0000897599-20-000009.txt : 20201113 0000897599-20-000009.hdr.sgml : 20201113 20201113091030 ACCESSION NUMBER: 0000897599-20-000009 CONFORMED SUBMISSION TYPE: 13F-HR PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20200930 FILED AS OF DATE: 20201113 DATE AS OF CHANGE: 20201113 EFFECTIVENESS DATE: 20201113 FILER: COMPANY DATA: COMPANY CONFORMED NAME: LOCKHEED MARTIN INVESTMENT MANAGEMENT CO CENTRAL INDEX KEY: 0000897599 STANDARD INDUSTRIAL CLASSIFICATION: ELECTRONIC COMPONENTS & ACCESSORIES [3670] IRS NUMBER: 522060316 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 13F-HR SEC ACT: 1934 Act SEC FILE NUMBER: 028-02847 FILM NUMBER: 201309380 BUSINESS ADDRESS: STREET 1: 6901 ROCKLEDGE DR, 9TH FLOOR CITY: BETHESDA STATE: MD ZIP: 20817 BUSINESS PHONE: 3015717120 MAIL ADDRESS: STREET 1: 6901 ROCKLEDGE DR, 9TH FLOOR CITY: BETHESDA STATE: MD ZIP: 20817 FORMER COMPANY: FORMER CONFORMED NAME: LOCKHEED MARTIN CORP/MD DATE OF NAME CHANGE: 19970131 FORMER COMPANY: FORMER CONFORMED NAME: MARTIN MARIETTA CORP /MD/ DATE OF NAME CHANGE: 19930909 FORMER COMPANY: FORMER CONFORMED NAME: PARENT CORP DATE OF NAME CHANGE: 19930219 13F-HR 1 primary_doc.xml 13F-HR LIVE false false false 0000897599 XXXXXXXX 09-30-2020 09-30-2020 LOCKHEED MARTIN INVESTMENT MANAGEMENT CO
6901 ROCKLEDGE DR, 9TH FLOOR BETHESDA MD 20817
13F HOLDINGS REPORT 028-02847 N
Robert C. Varnell Vice President & General Counsel 301-571-7122 Robert C. Varnell Bethesda MD 09-30-2020 0 68 1613574 false
INFORMATION TABLE 2 inftable.xml 3M Co Common Equities 88579Y101 8326 51980 SH SOLE 51980 0 0 AbbVie Inc Common Equities 00287Y109 8370 95570 SH SOLE 95570 0 0 Adobe Systems Inc Common Equities 00724F101 3363 6859 SH SOLE 6859 0 0 Allstate Corp/The Common Equities 020002101 6957 73907 SH SOLE 73907 0 0 Alphabet Inc Common Equities 02079K305 17200 11736 SH SOLE 11736 0 0 Amazon.com Inc Common Equities 023135106 25731 8172 SH SOLE 8172 0 0 American Tower Corp Common Equities 03027X100 8844 36590 SH SOLE 36590 0 0 Apple Inc Common Equities 037833100 38606 333364 SH SOLE 333364 0 0 Bank of America Corp Common Equities 060505104 6622 274900 SH SOLE 274900 0 0 Boston Scientific Corp Common Equities 101137107 15660 409862 SH SOLE 409862 0 0 Broadcom Inc Common Equities 11135F101 6040 16580 SH SOLE 16580 0 0 CME Group Inc Common Equities 12572Q105 12002 71738 SH SOLE 71738 0 0 CSX Corp Common Equities 126408103 10960 141110 SH SOLE 141110 0 0 Caterpillar Inc Common Equities 149123101 11194 75056 SH SOLE 75056 0 0 Chevron Corp Common Equities 166764100 6103 84775 SH SOLE 84775 0 0 Chubb Ltd Common Equities H1467J104 7740 66658 SH SOLE 66658 0 0 Cisco Systems Inc Common Equities 17275R102 2944 74746 SH SOLE 74746 0 0 Comcast Corp Common Equities 20030N101 9080 196297 SH SOLE 196297 0 0 Crown Castle International Corp Common Equities 22822V101 9600 57660 SH SOLE 57660 0 0 Dominion Energy Inc Common Equities 25746U109 6842 86690 SH SOLE 86690 0 0 Duke Energy Corp Common Equities 26441C204 7276 82170 SH SOLE 82170 0 0 Edwards Lifesciences Corp Common Equities 28176E108 13343 167166 SH SOLE 167166 0 0 Exxon Mobil Corp Common Equities 30231G102 7598 221333 SH SOLE 221333 0 0 Facebook Inc Common Equities 30303M102 11634 44425 SH SOLE 44425 0 0 Ferrari NV Common Equities N3167Y103 2660 14480 SH SOLE 14480 0 0 Fifth Third Bancorp Common Equities 316773100 5419 254220 SH SOLE 254220 0 0 Home Depot Inc/The Common Equities 437076102 7003 25219 SH SOLE 25219 0 0 Honeywell International Inc Common Equities 438516106 13815 83930 SH SOLE 83930 0 0 Invesco DB Commodity Index Tracking Fund Exchange Traded Fund 46138B103 3330 255000 SH SOLE 255000 0 0 JPMorgan Chase & Co Common Equities 46625H100 9144 94992 SH SOLE 94992 0 0 Las Vegas Sands Corp Common Equities 517834107 4055 86920 SH SOLE 86920 0 0 Linde PLC Common Equities G5494J103 16114 67670 SH SOLE 67670 0 0 Marriott International Inc/MD Common Equities 571903202 3996 43170 SH SOLE 43170 0 0 Mastercard Inc Common Equities 57636Q104 14795 43752 SH SOLE 43752 0 0 Microsoft Corp Common Equities 594918104 33517 159356 SH SOLE 159356 0 0 NIKE Inc Common Equities 654106103 8816 70232 SH SOLE 70232 0 0 NextEra Energy Inc Common Equities 65339F101 7283 26240 SH SOLE 26240 0 0 Oracle Corp Common Equities 68389X105 4655 77987 SH SOLE 77987 0 0 Parker-Hannifin Corp Common Equities 701094104 4185 20685 SH SOLE 20685 0 0 PepsiCo Inc Common Equities 713448108 10972 79170 SH SOLE 79170 0 0 Procter & Gamble Co/The Common Equities 742718109 22751 163692 SH SOLE 163692 0 0 SPDR Portfolio Long Term Treasury ETF Exchange Traded Fund 78464A664 88572 1895000 SH SOLE 1895000 0 0 Texas Instruments Inc Common Equities 882508104 6254 43800 SH SOLE 43800 0 0 Thermo Fisher Scientific Inc Common Equities 883556102 13016 29482 SH SOLE 29482 0 0 Truist Financial Corp Equity 89832Q109 21267 558924 SH SOLE 558924 0 0 United Parcel Service Inc Common Equities 911312106 2190 13146 SH SOLE 13146 0 0 UnitedHealth Group Inc Common Equities 91324P102 14580 46767 SH SOLE 46767 0 0 Utilities Select Sector SPDR Fund Exchange Traded Fund 81369Y886 114247 1924000 SH SOLE 1924000 0 0 Vanguard Extended Market ETF Exchange Traded Fund 922908652 93787 723000 SH SOLE 723000 0 0 Vanguard FTSE Developed Markets ETF Exchange Traded Fund 921943858 47444 1160000 SH SOLE 1160000 0 0 Vanguard Long-Term Treasury ETF Exchange Traded Fund 92206C847 26908 270000 SH SOLE 270000 0 0 Vanguard Russell 2000 ETF Exchange Traded Fund 92206C664 1451 12000 SH SOLE 12000 0 0 Vanguard S&P 500 ETF Exchange Traded Fund 922908363 123675 402000 SH SOLE 402000 0 0 Verizon Communications Inc Common Equities 92343V104 13849 232800 SH SOLE 232800 0 0 Vertex Pharmaceuticals Inc Common Equities 92532F100 4304 15820 SH SOLE 15820 0 0 Visa Inc Common Equities 92826C839 15536 77693 SH SOLE 77693 0 0 Walmart Inc Common Equities 931142103 15777 112772 SH SOLE 112772 0 0 Walt Disney Co/The Common Equities 254687106 14353 115681 SH SOLE 115681 0 0 Wells Fargo & Co Common Equities 949746101 1702 72400 SH SOLE 72400 0 0 iShares Core MSCI EAFE ETF Exchange Traded Fund 46432F842 10850 180000 SH SOLE 180000 0 0 iShares Core MSCI Emerging Markets ETF Exchange Traded Fund 46434G103 102432 1940000 SH SOLE 1940000 0 0 iShares Core U.S. Aggregate Bond ETF Exchange Traded Fund 464287226 170596 1445000 SH SOLE 1445000 0 0 iShares MSCI Canada ETF Exchange Traded Fund 464286509 1918 70000 SH SOLE 70000 0 0 iShares MSCI Emerging Markets ETF Exchange Traded Fund 464287234 14858 337000 SH SOLE 337000 0 0 iShares Russell 1000 Value ETF Exchange Traded Fund 464287598 18310 155000 SH SOLE 155000 0 0 iShares U.S. Real Estate ETF Exchange Traded Fund 464287739 156342 1958200 SH SOLE 1958200 0 0 iShares US Telecommunications ETF Exchange Traded Fund 464287713 81297 2988892 SH SOLE 2988892 0 0 salesforce.com Inc Common Equities 79466L302 3514 13986 SH SOLE 13986 0 0