0001731216-23-000002.txt : 20230405
0001731216-23-000002.hdr.sgml : 20230405
20230405164856
ACCESSION NUMBER: 0001731216-23-000002
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 2
CONFORMED PERIOD OF REPORT: 20230331
FILED AS OF DATE: 20230405
DATE AS OF CHANGE: 20230405
EFFECTIVENESS DATE: 20230405
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: Martin Capital Partners, LLC
CENTRAL INDEX KEY: 0001731216
IRS NUMBER: 272233908
STATE OF INCORPORATION: OR
FISCAL YEAR END: 1231
FILING VALUES:
FORM TYPE: 13F-HR
SEC ACT: 1934 Act
SEC FILE NUMBER: 028-18410
FILM NUMBER: 23803212
BUSINESS ADDRESS:
STREET 1: 940 WILLAMETTE
STREET 2: SUITE 350
CITY: EUGENE
STATE: OR
ZIP: 97401
BUSINESS PHONE: 5416364170
MAIL ADDRESS:
STREET 1: 940 WILLAMETTE
STREET 2: SUITE 350
CITY: EUGENE
STATE: OR
ZIP: 97401
13F-HR
1
primary_doc.xml
X0202
13F-HR
LIVE
false
false
false
0001731216
XXXXXXXX
03-31-2023
03-31-2023
Martin Capital Partners, LLC
940 WILLAMETTE
SUITE 350
EUGENE
OR
97401
13F HOLDINGS REPORT
028-18410
N
Ryan Adair
Operations Manager
5416364170
Ryan S. Adair
Eugene
OR
04-05-2023
0
70
240430
false
INFORMATION TABLE
2
q1_2023_mcp.xml
Q1 2023 MCP 13F
Aberdeen Asia-Pacific CEF
COM
003009107
270
101652
SH
SOLE
89141
0
12511
Amgen Inc
COM
031162100
6850
28335
SH
SOLE
27132
0
1203
Apple Inc.
COM
037833100
762
4621
SH
SOLE
4621
0
0
Chevron Corp
COM
166764100
6582
40341
SH
SOLE
38725
0
1616
Clorox Co Com
COM
189054109
4338
27417
SH
SOLE
25488
0
1929
Coca Cola Co
COM
191216100
6348
102336
SH
SOLE
97974
0
4362
Coca-Cola Femsa
SPONSORD ADR REP
191241108
6244
77599
SH
SOLE
74462
0
3137
Comerica Inc
COM
200340107
391
9010
SH
SOLE
7200
0
1810
Crane Co
COM
224441105
595
5241
SH
SOLE
3892
0
1349
Cullen/Frost Bankers Inc
COM
229899109
3729
35398
SH
SOLE
33089
0
2309
Eastman Chemical
COM
277432100
812
9622
SH
SOLE
7606
0
2016
Edison International
COM
281020107
438
6211
SH
SOLE
6211
0
0
General Dynamics Corp
COM
369550108
6872
30111
SH
SOLE
28919
0
1192
Gilead Sciences
COM
375558103
3460
41706
SH
SOLE
39675
0
2031
Jack Henry & Associates
COM
426281101
632
4191
SH
SOLE
3327
0
864
Honeywell International Inc
COM
438516106
4547
23793
SH
SOLE
22861
0
932
Huntington Ingalls Industries Inc
COM
446413106
511
2467
SH
SOLE
1879
0
588
Ingredion
COM
457187102
760
7472
SH
SOLE
6119
0
1353
Treasury Bond ETF 1-3 yr
1 3 YR Treas BD
464287457
4359
53049
SH
SOLE
51102
0
1947
iShares Short-Term Corporate Bond
ISHS 1-5YR INVS
464288646
5376
106369
SH
SOLE
103265
0
3104
iShares 3-7 Year Treasury Bond ETF
3 7 YR TREAS BD
464288661
1605
13645
SH
SOLE
13405
0
240
Johnson & Johnson Co
COM
478160104
6948
44828
SH
SOLE
42895
0
1933
Lincoln Electric
COM
533900106
702
4152
SH
SOLE
3303
0
849
Lockheed Martin
COM
539830109
6073
12847
SH
SOLE
12311
0
536
MSC Industrial Direct
COM
553530106
6455
76849
SH
SOLE
72541
0
4308
Microsoft Corp.
COM
594918104
6737
23369
SH
SOLE
22411
0
958
Omnicom Group
COM
681919106
1019
10801
SH
SOLE
8582
0
2219
Paychex Inc
COM
704326107
936
8172
SH
SOLE
6611
0
1561
Pepsico Inc
COM
713448108
4153
22783
SH
SOLE
21698
0
1085
Pfizer Inc
COM
717081103
4089
100229
SH
SOLE
96054
0
4175
Phillips 66
COM
718546104
3669
36194
SH
SOLE
34733
0
1461
Procter & Gamble Co
COM
742718109
5827
39189
SH
SOLE
37440
0
1749
Public Service Enterprise Group
COM
744573106
5874
94060
SH
SOLE
89085
0
4975
Robert Half International
COM
770323103
5227
64881
SH
SOLE
60429
0
4452
Schwab U.S. Dividend Equity ETF
US Dividend EQ
808524797
953
13027
SH
SOLE
10885
0
2142
Snap-On Inc
COM
833034101
447
1809
SH
SOLE
1366
0
443
Texas Instruments Inc
COM
882508104
7450
40051
SH
SOLE
38440
0
1611
US Bancorp Del Com New
COM
902973304
5427
150538
SH
SOLE
145082
0
5456
Unilever PLC
SPON ADR NEW
904767704
8685
167236
SH
SOLE
161212
0
6024
United Parcel Service
CL B
911312106
6420
33096
SH
SOLE
31560
0
1536
Vanguard Intl Dividend Appreciation ETF
INTL DVD ETF
921946810
386
5233
SH
SOLE
4632
0
601
Whirlpool Corp
COM
963320106
750
5680
SH
SOLE
4547
0
1133
Raytheon Technologies Ord
COM
75513E101
4670
47684
SH
SOLE
45773
0
1910
Invesco QQQ Trust
UNIT SER 1
46090E103
221
688
SH
SOLE
688
0
0
AmerisourceBergen
COM
03073E105
689
4305
SH
SOLE
3499
0
806
Total SA
SPONSORED ADS
89151E109
4125
69863
SH
SOLE
67520
0
2343
Alliance World Dollar Govt CEF
COM
01879R106
109
11179
SH
SOLE
8909
0
2270
Allison Transmission Holdings Inc
COM
01973R101
578
12772
SH
SOLE
10152
0
2620
C.H. Robinson Worldwide
COM
12541W209
848
8529
SH
SOLE
6772
0
1757
CenterPoint Energy
COM
15189T107
284
9627
SH
SOLE
7281
0
2346
Cisco Systems Inc
COM
17275R102
6919
132359
SH
SOLE
125916
0
6443
Comcast Corp Cl A
COM
20030N101
6363
167851
SH
SOLE
160259
0
7592
Costco Whsl Corp New
COM
22160K105
426
857
SH
SOLE
857
0
0
Exxon Mobil Corporation Com
COM
30231G102
6272
57197
SH
SOLE
54953
0
2244
iShares Barclays 0-5 yr TIPS
0-5 YR TIPS ETF
46429B747
3735
37643
SH
SOLE
36446
0
1197
JP Morgan Chase & Co
COM
46625H100
7465
57287
SH
SOLE
54919
0
2368
Merck & Co
COM
58933Y105
7368
69256
SH
SOLE
66214
0
3042
T. Rowe Price Group
COM
74144T108
5084
45033
SH
SOLE
42833
0
2200
Principal Financial Group
COM
74251V102
810
10905
SH
SOLE
8837
0
2068
ProShares S&P MidCap 400 Dividend Arst
S&P MDCP 400 DIV
74347B680
360
5085
SH
SOLE
4999
0
86
Quest Diagnostics
COM
74834L100
866
6122
SH
SOLE
4933
0
1189
Spdr Tr S&P 500 ETF
TR UNIT
78462F103
252
615
SH
SOLE
615
0
0
SPDR SER TR
BLOOMBERG SHORT
78464A334
539
19748
SH
SOLE
19423
0
325
SPDR SER TR
PORTFOLIO SHORT
78464A474
6306
212813
SH
SOLE
205853
0
6960
Spdr Dividend Aristocrats ETF
S&P DIVID ETF
78464A763
528
4267
SH
SOLE
3815
0
452
Skyworks Solutions Inc Com
COM
83088M102
3949
33474
SH
SOLE
31354
0
2120
UnitedHealth Group Inc
COM
91324P102
4527
9578
SH
SOLE
9080
0
498
Verizon Communications
COM
92343V104
7302
187751
SH
SOLE
179572
0
8179
Western Asset Income CEF
COM
95766T100
311
26050
SH
SOLE
22538
0
3512
Medtronic Inc
SHS
G5960L103
5816
72139
SH
SOLE
68933
0
3206