0000926833-15-000002.txt : 20150211
0000926833-15-000002.hdr.sgml : 20150211
20150211120517
ACCESSION NUMBER: 0000926833-15-000002
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 2
CONFORMED PERIOD OF REPORT: 20141231
FILED AS OF DATE: 20150211
DATE AS OF CHANGE: 20150211
EFFECTIVENESS DATE: 20150211
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: WISCONSIN CAPITAL MANAGEMENT LLC
CENTRAL INDEX KEY: 0000926833
IRS NUMBER: 202093646
FISCAL YEAR END: 1231
FILING VALUES:
FORM TYPE: 13F-HR
SEC ACT: 1934 Act
SEC FILE NUMBER: 028-03757
FILM NUMBER: 15597942
BUSINESS ADDRESS:
STREET 1: 1221 JOHN Q HAMMONS DRIVE
CITY: MADISON
STATE: WI
ZIP: 53717
BUSINESS PHONE: 6088248800
MAIL ADDRESS:
STREET 1: P O BOX 44966
CITY: MADISON
STATE: WI
ZIP: 53744
FORMER COMPANY:
FORMER CONFORMED NAME: THOMPSON PLUMB & ASSOCIATES INC
DATE OF NAME CHANGE: 19960123
13F-HR
1
primary_doc.xml
13F-HR
LIVE
false
false
false
0000926833
XXXXXXXX
12-31-2014
12-31-2014
WISCONSIN CAPITAL MANAGEMENT LLC
P O BOX 44966
MADISON
WI
53744
13F HOLDINGS REPORT
028-03757
N
Connie Redman
Chief Compliance Officer
608-826-2763
Connie Redman
Madison
WI
02-11-2015
0
126
281169
false
INFORMATION TABLE
2
sec13f1214.xml
13F HOLDINGS REPORT
3M CO COM
COM
88579Y101
5883
35805
SH
SOLE
35405
0
400
ABBOTT LABS COM
COM
002824100
2880
63971
SH
SOLE
63571
0
400
ABBVIE INC COM
COM
00287Y109
2101
32099
SH
SOLE
31799
0
300
AIR PRODS & CHEMS INC COM
COM
009158106
386
2675
SH
SOLE
2675
0
0
ALLERGAN INC COM
COM
018490102
3004
14130
SH
SOLE
14130
0
0
ALLIANT ENERGY CORP COM
COM
018802108
297
4474
SH
SOLE
4474
0
0
ALTRIA GROUP INC COM
COM
02209S103
491
9971
SH
SOLE
9971
0
0
AMERICAN ELEC PWR INC COM
COM
025537101
372
6120
SH
SOLE
6120
0
0
AMERICAN EXPRESS CO COM
COM
025816109
5243
56357
SH
SOLE
56057
0
300
AMERICAN INTL GROUP INC COM NE
COM
026874784
5445
97220
SH
SOLE
96570
0
650
ANSYS INC COM
COM
03662Q105
1326
16175
SH
SOLE
16000
0
175
APPLE INC COM
COM
037833100
8909
80715
SH
SOLE
80330
0
385
ASSOCIATED BANC CORP COM
COM
045487105
264
14174
SH
SOLE
14174
0
0
BAXTER INTERNATIONAL INC
COM
071813109
520
7097
SH
SOLE
7097
0
0
BB&T CORP COM
COM
054937107
317
8150
SH
SOLE
8150
0
0
BERKSHIRE HATHAWAY INC DEL CL
COM
084670702
5509
36687
SH
SOLE
36487
0
200
BROWN-FOREMAN CORPORATION
COM
115637209
274
3125
SH
SOLE
3125
0
0
CERNER CORP
COM
156782104
1188
18375
SH
SOLE
18225
0
150
CHEVRON CORP NEW COM
COM
166764100
3746
33392
SH
SOLE
33092
0
300
CHURCH & DWIGHT INC COM
COM
171340102
3616
45883
SH
SOLE
45883
0
0
CISCO SYS INC COM
COM
17275R102
1784
64150
SH
SOLE
63150
0
1000
CITIGROUP INC COM NEW
COM
172967424
1171
21645
SH
SOLE
21645
0
0
CLOROX CO
COM
189054109
1025
9840
SH
SOLE
9640
0
200
COCA COLA CO COM
COM
191216100
4950
117247
SH
SOLE
116047
0
1200
CONOCOPHILLIPS COM
COM
20825C104
5582
80830
SH
SOLE
80430
0
400
CONSTELLATION BRANDS INC CL A
COM
21036P108
7774
79194
SH
SOLE
79194
0
0
DELTA AIR LINES INC DEL COM NE
COM
247361702
1490
30285
SH
SOLE
30285
0
0
DISCOVER FINL SVCS COM
COM
254709108
6106
93237
SH
SOLE
92937
0
300
DISNEY WALT CO COM DISNEY
COM
254687106
7808
82897
SH
SOLE
82147
0
750
DOMINION RES INC VA NEW COM
COM
25746U109
401
5210
SH
SOLE
5210
0
0
DU PONT E I DE NEMOURS & CO CO
COM
263534109
4456
60260
SH
SOLE
59600
0
660
DUKE ENERGY CORP NEW COM NEW
COM
26441C204
702
8399
SH
SOLE
8399
0
0
EMC CORP/MASS
COM
268648102
306
10300
SH
SOLE
10300
0
0
EMERSON ELEC CO COM
COM
291011104
4211
68222
SH
SOLE
67772
0
450
EXXON MOBIL CORP COM
COM
30231G102
2790
30179
SH
SOLE
29529
0
650
FISERV INC COM
COM
337738108
4779
67332
SH
SOLE
67332
0
0
FORD MTR CO DEL COM PAR $0.01
COM
345370860
2856
184266
SH
SOLE
184266
0
0
GENERAL ELECTRIC CO COM
COM
369604103
5680
224771
SH
SOLE
223021
0
1750
GENERAL MTRS CO COM
COM
37045V100
574
16444
SH
SOLE
16444
0
0
GOOGLE INC CL A
COM
38259P508
3139
5916
SH
SOLE
5870
0
46
GOOGLE INC CL C
COM
38259P706
3038
5771
SH
SOLE
5725
0
46
HAIN CELESTIAL GROUP INC COM
COM
405217100
2313
39680
SH
SOLE
39680
0
0
HENRY JACK & ASSOC INC COM
COM
426281101
994
16000
SH
SOLE
16000
0
0
INTERPUBLIC GROUP COS INC
COM
460690100
270
13005
SH
SOLE
13005
0
0
INTUITIVE SURGICAL INC COM NEW
COM
46120E602
4799
9073
SH
SOLE
9043
0
30
JOHNSON & JOHNSON COM
COM
478160104
7750
74112
SH
SOLE
73512
0
600
JPMORGAN CHASE & CO COM
COM
46625H100
5035
80451
SH
SOLE
80001
0
450
KANSAS CITY SOUTHERN COM NEW
COM
485170302
4113
33706
SH
SOLE
33706
0
0
KINDER MORGAN, INC.
COM
49456B101
1555
36743
SH
SOLE
36193
0
550
KOHLS CORP COM
COM
500255104
459
7525
SH
SOLE
7275
0
250
LIBERTY INTERACTIVE CORP INT C
COM
53071M104
665
22600
SH
SOLE
22600
0
0
LOCKHEED MARTIN CORP COM
COM
539830109
1064
5525
SH
SOLE
5525
0
0
MCDONALDS CORP COM
COM
580135101
1380
14730
SH
SOLE
14530
0
200
MEDTRONIC INC COM (MDT)
COM
585055106
3652
50585
SH
SOLE
50585
0
0
MERCK & CO INC NEW COM
COM
58933Y105
2265
39890
SH
SOLE
39390
0
500
MICROCHIP TECHNOLOGY INC COM
COM
595017104
4558
101036
SH
SOLE
101036
0
0
MICROSOFT CORP COM
COM
594918104
2541
54710
SH
SOLE
54490
0
220
MONDELEZ INTL INC CL A
COM
609207105
1305
35913
SH
SOLE
35313
0
600
PEPSICO INC COM
COM
713448108
6027
63736
SH
SOLE
63536
0
200
PFIZER INC COM
COM
717081103
209
6713
SH
SOLE
6713
0
0
PHILIP MORRIS INTL INC COM
COM
718172109
793
9740
SH
SOLE
9740
0
0
PHILLIPS 66 COM
COM
718546104
1643
22918
SH
SOLE
22618
0
300
PORTLAND GENERAL ELECTRIC COMP
COM
736508847
468
12375
SH
SOLE
12375
0
0
PPL CORP COM
COM
69351T106
1145
31515
SH
SOLE
31515
0
0
PRICELINE GROUP INC F/K/A PRIC
COM
741503403
2722
2387
SH
SOLE
2387
0
0
PROCTER & GAMBLE CO COM
COM
742718109
3207
35207
SH
SOLE
35207
0
0
QUALCOMM INC COM
COM
747525103
6915
93025
SH
SOLE
92225
0
800
RAYTHEON CO COM NEW
COM
755111507
411
3800
SH
SOLE
3800
0
0
RYDER SYS INC COM
COM
783549108
4228
45538
SH
SOLE
45538
0
0
SCHWAB CHARLES CORP NEW COM
COM
808513105
394
13041
SH
SOLE
13041
0
0
SHERWIN WILLIAMS CO
COM
824348106
395
1500
SH
SOLE
1500
0
0
SIRONA DENTAL SYSTEMS
COM
82966C103
924
10570
SH
SOLE
10500
0
70
STRYKER CORP COM
COM
863667101
3864
40963
SH
SOLE
40663
0
300
SYNCHRONY FINL COM
COM
87165B103
5253
176565
SH
SOLE
176565
0
0
SYSCO CORP COM
COM
871829107
638
16080
SH
SOLE
15880
0
200
TJX COS INC NEW COM
COM
872540109
1296
18900
SH
SOLE
18900
0
0
U S BANCORP
COM
902973304
587
13066
SH
SOLE
13066
0
0
UNION PACIFIC CORP
COM
907818108
1523
12783
SH
SOLE
12783
0
0
UNITED PARCEL SERVICE INC CL B
COM
911312106
4342
39055
SH
SOLE
38905
0
150
VERIZON COMMUNICATIONS INC COM
COM
92343V104
1292
27613
SH
SOLE
27013
0
600
VISA INC COM CL A
COM
92826C839
6602
25178
SH
SOLE
25028
0
150
WALGREENS BOOTS ALLIANCE INC C
COM
931427108
3053
40060
SH
SOLE
40060
0
0
WELLS FARGO & CO NEW COM
COM
949746101
1881
34317
SH
SOLE
34317
0
0
ISHARES TR RUSSELL MCP GR
ETF
464287481
669
7175
SH
SOLE
7175
0
0
ISHARES TR RUSSELL MCP VL
ETF
464287473
432
5855
SH
SOLE
5855
0
0
ISHARES TR RUSSELL1000GRW
ETF
464287614
423
4425
SH
SOLE
4425
0
0
ISHARES TR RUSSELL1000VAL
ETF
464287598
235
2250
SH
SOLE
2250
0
0
ISHARES TR USA MIN VOL ETF
ETF
46429B697
334
8240
SH
SOLE
8240
0
0
SCHWAB STRATEGIC TR US DIVIDEN
ETF
808524797
686
17218
SH
SOLE
17218
0
0
SCHWAB STRATEGIC TR US MID-CAP
ETF
808524508
646
15875
SH
SOLE
15875
0
0
SCHWAB U.S. LARGE-CAP ETF
ETF
808524201
394
8033
SH
SOLE
8033
0
0
VANGUARD INDEX FDS MCAP VL IDX
ETF
922908512
228
2548
SH
SOLE
2548
0
0
VANGUARD INDEX FDS MID CAP ETF
ETF
922908629
239
1935
SH
SOLE
1935
0
0
WISDOMTREE MIDCAP DIVIDEND FUN
ETF
97717W505
1201
14338
SH
SOLE
14038
0
300
EXACT SCIENCES CORP COM
COM
30063P105
1711
62350
SH
SOLE
62350
0
0
NATIONAL PRESTO INDS COM
COM
637215104
250
4309
SH
SOLE
4309
0
0
PHARMAGEN INC COM
COM
71715W106
0
20000
SH
SOLE
20000
0
0
PORTOLA PHARMACEUTICALS INC CO
COM
737010108
283
10000
SH
SOLE
10000
0
0
ISHARES TR RUSL 2000 GROW
ETF
464287648
256
1800
SH
SOLE
1800
0
0
SCHWAB STRATEGIC TR US SML CAP
ETF
808524607
4139
75086
SH
SOLE
74386
0
700
WISDOMTREE TR SMLCAP EARN FD
ETF
97717W562
275
3321
SH
SOLE
3321
0
0
WISDOMTREE TRUST SMALLCAP DIVI
ETF
97717W604
1183
16675
SH
SOLE
16325
0
350
ALIBABA GROUP HLDG LTD SPONSOR
ADR
01609W102
580
5580
SH
SOLE
5500
0
80
AMBEV SA SPONSORED ADR
ADR
02319V103
565
90850
SH
SOLE
90850
0
0
DIAGEO P L C SPON ADR NEW
ADR
25243Q205
2858
25049
SH
SOLE
24899
0
150
GLAXOSMITHKLINE PLC-ADR SPONSO
ADR
37733W105
329
7707
SH
SOLE
7707
0
0
NATIONAL GRID PLC SPON ADR NEW
ADR
636274300
1142
16160
SH
SOLE
15710
0
450
SANOFI AVENTIS SPONSORED ADR
ADR
80105N105
290
6365
SH
SOLE
6365
0
0
BANK MONTREAL QUE COM
FGN
063671101
1569
22185
SH
SOLE
21885
0
300
ENBRIDGE INC COM
FGN
29250N105
6541
127230
SH
SOLE
126780
0
450
NXP SEMICONDUCTORS N V COM
FGN
N6596X109
5145
67345
SH
SOLE
67345
0
0
POTASH CORP SASK INC COM
FGN
73755L107
223
6300
SH
SOLE
6300
0
0
SCHLUMBERGER LTD COM
FGN
806857108
4054
47465
SH
SOLE
47465
0
0
TRANSCANADA CORP COM
FGN
89353D107
3077
62675
SH
SOLE
62675
0
0
ISHARES INC EM MKT MIN VOL
ETF
464286533
804
14200
SH
SOLE
14200
0
0
ISHARES TR DJ INTL SEL DIVD
ETF
464288448
914
27131
SH
SOLE
27131
0
0
ISHARES TR EAFE MIN VOLAT
ETF
46429B689
727
11780
SH
SOLE
11780
0
0
WELLS FARGO & CO NEW
CONV
949746PM7
552
500000
PRN
SOLE
500000
0
0
GOLDMAN SACHS GROUP INC SHS D
PFD
38144G804
3219
163651
SH
SOLE
161651
0
2000
SPDR GOLD TRUST GOLD SHS
ETF
78463V107
625
5500
SH
SOLE
5500
0
0
ALPS ETF TR ALERIAN MLP
ETF
00162Q866
5106
291456
SH
SOLE
289456
0
2000
CONSUMER DISCRETIONARY SELECT
ETF
81369Y407
512
7090
SH
SOLE
7090
0
0
MARKET VECTORS ETF TR OIL SVCS
ETF
57060U191
238
6619
SH
SOLE
6619
0
0
SELECT SECTOR SPDR TR SBI INT-
ETF
81369Y605
568
22975
SH
SOLE
21975
0
1000
VANGUARD INDEX FDS REIT ETF
ETF
922908553
253
3125
SH
SOLE
3125
0
0
OAKTREE CAP GROUP LLC UNIT CL
LTD
674001201
771
14880
SH
SOLE
14880
0
0