0001095449-24-000025.txt : 20240501
0001095449-24-000025.hdr.sgml : 20240501
20240430204305
ACCESSION NUMBER: 0001095449-24-000025
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 2
CONFORMED PERIOD OF REPORT: 20240331
FILED AS OF DATE: 20240501
DATE AS OF CHANGE: 20240430
EFFECTIVENESS DATE: 20240501
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: Wilson & Boucher Capital Management, LLC
CENTRAL INDEX KEY: 0001903579
ORGANIZATION NAME:
IRS NUMBER: 202517531
STATE OF INCORPORATION: CA
FISCAL YEAR END: 1231
FILING VALUES:
FORM TYPE: 13F-HR
SEC ACT: 1934 Act
SEC FILE NUMBER: 028-21891
FILM NUMBER: 24899575
BUSINESS ADDRESS:
STREET 1: 1480 MORAGA ROAD #C351
CITY: MORAGA
STATE: CA
ZIP: 94556
BUSINESS PHONE: (800) 381-8610
MAIL ADDRESS:
STREET 1: 1480 MORAGA ROAD #C351
CITY: MORAGA
STATE: CA
ZIP: 94556
13F-HR
1
primary_doc.xml
X0202
13F-HR
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false
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0001903579
XXXXXXXX
03-31-2024
03-31-2024
Wilson & Boucher Capital Management, LLC
1480 MORAGA ROAD #C351
MORAGA
CA
94556
13F HOLDINGS REPORT
028-21891
000134076
801-100476
N
James B. Boucher
Managing Member
(800) 381-8610Orinda
James B. Boucher
Orinda
CA
04-02-2024
0
110
126926664
false
INFORMATION TABLE
2
table.2024-03.xml
13F HOLDINGS LIST FOR MARCH 31, 2024
Abbott LaboratoriesCommon002824100134570411840SHSOLE1184000
AbbVie Inc ComCommon00287Y10911177356138SHSOLE613800
Amazon Com IncCommon02313510611391006315SHSOLE631500
AmgenCommon0311621009049913183SHSOLE318300
AppleCommon037833100633912136967SHSOLE3696700
Applied MaterialsCommon03822210515599197564SHSOLE756400
Automatic Data ProcessingCommon0530151035334452136SHSOLE213600
Bank of New York CoCommon0640581002702384690SHSOLE469000
Berkshire Hathaway Inc Del ClClass B0846707024949521177SHSOLE117700
CaterpillarCommon14912310123038426287SHSOLE628700
Chevron CorpCommon1667641005724243629SHSOLE362900
Cisco SystemsCommon17275R10279920916013SHSOLE1601300
Costco WholesaleCommon22160K1057949041085SHSOLE108500
Cummins IncCommon2310211068273382808SHSOLE280800
CVS Caremark CorpCommon1266501007060348852SHSOLE885200
Cyber Security ETFCommon26924G2014452446945SHSOLE694500
Duke EnergyCommon26441C1056535666758SHSOLE675800
Eastman ChemicalCommon2774321004612964603SHSOLE460300
Eli Lilly & CompanyCommon532457108293646377SHSOLE37700
Emerson ElectricCommon2910111045471384824SHSOLE482400
Exxon MobilCommon30231G1025771324965SHSOLE496500
Facebook Inc Class ACommon30303M102320507660SHSOLE66000
General MillsCommon37033410489119812737SHSOLE1273700
Genuine PartsCommon3724601052014091300SHSOLE130000
Goldman Sachs GroupCommon38141G1044268291022SHSOLE102200
Google Inc Class CClass C02079K1077670865038SHSOLE503800
Home DepotCommon4370761025965091555SHSOLE155500
Honeywell InternationalCommon43851610611881925789SHSOLE578900
Illinois Tool WorksCommon45230810916099806000SHSOLE600000
IntelCommon4581401004399179960SHSOLE996000
International Business MachineCommon4592001014873752552SHSOLE255200
Invesco Preferred ETFCommon46138E51129937625200SHSOLE2520000
Invesco QQQ TrustCommon46090E1037198131621SHSOLE162100
iShares Broad High YieldCommon46435U8533073568400SHSOLE840000
iShares Dj US Home ConstCommon4642887527124496154SHSOLE615400
iShares Emerging Markets ETFCommon4642872342473026020SHSOLE602000
iShares Exponential TechnologyCommon46434V3815736039621SHSOLE962100
iShares Fallen AngelsCommon46435G47487295032500SHSOLE3250000
iShares Russell Micro-Cap ETFCommon4642888692090531725SHSOLE172500
iShares S&P US Preferred StockCommon46428868734163810600SHSOLE1060000
iShars Kld 400 Social IdxCommon4642885702822682800SHSOLE280000
Johnson & JohnsonCommon478160104183190211580SHSOLE1158000
JPMorgan & CoCommon46625H1004688122341SHSOLE234100
Lowe'sCommon54866110712686484980SHSOLE498000
Mckesson Hboc IncCommon58155Q103426080794SHSOLE79400
MedtronicCommonG5960L1032537812912SHSOLE291200
MicrosoftCommon59491810436575128693SHSOLE869300
Morningstar Wide MoatCommon57060U1342247502500SHSOLE250000
Nextera EnergyCommon65339F101120637918876SHSOLE1887600
Novo Nordisk A/S ADR Fmly NovoCommon670100205695298854151SHSOLE5415100
Nucor CorpCommon6703461052770601400SHSOLE140000
OracleCommon68389X105203990616240SHSOLE1624000
PepsicoCommon713448108223708712783SHSOLE1278300
Procter & GambleCommon742718109196946612138SHSOLE1213800
QualcommCommon7475251038938585280SHSOLE528000
Robo Global RoboticsCommon3015057072477544225SHSOLE422500
S & P Depository ReceiptsCommon78462F1039775001869SHSOLE186900
Salesforce ComCommon79466L3023990641325SHSOLE132500
Santa Cruz Cnty BankCommon80182710640328014408SHSOLE1440800
Schwab Charles Corp NewCommon808513105158461421905SHSOLE2190500
Schwab Emg Mkt Eq ETFCommon80852470648943619384SHSOLE1938400
Schwab International Equity ETCommon808524805121389831110SHSOLE3111000
Schwab Int'l Small CapCommon8085248882774507750SHSOLE775000
Schwab US Broad Market ETFCommon808524102542147688804SHSOLE8880400
Schwab US Mid-Cap ETFCommon8085245087597429330SHSOLE933000
Schwab US Small Cap ETFCommon808524607108946922126SHSOLE2212600
Sensory ScienceCommon92204A1084699231479SHSOLE147900
SPDR Energy Sector ETFCommon81369Y506115653812250SHSOLE1225000
SPDR Financial Select Sector ECommon81369Y6052737806500SHSOLE650000
SPDR Health Care Select Sctr ECommon81369Y209184958012520SHSOLE1252000
SPDR High Yield BondCommon78468R6223950804150SHSOLE415000
SPDR MaterialsCommon81369Y100154364616618SHSOLE1661800
SPDR S&P Hi Yld Div AristocratCommon78464A7632756042100SHSOLE210000
SPDR Technology Sector ETFCommon81369Y8039516044569SHSOLE456900
SPDR Total Stock MrkCommon78464A8053079204800SHSOLE480000
SPDR Utilities Select ETFCommon81369Y886206259331418SHSOLE3141800
SPDR(r) Portfolio S&P 500 ETFCommon78464A8543630275900SHSOLE590000
StarbucksCommon8552441097835788574SHSOLE857400
StrykerCommon86366710130637258561SHSOLE856100
Sysco CorporationCommon8718291077622809390SHSOLE939000
Toyota MotorCommon892331307201847802SHSOLE80200
Travelers Co.Common89417E1097797143388SHSOLE338800
Union Pacific CorpCommon9078181088210363338SHSOLE333800
United Parcel ServiceCommon9113121067455285016SHSOLE501600
United Rentals IncCommon911363109390356541SHSOLE54100
Unitedhealth Group Inc ComCommon91324P10213253912679SHSOLE267900
Vaneck Vectors FallenCommon92189F437104762236100SHSOLE3610000
Vanguard Consumer Staples ETFCommon92204A2075967012923SHSOLE292300
Vanguard Dividend AppreciationCommon921908844239035613090SHSOLE1309000
Vanguard Emerging Markets ETFCommon922042858118235828306SHSOLE2830600
Vanguard Energy ETFCommon92204A3062173051650SHSOLE165000
Vanguard Financials ETFCommon92204A4052175792125SHSOLE212500
Vanguard FTSE All-World Ex-USCommon922042775325141455438SHSOLE5543800
Vanguard FTSE Developed Mkt ETCommon92194385854183610800SHSOLE1080000
Vanguard Health Care ETFCommon92204A5042705201000SHSOLE100000
Vanguard Index Growth ETFCommon92290873626836567797SHSOLE779700
Vanguard Index Mid-Cap GrowthCommon9229085382829481200SHSOLE120000
Vanguard Index Small Cap ETFCommon922908751447176819562SHSOLE1956200
Vanguard Information TechnologCommon92204A7027209681375SHSOLE137500
Vanguard Mid Cap Index ETFCommon922908629362693714516SHSOLE1451600
Vanguard REIT ETFCommon9229085534151044800SHSOLE480000
Vanguard Small Cap ValueCommon9229086113686011921SHSOLE192100
Vanguard Total Stock Mkt ETFCommon922908769920144835404SHSOLE3540400
Vanguard Total WorldCommon9220427427657656930SHSOLE693000
Vanguard Value ETFCommon922908744250587315387SHSOLE1538700
VerizonCommon92343V10447339311282SHSOLE1128200
Wal Mart StoresCommon931142103123760720569SHSOLE2056900
Wells Fargo & CoCommon94974610175185712972SHSOLE1297200
Western Asset High IncmCommon95766K10915795040500SHSOLE4050000
Wisdomtr Small Cap Earnings ETCommon97717W5622706485400SHSOLE540000