Form f13t for CIK:102212

Reported Date (DD.MM.YYYY) Issuer Name Value Thousands Sshprn Amount Sshprn Type Class Title Voting Authority Sole Voting Authority Shared Voting Authority None
07.02.2014 3M CO 3028 21591 SH COM 21306 0 285
07.02.2014 ABBVIE INC 3409 64550 SH COM 63321 0 1229
07.02.2014 AETNA INC NEW 2866 41784 SH COM 41784 0 0
07.02.2014 AIR PRODS & CHEMS INC 1927 17238 SH COM 17238 0 0
07.02.2014 ALLSTATE CORP 3739 68563 SH COM 68133 0 430
07.02.2014 AMERISOURCEBERGEN CORP 2855 40612 SH COM 40555 0 57
07.02.2014 APPLE INC 3858 6877 SH COM 6860 0 17
07.02.2014 APPLIED MATLS INC 3012 170336 SH COM 170336 0 0
07.02.2014 AQUA AMERICA INC 746 31642 SH COM 31642 0 0
07.02.2014 AT&T INC 3122 88801 SH COM 88801 0 0
07.02.2014 BANK OF AMERICA CORPORATION 202 12971 SH COM 11309 0 1662
07.02.2014 BECTON DICKINSON & CO 3106 28108 SH COM 27525 0 583
07.02.2014 BROADCOM CORP 1985 66956 SH CL A 66956 0 0
07.02.2014 CATERPILLAR INC DEL 2795 30781 SH COM 30781 0 0
07.02.2014 CHEVRON CORP NEW 790 6327 SH COM 6091 0 236
07.02.2014 COCA COLA CO 3573 86487 SH COM 86487 0 0
07.02.2014 COMCAST CORP NEW 3462 69407 SH CL A SPL 69407 0 0
07.02.2014 CONOCOPHILLIPS 2983 42220 SH COM 41475 0 745
07.02.2014 COSTCO WHSL CORP NEW 2319 19482 SH COM 19482 0 0
07.02.2014 DIAMOND OFFSHORE DRILLING IN 1797 31578 SH COM 31578 0 0
07.02.2014 DISCOVER FINL SVCS 3873 69215 SH COM 69047 0 168
07.02.2014 DISNEY WALT CO 4080 53399 SH COM DISNEY 53072 0 327
07.02.2014 DU PONT E I DE NEMOURS & CO 291 4479 SH COM 3939 0 540
07.02.2014 E M C CORP MASS 2914 115882 SH COM 115882 0 0
07.02.2014 ENTERGY CORP NEW 223 3523 SH COM 3523 0 0
07.02.2014 EXELON CORP 299 10904 SH COM 10904 0 0
07.02.2014 EXPRESS SCRIPTS HLDG CO 2983 42468 SH COM 42319 0 149
07.02.2014 EXXON MOBIL CORP 2591 25601 SH COM 25601 0 0
07.02.2014 FRANKLIN RES INC 3705 64173 SH COM 64173 0 0
07.02.2014 FREEPORT-MCMORAN COPPER & GO 1749 46341 SH COM 46341 0 0
07.02.2014 GENERAL ELECTRIC CO 1078 38455 SH COM 36091 0 2364
07.02.2014 GENERAL MLS INC 3130 62715 SH COM 62203 0 512
07.02.2014 GILEAD SCIENCES INC 3562 47426 SH COM 47055 0 371
07.02.2014 GOOGLE INC 4515 4029 SH CL A 3988 0 41
07.02.2014 Harleysville Savings Financial 235 13034 SH Com 13034 0 0
07.02.2014 HERSHEY CO 224 2300 SH COM 2300 0 0
07.02.2014 HOME DEPOT INC 3370 40932 SH COM 40678 0 254
07.02.2014 HONEYWELL INTL INC 3042 33293 SH COM 33098 0 195
07.02.2014 INTEL CORP 354 13632 SH COM 11992 0 1640
07.02.2014 INTERCONTINENTALEXCHANGE GRO 3556 15811 SH COM 15811 0 0
07.02.2014 INTERNATIONAL BUSINESS MACHS 2766 14745 SH COM 14745 0 0
07.02.2014 JOHNSON & JOHNSON 3518 38407 SH COM 37169 0 1238
07.02.2014 JPMORGAN CHASE & CO 4449 76079 SH COM 74655 0 1424
07.02.2014 KIMBERLY CLARK CORP 3136 30025 SH COM 29813 0 212
07.02.2014 LOCKHEED MARTIN CORP 461 3100 SH COM 3100 0 0
07.02.2014 MCDONALDS CORP 2846 29332 SH COM 29332 0 0
07.02.2014 MERCK & CO INC NEW 1251 24987 SH COM 24987 0 0
07.02.2014 MICROSOFT CORP 249 6653 SH COM 4171 0 2482
07.02.2014 MONSANTO CO NEW 1810 15531 SH COM 15531 0 0
07.02.2014 NETFLIX INC 206 560 SH COM 560 0 0
07.02.2014 NIKE INC 3196 40635 SH CL B 40635 0 0
07.02.2014 NORFOLK SOUTHERN CORP 654 7043 SH COM 7043 0 0
07.02.2014 OCCIDENTAL PETE CORP DEL 3011 31659 SH COM 31264 0 395
07.02.2014 ORACLE CORP 3285 85857 SH COM 85857 0 0
07.02.2014 PEPSICO INC 286 3444 SH COM 2545 0 899
07.02.2014 PHILIP MORRIS INTL INC 2172 24931 SH COM 24931 0 0
07.02.2014 PHILLIPS 66 2982 38658 SH COM 38658 0 0
07.02.2014 PNC FINL SVCS GROUP INC 631 8133 SH COM 8133 0 0
07.02.2014 PPG INDS INC 341 1800 SH COM 1800 0 0
07.02.2014 PPL CORP 1974 65589 SH COM 65589 0 0
07.02.2014 PRECISION CASTPARTS CORP 2714 10077 SH COM 10004 0 73
07.02.2014 PROCTER & GAMBLE CO 3831 47061 SH COM 47061 0 0
07.02.2014 QUALCOMM INC 3597 48451 SH COM 48451 0 0
07.02.2014 SCHLUMBERGER LTD 3120 34628 SH COM 34072 0 556
07.02.2014 SELECT SECTOR SPDR TR 1234 13945 SH SBI INT-ENERGY 13945 0 0
07.02.2014 SELECT SECTOR SPDR TR 4856 127879 SH SBI INT-UTILS 127879 0 0
07.02.2014 SELECT SECTOR SPDR TR 1062 29712 SH TECHNOLOGY 29712 0 0
07.02.2014 STARBUCKS CORP 251 3208 SH COM 1794 0 1414
07.02.2014 STATE STR CORP 4122 56164 SH COM 56164 0 0
07.02.2014 STERLING BANCORP DEL 140 10476 SH COM 10476 0 0
07.02.2014 SUNCOR ENERGY INC NEW 1895 54060 SH COM 53584 0 476
07.02.2014 TARGET CORP 3101 49017 SH COM 48575 0 442
07.02.2014 UNION PAC CORP 2882 17154 SH COM 17101 0 53
07.02.2014 UNITED TECHNOLOGIES CORP 2587 22733 SH COM 22488 0 245
07.02.2014 UNIVEST CORP PA 20674 999718 SH COM 999718 0 0
07.02.2014 VERIZON COMMUNICATIONS INC 2782 56614 SH COM 55253 0 1361
07.02.2014 VISA INC 2900 13021 SH COM CL A 13021 0 0
07.02.2014 WASTE MGMT INC DEL 308 6870 SH COM 6403 0 467
07.02.2014 WELLS FARGO & CO NEW 4180 92069 SH COM 90946 0 1123
31.07.2014 3M CO 3179 22196 SH COM 21911 0 285
31.07.2014 ABBVIE INC 3868 68530 SH COM 67326 0 1204
31.07.2014 AETNA INC NEW 3393 41845 SH COM 41845 0 0
31.07.2014 AIR PRODS & CHEMS INC 2914 22656 SH COM 22656 0 0
31.07.2014 ALLSTATE CORP 4021 68482 SH COM 67910 0 572
31.07.2014 AMERIPRISE FINL INC 2626 21881 SH COM 21881 0 0
31.07.2014 AMERISOURCEBERGEN CORP 2949 40589 SH COM 40563 0 26
31.07.2014 APPLE INC 4842 52109 SH COM 51668 0 441
31.07.2014 APPLIED MATLS INC 3542 157076 SH COM 157076 0 0
31.07.2014 AQUA AMERICA INC 532 20276 SH COM 20276 0 0
31.07.2014 AT&T INC 2717 76844 SH COM 76844 0 0
31.07.2014 BANK OF AMERICA CORPORATION 192 12462 SH COM 10604 0 1858
31.07.2014 BECTON DICKINSON & CO 3460 29244 SH COM 28678 0 566
31.07.2014 BROADCOM CORP 4202 113200 SH CL A 113200 0 0
31.07.2014 CATERPILLAR INC DEL 3418 31450 SH COM 31159 0 291
31.07.2014 CHEVRON CORP NEW 746 5714 SH COM 5714 0 0
31.07.2014 COCA COLA CO 3123 73717 SH COM 73717 0 0
31.07.2014 COGNIZANT TECHNOLOGY SOLUTIO 2024 41377 SH CL A 41377 0 0
31.07.2014 COMCAST CORP NEW 211 3923 SH CL A 3323 0 600
31.07.2014 COMCAST CORP NEW 3484 65328 SH CL A SPL 65328 0 0
31.07.2014 CONOCOPHILLIPS 3569 41628 SH COM 40370 0 1258
31.07.2014 COSTCO WHSL CORP NEW 2672 23203 SH COM 23203 0 0
31.07.2014 DISCOVER FINL SVCS 3918 63217 SH COM 63139 0 78
31.07.2014 DISNEY WALT CO 4212 49120 SH COM DISNEY 48748 0 372
31.07.2014 DOW CHEM CO 227 4407 SH COM 4407 0 0
31.07.2014 DU PONT E I DE NEMOURS & CO 785 11989 SH COM 11490 0 499
31.07.2014 E M C CORP MASS 3410 129463 SH COM 129463 0 0
31.07.2014 ENTERGY CORP NEW 342 4163 SH COM 4163 0 0
31.07.2014 EOG RES INC 3025 25886 SH COM 25886 0 0
31.07.2014 EXELON CORP 477 13077 SH COM 11416 0 1661
31.07.2014 EXPRESS SCRIPTS HLDG CO 3111 44872 SH COM 44872 0 0
31.07.2014 EXXON MOBIL CORP 2492 24756 SH COM 24756 0 0
31.07.2014 FRANKLIN RES INC 3177 54923 SH COM 54923 0 0
31.07.2014 GENERAL ELECTRIC CO 900 34248 SH COM 34248 0 0
31.07.2014 GENERAL MLS INC 2738 52121 SH COM 52121 0 0
31.07.2014 GILEAD SCIENCES INC 3585 43244 SH COM 42904 0 340
31.07.2014 GOOGLE INC 2007 3432 SH CL A 3352 0 80
31.07.2014 GOOGLE INC 1634 2841 SH CL C 2781 0 60
31.07.2014 HALLIBURTON CO 239 3360 SH COM 2802 0 558
31.07.2014 Harleysville Savings Financial 216 12534 SH Com 12534 0 0
31.07.2014 HERSHEY CO 243 2500 SH COM 2500 0 0
31.07.2014 HOME DEPOT INC 3858 47649 SH COM 47355 0 294
31.07.2014 HONEYWELL INTL INC 2809 30218 SH COM 29820 0 398
31.07.2014 INTEL CORP 504 16299 SH COM 15477 0 822
31.07.2014 INTERCONTINENTAL EXCHANGE IN 2835 15006 SH COM 15006 0 0
31.07.2014 INTERNATIONAL BUSINESS MACHS 606 3341 SH COM 3341 0 0
31.07.2014 JOHNSON & JOHNSON 3958 37832 SH COM 36512 0 1320
31.07.2014 JPMORGAN CHASE & CO 3853 66870 SH COM 65704 0 1166
31.07.2014 KIMBERLY CLARK CORP 2644 23777 SH COM 23573 0 204
31.07.2014 LOCKHEED MARTIN CORP 578 3597 SH COM 3597 0 0
31.07.2014 MCDONALDS CORP 302 3002 SH COM 3002 0 0
31.07.2014 MERCK & CO INC NEW 1437 24834 SH COM 24548 0 286
31.07.2014 MICHAEL KORS HLDGS LTD 2195 24755 SH SHS 24755 0 0
31.07.2014 MICROSOFT CORP 277 6654 SH COM 3136 0 3518
31.07.2014 MONSANTO CO NEW 3095 24813 SH COM 24813 0 0
31.07.2014 NETFLIX INC 247 560 SH COM 560 0 0
31.07.2014 NIKE INC 3352 43220 SH CL B 43220 0 0
31.07.2014 NORFOLK SOUTHERN CORP 814 7899 SH COM 7899 0 0
31.07.2014 OCCIDENTAL PETE CORP DEL 3396 33092 SH COM 32784 0 308
31.07.2014 ORACLE CORP 3751 92546 SH COM 92546 0 0
31.07.2014 PAYCHEX INC 220 5282 SH COM 5282 0 0
31.07.2014 PEPSICO INC 246 2757 SH COM 1689 0 1068
31.07.2014 PHILIP MORRIS INTL INC 1732 20545 SH COM 20545 0 0
31.07.2014 PHILLIPS 66 2786 34645 SH COM 34404 0 241
31.07.2014 PNC FINL SVCS GROUP INC 4132 46396 SH COM 46396 0 0
31.07.2014 PPG INDS INC 378 1800 SH COM 1800 0 0
31.07.2014 PPL CORP 2323 65385 SH COM 65385 0 0
31.07.2014 PRECISION CASTPARTS CORP 2933 11619 SH COM 11533 0 86
31.07.2014 PROCTER & GAMBLE CO 3218 40947 SH COM 40116 0 831
31.07.2014 QUALCOMM INC 3908 49347 SH COM 48902 0 445
31.07.2014 SCHLUMBERGER LTD 3478 29485 SH COM 28784 0 701
31.07.2014 SELECT SECTOR SPDR TR 4561 103059 SH SBI INT-UTILS 103059 0 0
31.07.2014 STATE STR CORP 233 3463 SH COM 3463 0 0
31.07.2014 SUNCOR ENERGY INC NEW 3628 85105 SH COM 84905 0 200
31.07.2014 TARGET CORP 3580 61774 SH COM 61332 0 442
31.07.2014 UNION PAC CORP 3492 35004 SH COM 34853 0 151
31.07.2014 UNITED TECHNOLOGIES CORP 2664 23071 SH COM 22705 0 366
31.07.2014 UNIVEST CORP PA 19643 948960 SH COM 948960 0 0
31.07.2014 VERIZON COMMUNICATIONS INC 2954 60374 SH COM 58661 0 1713
31.07.2014 VISA INC 3316 15736 SH COM CL A 15736 0 0
31.07.2014 WELLS FARGO & CO NEW 4129 78561 SH COM 77458 0 1103
06.11.2014 3M CO 3001 21184 SH COM 20899 0 285
06.11.2014 ABBVIE INC 3751 64949 SH COM 63917 0 1032
06.11.2014 AETNA INC NEW 3064 37822 SH COM 37822 0 0
06.11.2014 AIR PRODS & CHEMS INC 2856 21936 SH COM 21936 0 0
06.11.2014 ALLSTATE CORP 4019 65489 SH COM 64917 0 572
06.11.2014 AMERIPRISE FINL INC 3383 27417 SH COM 27417 0 0
06.11.2014 AMERISOURCEBERGEN CORP 2797 36186 SH COM 36160 0 26
06.11.2014 APPLE INC 5101 50629 SH COM 50139 0 490
06.11.2014 APPLIED MATLS INC 3310 153175 SH COM 153175 0 0
06.11.2014 AQUA AMERICA INC 359 15276 SH COM 15276 0 0
06.11.2014 AT&T INC 2635 74778 SH COM 74778 0 0
06.11.2014 BANK AMER CORP 203 11907 SH COM 9938 0 1969
06.11.2014 BECTON DICKINSON & CO 3258 28623 SH COM 28057 0 566
06.11.2014 BERKSHIRE HATHAWAY INC DEL 207 1 SH CL A 1 0 0
06.11.2014 BROADCOM CORP 3607 89237 SH CL A 89237 0 0
06.11.2014 CATERPILLAR INC DEL 3095 31250 SH COM 30959 0 291
06.11.2014 CHEVRON CORP NEW 640 5364 SH COM 5364 0 0
06.11.2014 COCA COLA CO 3027 70946 SH COM 70946 0 0
06.11.2014 COGNIZANT TECHNOLOGY SOLUTIO 2600 58080 SH CL A 58080 0 0
06.11.2014 COMCAST CORP NEW 216 4021 SH CL A 3323 0 698
06.11.2014 COMCAST CORP NEW 3131 58525 SH CL A SPL 58525 0 0
06.11.2014 CONOCOPHILLIPS 2915 38089 SH COM 36947 0 1142
06.11.2014 COSTCO WHSL CORP NEW 2786 22229 SH COM 22229 0 0
06.11.2014 DISCOVER FINL SVCS 3993 62009 SH COM 61931 0 78
06.11.2014 DISNEY WALT CO 4100 46051 SH COM DISNEY 45679 0 372
06.11.2014 DU PONT E I DE NEMOURS & CO 871 12133 SH COM 11634 0 499
06.11.2014 E M C CORP MASS 3738 127743 SH COM 127743 0 0
06.11.2014 ENTERGY CORP NEW 270 3494 SH COM 3494 0 0
06.11.2014 EOG RES INC 2735 27622 SH COM 27622 0 0
06.11.2014 EXELON CORP 396 11628 SH COM 10016 0 1612
06.11.2014 EXPRESS SCRIPTS HLDG CO 3149 44579 SH COM 44579 0 0
06.11.2014 EXXON MOBIL CORP 2256 23992 SH COM 23992 0 0
06.11.2014 FRANKLIN RES INC 3108 56921 SH COM 56921 0 0
06.11.2014 GENERAL ELECTRIC CO 831 32422 SH COM 32422 0 0
06.11.2014 GENERAL MLS INC 2567 50876 SH COM 50876 0 0
06.11.2014 GILEAD SCIENCES INC 4226 39701 SH COM 39404 0 297
06.11.2014 GOOGLE INC 3337 5671 SH CL A 5591 0 80
06.11.2014 GOOGLE INC 208 361 SH CL C 301 0 60
06.11.2014 HALLIBURTON CO 207 3215 SH COM 2802 0 413
06.11.2014 Harleysville Savings Financial 197 11964 SH Com 11964 0 0
06.11.2014 HERSHEY CO 239 2500 SH COM 2500 0 0
06.11.2014 HOME DEPOT INC 3873 42213 SH COM 41919 0 294
06.11.2014 HONEYWELL INTL INC 2836 30454 SH COM 30213 0 241
06.11.2014 INTEL CORP 499 14332 SH COM 13510 0 822
06.11.2014 INTERCONTINENTAL EXCHANGE IN 3305 16945 SH COM 16945 0 0
06.11.2014 INTERNATIONAL BUSINESS MACHS 564 2973 SH COM 2753 0 220
06.11.2014 JOHNSON & JOHNSON 9574 89824 SH COM 88504 0 1320
06.11.2014 JPMORGAN CHASE & CO 3936 65339 SH COM 64213 0 1126
06.11.2014 KIMBERLY CLARK CORP 2436 22646 SH COM 22442 0 204
06.11.2014 LOCKHEED MARTIN CORP 588 3217 SH COM 3217 0 0
06.11.2014 MCDONALDS CORP 248 2612 SH COM 2612 0 0
06.11.2014 MERCK & CO INC NEW 1417 23904 SH COM 23618 0 286
06.11.2014 MICHAEL KORS HLDGS LTD 2943 41221 SH SHS 41221 0 0
06.11.2014 MICROSOFT CORP 315 6784 SH COM 3136 0 3648
06.11.2014 MONSANTO CO NEW 2817 25037 SH COM 25037 0 0
06.11.2014 MORGAN STANLEY 204 5887 SH COM NEW 5236 0 651
06.11.2014 NETFLIX INC 253 560 SH COM 560 0 0
06.11.2014 NIKE INC 3613 40503 SH CL B 40503 0 0
06.11.2014 NORFOLK SOUTHERN CORP 772 6920 SH COM 6920 0 0
06.11.2014 OCCIDENTAL PETE CORP DEL 3251 33811 SH COM 33503 0 308
06.11.2014 ORACLE CORP 3144 82140 SH COM 82140 0 0
06.11.2014 PAYCHEX INC 388 8768 SH COM 8768 0 0
06.11.2014 PEPSICO INC 257 2757 SH COM 1689 0 1068
06.11.2014 PHILIP MORRIS INTL INC 1859 22287 SH COM 22287 0 0
06.11.2014 PHILLIPS 66 2485 30557 SH COM 30316 0 241
06.11.2014 PNC FINL SVCS GROUP INC 4345 50769 SH COM 50769 0 0
06.11.2014 PPG INDS INC 354 1800 SH COM 1800 0 0
06.11.2014 PPL CORP 2113 64357 SH COM 64357 0 0
06.11.2014 PRECISION CASTPARTS CORP 2729 11520 SH COM 11485 0 35
06.11.2014 PROCTER & GAMBLE CO 3447 41166 SH COM 40335 0 831
06.11.2014 QUALCOMM INC 3716 49693 SH COM 49248 0 445
06.11.2014 SCHLUMBERGER LTD 2989 29390 SH COM 28794 0 596
06.11.2014 SELECT SECTOR SPDR TR 4380 104054 SH SBI INT-UTILS 104054 0 0
06.11.2014 SUNCOR ENERGY INC NEW 2951 81625 SH COM 81425 0 200
06.11.2014 TARGET CORP 2741 43726 SH COM 43284 0 442
06.11.2014 TE CONNECTIVITY LTD 1535 27771 SH REG SHS 26427 0 1344
06.11.2014 UNION PAC CORP 3416 31509 SH COM 31358 0 151
06.11.2014 UNITED TECHNOLOGIES CORP 2658 25174 SH COM 24959 0 215
06.11.2014 UNIVEST CORP PA 17437 929952 SH COM 929952 0 0
06.11.2014 VERIZON COMMUNICATIONS INC 2930 58620 SH COM 56907 0 1713
06.11.2014 VISA INC 3624 16983 SH COM CL A 16983 0 0
06.11.2014 WELLS FARGO & CO NEW 3966 76454 SH COM 75351 0 1103
19.02.2015 3M CO 3462 21067 SH COM 20813 0 254
19.02.2015 ABBVIE INC 4261 65109 SH COM 64306 0 803
19.02.2015 Aethlon Medical Inc. 5 20000 SH Com 20000 0 0
19.02.2015 AETNA INC NEW 3420 38503 SH COM 38503 0 0
19.02.2015 AIR PRODS & CHEMS INC 3218 22310 SH COM 22310 0 0
19.02.2015 ALLSTATE CORP 4205 59856 SH COM 59322 0 534
19.02.2015 AMERIPRISE FINL INC 3704 28007 SH COM 28007 0 0
19.02.2015 Amerisource Bergen Corp 3260 36163 SH Com 36137 0 26
19.02.2015 AMETEK INC NEW 2153 40910 SH COM 40910 0 0
19.02.2015 APPLE INC 5656 51244 SH COM 50773 0 471
19.02.2015 APPLIED MATLS INC 3876 155552 SH COM 155552 0 0
19.02.2015 AQUA AMERICA INC 328 12276 SH COM 12276 0 0
19.02.2015 AT&T INC 2450 72943 SH COM 72943 0 0
19.02.2015 BANK AMER CORP 207 11592 SH COM 9609 0 1983
19.02.2015 BECTON DICKINSON & CO 3952 28396 SH COM 28071 0 325
19.02.2015 BERKSHIRE HATHAWAY INC DEL 226 1 SH CL A 1 0 0
19.02.2015 BROADCOM CORP 3900 90007 SH CL A 90007 0 0
19.02.2015 CALIFORNIA RES CORP 66 11966 SH COM 11966 0 0
19.02.2015 CATERPILLAR INC DEL 2976 32511 SH COM 32256 0 255
19.02.2015 CHEVRON CORP NEW 435 3880 SH COM 3880 0 0
19.02.2015 COCA COLA CO 3369 79787 SH COM 79787 0 0
19.02.2015 COGNIZANT TECHNOLOGY SOLUTIO 3084 58557 SH CL A 58557 0 0
19.02.2015 COMCAST CORP NEW 248 4283 SH CL A 3527 0 756
19.02.2015 COMCAST CORP NEW 3432 59615 SH CL A SPL 59615 0 0
19.02.2015 CONOCOPHILLIPS 2761 39981 SH COM 39071 0 910
19.02.2015 COSTCO WHSL CORP NEW 3214 22675 SH COM 22675 0 0
19.02.2015 DISCOVER FINL SVCS 3982 60803 SH COM 60725 0 78
19.02.2015 DISNEY WALT CO 4507 47849 SH COM DISNEY 47538 0 311
19.02.2015 DU PONT E I DE NEMOURS & CO 907 12271 SH COM 11718 0 553
19.02.2015 E M C CORP MASS 3905 131309 SH COM 131309 0 0
19.02.2015 ENTERGY CORP NEW 318 3633 SH COM 3633 0 0
19.02.2015 EOG RES INC 2545 27640 SH COM 27640 0 0
19.02.2015 EXELON CORP 410 11069 SH COM 9636 0 1433
19.02.2015 EXPRESS SCRIPTS HLDG CO 3790 44760 SH COM 44760 0 0
19.02.2015 EXXON MOBIL CORP 2249 24322 SH COM 24322 0 0
19.02.2015 FRANKLIN RES INC 3214 58045 SH COM 58045 0 0
19.02.2015 GENERAL ELECTRIC CO 752 29755 SH COM 29755 0 0
19.02.2015 GENERAL MLS INC 457 8560 SH COM 8560 0 0
19.02.2015 GILEAD SCIENCES INC 3827 40603 SH COM 40385 0 218
19.02.2015 GOOGLE INC 3154 5943 SH CL A 5870 0 73
19.02.2015 Harleysville Savings Financial 206 11964 SH Com 11964 0 0
19.02.2015 HERSHEY CO 260 2500 SH COM 2500 0 0
19.02.2015 HOME DEPOT INC 4452 42416 SH COM 42140 0 276
19.02.2015 HONEYWELL INTL INC 3084 30867 SH COM 30745 0 122
19.02.2015 INTEL CORP 526 14502 SH COM 13770 0 732
19.02.2015 INTERCONTINENTAL EXCHANGE IN 3756 17129 SH COM 17129 0 0
19.02.2015 INTERNATIONAL BUSINESS MACHS 433 2700 SH COM 2504 0 196
19.02.2015 JOHNSON & JOHNSON 9488 90735 SH COM 89652 0 1083
19.02.2015 JPMORGAN CHASE & CO 4191 66977 SH COM 65974 0 1003
19.02.2015 KIMBERLY CLARK CORP 3695 31977 SH COM 31977 0 0
19.02.2015 LOCKHEED MARTIN CORP 635 3298 SH COM 3298 0 0
19.02.2015 MCDONALDS CORP 211 2248 SH COM 2248 0 0
19.02.2015 MERCK & CO INC NEW 1213 21360 SH COM 21093 0 267
19.02.2015 MICHAEL KORS HLDGS LTD 3068 40853 SH SHS 40853 0 0
19.02.2015 MICROSOFT CORP 316 6807 SH COM 3624 0 3183
19.02.2015 MONSANTO CO NEW 3049 25525 SH COM 25525 0 0
19.02.2015 NIKE INC 3883 40386 SH CL B 40386 0 0
19.02.2015 NORFOLK SOUTHERN CORP 771 7035 SH COM 7035 0 0
19.02.2015 OCCIDENTAL PETE CORP DEL 2606 32324 SH COM 31948 0 376
19.02.2015 ORACLE CORP 3737 83093 SH COM 82970 0 123
19.02.2015 PAYCHEX INC 418 9052 SH COM 9052 0 0
19.02.2015 PEPSICO INC 241 2548 SH COM 1635 0 913
19.02.2015 PHILIP MORRIS INTL INC 2070 25411 SH COM 25411 0 0
19.02.2015 PHILLIPS 66 2297 32040 SH COM 31595 0 445
19.02.2015 PNC FINL SVCS GROUP INC 4681 51313 SH COM 51313 0 0
19.02.2015 PPG INDS INC 416 1800 SH COM 1800 0 0
19.02.2015 PPL CORP 2391 65808 SH COM 65808 0 0
19.02.2015 PRECISION CASTPARTS CORP 2841 11793 SH COM 11793 0 0
19.02.2015 PROCTER & GAMBLE CO 4270 46880 SH COM 45913 0 967
19.02.2015 QUALCOMM INC 3840 51655 SH COM 50897 0 758
19.02.2015 SCHLUMBERGER LTD 2615 30614 SH COM 30185 0 429
19.02.2015 SELECT SECTOR SPDR TR 378 4774 SH SBI INT-ENERGY 4774 0 0
19.02.2015 SELECT SECTOR SPDR TR 4955 104933 SH SBI INT-UTILS 104933 0 0
19.02.2015 SUNCOR ENERGY INC NEW 2576 81067 SH COM 80932 0 135
19.02.2015 TARGET CORP 3301 43484 SH COM 43090 0 394
19.02.2015 TE CONNECTIVITY LTD 1847 29200 SH REG SHS 28030 0 1170
19.02.2015 UGI CORP NEW 205 5400 SH COM 5400 0 0
19.02.2015 UNION PAC CORP 3786 31781 SH COM 31630 0 151
19.02.2015 UNITED TECHNOLOGIES CORP 2946 25621 SH COM 25416 0 205
19.02.2015 UNIVEST CORP PA 19125 944914 SH COM 944914 0 0
19.02.2015 VANGUARD BD INDEX FD INC 200 2434 SH TOTAL BND MRKT 2434 0 0
19.02.2015 VERIZON COMMUNICATIONS INC 2737 58518 SH COM 57121 0 1397
19.02.2015 VISA INC 4476 17070 SH COM CL A 17070 0 0
19.02.2015 WELLS FARGO & CO NEW 4237 77281 SH COM 76411 0 870
30.04.2015 3M CO 3425 20761 SH COM 20507 0 254
30.04.2015 ABBVIE INC 3958 67614 SH COM 66963 0 651
30.04.2015 Aethlon Medical Inc. 5 20000 SH Com 20000 0 0
30.04.2015 AETNA INC NEW 3940 36987 SH COM 36987 0 0
30.04.2015 AIR PRODS & CHEMS INC 3098 20478 SH COM 20478 0 0
30.04.2015 ALLSTATE CORP 3975 55848 SH COM 55472 0 376
30.04.2015 AMERIPRISE FINL INC 3570 27289 SH COM 27289 0 0
30.04.2015 AMERISOURCEBERGEN CORP 4063 35745 SH COM 35719 0 26
30.04.2015 AMGEN INC 223 1397 SH COM 1360 0 37
30.04.2015 APPLE INC 5488 44107 SH COM 43628 0 479
30.04.2015 APPLIED MATLS INC 3350 148492 SH COM 148492 0 0
30.04.2015 AQUA AMERICA INC 323 12276 SH COM 12276 0 0
30.04.2015 AT&T INC 2536 77675 SH COM 77675 0 0
30.04.2015 BANK AMER CORP 160 10421 SH COM 8438 0 1983
30.04.2015 BECTON DICKINSON & CO 4033 28087 SH COM 27784 0 303
30.04.2015 BERKSHIRE HATHAWAY INC DEL 218 1 SH CL A 1 0 0
30.04.2015 BROADCOM CORP 3665 84644 SH CL A 84644 0 0
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28.01.2019 PNC FINL SVCS GROUP INC 4306 36836 SH COM 36836 0 0
28.01.2019 PPG INDS INC 391 3828 SH COM 3828 0 0
28.01.2019 PPL CORP 1227 43300 SH COM 43300 0 0
28.01.2019 PRICE T ROWE GROUP INC 3899 42238 SH COM 42238 0 0
28.01.2019 PROCTER AND GAMBLE CO 723 7869 SH COM 7869 0 0
28.01.2019 PRUDENTIAL FINL INC 301 3694 SH COM 3694 0 0
28.01.2019 SCHLUMBERGER LTD 778 21558 SH COM 21558 0 0
28.01.2019 SELECT SECTOR SPDR TR 1152 20093 SH ENERGY 20093 0 0
28.01.2019 SELECT SECTOR SPDR TR 1606 16225 SH SBI CONS DISCR 16225 0 0
28.01.2019 SELECT SECTOR SPDR TR 985 19406 SH SBI CONS STPLS 19406 0 0
28.01.2019 SELECT SECTOR SPDR TR 383 4432 SH SBI HEALTHCARE 4432 0 0
28.01.2019 SELECT SECTOR SPDR TR 2086 87576 SH SBI INT-FINL 87576 0 0
28.01.2019 SELECT SECTOR SPDR TR 1336 20741 SH SBI INT-INDS 20741 0 0
28.01.2019 SELECT SECTOR SPDR TR 5068 95769 SH SBI INT-UTILS 95769 0 0
28.01.2019 SELECT SECTOR SPDR TR 5050 81476 SH TECHNOLOGY 81476 0 0
28.01.2019 SHERWIN WILLIAMS CO 1979 5029 SH COM 5029 0 0
28.01.2019 SOUTHERN CO 539 12273 SH COM 12273 0 0
28.01.2019 SPDR S&P 500 ETF TR 451 1803 SH TR UNIT 1803 0 0
28.01.2019 SUNCOR ENERGY INC NEW 1645 58823 SH COM 58823 0 0
28.01.2019 TE CONNECTIVITY LTD 3916 51779 SH REG SHS 51779 0 0
28.01.2019 THERMO FISHER SCIENTIFIC INC 4227 18888 SH COM 18888 0 0
28.01.2019 UGI CORP NEW 288 5400 SH COM 5400 0 0
28.01.2019 UNION PAC CORP 551 3989 SH COM 3989 0 0
28.01.2019 UNITED TECHNOLOGIES CORP 2270 21314 SH COM 21314 0 0
28.01.2019 UNITEDHEALTH GROUP INC 272 1090 SH COM 1090 0 0
28.01.2019 UNIVEST CORP PA 13282 615766 SH COM 615766 0 0
28.01.2019 V F CORP 1832 25678 SH COM 25678 0 0
28.01.2019 VANGUARD BD INDEX FD INC 218 2753 SH TOTAL BND MRKT 2753 0 0
28.01.2019 VANGUARD CHARLOTTE FDS 291 5369 SH INTL BD IDX ETF 5369 0 0
28.01.2019 VANGUARD INDEX FDS 19075 83004 SH S&P 500 ETF SHS 83004 0 0
28.01.2019 VANGUARD INTL EQUITY INDEX F 1478 32432 SH ALLWRLD EX US 32432 0 0
28.01.2019 VANGUARD STAR FD 35669 755375 SH VG TL INTL STK F 755375 0 0
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09.04.2019 COGNIZANT TECHNOLOGY SOLUTIO 4964 68515 SH CL A 68515 0 0
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09.04.2019 CVS HEALTH CORP 3229 59871 SH COM 59871 0 0
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09.04.2019 FIDELITY NATL INFORMATION SV 258 2282 SH COM 2282 0 0
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09.04.2019 HERSHEY CO 264 2300 SH COM 2300 0 0
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09.04.2019 INTEL CORP 532 9904 SH COM 9904 0 0
09.04.2019 INTERCONTINENTAL EXCHANGE IN 4192 55060 SH COM 55060 0 0
09.04.2019 INTERNATIONAL BUSINESS MACHS 379 2689 SH COM 2689 0 0
09.04.2019 INVESCO LTD 454 23500 SH SHS 23500 0 0
09.04.2019 ISHARES TR 2543 13429 SH CORE S&P MCP ETF 13429 0 0
09.04.2019 ISHARES TR 2563 33216 SH CORE S&P SCP ETF 33216 0 0
09.04.2019 ISHARES TR 395 10814 SH PFD AND INCM SEC 10814 0 0
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09.04.2019 PHILLIPS 66 432 4541 SH COM 4541 0 0
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09.04.2019 PPG INDS INC 443 3925 SH COM 3925 0 0
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09.04.2019 PROCTER AND GAMBLE CO 682 6550 SH COM 6550 0 0
09.04.2019 PRUDENTIAL FINL INC 515 5607 SH COM 5607 0 0
09.04.2019 PUBLIC SVC ENTERPRISE GRP IN 209 3522 SH COM 3522 0 0
09.04.2019 SCHLUMBERGER LTD 2000 45898 SH COM 45898 0 0
09.04.2019 SELECT SECTOR SPDR TR 240 4277 SH SBI CONS STPLS 4277 0 0
09.04.2019 SELECT SECTOR SPDR TR 5128 88155 SH SBI INT-UTILS 88155 0 0
09.04.2019 SHERWIN WILLIAMS CO 2146 4982 SH COM 4982 0 0
09.04.2019 SOUTHERN CO 557 10783 SH COM 10783 0 0
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