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Institutional Investment Manager
Boltwood Capital Management
Boltwood Capital Management (CIK: 0001563690), located at 2099 Mount Diablo Blvd., Suite 220, Walnut Creek, CA. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q4)
Portfolio Summary: 92 holdings with a total value of $350,414,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 REDWOOD TR INC 10,000 197,000 0.06%
2 iPath Bloomberg Commodity 6,980 209,000 0.06%
3 ISHARES TR 3,600 212,000 0.06%
4 WALGREENS BOOTS ALLIANCE INC 2,797 213,000 0.06%
5 Chubb Corporation 2,299 238,000 0.07%
6 BOSTON PROPERTIES INC 2,000 257,000 0.07%
7 T Rowe Price Group Inc 3,600 309,000 0.09%
8 HOME DEPOT INC 3,981 418,000 0.12%
9 VANGUARD INFORM TECH 4,000 418,000 0.12%
10 UNION PAC CORP 3,600 429,000 0.12%
11 SELECT SECTOR SPDR TR 5,435 430,000 0.12%
12 3M Co 2,956 486,000 0.14%
13 ABBOTT LABS 11,521 519,000 0.15%
14 AUTOMATIC DATA PROCESSING IN 6,300 525,000 0.15%
15 VANGUARD INDEX FDS 6,507 527,000 0.15%
16 PG&E Corp. 10,533 561,000 0.16%
17 INTERNATIONAL BUSINESS MACHS 3,643 584,000 0.17%
18 COGNIZANT TECHNOLOGY SOLUTIO 11,675 615,000 0.18%
19 AT&T Inc New 19,225 646,000 0.18%
20 EOG RES INC 7,105 654,000 0.19%
21 APPLE INC 5,975 660,000 0.19%
22 SELECT SECTOR SPDR TR 14,565 708,000 0.20%
23 SELECT SECTOR SPDR TR 14,992 708,000 0.20%
24 SELECT SECTOR SPDR TR 12,550 710,000 0.20%
25 XEROX CORP 51,290 711,000 0.20%
26 HALLIBURTON CO 18,700 735,000 0.21%
27 ISHARES TR 12,275 747,000 0.21%
28 AbbVie Inc 11,520 754,000 0.22%
29 BERKSHIRE HATHAWAY INC DEL 5,147 773,000 0.22%
30 CHECK POINT SOFTWARE TECH LT 10,525 827,000 0.24%
31 NATIONAL OILWELL VARCO INC 13,198 865,000 0.25%
32 GENERAL MLS INC 16,646 888,000 0.25%
33 PACCAR INC 13,700 932,000 0.27%
34 V F CORP 12,715 952,000 0.27%
35 VANGUARD INDEX FDS 9,009 955,000 0.27%
36 SELECT SECTOR SPDR TR 40,255 996,000 0.28%
37 CATERPILLAR INC 11,034 1,010,000 0.29%
38 SELECT SECTOR SPDR TR 22,125 1,073,000 0.31%
39 TEVA PHARMACEUTICAL INDS LTD 19,526 1,123,000 0.32%
40 CME GROUP INC 13,925 1,234,000 0.35%
41 MCDONALDS CORP 13,513 1,266,000 0.36%
42 PEPSICO INC 14,332 1,355,000 0.39%
43 Verizon Communications Inc 32,776 1,533,000 0.44%
44 ORACLE CORPORATION 34,182 1,537,000 0.44%
45 SELECT SECTOR SPDR TR 21,465 1,549,000 0.44%
46 UNITED TECHNOLOGIES CORP 13,605 1,565,000 0.45%
47 SELECT SECTOR SPDR TR 23,100 1,580,000 0.45%
48 SELECT SECTOR SPDR TR 42,585 1,761,000 0.50%
49 COCA COLA CO 41,983 1,773,000 0.51%
50 JPMorgan Chase & Co 28,471 1,782,000 0.51%
Page 1 of 2

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001563690-15-000002, filed 2015.01.20).

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.