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Institutional Investment Manager
HUTCHENS INVESTMENT MANAGEMENT INC
HUTCHENS INVESTMENT MANAGEMENT INC (CIK: 0001054880) incorporated in New Hampshire, located at 99 North State Street, Concord, NH. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q3)
Portfolio Summary: 61 holdings with a total value of $106,269,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 FACEBOOK INC 27,475 3,524,000 3.32%
2 MICROSOFT CORP 56,022 3,226,000 3.04%
3 EXXON MOBIL CORP 36,492 3,185,000 3.00%
4 WELLS FARGO & CO NEW 64,884 2,873,000 2.70%
5 CISCO SYS INC 89,395 2,835,000 2.67%
6 BECTON DICKINSON & CO 15,676 2,817,000 2.65%
7 LOCKHEED MARTIN CORP 11,597 2,779,000 2.62%
8 EXTRA SPACE STORAGE INC 33,176 2,634,000 2.48%
9 GENERAL MTRS CO 82,783 2,630,000 2.47%
10 JPMORGAN CHASE & CO 39,455 2,627,000 2.47%
11 AT&T INC 60,362 2,451,000 2.31%
12 MASTERCARD INCORPORATED 24,077 2,450,000 2.31%
13 BRISTOL MYERS SQUIBB CO 45,385 2,447,000 2.30%
14 BLACKSTONE GROUP L P 95,575 2,440,000 2.30%
15 GENERAL ELECTRIC CO 80,613 2,387,000 2.25%
16 SCHWAB CHARLES CORP 75,603 2,386,000 2.25%
17 AMAZON COM INC 2,738 2,292,000 2.16%
18 CLOROX CO DEL 18,252 2,284,000 2.15%
19 BROADCOM LTD 13,227 2,281,000 2.15%
20 CVS HEALTH CORP 25,134 2,236,000 2.10%
21 STARBUCKS CORP 40,012 2,166,000 2.04%
22 SCHLUMBERGER LTD 27,250 2,142,000 2.02%
23 DOW CHEM CO 39,975 2,071,000 1.95%
24 DANAHER CORP DEL 26,210 2,054,000 1.93%
25 MCDONALDS CORP 17,180 1,981,000 1.86%
26 HOME DEPOT INC 15,140 1,948,000 1.83%
27 CELGENE CORP 18,100 1,891,000 1.78%
28 ADOBE INC 16,775 1,820,000 1.71%
29 HERSHEY CO 18,827 1,799,000 1.69%
30 3M CO 10,145 1,787,000 1.68%
31 NIKE INC 33,436 1,760,000 1.66%
32 PRICELINE GRP INC 1,194 1,756,000 1.65%
33 VERIZON COMMUNICATIONS INC 33,650 1,749,000 1.65%
34 HORMEL FOODS CORP 46,051 1,746,000 1.64%
35 DISNEY WALT CO 18,603 1,727,000 1.63%
36 ISHARES TR 43,160 1,704,000 1.60%
37 REYNOLDS AMERICAN INC 36,048 1,699,000 1.60%
38 ALPHABET INC 2,027 1,575,000 1.48%
39 BOEING CO 11,945 1,573,000 1.48%
40 ALPHABET INC 1,908 1,534,000 1.44%
41 ISHARES TR 12,400 1,527,000 1.44%
42 UNITEDHEALTH GROUP INC 10,775 1,508,000 1.42%
43 INTUIT 12,650 1,391,000 1.31%
44 INTEL CORP 36,547 1,379,000 1.30%
45 MEDTRONIC PLC 15,925 1,375,000 1.29%
46 SALESFORCE COM INC 18,075 1,289,000 1.21%
47 HARMAN INTL INDS INC 15,252 1,288,000 1.21%
48 SSGA ACTIVE ETF TR BLKSTN GSOSRLN ETF 20,275 958,000 0.90%
49 ISHARES TR 12,740 753,000 0.71%
50 SSGA ACTIVE ETF TR 14,725 739,000 0.70%
Page 1 of 2

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001606587-16-000797, filed 2016.10.21).

From 2023-01-03 onward, the SEC requires values to be reported in nearest dollars. Earlier filings reported values in thousands; therefore, positions shown as $0 in older filings may represent actual values between $0–$999.