0001162044-14-000936.txt : 20140807 0001162044-14-000936.hdr.sgml : 20140807 20140807121318 ACCESSION NUMBER: 0001162044-14-000936 CONFORMED SUBMISSION TYPE: 13F-HR PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20140630 FILED AS OF DATE: 20140807 DATE AS OF CHANGE: 20140807 EFFECTIVENESS DATE: 20140807 FILER: COMPANY DATA: COMPANY CONFORMED NAME: American Money Management, LLC CENTRAL INDEX KEY: 0001600085 IRS NUMBER: 330838332 STATE OF INCORPORATION: CA FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 13F-HR SEC ACT: 1934 Act SEC FILE NUMBER: 028-15963 FILM NUMBER: 141022643 BUSINESS ADDRESS: STREET 1: PO BOX 675203 CITY: RANCHO SANTA FE STATE: CA ZIP: 92067 BUSINESS PHONE: 858-755-0909 MAIL ADDRESS: STREET 1: PO BOX 675203 CITY: RANCHO SANTA FE STATE: CA ZIP: 92067 13F-HR 1 primary_doc.xml 13F-HR LIVE false false false 0001600085 XXXXXXXX 06-30-2014 06-30-2014 American Money Management, LLC
PO BOX 675203 RANCHO SANTA FE CA 92067
13F HOLDINGS REPORT 028-15963 N
Michael Moore Chief Compliance Officer 858 755-0909 Michael Moore Rancho Santa Fe CA 08-04-2014 0 95 122212 false
INFORMATION TABLE 2 holdingsreport.xml AbbVie Inc Com COM00287Y109212837698SHSOLENone3769800Altria Group Inc. COM02209S1033568485SHSOLENone848500Alcoa Inc.COM01381710134923165SHSOLENone2316500Anadarko Petroleum COM0325111079939072SHSOLENone907200Anheuser Busch Co Inc ADR03524A108182015835SHSOLENone1583500Apple Computer Inc COM037833100387941736SHSOLENone4173600Arm Holdings Plc Adr ADR42068106115725575SHSOLENone2557500Baker Hughes Inc COM0572241073434605SHSOLENone460500Berkshire Hathaway ACOM0846701087604SHSOLENone400Berkshire Hathaway B COM08467070212209640SHSOLENone964000Broadcom Corp Cl A COM11132010754514695SHSOLENone1469500Celgene Corp COM1510201045346220SHSOLENone622000Check Point Software ADRM2246510480712035SHSOLENone1203500Cheniere Energy Inc New COM16411R20880311200SHSOLENone1120000Chevron Corp COM166764100187214342SHSOLENone1434200Cirrus Logic Inc COM17275510042318600SHSOLENone1860000Cisco Systems Inc COM17275R10260024152SHSOLENone2415200Conocophillips COM20825C104203523740SHSOLENone2374000Devon Energy Cp New COM25179M10391911580SHSOLENone1158000Devry IncCOM2518931031994700SHSOLENone470000Eco Building Products COM2682771000100000SHSOLENone10000000EMC Corp COM26864810250919330SHSOLENone1933000Energizer HoldingsCOM29266R1082361938SHSOLENone193800Energy Select SPDR Fd ETF81369Y506121812169SHSOLENone1216900Entropic COM29384R1058425100SHSOLENone2510000ETFS Swiss Gold Trust ETF26922Y105251619289SHSOLENone1928900Exelis COM30162A1081977116418SHSOLENone11641800Express ScriptsCOM30219G1083234660SHSOLENone466000Exxon Mobil Corporation COM30231G102171517032SHSOLENone1703200Facebook COM30303M1025508175SHSOLENone817500Freeport McMoran COM35671D8572346400SHSOLENone640000Gaming & Leisure Pptys REIT36467J108172550768SHSOLENone5076800General Electric Company COM3696041032630100075SHSOLENone10007500General Motors CorpCOM37045V1003158675SHSOLENone867500Gilead Sciences Inc COM3755581034765743SHSOLENone574300Gold/Silver Bullion - CEF CEF15350110119813611SHSOLENone1361100Google Inc Class A COM38259P5085981022SHSOLENone102200Google Inc Class C COM38259P706487847SHSOLENone84700Guggenheim 2014 Corp Bond Bull ETF18383M57152624910SHSOLENone2491000Guggenheim 2015 Corp Bond Bull ETF18383M56361428045SHSOLENone2804500Halliburton Co Hldg Co COM4062161012974186SHSOLENone418600Hewlett PackardCOM4282361032076135SHSOLENone613500Home Depot Inc COM4370761023834729SHSOLENone472900Intl Gold Resources New COM45956C201050000SHSOLENone5000000iPath DJ UBS Commodity Index ETF06738C7785087128973SHSOLENone12897300iShares Russell Midcap Growth ETF4642874812282542SHSOLENone254200iShares S&P 500 Idx ETF4642872009084610SHSOLENone461000iShares S&P US Preferred Stock ETF464288687112428170SHSOLENone2817000J P Morgan Chase & Co COM46625H100240141663SHSOLENone4166300Johnson & Johnson COM478160104278026572SHSOLENone2657200Kraft Foods Group COM50076Q106181930341SHSOLENone3034100Lennar Corp COM52605710449411757SHSOLENone1175700Liberty Media CorpCOM5312291022171590SHSOLENone159000Loral Space & CommunicationsCOM5438811062363248SHSOLENone324800Lorillard Inc COM544147101199532725SHSOLENone3272500Mastercard Inc COM57636Q104123316788SHSOLENone1678800Mc Donalds Corp COM580135101179717835SHSOLENone1783500Microsoft Corp COM594918104302572533SHSOLENone7253300Monitise Plc Ord ADRG6258F1051415500SHSOLENone1550000National Oilwell VarcoCOM6370711013614380SHSOLENone438000Navient Corp COM6393AC108146482692SHSOLENone8269200Norfolk Southern Corp COM655844108204719872SHSOLENone1987200Novartis A G Spon Adr ADR66987V109180619950SHSOLENone1995000Novo-NordiskADR6701002053708000SHSOLENone800000Oaktree Capital GroupLP6740012011963918SHSOLENone391800Occidental PetroleumCOM6745991053243157SHSOLENone315700OracleCOM68389X1053127700SHSOLENone770000Palo Alto Networks Inc COM6974351052102510SHSOLENone251000Patriot Scientific Corp COM70336N107010000SHSOLENone1000000Paychex Inc COM704326107189345548SHSOLENone4554800Pepsico Incorporated COM713448108210823592SHSOLENone2359200Pfizer Incorporated COM717081103181461107SHSOLENone6110700Philip Morris International COM7181721092382821SHSOLENone282100Procter & Gamble Co COM742718109163823601SHSOLENone2360100Proshares Short 20+ Yr Treasur ETF74347X849189465752SHSOLENone6575200Qualcomm Inc COM74752510313157166128SHSOLENone16612800Rambus Inc. COM75091710628620000SHSOLENone2000000RaytheonCOM7551115072773000SHSOLENone300000Schlumberger Ltd COM8068571087446311SHSOLENone631100Schwab Int'l Equity ETF8085248053816115692SHSOLENone11569200SLM Corporation COM78442P10668782692SHSOLENone8269200SPDR Gold Trust ETF78463V1072922284SHSOLENone228400SPDR S&P Bank Index ETF78464A797241472241SHSOLENone7224100SPDR S&P Dep Rcpt ETF78462F103366318716SHSOLENone1871600SPDR S&P Dividend ETF78464A763552872181SHSOLENone7218100Teva Pharm Inds Ltd Adrf ADR881624209258649323SHSOLENone4932300Texas Instruments Inc COM88250810478316384SHSOLENone1638400Time WarnerCOM8873173033144465SHSOLENone446500Vanguard High Dividend Yield ETF92194640687013123SHSOLENone1312300Vanguard International Fund ETF92194385852412297SHSOLENone1229700Verizon Communications COM92343V1043146413SHSOLENone641300Viacom Inc.COM92553P2012733152SHSOLENone315200Visa Inc. COM92826C83913106215SHSOLENone621500Wells Fargo & Co. COM949746101236444982SHSOLENone4498200Wynn Resorts Ltd. COM983134107241811650SHSOLENone1165000