bloomberg Cmdty TR ETN
COM
06738C778
1511
52657
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52657
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Bank of America Corp.
COM
060505104
1453
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32649
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SPDR Nuveen Barclays Cap Sh Term FD
COM
78468R739
1421
28900
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28900
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0
Allison Transmission
COM
01973R101
1418
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SH
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38998
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Nvidia Corp
COM
67066G104
1376
4680
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4680
0
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iShares Global REIT ETF
COM
46434V647
1354
44242
SH
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44242
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3M Co Put Opt 01/22 200.0 01/21/2022
COM
MMM220121
1331
600
SH
SOLE
600
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0
Truist Finl Corp Com
COM
89832Q109
1328
22684
SH
SOLE
22684
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Amgen, Inc.
COM
031162100
1261
5604
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5604
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Aptiv
COM
G6095L109
1232
7471
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SOLE
7471
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Vanguard Intmdt-Term Trs ETF
COM
92206C706
1186
17850
SH
SOLE
17850
0
0
First Bancorp N C
COM
318910106
1159
25340
SH
SOLE
25340
0
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Exxon Mobil Corp.
COM
30231G102
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18414
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Philip Morris Intl
COM
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COM
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Corning Inc
COM
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29037
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Royal Bk Cda Montreal
COM
780087102
1070
10078
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10078
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Vanguard FTSE Emerging Markets ETF
COM
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1052
21272
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21272
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Vanguard Total Bond Market ETF
COM
921937835
1043
12307
SH
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12307
0
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iShares Barclay Tips
COM
464287176
1039
8044
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SOLE
8044
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Emerson Electric
COM
291011104
1023
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10999
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Merck & Co Inc
COM
58933Y105
1011
13192
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13192
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Qualcomm Inc
COM
747525103
982
5368
SH
SOLE
5368
0
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Deere & Co
COM
244199105
967
2819
SH
SOLE
2819
0
0
Vanguard FTSE Europe ETF
COM
922042874
962
14103
SH
SOLE
14103
0
0
T J X Cos Inc
COM
872540109
960
12645
SH
SOLE
12645
0
0
SPDRR S&P 500 ETF
COM
78462F103
948
1995
SH
SOLE
1995
0
0
Visa Inc Cl A
COM
92826C839
933
4303
SH
SOLE
4303
0
0
Oracle Corporation
COM
68389X105
914
10480
SH
SOLE
10480
0
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Altria Group Inc
COM
02209S103
910
19204
SH
SOLE
19204
0
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Vanguard FTSE Developed Markets ETF
COM
921943858
885
17331
SH
SOLE
17331
0
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Abbott Laboratories
COM
002824100
873
6206
SH
SOLE
6206
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Vanguard Tax-Exempt Bond ETF
COM
922907746
861
15684
SH
SOLE
15684
0
0
Vanguard Short-Term Bond Index Fund ETF
COM
921937827
829
10255
SH
SOLE
10255
0
0
SCE Trust IV
COM
78409G206
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32988
SH
SOLE
32988
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Yum Brands Inc Com
COM
988498101
822
5922
SH
SOLE
5922
0
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Annaly Capital
PFD
035710870
821
32090
SH
SOLE
32090
0
0
Toro Co Com
COM
891092108
799
8000
SH
SOLE
8000
0
0
Coca Cola Company
COM
191216100
791
13355
SH
SOLE
13355
0
0
CVS Corp
COM
126650100
783
7593
SH
SOLE
7593
0
0
iShares National Muni Bond ETF
COM
464288414
780
6706
SH
SOLE
6706
0
0
Lilly Eli & Company
COM
532457108
755
2734
SH
SOLE
2734
0
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General Mills Inc
COM
370334104
752
11161
SH
SOLE
11161
0
0
iShares CEF Real Estate
COM
464287739
718
6180
SH
SOLE
6180
0
0
Vanguard Mid-Cap Value ETF
COM
922908512
698
4640
SH
SOLE
4640
0
0
JPMorgan Equity Premium Income ETF
COM
46641Q332
692
10950
SH
SOLE
10950
0
0
NBT Bancorp Inc
COM
628778102
689
17897
SH
SOLE
17897
0
0
Abbvie Inc
COM
00287Y109
688
5080
SH
SOLE
5080
0
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Russell Midcap ETF
COM
464287499
677
8157
SH
SOLE
8157
0
0
Vanguard MSCI US Small Cap Growth
COM
922908595
672
2383
SH
SOLE
2383
0
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Sysco Corp
COM
871829107
657
8363
SH
SOLE
8363
0
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Eaton Corp PLC
COM
G29183103
622
3598
SH
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3598
0
0
Nestle S A Reg B Adr
COM
641069406
620
4419
SH
SOLE
4419
0
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Alerian MLP ETF
COM
00162Q452
605
18464
SH
SOLE
18464
0
0
Capital One Financial Corp
COM
14040H105
595
4100
SH
SOLE
4100
0
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Bristol-Myers Squibb Co
COM
110122108
558
8947
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8947
0
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Nuveen Pfd & Conv Income Fund 2
COM
67073D102
532
81950
SH
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81950
0
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Texas Instruments Inc
COM
882508104
518
2748
SH
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2748
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Honeywell, Inc.
COM
438516106
512
2457
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2457
0
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Tesla Motors Inc
COM
88160R101
497
470
SH
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470
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COM
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496
2850
SH
SOLE
2850
0
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COM
46428Q109
492
22880
SH
SOLE
22880
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Trane Inc
COM
G8994E103
485
2400
SH
SOLE
2400
0
0
Sector Spdr Health Fund
COM
81369Y209
482
3418
SH
SOLE
3418
0
0
Enbridge Inc
COM
29250N105
481
12300
SH
SOLE
12300
0
0
CF Industries Holdings Inc
COM
125269100
467
6591
SH
SOLE
6591
0
0
Mondelez
COM
609207105
455
6854
SH
SOLE
6854
0
0
Invesco CurrencySharesR Swiss Franc
COM
46138R108
454
4600
SH
SOLE
4600
0
0
Sector Spdr Engy Select
COM
81369Y506
450
8109
SH
SOLE
8109
0
0
AT&T
COM
00206R102
444
18053
SH
SOLE
18053
0
0
Raytheon Technologies Ord
COM
75513E101
432
5023
SH
SOLE
5023
0
0
Global Payments Inc
COM
37940X102
424
3136
SH
SOLE
3136
0
0
Northrop Grumman Corp
COM
666807102
418
1079
SH
SOLE
1079
0
0
Fedex Corporation
COM
31428X106
414
1602
SH
SOLE
1602
0
0
iShares Floating Rate Bond ETF
COM
46429B655
413
8134
SH
SOLE
8134
0
0
Baxter International Inc
COM
071813109
412
4804
SH
SOLE
4804
0
0
International Business Machines
COM
459200101
411
3073
SH
SOLE
3073
0
0
Eversource Energy
COM
30040W108
392
4307
SH
SOLE
4307
0
0
Hometrust Bancshares Inc
COM
437872104
390
12600
SH
SOLE
12600
0
0
Paychex Inc
COM
704326107
388
2842
SH
SOLE
2842
0
0
Vanguard Short-Term Corporate Bond ETF
COM
92206C409
385
4740
SH
SOLE
4740
0
0
Prosperity Bancshares Inc
COM
743606105
383
5292
SH
SOLE
5292
0
0
Vanguard IT ETF
COM
92204A702
380
830
SH
SOLE
830
0
0
Fifth Third Bancorp
COM
316773100
375
8602
SH
SOLE
8602
0
0
Goldman Sachs Gp Dep Shs
PFD
38143Y665
369
14547
SH
SOLE
14547
0
0
Russell 2000 Growth ETF
COM
464287648
352
1202
SH
SOLE
1202
0
0
The Southern Company
COM
842587107
351
5118
SH
SOLE
5118
0
0
Dupont De Nemours Inc
COM
26614N102
344
4259
SH
SOLE
4259
0
0
Four Corners Property Trust
COM
35086T109
334
11357
SH
SOLE
11357
0
0
SPDRR Portfolio Mid Cap ETF
COM
78464A847
334
6715
SH
SOLE
6715
0
0
S & P Global Inc
COM
78409V104
333
705
SH
SOLE
705
0
0
Dominion Resources Inc VA New
COM
25746U109
312
3977
SH
SOLE
3977
0
0
Nuveen AMT-Free Municipal
COM
670657105
312
20007
SH
SOLE
20007
0
0
L3Harris Technologies Ord
COM
502431109
308
1444
SH
SOLE
1444
0
0
Marathon Oil Corp
COM
565849106
304
18516
SH
SOLE
18516
0
0
Yum China Holdings I
COM
98850P109
298
5974
SH
SOLE
5974
0
0
Waste Management, Inc.
COM
94106L109
294
1764
SH
SOLE
1764
0
0
Schwab US Aggregate Bond ETFT
COM
808524839
294
5450
SH
SOLE
5450
0
0
Sector Spdr Util Select
COM
81369Y886
290
4058
SH
SOLE
4058
0
0
iShares COMEX Gold Trust
COM
464285204
289
8297
SH
SOLE
8297
0
0
General Electric Co.
COM
369604301
276
2924
SH
SOLE
2924
0
0
Waters Corp
COM
941848103
273
734
SH
SOLE
734
0
0
Blackrock Core Bd TRUST
COM
09249E101
268
16250
SH
SOLE
16250
0
0
Vanguard High Dividend Yield ETF
COM
921946406
267
2385
SH
SOLE
2385
0
0
Dow Inc
COM
260557103
265
4679
SH
SOLE
4679
0
0
Ingles Markets Inc
COM
457030104
263
3050
SH
SOLE
3050
0
0
Magellan Midstream Partne
COM
559080106
261
5620
SH
SOLE
5620
0
0
Watts Water Tech Inc
COM
942749102
260
1341
SH
SOLE
1341
0
0
iShares MSCI EAFE ETF
COM
464287465
256
3250
SH
SOLE
3250
0
0
Boston Scientific Corp Co
COM
101137107
255
6000
SH
SOLE
6000
0
0
iShares Dow Jones US Finl
COM
464287788
252
2910
SH
SOLE
2910
0
0
Paypal Holdings Inc
COM
70450Y103
251
1330
SH
SOLE
1330
0
0
Plains All Amer Pipeline
COM
726503105
251
26845
SH
SOLE
26845
0
0
Amern Tower Corp Class A
COM
03027X100
250
855
SH
SOLE
855
0
0
SPDRR S&P Emerging Markets ETF
COM
78463X509
248
5981
SH
SOLE
5981
0
0
Nike Inc Class B
COM
654106103
245
1468
SH
SOLE
1468
0
0
Russell 2000 ETF
COM
464287655
243
1094
SH
SOLE
1094
0
0
Public Service Enterprise Group Inc
COM
744573106
243
3635
SH
SOLE
3635
0
0
Kimberly-Clark Corp
COM
494368103
242
1695
SH
SOLE
1695
0
0
Russell 2000 Value ETF
COM
464287630
234
1409
SH
SOLE
1409
0
0
Wells Fargo & Co
COM
949746101
222
4618
SH
SOLE
4618
0
0
Lockheed Martin Corp
COM
539830109
210
590
SH
SOLE
590
0
0
Semiconductor Holders Tr
COM
92189F676
208
675
SH
SOLE
675
0
0
Goldman Sachs Access Ultra Short Bd ETF
COM
381430230
204
4050
SH
SOLE
4050
0
0
iShares iBoxx $ Invmt Grade Corp Bd ETF
COM
464287242
204
1540
SH
SOLE
1540
0
0
Matson Inc
COM
57686G105
202
2247
SH
SOLE
2247
0
0
Corteva Inc com
COM
22052L104
201
4259
SH
SOLE
4259
0
0