0001095449-16-000262.txt : 20160712
0001095449-16-000262.hdr.sgml : 20160712
20160711183959
ACCESSION NUMBER: 0001095449-16-000262
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 2
CONFORMED PERIOD OF REPORT: 20160630
FILED AS OF DATE: 20160712
DATE AS OF CHANGE: 20160711
EFFECTIVENESS DATE: 20160712
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: Stuart Chaussee & Associates, Inc.
CENTRAL INDEX KEY: 0001653253
IRS NUMBER: 454451253
STATE OF INCORPORATION: CA
FISCAL YEAR END: 1231
FILING VALUES:
FORM TYPE: 13F-HR
SEC ACT: 1934 Act
SEC FILE NUMBER: 028-17154
FILM NUMBER: 161762923
BUSINESS ADDRESS:
STREET 1: 26107 BASSWOOD AVENUE
CITY: RANCHO PALOS VERDES
STATE: CA
ZIP: 90275
BUSINESS PHONE: (310) 373-3732
MAIL ADDRESS:
STREET 1: 468 NORTH CAMDEN DRIVE
CITY: BEVERLY HILLS
STATE: CA
ZIP: 90210
13F-HR
1
primary_doc.xml
13F-HR
LIVE
false
false
false
0001653253
XXXXXXXX
06-30-2016
06-30-2016
Stuart Chaussee & Associates, Inc.
468 NORTH CAMDEN DRIVE
BEVERLY HILLS
CA
90210
13F HOLDINGS REPORT
028-17154
N
Stuart D. Chaussee
President
(310) 373-3732
Stuart D. Chaussee
Beverly Hills
CA
07-05-2016
0
75
121837
false
INFORMATION TABLE
2
table2016-06.xml
13F HOLDINGS REPORT FOR JUNE 30, 3016
AMERICAN AIRLINES GROUP INC COMCom02376r1026 216SHSOLE00216
AMEREN CORP CMCom2360810215 274SHSOLE00274
AMERICAN EXPRESS CO CMCom258161096 100SHSOLE00100
BANK OF AMERICA CORP COMCom605051041 76SHSOLE0076
BP PLC SPONS ADRSP ADR5562210411 312SHSOLE00312
BERKSHIRE HATHAWAY INC DEL CL BCL B8467070269 480SHSOLE00480
BRITISH AMERICAN TOBACCO PLC SP ADRSP ADRg1510j102125 965SHSOLE00965
ANHEUSER BUSCH INBEV ADRSP ADR03524a108122 925SHSOLE00925
CONAGRA FOODS INC COMCom205887102130 2690SHSOLE002690
COLGATE PALMOLIVE CO COMCom194162103185 2538SHSOLE002538
CONOCOPHILLIPS CORP COMCom20825c10416 375SHSOLE00375
COSTCO WHOLESALE CORPORATION COMCom22160k1059 60SHSOLE0060
CHEVRON CORP COMCom166764100324 3114SHSOLE003114
WALT DISNEY CO COMCom25468710688 898SHSOLE00898
DR PEPPER SNAPPLE GROUP INC COMCom26138e109140 1465SHSOLE001465
DUKE ENERGY HOLDINGS CORP COMCom26441c20443 500SHSOLE00500
CONSOLIDATED EDISON CO N Y INC COMCom209115104141 1750SHSOLE001750
EVERSOURCE ENERGY COMCom30040w1087 115SHSOLE00115
FEDEX CORPORATION COMCom31428x10613 87SHSOLE0087
GENERAL ELECTRIC CO COMCom36960410362 1960SHSOLE001960
GENERAL MILLS INC COMCom370334104171 2383SHSOLE002383
ALPHABET INC CL ACL A02079k30588 124SHSOLE00124
GRIFOLS SA ADRCom3984384085 280SHSOLE00280
ISHARES CORE HIGH DIVIDEND ETFCom46429b6635652 68738SHSOLE0068738
INTEL CORP COMCom45814010093 2835SHSOLE002835
JOHNSON & JOHNSON COMCom47816010436 295SHSOLE00295
JP MORGAN CHASE & CO COMCom46625h10057 935SHSOLE00935
KRAFT HEINZ CO COMCom500754106341 3859SHSOLE003859
KIMBERLY CLARK CORP COMCom49436810357 415SHSOLE00415
KINDER MORGAN INC COMCom49456b1011 42SHSOLE0042
COCA COLA CO COMCom191216100673 14925SHSOLE0014925
ELI LILLY & CO COMCom53245710879 1000SHSOLE001000
MATTEL INC COMCom5770811021 33SHSOLE0033
MCKESSON CORP COMCom58155q10363 335SHSOLE00335
MONDELEZ INTL INC COMCom609207105291 6458SHSOLE006458
ALTRIA GROUP INC COMCom02209s1031119 16217SHSOLE0016217
MICROSOFT CORP COMCom594918104110 2159SHSOLE002159
NEWMONT MINING CORP COMCom65163910627 678SHSOLE00678
ORACLE CORP COMCom68389x10525 620SHSOLE00620
PACIFIC GAS & ELEC CO COMCom69331c10827 427SHSOLE00427
PACIRA PHARMACEUTICALS COMCom6951271004 125SHSOLE00125
PUBLIC SVC ENTERPRISE GROUP COMCom744573106191 4101SHSOLE004101
PFIZER INC COMCom717081103193 5430SHSOLE005430
PROCTER GAMBLE CO COMCom7477181091110 13088SHSOLE0013088
PHILIP MORRIS INTL COMCom7181721091125 11110SHSOLE0011110
PNC FINL CORP COMCom69347510539 481SHSOLE00481
PRUDENTIAL FINANCIAL INC COMCom74432010212 172SHSOLE00172
PHILLIPS 66 COMCom71854610413 168SHSOLE00168
ROYAL DUTCH SHELL PLC ADR CLASS BCL B78025910719 344SHSOLE00344
RESOURCES CONNECTION INC COMCom76122q1057 500SHSOLE00500
STARBUCKS CORP COMCom855244109515 9040SHSOLE009040
SELECTIVE INS GROUP INC COMCom81630010717 444SHSOLE00444
SMUCKER J M CO COMCom83269640518 120SHSOLE00120
SOUTHERN CO COMCom842587107231 4284SHSOLE004284
STRYKER CORP COMCom836671018 65SHSOLE0065
SYSCO CORP COMCom87182910742 820SHSOLE00820
AT&T INC COMCom00206r102593 13647SHSOLE0013647
TJX COMPANIES INC CMCom87254010977 1000SHSOLE001000
TEXTRON INC COMCom88320310111 299SHSOLE00299
UNITED PARCEL SERVICE CL BCL B911312106132 1220SHSOLE001220
ISHARES EDGE MSCI MIN VOL USA ETFCom46429b69725247 545420SHSOLE00545420
VISA INC CLASS ACL A92826c8399 124SHSOLE00124
V F CORP COMCom9182041089 150SHSOLE00150
VIRCO MFG CO COMCom92765110914 3085SHSOLE003085
VODAFONE GROUP PLC ADRSP ADR92857w308132 4289SHSOLE004289
VANGUARD CRSP US LARGE CAP VALUE IND ETCom92290874410628 125005SHSOLE00125005
VANGUARD HIGH DIVIDEND YIELD ETFCom92194640668836 962882SHSOLE00962882
VERIZON COMMUNICATIONS COMCom92343v104668 11874SHSOLE0011874
WALGREENS BOOTS ALLIANCE INC COMCom93142710815 181SHSOLE00181
WELLS FARGO & CO COMCom94974610183 1764SHSOLE001764
WHOLE FOODS MKT INC COMCom9668371063 100SHSOLE00100
WASTE MANAGEMENT INC COMCom94106l10955 830SHSOLE00830
WAL-MART STORES COMCom9311421037 92SHSOLE0092
SELECT SECTOR SPDR TRUST ENERGY SELECT INDEXCom81369y506930 13560SHSOLE0013560
EXXON MOBIL CORPORATION COMCom30231g102410 4370SHSOLE004370