0001079112-15-000001.txt : 20150203
0001079112-15-000001.hdr.sgml : 20150203
20150203094102
ACCESSION NUMBER: 0001079112-15-000001
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 2
CONFORMED PERIOD OF REPORT: 20141231
FILED AS OF DATE: 20150203
DATE AS OF CHANGE: 20150203
EFFECTIVENESS DATE: 20150203
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: HOWLAND CAPITAL MANAGEMENT LLC
CENTRAL INDEX KEY: 0001079112
IRS NUMBER: 461580977
FISCAL YEAR END: 1231
FILING VALUES:
FORM TYPE: 13F-HR
SEC ACT: 1934 Act
SEC FILE NUMBER: 028-03717
FILM NUMBER: 15569269
BUSINESS ADDRESS:
STREET 1: 75 FEDERAL STREET
STREET 2: SUITE 1100
CITY: BOSTON
STATE: MA
ZIP: 02110
BUSINESS PHONE: 6173579110
MAIL ADDRESS:
STREET 1: 75 FEDERAL STREET SUITE 1100
CITY: BOSTON
STATE: MA
ZIP: 02110-1911
FORMER COMPANY:
FORMER CONFORMED NAME: HOWLAND CAPITAL MANAGEMENT INC
DATE OF NAME CHANGE: 19990325
13F-HR
1
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0001079112
XXXXXXXX
12-31-2014
12-31-2014
false
HOWLAND CAPITAL MANAGEMENT LLC
75 Federal Street Suite 1100
Boston
MA
02110-1911
13F HOLDINGS REPORT
028-03717
N
Pamela Horwath
Compliance Officer
617-357-9110
Pamela Horwath
Boston
MA
02-02-2015
0
197
1004679
INFORMATION TABLE
2
infotable.xml
3M Company
COM
88579Y101
16629
101198
SH
SOLE
101198
0
0
Abbott Laboratories
COM
002824100
1912
42463
SH
SOLE
42463
0
0
AbbVie Inc
COM
00287Y109
2794
42698
SH
SOLE
42698
0
0
Ace Limited
SHS
H0023R105
17870
155554
SH
SOLE
155554
0
0
Agnico Eagle Mines
COM
008474108
5216
209582
SH
SOLE
209582
0
0
Air Products & Chemicals Inc
COM
009158106
842
5835
SH
SOLE
5835
0
0
Akamai Technologies Inc
COM
00971T101
14708
233605
SH
SOLE
233605
0
0
Altria Group Inc
COM
02209S103
498
10108
SH
SOLE
10108
0
0
Amazon.com, Inc.
COM
023135106
1240
3995
SH
SOLE
3995
0
0
American Express Co
COM
025816109
1735
18647
SH
SOLE
18647
0
0
American Tower Corp
COM
03027X100
18436
186503
SH
SOLE
186503
0
0
Ameriprise Financial Inc
COM
03076C106
426
3221
SH
SOLE
3221
0
0
Amphenol Corp Cl A
CL A
032095101
8707
161814
SH
SOLE
161814
0
0
Apple Computer Inc
COM
037833100
3273
29650
SH
SOLE
29650
0
0
Aspen Technology Inc
COM
045327103
8483
242234
SH
SOLE
242234
0
0
Astrazeneca ADR
SPONSORED ADR
046353108
1386
19695
SH
SOLE
19695
0
0
AT&T Incorporated
COM
00206R102
1013
30167
SH
SOLE
30167
0
0
Automatic Data Processing Inc
COM
053015103
9343
112062
SH
SOLE
112062
0
0
Avery Dennison Corp
COM
053611109
713
13750
SH
SOLE
13750
0
0
Bank of Nova Scotia
COM
064149107
10673
186982
SH
SOLE
186982
0
0
Baxter International Inc
COM
071813109
261
3563
SH
SOLE
3563
0
0
BCE Inc
COM NEW
05534B760
200
4364
SH
SOLE
4364
0
0
Becton Dickinson & Co
COM
075887109
511
3672
SH
SOLE
3672
0
0
Berkshire Hathaway Inc Del Cl A
CL A
084670108
14238
63
SH
SOLE
63
0
0
Berkshire Hathaway Inc Del Cl B
CL B NEW
084670702
6237
41536
SH
SOLE
41536
0
0
Blackrock Debt Strategies Fund
COM
09255R103
42
11406
SH
SOLE
11406
0
0
BP Amoco PLC ADR
SPONSORED ADR
055622104
1009
26478
SH
SOLE
26478
0
0
Bristol Myers Squibb Co
COM
110122108
2101
35594
SH
SOLE
35594
0
0
Broadridge Financial Solutions
COM
11133T103
254
5500
SH
SOLE
5500
0
0
Brown Forman Corp Cl B
CL B
115637209
307
3500
SH
SOLE
3500
0
0
Brown-Forman Corp Cl A
CL A
115637100
658
7500
SH
SOLE
7500
0
0
Care.com Inc
COM
141633107
1213
146500
SH
SOLE
146500
0
0
Carmax Incorporated
COM
143130102
17342
260473
SH
SOLE
260473
0
0
Caterpillar Incorporated
COM
149123101
2897
31652
SH
SOLE
31652
0
0
CBRE Group Inc
CL A
12504L109
12167
355229
SH
SOLE
355229
0
0
CDK Global, Inc.
COM
12508E101
1458
35781
SH
SOLE
35781
0
0
Celgene Corp
COM
151020104
224
2000
SH
SOLE
2000
0
0
Central Fund Canada
CL A
153501101
1716
148222
SH
SOLE
148222
0
0
ChevronTexaco Corp
COM
166764100
11822
105388
SH
SOLE
105388
0
0
Chipotle Mexican Grill, Inc.
COM
169656105
439
642
SH
SOLE
642
0
0
Chubb Corporation
COM
171232101
2730
26389
SH
SOLE
26389
0
0
Church & Dwight Co Inc
COM
171340102
235
2983
SH
SOLE
2983
0
0
Cisco Systems Inc
COM
17275R102
473
17020
SH
SOLE
17020
0
0
Citigroup Incorporated New
COM NEW
172967424
349
6447
SH
SOLE
6447
0
0
Clean Harbors Inc
COM
184496107
5750
119675
SH
SOLE
119675
0
0
Coca Cola Company
COM
191216100
3059
72446
SH
SOLE
72446
0
0
Cognizant Technology Solutions Corp Cl A
CL A
192446102
2072
39344
SH
SOLE
39344
0
0
Colgate Palmolive Co
COM
194162103
14344
207319
SH
SOLE
207319
0
0
Comcast Corp Cl A
CL A
20030N101
604
10408
SH
SOLE
10408
0
0
Comcast Corp Cl A Special
CL A SPL
20030N200
298
5175
SH
SOLE
5175
0
0
ConocoPhillips
COM
20825C104
557
8059
SH
SOLE
8059
0
0
Core Laboratories NV
Com
N22717107
11347
94291
SH
SOLE
94291
0
0
CSX Corporation
Com
126408103
210
5800
SH
SOLE
5800
0
0
Cullen Frost Bankers Inc
Com
229899109
4422
62596
SH
SOLE
62596
0
0
CVS/Caremark Corporation
Com
126650100
16156
167745
SH
SOLE
167745
0
0
Danaher Corporation
Com
235851102
19723
230110
SH
SOLE
230110
0
0
Darden Restaurants Inc
Com
237194105
310
5293
SH
SOLE
5293
0
0
Deere & Company
Com
244199105
1403
15860
SH
SOLE
15860
0
0
Dentsply Intl Inc New
Com
249030107
208
3900
SH
SOLE
3900
0
0
Diageo PLC Sponsored ADR
Com
25243Q205
225
1976
SH
SOLE
1976
0
0
Disney Walt Company
Com
254687106
417
4429
SH
SOLE
4429
0
0
Dominion Resources Inc
Com
25746U109
279
3632
SH
SOLE
3632
0
0
Dow Chemical Company
Com
260543103
1327
29100
SH
SOLE
29100
0
0
Du Pont E I De Nemours
Com
263534109
14415
194955
SH
SOLE
194955
0
0
Ecolab Incorporated
Com
278865100
12812
122583
SH
SOLE
122583
0
0
Edwards Lifesciences Corp
Com
28176E108
641
5030
SH
SOLE
5030
0
0
EGShares Emerging Markets Consumer ETF
Com
268461779
14872
586914
SH
SOLE
586914
0
0
Emerson Electric Co
Com
291011104
908
14715
SH
SOLE
14715
0
0
Express Scripts Holding Co.
Com
30219G108
808
9546
SH
SOLE
9546
0
0
Exxon Mobil Corp
Com
30231G102
25788
278940
SH
SOLE
278940
0
0
Fiserv Incorporated
Com
337738108
635
8950
SH
SOLE
8950
0
0
FMC Technologies
Com
30249U101
8271
176578
SH
SOLE
176578
0
0
Gartner, Inc.
Com
366651107
842
10000
SH
SOLE
10000
0
0
General Electric Co
Com
369604103
27374
1083263
SH
SOLE
1083263
0
0
General Mills Inc
Com
370334104
1073
20117
SH
SOLE
20117
0
0
Genuine Parts Co
Com
372460105
366
3430
SH
SOLE
3430
0
0
Gilead Sciences Inc
Com
375558103
24548
260432
SH
SOLE
260432
0
0
Glaxo Smithkline PLC ADR
Com
37733W105
228
5341
SH
SOLE
5341
0
0
Goldcorp Inc
Com
380956409
2945
159011
SH
SOLE
159011
0
0
Grainger (W.W.) Inc
Com
384802104
322
1265
SH
SOLE
1265
0
0
Halliburton Company
Com
406216101
544
13830
SH
SOLE
13830
0
0
HCP Incorporated
Com
40414L109
19084
433437
SH
SOLE
433437
0
0
Health Care REIT Inc.
Com
42217K106
224
2960
SH
SOLE
2960
0
0
Hershey Foods Corp
Com
427866108
1446
13917
SH
SOLE
13917
0
0
HF2 Financial Management Inc Sponser Shares
Com
40421A104
471
45200
SH
SOLE
45200
0
0
Home Depot Inc
Com
437076102
1029
9802
SH
SOLE
9802
0
0
Idexx Laboratories Inc
Com
45168D104
18459
124494
SH
SOLE
124494
0
0
Illinois Tool Works Inc
Com
452308109
1436
15160
SH
SOLE
15160
0
0
Intel Corporation
Com
458140100
14246
392554
SH
SOLE
392554
0
0
International Paper Co
Com
460146103
433
8077
SH
SOLE
8077
0
0
Intl Business Machines Corp
Com
459200101
2330
14523
SH
SOLE
14523
0
0
Intuit, Inc.
Com
461202103
1989
21580
SH
SOLE
21580
0
0
Ishares Gold Trust
Com
464285105
1702
148766
SH
SOLE
148766
0
0
Ishares MSCI BRIC Index Fund
Com
464286657
3190
91077
SH
SOLE
91077
0
0
Ishares MSCI EAFE IX
Com
464287465
705
11587
SH
SOLE
11587
0
0
Ishares MSCI Emerging Mkts Index Fund
Com
464287234
434
11035
SH
SOLE
11035
0
0
Ishares Russel Midcap Index Fund
Com
464287499
258
1543
SH
SOLE
1543
0
0
Ishares Russell 1000 Growth Index Fund
Com
464287614
845
8836
SH
SOLE
8836
0
0
Ishares Russell 1000 Index Fund
Com
464287622
286
2499
SH
SOLE
2499
0
0
Ishares Russell 2000 Value Index Fund
Com
464287630
619
6089
SH
SOLE
6089
0
0
Ishares S&P Smallcap 600 Index Fund
Com
464287804
458
4015
SH
SOLE
4015
0
0
Ishares Tr Dow Jones Select Divd Index
Com
464287168
4488
56518
SH
SOLE
56518
0
0
Ishares Tr Russell 3000 Value Index
Com
464287663
2459
18018
SH
SOLE
18018
0
0
Ishares Tr US Treas Infl Protected ETF
Com
464287176
277
2471
SH
SOLE
2471
0
0
Johnson & Johnson
Com
478160104
20318
194300
SH
SOLE
194300
0
0
JPMorgan Chase & Co
Com
46625H100
795
12702
SH
SOLE
12702
0
0
Kansas City Southern
Com
485170302
1843
15100
SH
SOLE
15100
0
0
Kimberly Clark Corp
Com
494368103
260
2246
SH
SOLE
2246
0
0
Kinder Morgan Holding Co.
Com
49456B101
238
5632
SH
SOLE
5632
0
0
Lilly Eli & Company
Com
532457108
349
5056
SH
SOLE
5056
0
0
Magellan Midstream Partners
Com
559080106
371
4490
SH
SOLE
4490
0
0
Marsh & McLennan Cos Inc
Com
571748102
549
9594
SH
SOLE
9594
0
0
McCormick & Co Non Vtg Shs
Com
579780206
9524
128177
SH
SOLE
128177
0
0
McDonalds Corp
Com
580135101
1954
20850
SH
SOLE
20850
0
0
Medtronic Inc
Com
585055106
11907
164914
SH
SOLE
164914
0
0
MercadoLibre Inc.
Com
58733R102
5336
41795
SH
SOLE
41795
0
0
Merck & Co Inc New
Com
58933Y105
2637
46440
SH
SOLE
46440
0
0
Microchip Technology Inc
Com
595017104
2212
49025
SH
SOLE
49025
0
0
Microsoft Corp
Com
594918104
26548
571544
SH
SOLE
571544
0
0
Moody's Corporation
Com
615369105
671
7000
SH
SOLE
7000
0
0
Mylan Laboratories Inc
Com
628530107
249
4413
SH
SOLE
4413
0
0
National Fuel Gas Company
Com
636180101
553
7950
SH
SOLE
7950
0
0
Noranda Aluminum Holding Corp.
Com
65542W107
56
16000
SH
SOLE
16000
0
0
Norfolk Southern Corp
Com
655844108
401
3660
SH
SOLE
3660
0
0
Northeast Utilities
Com
664397106
10839
202530
SH
SOLE
202530
0
0
Northern Trust Corp
Com
665859104
731
10849
SH
SOLE
10849
0
0
Novartis AG Sponsored ADR
Com
66987V109
630
6800
SH
SOLE
6800
0
0
Nuance Communications Inc
Com
67020Y100
3899
273203
SH
SOLE
273203
0
0
OvaScience, Inc.
Com
69014Q101
1974
44638
SH
SOLE
44638
0
0
Paychex Incorporated
Com
704326107
11194
242456
SH
SOLE
242456
0
0
Pepsico Incorporated
Com
713448108
6305
66678
SH
SOLE
66678
0
0
Pfizer Incorporated
Com
717081103
2327
74694
SH
SOLE
74694
0
0
Philip Morris Intl Inc
Com
718172109
663
8143
SH
SOLE
8143
0
0
Phillips 66
Com
718546104
250
3492
SH
SOLE
3492
0
0
PIMCO Dynamic Credit Income Fund
Com
72202D106
19353
937209
SH
SOLE
937209
0
0
PIMCO Enhanced Short Maturity ETF
Com
72201R833
19360
191565
SH
SOLE
191565
0
0
Plum Creek Timber Co Inc
Com
729251108
205
4790
SH
SOLE
4790
0
0
Portland General Electric Co
Com
736508847
9009
238153
SH
SOLE
238153
0
0
Praxair Incorporated
Com
74005P104
7434
57381
SH
SOLE
57381
0
0
Procter & Gamble Co
Com
742718109
19164
210382
SH
SOLE
210382
0
0
Proshares Ultrashort Lehman 20+ Year Treasury
Com
74347B201
1005
21670
SH
SOLE
21670
0
0
Qualcomm Inc
Com
747525103
16269
218881
SH
SOLE
218881
0
0
Raytheon Co New
Com
755111507
463
4282
SH
SOLE
4282
0
0
Rio Tinto PLC ADR
Com
767204100
749
16265
SH
SOLE
16265
0
0
Rockwell Automation Inc.
Com
773903109
265
2385
SH
SOLE
2385
0
0
Rockwell Collins Inc
Com
774341101
206
2441
SH
SOLE
2441
0
0
Royal Dutch Shell PLC ADR A
Com
780259206
313
4678
SH
SOLE
4678
0
0
RPM International Inc Delaware
Com
749685103
2697
53194
SH
SOLE
53194
0
0
Schlumberger Limited
Com
806857108
14543
170270
SH
SOLE
170270
0
0
Sealed Air Corporation
Com
81211K100
1290
30400
SH
SOLE
30400
0
0
Snap-On Inc.
Com
833034101
1406
10285
SH
SOLE
10285
0
0
Solera Holdings Inc
Com
83421A104
13293
259728
SH
SOLE
259728
0
0
Southern Company
Com
842587107
217
4427
SH
SOLE
4427
0
0
SPDR S & P 500 ETF Trust
Com
78462F103
8649
42079
SH
SOLE
42079
0
0
SPDR S&P Dividend ETF
Com
78464A763
243
3081
SH
SOLE
3081
0
0
Stericycle Inc
Com
858912108
10141
77365
SH
SOLE
77365
0
0
Stryker Corporation
Com
863667101
1109
11753
SH
SOLE
11753
0
0
Sysco Incorporated
Com
871829107
395
9940
SH
SOLE
9940
0
0
Target Incorporated
Com
87612E106
936
12329
SH
SOLE
12329
0
0
Texas Instruments Inc
Com
882508104
225
4214
SH
SOLE
4214
0
0
Thermo Fisher Scientific Inc
Com
883556102
12879
102793
SH
SOLE
102793
0
0
Travelers Companies Inc
Com
89417E109
998
9432
SH
SOLE
9432
0
0
UGI Corporation
Com
902681105
21830
574778
SH
SOLE
574778
0
0
Union Pacific Corp
Com
907818108
6652
55839
SH
SOLE
55839
0
0
United Parcel Service Inc Cl B
Com
911312106
19133
172102
SH
SOLE
172102
0
0
United Technologies Corp
Com
913017109
1579
13733
SH
SOLE
13733
0
0
Unum Group
Com
91529Y106
279
8000
SH
SOLE
8000
0
0
Valhi Incorporated
Com
918905100
1564
244000
SH
SOLE
244000
0
0
Valley National Bancorp
Com
919794107
485
49941
SH
SOLE
49941
0
0
Vanguard Bond Index ETF
Com
921937835
5490
66655
SH
SOLE
66655
0
0
Vanguard Emerging Markets Fund
Com
922042858
12790
319590
SH
SOLE
319590
0
0
Vanguard Europe Fund
Com
922042874
269
5140
SH
SOLE
5140
0
0
Vanguard Extended Market Index Fund
Com
922908652
774
8822
SH
SOLE
8822
0
0
Vanguard FTSE All-World Ex-US ETF
Com
922042775
1101
23500
SH
SOLE
23500
0
0
Vanguard Index Funds Mid Cap Value ETF
Com
922908512
807
9020
SH
SOLE
9020
0
0
Vanguard Index Tr Total Stk Mkt Vipers
Com
922908769
1483
13992
SH
SOLE
13992
0
0
Vanguard Midcap ETF
Com
922908629
451
3653
SH
SOLE
3653
0
0
Vanguard MSCI Europe Pacific Index Fund
Com
921943858
677
17871
SH
SOLE
17871
0
0
Vanguard Short Term Bond ETF
Com
921937827
13970
174730
SH
SOLE
174730
0
0
Vanguard Specialized REIT ETF
Com
922908553
433
5349
SH
SOLE
5349
0
0
Vanguard Value Index Fund
Com
922908744
1833
21700
SH
SOLE
21700
0
0
Vanguard Whitehall Fds High Div Yld
Com
921946406
725
10550
SH
SOLE
10550
0
0
Verastem, Inc.
Com
92337C104
2648
289741
SH
SOLE
289741
0
0
VeriFone Systems Inc
Com
92342Y109
4366
117360
SH
SOLE
117360
0
0
Verizon Communications Inc
Com
92343V104
6833
146067
SH
SOLE
146067
0
0
Visa Corporation
Com
92826C839
19269
73488
SH
SOLE
73488
0
0
Vodafone Group PLC Spon ADR New
Com
92857W308
6174
180685
SH
SOLE
180685
0
0
Walgreens Boots Alliance Inc Com
Com
931427108
23851
313010
SH
SOLE
313010
0
0
Waste Management, Inc.
Com
94106L109
506
9866
SH
SOLE
9866
0
0
Watsco Inc
Com
942622200
14678
137174
SH
SOLE
137174
0
0
Wellesley Bancorp.
COM
949485106
483
25147
SH
SOLE
25147
0
0
Wells Fargo & Company
COM
949746101
14729
268687
SH
SOLE
268687
0
0
Whole Foods Market Inc
COM
966837106
204
4042
SH
SOLE
4042
0
0
Wisdomtree Intl Midcap Div Fund
INTL MIDCAP DV
97717W778
13707
246493
SH
SOLE
246493
0
0
Yandex NV Cl A
SHS CLASS A
N97284108
6555
365000
SH
SOLE
365000
0
0
Yum! Brands, Inc.
COM
988498101
7414
101773
SH
SOLE
101773
0
0
Zimmer Holdings Inc
COM
98956P102
787
6942
SH
SOLE
6942
0
0