13F-HR 1 complete13ffiling033110.txt MIDDLETON & COMPANY 13F MARCH 31, 2010 April 8, 2010 Form 13 F Form 13F COVER PAGE March 31, 2010 Check here if Amendment { } Amendment Number: This Amendment (check only one) { } is a restatement. { } adds new holding entries. Institutional Investment Manager Filing this Report: Name: Middleton & Company, Inc. Address: 600 Atlantic Avenue, Floor 18 Boston, MA 02210 13F File Number: 28-4180 The institutional investment manager filing this report and the person by whom it is signed hereby represent that the person signing the report is authorized to submit it, that all information contained herein is true, correct and complete, and it is understood that all required items, statements, schedules, lists and tables, are considered integral parts of this form. Person signing this report on behalf of reporting manager: Name: Maria McCormack Title: Chief Compliance Officer Phone: 617 357-5101 Signature Maria McCormack Boston, MA 02210 March 31, 2010 Report Type: { X } 13 F Holding Report { } 13 F Notice { } 13 F Combination Report I am signing this report as required by the Securities Exchange Act of 1934. < PAGE > SEC13F.LNS MIDDLETON & COMPANY, INC. FORM 13F SUMMARY PAGE AS OF DATE: 03/31/10 RUN DATE: 04/08/10 10:42 A.M. REPORT SUMMARY: NUMBER OF OTHER INCLUDED MANAGERS: 0 FORM 13F INFORMATION TABLE ENTRY TOTAL: 149 FORM 13F INFORMATION TABLE VALUE TOTAL: $285,808,000 LIST OF OTHER INCLUDED MANAGERS: NO. 13F FILE NUMBER NAME < PAGE > PORTVUE-SEC13F.LNP MIDDLETON & COMPANY, INC. PAGE 1 RUN DATE: 04/08/10 10:42 A.M. FORM 13F INFORMATION TABLE AS OF DATE: 03/31/10 VALUE SHARES/ SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY NAME OF ISSUER TITLE OF CLASS CUSIP (x$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- -------- 3M COMPANY COM 88579Y101 470 5625 SH SOLE 5625 0 0 A T & T INC (NEW) COM 00206R102 1133 43830 SH DEFINED 43418 412 0 A T & T INC (NEW) COM 00206R102 5 200 SH OTHER 0 0 200 ABBOTT LABORATORIES COM 002824100 2127 40372 SH DEFINED 40208 164 0 ABBOTT LABORATORIES COM 002824100 8 150 SH OTHER 0 0 150 AIR PRODUCTS COM 009158106 3411 46128 SH DEFINED 45789 339 0 AIR PRODUCTS COM 009158106 15 200 SH OTHER 0 0 200 ALCOA COM 013817101 144 10090 SH SOLE 10090 0 0 AMERICAN EXPRESS COM 025816109 521 12629 SH DEFINED 12424 205 0 APPLE COMPUTER COM 037833100 5985 25470 SH DEFINED 25340 130 0 ASPEN TECHNOLOGY COM 045327103 113 11000 SH SOLE 11000 0 0 AUTODESK INC COM COM 052769106 3370 114690 SH DEFINED 113980 710 0 AUTODESK INC COM COM 052769106 15 500 SH OTHER 0 0 500 AUTOMATIC DATA PROCESSING COM 053015103 239 5370 SH SOLE 5370 0 0 BECTON DICKINSON COM 075887109 301 3824 SH SOLE 3824 0 0 BERKSHIRE HATHAWAY COM 084670108 487 4 SH SOLE 4 0 0 BERKSHIRE HATHAWAY INC DEL CL COM 084670702 215 2650 SH SOLE 2650 0 0 BHP LTD COM 088606108 1479 18415 SH SOLE 18415 0 0 BORG WARNER COM 099724106 202 5300 SH SOLE 5300 0 0 BP PLC ADR COM 055622104 2206 38659 SH SOLE 38659 0 0 C H ROBINSON WORLDWIDE INC COM 12541W209 4651 83272 SH DEFINED 83082 190 0 C H ROBINSON WORLDWIDE INC COM 12541W209 11 200 SH OTHER 0 0 200 C R BARD INC COM COM 067383109 2671 30834 SH SOLE 30834 0 0 C R BARD INC COM COM 067383109 13 150 SH OTHER 0 0 150 CATERPILLAR COM 149123101 3707 58982 SH DEFINED 58538 444 0 CELGENE CORP COM COM 151020104 3700 59708 SH DEFINED 58453 1255 0 CHEVRON CORPORATION COM 166764100 4857 64046 SH DEFINED 63518 528 0 CHICAGO BRIDGE & IRON CO N Y R COM 167250109 568 24430 SH SOLE 24430 0 0 CISCO SYSTEMS COM 17275R102 6448 247704 SH DEFINED 246754 950 0 CISCO SYSTEMS COM 17275R102 26 980 SH OTHER 0 0 980 COCA COLA COM 191216100 1102 20044 SH DEFINED 19941 103 0 COLGATE PALMOLIVE COM 194162103 584 6846 SH SOLE 6846 0 0 CVS CORP COM 126650100 3959 108290 SH DEFINED 107555 735 0 DANAHER CORP COM 235851102 7536 94311 SH DEFINED 94101 210 0 DANAHER CORP COM 235851102 24 300 SH OTHER 0 0 300 DARDEN RESTAURANTS COM 237194105 1921 43135 SH DEFINED 42765 370 0 DENTSPLY INTL COM 249030107 1382 39608 SH SOLE 39608 0 0 DENTSPLY INTL COM 249030107 14 400 SH OTHER 0 0 400 DEVON ENERGY COM 25179M103 913 14168 SH SOLE 14168 0 0 DOMINION RESOURCES COM 25746U109 608 14790 SH SOLE 14790 0 0 DOVER CORP COM 260003108 213 4555 SH SOLE 4555 0 0 DUKE ENERGY CORP COM 26441C105 342 20957 SH SOLE 20957 0 0 EATON VANCE COM 278265103 5470 163086 SH DEFINED 162680 406 0 EATON VANCE COM 278265103 14 420 SH OTHER 0 0 420 ECOLAB INC COM COM 278865100 3356 76360 SH DEFINED 75960 400 0 EMERSON ELECTRIC COM 291011104 287 5705 SH SOLE 5705 0 0 EXELON CORP COM 30161N101 336 7665 SH DEFINED 7560 105 0 EXPRESS SCRIPTS INC COM COM 302182100 4289 42145 SH DEFINED 41905 240 0 EXXON MOBIL COM 30231G102 17122 255632 SH SOLE 255632 0 0 FACTSET RESH SYS INC COM COM 303075105 3410 46473 SH DEFINED 46328 145 0 FACTSET RESH SYS INC COM COM 303075105 15 200 SH OTHER 0 0 200 PORTVUE-SEC13F.LNP MIDDLETON & COMPANY, INC. 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FORM 13F INFORMATION TABLE AS OF DATE: 03/31/10 VALUE SHARES/ SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY NAME OF ISSUER TITLE OF CLASS CUSIP (x$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- -------- FREEPORT MCMORAN COPPER&GOLDCL COM 35671D857 1892 22644 SH DEFINED 22569 75 0 GENERAL ELECTRIC COM 369604103 6453 354543 SH DEFINED 352547 1996 0 GENERAL ELECTRIC COM 369604103 18 1000 SH OTHER 0 0 1000 GILEAD SCIENCES INC COM COM 375558103 2504 55065 SH DEFINED 54715 350 0 GILEAD SCIENCES INC COM COM 375558103 9 200 SH OTHER 0 0 200 GOOGLE INC CL A COM 38259P508 6004 10586 SH DEFINED 10546 40 0 GOOGLE INC CL A COM 38259P508 34 60 SH OTHER 0 0 60 HESS CORP COM COM 42809H107 2365 37815 SH DEFINED 36670 1145 0 HEWLETT PACKARD COM 428236103 6423 120838 SH DEFINED 120123 715 0 IBM COM 459200101 1856 14472 SH SOLE 14472 0 0 IHS INC CL A COM 451734107 3013 56355 SH DEFINED 56105 250 0 INTEL CORP COM 458140100 1210 54293 SH DEFINED 53955 338 0 INTEL CORP COM 458140100 16 700 SH OTHER 0 0 700 INTERPUBLIC GROUP COM 460690100 141 16962 SH SOLE 16962 0 0 INTUIT INC COM 461202103 3465 100965 SH DEFINED 100445 520 0 ISHARES INC MSCI AUSTRALIA MUTUAL FUNDS 464286103 281 11700 SH SOLE 11700 0 0 ISHARES INC MSCI CDA INDEX MUTUAL FUNDS 464286509 437 15675 SH SOLE 15675 0 0 ISHARES INC MSCI GERMAN MUTUAL FUNDS 464286806 3274 149720 SH DEFINED 148750 970 0 ISHARES INC MSCI S KOREA MUTUAL FUNDS 464286772 1556 31110 SH DEFINED 30740 370 0 ISHARES MSCI EMERGING MARKETS MUTUAL FUNDS 464287234 8311 197298 SH DEFINED 195733 1565 0 ISHARES TR FTSE XNHUA IDX MUTUAL FUNDS 464287184 6702 159189 SH DEFINED 156819 2370 0 ISHARES TR FTSE XNHUA IDX MUTUAL FUNDS 464287184 21 500 SH OTHER 0 0 500 ISHARES TR RUSSELL 2000 MUTUAL FUNDS 464287655 238 3505 SH DEFINED 2125 1380 0 ISHARES TR RUSSELL MIDCAP MUTUAL FUNDS 464287499 371 4160 SH DEFINED 3120 1040 0 ISHARES TR RUSSELL1000GRW MUTUAL FUNDS 464287614 283 5455 SH DEFINED 2400 3055 0 ISHARES TR RUSSELL1000VAL MUTUAL FUNDS 464287598 227 3720 SH DEFINED 1100 2620 0 ISHARES TR S&P LTN AM 40 MUTUAL FUNDS 464287390 1605 33255 SH DEFINED 32220 1035 0 JOHNSON & JOHNSON COM 478160104 3109 47679 SH DEFINED 47602 77 0 JP MORGAN CHASE COM 46625H100 5943 132804 SH DEFINED 131982 822 0 JP MORGAN CHASE COM 46625H100 18 400 SH OTHER 0 0 400 JPMORGAN CHASE & CO DEP 1/400 PREFERRED STOCKS 46625H621 2037 73460 SH SOLE 73460 0 0 KELLOGG COM 487836108 4005 74955 SH DEFINED 74625 330 0 KELLOGG COM 487836108 13 250 SH OTHER 0 0 250 KRAFT FOODS INC CL A COM 50075N104 368 12183 SH SOLE 12183 0 0 LOWES COS COM 548661107 295 12180 SH SOLE 12180 0 0 MARKET VECTORS ETF TR AGRIBUS COM 57060U605 359 7950 SH SOLE 7950 0 0 MEDTRONIC COM 585055106 914 20305 SH SOLE 20305 0 0 MEMC ELECTR MATLS INC COM COM 552715104 235 15300 SH SOLE 15300 0 0 MERCK & COMPANY COM 58933Y105 254 6808 SH DEFINED 6570 238 0 METLIFE INC COM COM 59156R108 3518 81165 SH DEFINED 80675 490 0 MICROSOFT COM 594918104 4681 159819 SH DEFINED 158771 1048 0 MICROSOFT COM 594918104 23 800 SH OTHER 0 0 800 MONSANTO COM 61166W101 2311 32352 SH DEFINED 32207 145 0 MONSANTO COM 61166W101 14 200 SH OTHER 0 0 200 NIKE INC CL B COM 654106103 5128 69770 SH DEFINED 69480 290 0 NOBLE CORPORATION BAAR NAMEN - COM H5833N103 1185 28326 SH SOLE 28326 0 0 NORDSTROM INC COM COM 655664100 425 10416 SH SOLE 10416 0 0 NORTHERN TRUST COM 665859104 4121 74566 SH DEFINED 74196 370 0 NORTHERN TRUST COM 665859104 17 300 SH OTHER 0 0 300 PARKER HANNIFIN COM 701094104 241 3727 SH SOLE 3727 0 0 PAYCHEX COM 704326107 338 11002 SH DEFINED 10820 182 0 PORTVUE-SEC13F.LNP MIDDLETON & COMPANY, INC. 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FORM 13F INFORMATION TABLE AS OF DATE: 03/31/10 VALUE SHARES/ SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY NAME OF ISSUER TITLE OF CLASS CUSIP (x$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- -------- PEPSICO COM 713448108 5990 90540 SH DEFINED 90240 300 0 PEPSICO COM 713448108 26 400 SH OTHER 0 0 400 PFIZER COM 717081103 226 13150 SH SOLE 13150 0 0 PG&E CORP COM 69331C108 656 15460 SH DEFINED 15300 160 0 PNC FINANCIAL SERV COM 693475105 6071 101700 SH DEFINED 101200 500 0 PRICE (T ROWE) COM 74144T108 842 15318 SH SOLE 15318 0 0 PROCTER & GAMBLE COM 742718109 4283 67689 SH SOLE 67689 0 0 QUALCOMM COM 747525103 798 19011 SH DEFINED 18870 141 0 ROPER INDS INC NEW COM COM 776696106 2588 44743 SH DEFINED 44493 250 0 ROYAL DUTCH SHELL PLC SPONS AD COM 780259206 1198 20703 SH SOLE 20703 0 0 ROYAL DUTCH SHELL PLC SPONS AD COM 780259206 23 400 SH OTHER 0 0 400 SCHLUMBERGER COM 806857108 3979 62701 SH DEFINED 62341 360 0 SOUTHERN CO COM 842587107 698 21046 SH DEFINED 20815 231 0 SPDR GOLD TRUST GOLD SHS MUTUAL FUNDS 78463V107 261 2400 SH SOLE 2400 0 0 SPDR INDEX SHS FDS ASIA PACIF MUTUAL FUNDS 78463X301 2748 36525 SH DEFINED 36165 360 0 SPDR INDEX SHS FDS LATIN AMER MUTUAL FUNDS 78463X707 5014 62138 SH DEFINED 61318 820 0 SPDR TR UNIT SER 1 MUTUAL FUNDS 78462F103 410 3505 SH SOLE 3505 0 0 SPX CORP COM COM 784635104 884 13336 SH SOLE 13336 0 0 ST JUDE MEDICAL CENTER INC COM 790849103 1843 44895 SH DEFINED 44555 340 0 STATE STREET CORP COM 857477103 3788 83927 SH DEFINED 83349 578 0 STRYKER CORP COM 863667101 3528 61653 SH DEFINED 61313 340 0 SUNTECH PWR HLDGS CO LTD ADR COM 86800C104 141 10025 SH SOLE 10025 0 0 SUPERGEN INC COM COM 868059106 112 35000 SH SOLE 35000 0 0 TARGET CORP COM 87612E106 2620 49811 SH SOLE 49811 0 0 TECO ENERGY COM 872375100 194 12200 SH SOLE 12200 0 0 TEVA PHARMACEUTICAL INDS LTDAD COM 881624209 4953 78520 SH DEFINED 78200 320 0 TEVA PHARMACEUTICAL INDS LTDAD COM 881624209 22 350 SH OTHER 0 0 350 TEXTRON COM 883203101 363 17100 SH SOLE 17100 0 0 TORONTO DOMINION BK ONT COM NE COM 891160509 320 4290 SH SOLE 4290 0 0 ULTRA PETROLEUM CORP COM COM 903914109 2903 62260 SH DEFINED 60730 1530 0 ULTRA PETROLEUM CORP COM COM 903914109 16 350 SH OTHER 0 0 350 UNION PACIFIC COM 907818108 1243 16960 SH SOLE 16960 0 0 UNITED PARCEL SERVICE COM 911312106 2526 39210 SH DEFINED 38785 425 0 UNITED TECHNOLOGIES COM 913017109 7365 100058 SH DEFINED 99581 477 0 UNITED TECHNOLOGIES COM 913017109 26 350 SH OTHER 0 0 350 VALE S A ADR COM 91912E105 979 30425 SH SOLE 30425 0 0 VERIZON COMMUNICATIONS COM 92343V104 717 23106 SH DEFINED 22837 269 0 VISA INC COM CL A COM 92826C839 5417 59512 SH DEFINED 58592 920 0 VISA INC COM CL A COM 92826C839 14 150 SH OTHER 0 0 150 WAL MART STORES COM 931142103 391 7036 SH SOLE 7036 0 0 WALGREEN COM 931422109 242 6528 SH SOLE 6528 0 0 WEATHERFORD INTERNATIONAL LTD COM H27013103 1743 109876 SH SOLE 109876 0 0 WEATHERFORD INTERNATIONAL LTD COM H27013103 6 400 SH OTHER 0 0 400 WELLS FARGO COM 949746101 4509 144886 SH SOLE 144886 0 0 WELLS FARGO COM 949746101 26 840 SH OTHER 0 0 840 WELLS FARGO & CO NEW DEP SHS S PREFERRED STOCKS 949746879 2662 97500 SH SOLE 97500 0 0 WESTERN UNION COR COM 959802109 188 11069 SH SOLE 11069 0 0 LINE COUNT: 149