0001356643-13-000002.txt : 20130515
0001356643-13-000002.hdr.sgml : 20130515
20130515090619
ACCESSION NUMBER: 0001356643-13-000002
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 1
CONFORMED PERIOD OF REPORT: 20130331
FILED AS OF DATE: 20130515
DATE AS OF CHANGE: 20130515
EFFECTIVENESS DATE: 20130515
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: Maryland Capital Management
CENTRAL INDEX KEY: 0001356643
IRS NUMBER: 201819985
STATE OF INCORPORATION: MD
FISCAL YEAR END: 1231
FILING VALUES:
FORM TYPE: 13F-HR
SEC ACT: 1934 Act
SEC FILE NUMBER: 028-11860
FILM NUMBER: 13843943
BUSINESS ADDRESS:
STREET 1: 809 CATHEDRAL STREET
CITY: BALTIMORE
STATE: MD
ZIP: 21201
BUSINESS PHONE: 410-547-2666
MAIL ADDRESS:
STREET 1: 809 CATHEDRAL STREET
CITY: BALTIMORE
STATE: MD
ZIP: 21201
FORMER COMPANY:
FORMER CONFORMED NAME: Maryland Capital Management, LLC
DATE OF NAME CHANGE: 20060317
13F-HR
1
thirteenf_033113.txt
UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
WASHINGTON, D.C. 20549
FORM 13F
FORM 13F COVER PAGE
Report for the Calendar Year or Quarter Ended: March 31, 2013
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: Maryland Capital Management, LLC
Address: 800 N. Charles Street, Suite 500
Baltimore, MD 21201
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 submission.
Person Signing this Report on Behalf of Reporting Manager:
Name: Andrew T. Chudy
Title: Associate Analyst
Phone: 410-547-2666
Signature, Place, and Date of Signing:
Andrew T. Chudy Baltimore, MD May 14, 2013
Report Type (Check only one.):
[X] 13F HOLDINGS REPORT.
[ ] 13F NOTICE.
[ ] 13F COMBINATION REPORT.
List of Other Managers Reporting for this Manager:
FORM 13F SUMMARY PAGE
Report Summary:
Number of Other Included Managers: 0
Form 13F Information Table Entry Total: 204
Form 13F Information Table Value Total: $526,566
List of Other Included Managers: None
FORM 13F INFORMATION TABLE
VALUE SHARES/ SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY
NAME OF ISSUER TITLE OF CLASS CUSIP (x$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------
3M Company COM 88579Y101 613 5769 SH Sole 5769
AT&T Inc. COM 00206R102 4696 127995 SH Sole 127995
AbbVie, Inc. COM 00287Y109 926 22705 SH Sole 22705
Abbott Laboratories COM 002824100 12437 352133 SH Sole 352133
Accenture PLC COM G1150G111 270 3550 SH Sole 3550
Actavis, Inc. COM 00507k103 13408 145570 SH Sole 145570
Aflac Inc. COM 001055102 12258 235649 SH Sole 235649
Allergan, Inc. COM 018490102 230 2060 SH Sole 2060
Altria Group Inc. COM 02209S103 647 18824 SH Sole 18824
American Campus Communities COM 024835100 452 9970 SH Sole 9970
American Express Co. COM 025816109 254 3771 SH Sole 3771
Apple Inc. COM 037833100 13579 30677 SH Sole 30677
Aqua America Corp. COM 03836W103 471 14986 SH Sole 14986
Arch Capital Group Ltd. COM G0450A105 205 3900 SH Sole 3900
Arthur J. Gallagher & Co. COM 363576109 934 22600 SH Sole 22600
BB&T Corporation COM 054937107 2102 66971 SH Sole 66971
Bank of America Corp. COM 060505104 198 16260 SH Sole 16260
Berkshire Hathaway, Inc.- CL B COM 084670207 2587 24827 SH Sole 24827
Boardwalk Pipeline Partners, L COM 096627104 468 15980 SH Sole 15980
Bristol Myers Squibb, Inc. COM 110122108 1039 25225 SH Sole 25225
Buckeye Partners UTS Limited P COM 118230101 618 10100 SH Sole 10100
CVS Caremark Corp. COM 126650100 1049 19072 SH Sole 19072
Canadian National RY Co. COM 136375102 201 2000 SH Sole 2000
Catamaran Corporation COM 148887102 18573 350239 SH Sole 350239
Caterpillar Inc. COM 149123101 597 6859 SH Sole 6859
CenturyLink, Inc. COM 156700106 1574 44817 SH Sole 44817
Chevron Corp. COM 166764100 2644 22252 SH Sole 22252
Chipotle Mexican Grill Inc. COM 169656105 17127 52558 SH Sole 52558
Cincinnati Financial Corporati COM 172062101 980 20750 SH Sole 20750
Coca-Cola Co. COM 191216100 1921 47497 SH Sole 47497
Colgate Palmolive Co. COM 194162103 760 6437 SH Sole 6437
Concho Resources Inc. COM 20605P101 203 2085 SH Sole 2085
ConocoPhillips COM 20825c104 3926 65320 SH Sole 65320
Consol Energy Inc. COM 20854P109 294 8740 SH Sole 8740
Consolidated Edison Co., Inc. COM 209115104 411 6733 SH Sole 6733
Corporate Office Properties Tr COM 22002T108 3361 125975 SH Sole 125975
Costco Wholesale Corp. COM 22160K105 442 4162 SH Sole 4162
Covidien PLC - F COM G2552X108 218 3220 SH Sole 3220
Cummins Inc. COM 231021106 9418 81321 SH Sole 81321
DTE Energy Co. COM 233331107 205 3000 SH Sole 3000
Deere & Co., Inc. COM 244199105 10481 121904 SH Sole 121904
Dominion Resources, Inc. COM 25746U109 1589 27303 SH Sole 27303
Duke Energy Corp. COM 26441C204 3638 50119 SH Sole 50119
Dupont Co., Inc. COM 263534109 2003 40735 SH Sole 40735
EMC Corp. COM 268648102 222 9275 SH Sole 9275
Eli Lilly & Co. COM 532457108 1541 27133 SH Sole 27133
Empire District Electric Co. COM 291641108 358 16000 SH Sole 16000
Enbridge Energy Partners, LP COM 29250R106 2654 88050 SH Sole 88050
Enterprise Products Partners L COM 293792107 1887 31295 SH Sole 31295
Exelon Corporation COM 30161N101 333 9662 SH Sole 9662
Express Scripts Holding Compan COM 30219G108 23136 401531 SH Sole 401531
Exxon Mobil Corp. COM 30231G102 19698 218604 SH Sole 218604
Federal Realty Investment Trus COM 313747206 249 2305 SH Sole 2305
FelCor Lodging Trust Incorpora COM 31430F101 59 10000 SH Sole 10000
Foot Locker Inc. COM 344849104 249 7280 SH Sole 7280
Ford Motor Corp. COM 345370860 306 23304 SH Sole 23304
Frontier Communications COM 35906A108 100 25066 SH Sole 25066
General Electric Co., Inc. COM 369604103 16139 698059 SH Sole 698059
Glimcher Realty Trust REIT COM 379302102 134 11575 SH Sole 11575
Google Inc. COM 38259P508 10529 13258 SH Sole 13258
HCP, Inc. COM 40414L109 4264 85528 SH Sole 85528
Health Care Reit Inc. COM 42217K106 5700 83939 SH Sole 83939
Healthcare Realty Trust Inc. COM 421946104 418 14725 SH Sole 14725
Home Depot, Inc. COM 437076102 1077 15437 SH Sole 15437
Home Properties, Inc. COM 437306103 1145 18060 SH Sole 18060
Intel Corp. COM 458140100 10444 478319 SH Sole 478319
Intl Business Machines, Corp. COM 459200101 2282 10699 SH Sole 10699
Intuitive Surgical Inc. COM 46120E602 312 636 SH Sole 636
J P Morgan Chase & Co. COM 46625H100 1173 24726 SH Sole 24726
Johnson & Johnson COM 478160104 2803 34375 SH Sole 34375
Kimberly Clark Corp. COM 494368103 1035 10560 SH Sole 10560
Kinder Morgan Energy Unit LTD COM 494550106 4026 44853 SH Sole 44853
Kinder Morgan Inc. COM 49456B101 597 15445 SH Sole 15445
Kraft Foods Group COM 50076Q106 309 6003 SH Sole 6003
Las Vegas Sands Corp. COM 517834107 11485 203820 SH Sole 203820
Lowes Companies, Inc. COM 548661107 440 11615 SH Sole 11615
M & T Bank Corp. COM 55261F104 10511 101888 SH Sole 101888
Marathon Oil Corp. COM 565849106 261 7741 SH Sole 7741
Marathon Petroleum Corporation COM 56585a102 317 3540 SH Sole 3540
Mastercard Incorporated COM 57636Q104 9950 18388 SH Sole 18388
McCormick & Co., Inc. - Voting COM 579780107 7644 104217 SH Sole 104217
McCormick & Company, Inc. COM 579780206 4689 63746 SH Sole 63746
McDonald's Corp., Inc. COM 580135101 1366 13701 SH Sole 13701
Medtronic, Inc. COM 585055106 725 15447 SH Sole 15447
Merck & Co., Inc. COM 589331107 1177 26627 SH Sole 26627
Microsoft Corp. COM 594918104 10579 369836 SH Sole 369836
Mondelez Int'l. Inc. COM 50075N104 452 14768 SH Sole 14768
NII Holdings Inc. COM 62913F201 130 30000 SH Sole 30000
NextEra Energy COM 65339f101 917 11800 SH Sole 11800
Occidental Petroleum Corp., In COM 674599105 237 3025 SH Sole 3025
Oceaneering Intl Inc. COM 675232102 272 4100 SH Sole 4100
Omega Healthcare Invs REIT COM 681936100 995 32775 SH Sole 32775
Oracle Corp. COM 68389X105 376 11620 SH Sole 11620
PPL Corporation COM 69351T106 1617 51645 SH Sole 51645
Paychex, Inc. COM 704326107 375 10700 SH Sole 10700
Pembina Pipeline Corp. Ordinar COM 706327103 263 8330 SH Sole 8330
Pepco Holdings COM 713291102 634 29633 SH Sole 29633
Pepsico, Inc. COM 713448108 13199 166843 SH Sole 166843
Pfizer, Inc. COM 717081103 2854 98884 SH Sole 98884
Philip Morris International In COM 718172109 1380 14880 SH Sole 14880
Phillips 66 COM 718546104 367 5243 SH Sole 5243
Pitney Bowes Inc. COM 724479100 235 15792 SH Sole 15792
Plum Creek Timber Co. REIT COM 729251108 520 9960 SH Sole 9960
Procter & Gamble, Co. COM 742718109 12896 167352 SH Sole 167352
Prologis REIT COM 743410102 212 5299 SH Sole 5299
Qualcomm, Inc. COM 747525103 10670 159392 SH Sole 159392
Rock-Tenn Company-CL A COM 772739207 1165 12553 SH Sole 12553
Royal Dutch Shell COM 780259206 324 4980 SH Sole 4980
Sandy Spring Bancorp, Inc. COM 800363103 370 18400 SH Sole 18400
Schlumberger Inc. COM 806857108 752 10044 SH Sole 10044
Simon Property Group COM 828806109 326 2058 SH Sole 2058
Southern Company, Inc. COM 842587107 1669 35580 SH Sole 35580
Suburban Propane Partners, L.P COM 864482104 728 16355 SH Sole 16355
T J X Cos Inc. COM 872540109 201 4300 SH Sole 4300
T.Rowe Price Group, Inc. COM 74144T108 1148 15327 SH Sole 15327
Time Warner Cable COM 88732J108 540 5617 SH Sole 5617
Time Warner Inc. COM 887317105 1420 24641 SH Sole 24641
U S Bancorp. COM 902973304 338 9967 SH Sole 9967
Under Armour, Inc. COM 904311107 11014 215119 SH Sole 215119
Universal Health Realty Income COM 91359E105 469 8120 SH Sole 8120
V.F. Corporation COM 918204108 16076 95832 SH Sole 95832
Ventas, Inc. COM 92276F100 1065 14549 SH Sole 14549
Verizon Communications COM 92343V104 4611 93819 SH Sole 93819
WGL Holdings, Inc. COM 92924F106 464 10526 SH Sole 10526
Wal-Mart Company, Inc. COM 931142103 955 12758 SH Sole 12758
Walt Disney Company, Inc. COM 254687106 268 4722 SH Sole 4722
Washington REIT COM 939653101 4230 151942 SH Sole 151942
Weingarten Realty Investors COM 948741103 441 13975 SH Sole 13975
Wells Fargo Inc. COM 949746101 713 19265 SH Sole 19265
Westar Energy, Inc. COM 95709T100 217 6555 SH Sole 6555
Whole Foods Market, Inc. COM 966837106 390 4495 SH Sole 4495
Windstream Corp. COM 97381W104 81 10267 SH Sole 10267
Yum Brands, Inc. COM 988498101 12175 169238 SH Sole 169238
eBay, Inc. COM 278642103 9501 175235 SH Sole 175235
Aegon NV 7.25% PFD PFD N00927348 597 23220 SH Sole 23220
BG&E Cap Trust II 6.20% Prefer PFD 05541Q206 2366 92340 SH Sole 92340
Bank of America 8.2% rep. 1/10 PFD 060505765 2347 92100 SH Sole 92100
Goldman Sachs Group, Inc. 6.12 PFD 38145X111 1513 56355 SH Sole 56355
Goldman Sachs- Series B Pfd. 6 PFD 266 10400 SH Sole 10400
Kimco Realty 6.90% PFD PFD 49446R828 471 17590 SH Sole 17590
Metlife Inc. 6.5% Pfd Non-cumu PFD 59156R603 1869 73745 SH Sole 73745
Partnerre Ltd. 6.5% Perpetual PFD G68603409 860 33745 SH Sole 33745
AGIC Conv & Income Fund ETF 65370F101 620 65375 SH Sole 65375
Alerian MLP ETF ETF 00162Q866 6295 355222 SH Sole 355222
Alliance Berstein Global High ETF 01879R106 1263 77355 SH Sole 77355
AllianceBernstein Income Fund ETF 01881E101 164 20025 SH Sole 20025
BlackRock Corporate High Yield ETF 09255P107 341 26400 SH Sole 26400
Calamos Cnv High Income Fund ETF 12811P108 355 27680 SH Sole 27680
Calamos Conv Opportunity Fund ETF 128117108 1660 131550 SH Sole 131550
ClearBridge Energy MLP Fund In ETF 210317103 252 9400 SH Sole 9400
Diamonds Trust Series ETF 78467X109 408 2810 SH Sole 2810
Global X FTSE Greece 20 ETF ETF 37950E366 536 35982 SH Sole 35982
Harbor Bond Fund Inst Cl ETF 411511108 166 13315 SH Sole 13315
Kayne Anderson Energy Total Re ETF 48660P104 226 7600 SH Sole 7600
Kayne Anderson MLP Investment ETF 486606106 904 26050 SH Sole 26050
MFS Charter Income Trust ETF 552727109 101 10000 SH Sole 10000
New America High Income Fund I ETF 641876800 115 10883 SH Sole 10883
Nicholas-Applegate Conv. Incom ETF 65370G109 283 32625 SH Sole 32625
Nuveen Equity Premier Income F ETF 6706ER101 184 14400 SH Sole 14400
Nuveen Equity Premier Oppty Fu ETF 6706EM102 180 14250 SH Sole 14250
Nuveen MD Prem Income Muni Fun ETF 67061Q107 262 18067 SH Sole 18067
Oakseed Opportunity Institutio ETF 46141P206 169 15861 SH Sole 15861
Pimco Corporate Oppty Fund ETF 72201B101 2059 95680 SH Sole 95680
Powershares India ETF ETF 73935L100 674 37350 SH Sole 37350
RidgeWorth US Gov. Sec. Ultra- ETF 76628T439 402 39496 SH Sole 39496
SPDR DJ Wilshire REIT ETF ETF 78464A607 2859 36827 SH Sole 36827
SPDR Gold Trust ETF ETF 78463V107 228 1475 SH Sole 1475
Shares MSCI Switzerland Index ETF 464286749 628 21382 SH Sole 21382
Vanguard Consumer Discretionar ETF 92204A108 432 5088 SH Sole 5088
Vanguard Industrials ETF ETF 92204A603 256 3209 SH Sole 3209
Vanguard Large Cap ETF 922908637 665 9273 SH Sole 9273
Vanguard MSCI EAFE ETF ETF 921943858 2178 59782 SH Sole 59782
Vanguard MSCI Emerging Markets ETF 922042858 3131 72982 SH Sole 72982
Vanguard Mid Cap ETF ETF 922908629 2109 22708 SH Sole 22708
Vanguard REIT ETF ETF 922908553 4527 64188 SH Sole 64188
Vanguard S&P 500 (ETF) ETF 922908413 222 3095 SH Sole 3095
Vanguard Small Cap ETF ETF 922908751 3582 39295 SH Sole 39295
Western Asst High Incm Opprtnt ETF 95766K109 382 60000 SH Sole 60000
iPath Dow Jones-AIG Commodity ETF 06738C778 1447 35635 SH Sole 35635
iPath MSCI India Index (ETN) ETF 06739F291 253 4425 SH Sole 4425
iShares Dow Jones U.S. Healthc ETF 464287762 383 3972 SH Sole 3972
iShares Dow Jones US Consumer ETF 464287812 353 4154 SH Sole 4154
iShares FTSE/Xinhua China 25 I ETF 464287184 1045 28285 SH Sole 28285
iShares Inc. MSCI Turkey Fund ETF 464286715 583 8190 SH Sole 8190
iShares JPMorgan USD Emer Mkt ETF 464288281 305 2589 SH Sole 2589
iShares MSCI ACWI ex US Consum ETF 464289628 383 5011 SH Sole 5011
iShares MSCI BRIC Index ETF 464286657 846 21780 SH Sole 21780
iShares MSCI EAFE Index Fund ETF 464287465 3600 61045 SH Sole 61045
iShares MSCI Emerging Markets ETF 464287234 1477 34523 SH Sole 34523
iShares MSCI Hong Kong Index F ETF 464286871 353 17785 SH Sole 17785
iShares MSCI Japan Index Fund ETF 464286848 112 10325 SH Sole 10325
iShares MSCI Taiwan Index Fund ETF 464286731 138 10316 SH Sole 10316
iShares MSCI Thai Index Fund ETF 464286624 625 6860 SH Sole 6860
iShares Mexico Index Fund ETF 464286822 646 8658 SH Sole 8658
iShares Russell 1000 Growth ETF 464287614 823 11526 SH Sole 11526
iShares Russell 2000 Index Fun ETF 464287655 4031 42688 SH Sole 42688
iShares Russell MidCap Index F ETF 464287499 823 6466 SH Sole 6466
iShares Russell Midcap Value I ETF 464288406 718 12605 SH Sole 12605
iShares TR Barclays Aggregate ETF 464287226 1283 11591 SH Sole 11591
iShares Tr Dow Jones RE US Rea ETF 464287739 752 10825 SH Sole 10825
iShares Trust Iboxx $ High Yie ETF 464288513 5633 59706 SH Sole 59706
iShares Trust Russell 2000 Gro ETF 464287648 625 5810 SH Sole 5810
iShares Trust S&P 500 Index ETF 464287200 6738 42821 SH Sole 42821
iShares iBoxx $ Invest Grade C ETF 464287242 899 7498 SH Sole 7498