13F-HR 1 dec-2010.txt TYPE: 13F-HR PERIOD: 12/31/2010 FILER CIK 1259671 CCC e#fkfe6e SUBMISSION-CONTACT NAME Carol Sullivan PHONE 410-653-8198 UNITED STATES SECURITIES AND EXCHANGE COMMISSION "Washington, DC 20549" FORM 13F FORM 13F COVER PAGE 18: Report of the Calendar Year or Quarter Ended: December 31, 2010 Check here if Amendment [ ]; Amendment Number: This Amendment (Check only one): [ ] is a restatement [ ] adds new holdings entries Institutional Investment Manager Filing this Report: Name: Wagner Bowman Management Corp Address: "1838 Greene Tree Road, Suite 280" "Baltimore, Maryland 21208" 13F File Number: 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 that it is understood that all required items, statements, "schedules, lists, and tables are considered integral parts of this form Person Signing this Report of Behalf of Reporting Manager: Name: Carol Sullivan Title: Administrator Phone: 410-653-7979 "Signature, Place, and Data of Signing:" Carol Sullivan Baltimore, Maryland January 21, 2011 Report Type (Check only one): [ X ] 13F HOLDINGS REPORTS [ ] 13 F NOTICE [ ] 13F COMBINATION REPORT List of Other Managers Reporting for this Manager: None I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE ACT OF 1934 FORM 13F SUMMARY PAGE Report Summary: Number of Other Included Managers: 0 Form 13F Information Table Entry Total: 176 Form 13F Information Table Value Total: "172,773" List of Other Included Managers: None DESCRIPTION CLASS CUSIP $000s QTY TYPE PT/CL DISCR MGRS SOLE SHR'D NONE 3 M Company COM 88579Y101 2270 26309 Shares NONE SOLE NONE 17779 0 8530 A J Gallagher COM 036376109 547 18800 Shares NONE SOLE NONE 18800 0 0 A T & T COM 00206R102 960 32665 Shares NONE SOLE NONE 20416 0 12249 Abb Ltd Adr ADR 000375204 251 11198 Shares NONE SOLE NONE 8394 0 2804 Abbott Lab COM 002824100 1644 34311 Shares NONE SOLE NONE 21541 0 12770 Aflac Inc COM 001055102 1347 23871 Shares NONE SOLE NONE 16889 0 6982 Altria Group COM 02209S103 1391 56502 Shares NONE SOLE NONE 40071 0 16431 Amer Express COM 025816109 558 13002 Shares NONE SOLE NONE 9029 0 3973 American Elec COM 025537101 891 24762 Shares NONE SOLE NONE 15369 0 9393 Amerigas LP LP 030975106 381 7800 Shares NONE SOLE NONE 6150 0 1650 Amern Tower Corp CL A 029912201 389 7525 Shares NONE SOLE NONE 5525 0 2000 Amphenol Corp CL A 032095101 288 5450 Shares NONE SOLE NONE 4750 0 700 Andarko Pete COM 032511107 406 5325 Shares NONE SOLE NONE 4207 0 1118 Apache COM 037411105 632 5302 Shares NONE SOLE NONE 3642 0 1660 Apple Computer COM 037833100 697 2162 Shares NONE SOLE NONE 1690 0 472 Automatic Data COM 053015103 646 13952 Shares NONE SOLE NONE 8775 0 5177 Baker Hughes COM 057224107 642 11235 Shares NONE SOLE NONE 8865 0 2370 BankAmerica COM 060505104 258 19321 Shares NONE SOLE NONE 10797 0 8524 BB&T Corp COM 054937107 556 21138 Shares NONE SOLE NONE 15670 0 5468 Berkshire Hath CL B 084670207 427 5330 Shares NONE SOLE NONE 5040 0 290 Blackrock Corp COM 09255M104 79 11600 Shares NONE SOLE NONE 3000 0 8600 Blackrock Ltd COM 09249W101 191 11700 Shares NONE SOLE NONE 3500 0 8200 Boeing Co COM 097023105 224 3426 Shares NONE SOLE NONE 3226 0 200 Bristol Myers COM 110122108 272 10259 Shares NONE SOLE NONE 4578 0 5681 Buyckeye Ptrs COM 118230101 404 6045 Shares NONE SOLE NONE 5095 0 950 Cardinal Health COM 14149Y108 237 6193 Shares NONE SOLE NONE 2550 0 3643 Caterpillar Inc COM 149123101 1977 21106 Shares NONE SOLE NONE 14877 0 6229 Celanese Corp COM 150870103 657 15950 Shares NONE SOLE NONE 11100 0 4850 Chesapeake Ergy COM 165167107 363 14002 Shares NONE SOLE NONE 9152 0 4850 Chevron Corp COM 166764100 3391 37159 Shares NONE SOLE NONE 26579 0 10580 Chubb Corp COM 171232101 2057 34496 Shares NONE SOLE NONE 22848 0 11648 Cisco Systems COM 17275R102 1206 59623 Shares NONE SOLE NONE 47517 0 12106 Citigroup COM 172967101 63 13220 Shares NONE SOLE NONE 12155 0 1065 Clorox Co COM 189054109 622 9822 Shares NONE SOLE NONE 5651 0 4171 Coca-Cola Co COM 191216100 1915 29116 Shares NONE SOLE NONE 18665 0 10451 Colgate-Palm COM 194162103 1671 20787 Shares NONE SOLE NONE 14425 0 6362 CommonWealth REIT REIT 203233101 332 13031 Shares NONE SOLE NONE 8056 0 4975 ConocoPhillips COM 20825C104 1089 15988 Shares NONE SOLE NONE 10669 0 5319 Costco Whsl COM 22160K105 710 9835 Shares NONE SOLE NONE 5757 0 4078 Crestwood COM 226372100 295 10850 Shares NONE SOLE NONE 7975 0 2875 Crown Castle COM 228227104 476 10850 Shares NONE SOLE NONE 7700 0 3150 CSX Corp COM 126408103 930 14387 Shares NONE SOLE NONE 11663 0 2724 Cummins Inc COM 231021106 2438 22163 Shares NONE SOLE NONE 15207 0 6956 CVS Caremark COM 126650100 980 28192 Shares NONE SOLE NONE 15945 0 12247 Danaher Corp COM 235851102 767 16250 Shares NONE SOLE NONE 10050 0 6200 Deere & Co COM 244199105 1217 14653 Shares NONE SOLE NONE 10402 0 4251 Devon Energy COM 25179M103 433 5511 Shares NONE SOLE NONE 3556 0 1955 Dominion Res COM 25746U109 228 5326 Shares NONE SOLE NONE 4229 0 1097 DOW 30 Enh Prem COM 260537105 114 11004 Shares NONE SOLE NONE 5004 0 6000 Duke Energy COM 26441C105 825 46300 Shares NONE SOLE NONE 33551 0 12749 Eastman Chem COM 277432100 610 7256 Shares NONE SOLE NONE 5892 0 1364 Eaton Vance COM 27828H105 398 24810 Shares NONE SOLE NONE 13110 0 11700 Ecolab Inc COM 278865100 484 9596 Shares NONE SOLE NONE 8171 0 1425 Eli Lilly Co COM 532457108 337 9629 Shares NONE SOLE NONE 6633 0 2996 Emerson Elec COM 291011104 914 15990 Shares NONE SOLE NONE 8065 0 7925 Enbridge Egy LP COM 29250R106 484 7754 Shares NONE SOLE NONE 6100 0 1654 Energy Transfer LP 29273R109 614 11850 Shares NONE SOLE NONE 9950 0 1900 Enterprise Prod LP 293792107 230 5525 Shares NONE SOLE NONE 4075 0 1450 Exelon COM 30161N101 218 5244 Shares NONE SOLE NONE 3650 0 1594 Exxon Mobil COM 30231G102 4048 55354 Shares NONE SOLE NONE 38360 0 16994 Family Dollar COM 307000109 667 13417 Shares NONE SOLE NONE 10265 0 3152 Ferrellgas LP 315293100 341 13297 Shares NONE SOLE NONE 8104 0 5193 Financial SPDR SBI 81369Y605 636 39881 Shares NONE SOLE NONE 34822 0 5059 Fiserv Inc COM 337738108 522 8908 Shares NONE SOLE NONE 5908 0 3000 Flowserve COM 34354P105 340 2855 Shares NONE SOLE NONE 2515 0 340 Fluor Corp COM 343412102 815 12300 Shares NONE SOLE NONE 8632 0 3668 Franklin Temp COM 35472T101 139 10600 Shares NONE SOLE NONE 2300 0 8300 Freeport McMoRan COM 36571D857 348 2900 Shares NONE SOLE NONE 1900 0 1000 Frontier Comm COM 35906A108 207 21284 Shares NONE SOLE NONE 8141 0 13143 Fulton Finan COM 360271100 139 13441 Shares NONE SOLE NONE 679 0 12762 General Elec COM 369604103 1318 72077 Shares NONE SOLE NONE 49871 0 22206 General Mills COM 370334104 661 18567 Shares NONE SOLE NONE 15238 0 3329 Genvec Inc COM 37246C109 11 20325 Shares NONE SOLE NONE 20325 0 0 Goldman Sachs COM 38141G104 1243 7392 Shares NONE SOLE NONE 5662 0 1730 Google CL A 38259P508 264 444 Shares NONE SOLE NONE 384 0 60 H J Heinz Co. COM 423074103 1206 24375 Shares NONE SOLE NONE 15747 0 8628 Haemonetics COM 405024100 227 3600 Shares NONE SOLE NONE 2000 0 1600 Halliburton COM 406216101 242 5936 Shares NONE SOLE NONE 4066 0 1870 Henry Schein COM 806407102 271 4410 Shares NONE SOLE NONE 2610 0 1800 Hewlett-Packrd COM 428236103 1148 27275 Shares NONE SOLE NONE 15521 0 11754 Home Depot COM 437076102 657 18725 Shares NONE SOLE NONE 13962 0 4763 Home Prop Of Ny COM 437306103 795 14318 Shares NONE SOLE NONE 9569 0 4749 Honeywell Intl COM 438516106 969 18220 Shares NONE SOLE NONE 13470 0 4750 Illinois Tool COM 452308109 764 14308 Shares NONE SOLE NONE 10508 0 3800 Intel Corp COM 458140100 1477 70223 Shares NONE SOLE NONE 40724 0 29499 Intl Bus Mach COM 459200101 1958 13341 Shares NONE SOLE NONE 8506 0 4835 Int'l Paper COM 460146103 373 13693 Shares NONE SOLE NONE 9318 0 4375 iShares Russell ETF 464287689 205 2735 Shares NONE SOLE NONE 1685 0 1050 J P Morgan COM 46625H100 418 9860 Shares NONE SOLE NONE 8038 0 1822 John Hancock COM 41013X106 195 10480 Shares NONE SOLE NONE 2480 0 8000 Johnson & John COM 478160104 3912 63255 Shares NONE SOLE NONE 38619 0 24636 Johnson Control COM 478366107 492 12887 Shares NONE SOLE NONE 12187 0 700 Kellogg Co COM 487836108 780 15265 Shares NONE SOLE NONE 10394 0 4871 Kimberly Clark COM 494368103 1609 25527 Shares NONE SOLE NONE 18032 0 7495 Kinder Mrgn LTD PTR 494550106 1012 14410 Shares NONE SOLE NONE 10740 0 3670 Kraft Foods CL A 50075N104 596 18916 Shares NONE SOLE NONE 14759 0 4157 Lockheed Martin COM 539830109 309 4419 Shares NONE SOLE NONE 2917 0 1502 Loews Corp COM 540424108 838 21527 Shares NONE SOLE NONE 15225 0 6302 Lorrilard COM 544147101 394 4805 Shares NONE SOLE NONE 3855 0 950 Lowes Companies COM 548661107 1185 47253 Shares NONE SOLE NONE 28810 0 18443 M&T Bank COM 55261F104 224 2570 Shares NONE SOLE NONE 1135 0 1435 Magellan MidStream LP 559080106 332 5879 Shares NONE SOLE NONE 4956 0 923 Marathon Oil COM 565849100 277 7475 Shares NONE SOLE NONE 4850 0 2625 Mattel COM 577081102 275 10824 Shares NONE SOLE NONE 9124 0 1700 McDonalds Corp COM 580135101 3519 45851 Shares NONE SOLE NONE 34087 0 11764 Medco Health COM 58405U102 627 10238 Shares NONE SOLE NONE 5254 0 4984 Medical Pptys COM 58463J304 145 13350 Shares NONE SOLE NONE 7850 0 5500 Medtronic Inc COM 585055106 915 24678 Shares NONE SOLE NONE 15361 0 9317 Merck COM 58933Y105 712 19756 Shares NONE SOLE NONE 12035 0 7721 Metlife Inc COM 59156R108 1387 31220 Shares NONE SOLE NONE 23118 0 8102 Microsoft Corp COM 594918104 1505 53934 Shares NONE SOLE NONE 38951 0 14983 Morgan Stanley COM 617446448 221 8125 Shares NONE SOLE NONE 4025 0 4100 NextEra COM 65339F101 620 11934 Shares NONE SOLE NONE 9000 0 2934 Nike CL B 654106103 1741 20377 Shares NONE SOLE NONE 13107 0 7270 Noble Drilling SHS G65422100 244 6825 Shares NONE SOLE NONE 5425 0 1400 Norfolk South COM 655844108 1880 29935 Shares NONE SOLE NONE 20565 0 9370 Northrop Grum COM 666807102 533 8223 Shares NONE SOLE NONE 4357 0 3866 Nustar Energy COM 67058H102 1272 18312 Shares NONE SOLE NONE 13864 0 4448 NYSE Euronext COM 629491101 229 7650 Shares NONE SOLE NONE 6200 0 1450 Occidental Petr COM 674599105 470 4788 Shares NONE SOLE NONE 3188 0 1600 Oneok Partners Lp COM 68268N103 399 5025 Shares NONE SOLE NONE 500 0 4525 Oracle Corp COM 68389X105 1728 55215 Shares NONE SOLE NONE 35713 0 19502 Parker Hannifin COM 701094104 773 8955 Shares NONE SOLE NONE 5999 0 2956 Peabody Engy COM 704549104 242 3775 Shares NONE SOLE NONE 2775 0 1000 Pepsico COM 713448108 3359 51412 Shares NONE SOLE NONE 34035 0 17377 Pfizer Inc COM 717081103 1159 66201 Shares NONE SOLE NONE 46434 0 19767 Philip Morris I COM 718172109 1352 23107 Shares NONE SOLE NONE 17546 0 5561 Pitney Bowes COM 724479100 504 20840 Shares NONE SOLE NONE 15800 0 5040 Plains All Amern Pip ULP 726503105 422 6725 Shares NONE SOLE NONE 5325 0 1400 Plum Crk Timber COM 729251108 214 5702 Shares NONE SOLE NONE 4302 0 1400 Procter Gamble COM 742718109 4566 70985 Shares NONE SOLE NONE 42679 0 28306 Progress Energy Inc COM 743263105 669 15375 Shares NONE SOLE NONE 10366 0 5009 Prudential Fin COM 744320102 1155 19666 Shares NONE SOLE NONE 15326 0 4340 Public Ent COM 744573106 263 8266 Shares NONE SOLE NONE 6191 0 2075 Quest Diagnos COM 74834L100 583 10794 Shares NONE SOLE NONE 5544 0 5250 Royal Dutch ADR 780259206 1370 20510 Shares NONE SOLE NONE 17995 0 2515 S&P Depository UNIT 78462F103 1071 8516 Shares NONE SOLE NONE 7329 0 1187 Schlumberger COM 806857108 1664 19930 Shares NONE SOLE NONE 13831 0 6099 Schwab Intl ETF 808524805 200 7227 Shares NONE SOLE NONE 2748 0 4479 Simon Property COM 828806109 230 2313 Shares NONE SOLE NONE 2161 0 152 Southern Co COM 842587107 280 7326 Shares NONE SOLE NONE 5020 0 2306 SPDR Gold Shrs GOLD 78463V107 1266 9127 Shares NONE SOLE NONE 5667 0 3460 Stanley BDK COM 854502101 222 3314 Shares NONE SOLE NONE 2750 0 564 Starbucks COM 855244109 411 12782 Shares NONE SOLE NONE 7608 0 5174 Stryker Corp COM 863667101 254 4725 Shares NONE SOLE NONE 2625 0 2100 Suburban Prop ULP 864482104 565 10071 Shares NONE SOLE NONE 7421 0 2650 Sun Comm COM 866674104 204 6125 Shares NONE SOLE NONE 4825 0 1300 Sunoco COM 86764P109 378 9382 Shares NONE SOLE NONE 4817 0 4565 SunTrust Banks COM 867914103 360 12193 Shares NONE SOLE NONE 8455 0 3738 T Rowe Price COM 74144T108 292 4520 Shares NONE SOLE NONE 4370 0 150 Target Inc COM 87612E106 1421 23637 Shares NONE SOLE NONE 16124 0 7513 TC Pipeline LP 87233Q108 220 4225 Shares NONE SOLE NONE 3700 0 525 Teva Pharm ADR 881624209 886 16995 Shares NONE SOLE NONE 12267 0 4728 Timken Company COM 887389104 870 18225 Shares NONE SOLE NONE 10875 0 7350 Transocean Inc SHS G90073100 425 6108 Shares NONE SOLE NONE 4304 0 1804 Travelers Co COM 89417E109 961 17251 Shares NONE SOLE NONE 13269 0 3982 U S Bancorp COM 902973304 225 8335 Shares NONE SOLE NONE 5670 0 2665 Union Pac COM 907818108 461 4970 Shares NONE SOLE NONE 3640 0 1330 United Tech COM 913017109 1318 16747 Shares NONE SOLE NONE 12480 0 4267 Verizon COM 92343V104 552 15423 Shares NONE SOLE NONE 10031 0 5392 Vguard All Wrld ETF 922042775 9131 191315 Shares NONE SOLE NONE 140747 0 50568 Vguard Health ETF 92204A504 4461 79303 Shares NONE SOLE NONE 57493 0 21810 Vguard Inf Tech ETF 92204A702 8662 140800 Shares NONE SOLE NONE 107599 0 33201 Vguard Mid Cap ETF 922908629 343 4602 Shares NONE SOLE NONE 3927 0 675 Vguard Sm Cap ETF 922908751 6783 93386 Shares NONE SOLE NONE 78978 0 14408 Vguard Stk Mkt ETF 922908769 4165 64143 Shares NONE SOLE NONE 49466 0 14677 Vguard Telecom ETF 92204A884 2287 34849 Shares NONE SOLE NONE 26274 0 8575 Vguard Ttl Wrld ETF 992042742 398 8327 Shares NONE SOLE NONE 7568 0 759 Visa COM 92826C839 400 5685 Shares NONE SOLE NONE 3985 0 1700 Walgreen COM 931422109 355 9118 Shares NONE SOLE NONE 7518 0 1600 Walmart Stores COM 931142103 634 11752 Shares NONE SOLE NONE 5687 0 6065 Walt Disney COM 254687106 2135 56929 Shares NONE SOLE NONE 38348 0 18581 Washington REIT COM 939653101 201 6493 Shares NONE SOLE NONE 3456 0 3037 Wells Fargo COM 949746101 1065 34375 Shares NONE SOLE NONE 24818 0 9557 Yum! Brands Inc COM 988498101 1526 31113 Shares NONE SOLE NONE 20590 0 10523 Zimmer Holdings COM 98956P102 241 4490 Shares NONE SOLE NONE 2515 0 1975