TY 2013 IRS 990 e-File Render
Name:
The Neu Foundation of California Inc
EIN:
95-4446793
Name of Stock End of Year Book Value End of Year Fair Market Value
ABBOTT LABS 2,916 3,833
ABBVIE INC 3,162 5,281
APPLE INC 52,668 50,492
BERKSHIRE HATHAWAY INC 73,283 148,200
BOEING COMPANY 50,112 91,448
CROWN HLDGS INC 25,152 32,536
CITIGROUP INC 74,382 109,431
DU PONT 25,050 34,434
EXXON MOBIL CORP 49,789 55,660
FORD MOTOR CO 50,837 66,349
GOLDMAN SACHS GROUP 99,976 138,262
GENERAL ELECTRIC 49,941 74,280
INTEL CORP 25,118 25,306
INTL BUSINESS MACHINES 99,798 97,536
JP MORGAN CHASE & CO 100,097 134,504
JOY GLOBAL 50,626 46,790
LKQ CORP 32,557 65,800
LAZARD LTD 49,172 57,783
MCDONALDS CORP 48,148 53,367
MICROSOFT CORP 8,684 25,813
PEPSICO INC 16,330 28,614
POTAASH CORP SASKATCHEWAN 106,494 82,400
RENREN INC 100,623 18,484
SEADRILL LTD 49,032 49,296
BLACKSTONE GROUP INC 46,933 106,313
ENTERPRISE PRDTS PRTN LP 73,570 129,285
PLAINS ALL AMERN PIPL LP 20,572 35,721
HOEGH LNG HLDG LTD SHS 386,672 303,334
WAL-MART STORES INC 47,584 51,149
SGL CARBON SE 75,825 59,548
INVESCO SELECT COMPANIES 28,209 31,416
ORBIMED HEALTHCARE 15,000 12,500
ALTRIA GROUP INC 6,388 7,332
ASTRAZENECA PLC 6,002 7,599
AT&T INC 5,969 5,555
BOEING COMPANY 4,964 9,554
CHEVRON CROP 5,960 6,495
CONOCOPHILLIPS 6,509 8,125
CISCO SYSTEMS INC 5,463 5,988
DIAGEO PLC 5,040 6,224
DOMINION RES INC 4,008 4,916
DU PONT 4,984 6,432
GENERAL ELECTRIC 5,496 7,064
GENUINE PARTS CO 5,003 6,655
HSBC HLDGS PLC 4,991 6,009
HCP INC 5,968 4,649
HEALTH CARE REIT INC 5,980 5,518
INTEL CORP 6,353 7,085
JP MORGAN CHASE & CO 3,994 5,848
JOHNSON AND JOHNSON 6,465 8,701
KIMBERLY CLARK 4,702 5,954
ELI LILLY & CO 6,002 6,579
MERCK AND CO 7,033 7,858
MICROSOFT CORP 5,993 7,258
NEXTERA ENERGY INC 5,985 7,620
PHILIP MORRIS INTL 5,919 5,925
RAYTHEON CO 6,015 9,433
ROYAL DUTCH SHEL 7,166 7,436
3M COMPANY 4,998 7,714
TRAVELERS COS INC 5,464 7,334
UNILEVER NV NY 5,515 6,316
VODAFONE GROP 6,660 9,356
ENSCO PLC 6,179 5,718
NATIONAL-OILWELL VARCO 7,895 7,953
PIONEER NATURAL RES 63,553 55,221
VANGUARD MSCI 5,394 5,880
DELAWARE VALUE FUND 74,068 78,350
TETON WESTWOOD MIGHTY 266,703 280,823
CLEARBRIDGE AGGRESSIVE 99,368 105,840
SUNAMERICA FOCUSED 76,966 77,654
BCE INC 6,761 6,580
CORNING INC 2,323 2,441
DIAMOND OFFSHORE DRLNG 6,817 5,465
METLIFE INC 4,904 6,632
KINDERMORGAN 20,690 18,000