_Sentinel Trust Company, LBA______________

Latest statistics and disclosures from _Sentinel Trust Company, LBA______________'s latest quarterly 13F-HR filing:

_Sentinel Trust Company, LBA______________ portfolio companies for quarter ending March 2013

Ticker Name Portfolio Weight Change Share Count Price Last Trade
EFA iShares MSCI EAFE Index Fund 10.60 466625 58.98 61.45
Enterprise Products Partners 5.88 -5.00% 253041 60.29 0.00
SPY SPDR S&P; 500 ETF 5.83 96608 156.67 164.51
VWO Vanguard Emerging Markets ETF 3.87 +3.00% 234270 42.90 42.69
LUV Southwest Airlines 2.08 -15.00% 399830 13.48 14.11
UNM Unum 2.06 189635 28.25 27.08
APA Apache Corporation 2.05 +78.00% 68902 77.16 81.66
DVN Devon Energy Corporation 1.94 +34.00% 89345 56.42 57.84
AGG iShares Lehman Aggregate Bond 1.69 39625 110.74 109.88
MSFT Microsoft Corporation 1.68 +16.00% 152255 28.60 34.16
ETR Entergy Corporation 1.67 +15.00% 68375 63.23 68.94
GS Goldman Sachs 1.66 -19.00% 29346 147.16 158.72
NSC Norfolk Southern 1.61 +13.00% 54213 77.08 77.27
FTR Frontier Communications 1.58 +17.00% 1028978 3.99 4.40
KR Kroger 1.49 -11.00% 116400 33.13 34.23
JBLU JetBlue Airways Corporation 1.47 551613 6.90 6.38
AAPL Apple 1.40 +188.00% 8205 442.58 445.15
JPM JPMorgan Chase & Co. 1.36 74200 47.47 53.66
WLP WellPoint 1.36 53495 66.24 76.78
MET MetLife 1.28 -21.00% 87665 38.03 41.61
HP Helmerich & Payne 1.27 54180 60.68 63.02
OVTI OmniVision Technologies 1.23 231516 13.77 14.30
Citi 1.20 -32.00% 70500 44.23 0.00
Cimarex Energy 1.15 39465 75.45 0.00
PBP PowerShares S&P; 500 BuyWrite Portfol ETF 1.10 -2.00% 138814 20.52 20.81
TWC Time Warner Cable 1.09 +70.00% 29439 96.08 95.46
EXG Eaton Vance Tax-Managed Global Dive Eq 1.07 298125 9.32 9.73
KSS Kohl's Corporation 1.03 +64.00% 58235 46.14 51.91
INTC Intel Corporation 1.02 -15.00% 121088 21.83 23.92
MS Morgan Stanley 1.02 120784 21.98 24.07
PLAB Photronics 1.01 +13.00% 392283 6.68 7.45
MRK Merck & Co 0.97 57203 44.19 46.70
KND Kindred Healthcare 0.96 236795 10.53 14.00
RTN Raytheon Company 0.94 41715 58.78 66.31
QCOM QUALCOMM 0.93 36255 66.92 63.79
ELX Emulex Corporation 0.90 +25.00% 357040 6.53 6.16
OXY Occidental Petroleum Corporation 0.87 +18.00% 28760 78.35 90.43
LNC Lincoln National Corporation 0.86 +28.00% 68690 32.61 34.11
WFC Wells Fargo & Company 0.84 +12.00% 58671 36.98 39.99
GD General Dynamics Corporation 0.82 30135 70.54 77.34
MRO Marathon Oil Corporation 0.82 +51.00% 62985 33.71 35.00
BBG Bill Barrett Corporation 0.82 +200.00% 105125 20.26 23.26
CSCO Cisco Systems 0.81 100410 20.90 23.53
COF Capital One Financial 0.78 +133.00% 36905 54.96 61.13
CVS CVS Caremark Corporation 0.74 +26.00% 34864 55.01 59.20
GLD SPDR Gold Trust 0.74 -5.00% 12357 154.46 133.76
CCL Carnival Corporation 0.71 +70.00% 53900 34.29 32.88
JBL Jabil Circuit 0.71 +401.00% 99380 18.48 19.25
CI CIGNA Corporation 0.67 -3.00% 28100 62.35 67.23
BAC Bank of America Corporation 0.65 -40.00% 139195 12.18 13.24
Encana 0.65 87175 19.45 0.00
AEP American Electric Power Company 0.64 34180 48.62 47.71
ALL Allstate Corporation 0.63 33409 49.09 48.73
CSJ iShares Barclays 1-3 Year Cred Bd Fd ETF 0.63 -6.00% 15433 105.55 105.49
LLY Eli Lilly & Co. 0.62 -27.00% 28134 56.81 54.01
ANF Abercrombie & Fitch 0.62 -4.00% 34650 46.19 50.02
HIG Hartford Financial Services 0.61 +24.00% 61190 25.81 30.24
F Ford Motor Company 0.60 118580 13.15 14.79
T AT&T; 0.59 +80.00% 41521 36.70 36.62
FCX Freeport-McMoRan Copper & Gold 0.58 -40.00% 45335 33.08 30.40
BHI Baker Hughes Incorporated 0.55 30845 46.41 47.17
TRV Travelers Companies 0.52 +29.00% 16115 84.15 82.94
FORM FormFactor 0.51 281420 4.70 5.41
WMT Wal-Mart Stores 0.50 -21.00% 17455 74.78 77.09
WAG Walgreen Company 0.50 27128 47.71 50.25
MU Micron Technology 0.49 -3.00% 128640 9.97 11.42
BIF Boulder Growth & Income Fund 0.48 +83.00% 169437 7.33 7.56
Directv 0.46 21066 56.56 0.00
AA Alcoa 0.44 -5.00% 133900 8.51 8.48
Bunge 0.42 14890 73.87 0.00
RDS.A Royal Dutch Shell 0.42 16738 65.16 0.00
L Loews Corporation 0.36 21095 44.10 45.95
Tesoro Logistics Lp us equity 0.36 NEW 17500 53.94 0.00
EEM iShares MSCI Emerging Markets Indx 0.34 -4.00% 20890 42.77 42.27
XLK Technology SPDR 0.34 -53.00% 29080 30.26 31.62
BWX SPDR Barclays Capital Intl Tresy Bd ETF 0.34 15181 58.49 57.63
SLB Schlumberger 0.33 11437 74.89 73.80
RAD Rite Aid Corporation 0.31 -2.00% 426455 1.90 2.87
KMP Kinder Morgan Energy Partners 0.31 8978 89.78 87.75
AFL AFLAC Incorporated 0.29 NEW 14707 51.98 54.95
CVC Cablevision Systems Corporation 0.29 +21.00% 50650 14.97 15.34
Amc Networks Inc Cl A 0.29 11872 63.26 0.00
IWO iShares Russell 2000 Growth Index 0.28 6855 107.66 112.11
ARO Aeropostale 0.26 50585 13.59 14.76
CMTL Comtech Telecomm 0.26 27760 24.29 26.50
SHY iShares Lehman 1-3 Year Treas.Bond 0.24 +158.00% 7523 84.41 84.44
VZ Verizon Communications 0.23 NEW 12387 49.13 51.38
FRX Forest Laboratories 0.23 -64.00% 15910 38.08 39.23
WPZ Williams Partners 0.23 11409 51.80 52.00
DELL Dell 0.22 -82.00% 39586 14.31 13.34
BTF Boulder Total Return Fund 0.22 +23.00% 27025 20.91 21.86
RMT Royce Micro Capital Trust 0.22 53989 10.71 10.89
Nuveen Mult Curr St Gv Incm 0.22 45094 12.95 0.00
MSG Madison Square Garden 0.20 +77.00% 8925 57.59 59.07
MDT Medtronic 0.18 9885 46.94 51.26
Seagate Technology Com Stk 0.18 12900 36.55 0.00
Pvr Partners 0.18 NEW 19135 24.09 0.00
OSK Oshkosh Corporation 0.14 -78.00% 8670 42.52 37.70
CVX Chevron Corporation 0.12 -84.00% 2516 119.02 125.45
WES Western Gas Partners 0.11 4617 59.35 61.18
Firsthand Tech Value 0.11 -31.00% 15303 19.28 0.00
Mplx 0.11 NEW 7750 37.42 0.00
EXC Exelon Corporation 0.10 NEW 7860 34.54 34.65
EWC iShares MSCI Canada Index 0.10 9181 28.54 28.00
MMT MFS Multimarket Income Trust 0.10 36300 7.36 7.54
CKH Seacor Holdings 0.09 NEW 3080 73.53 77.70
IBB iShares NASDAQ Biotechnology Index 0.09 -17.00% 1460 159.59 180.74
SGU Star Gas Partners 0.08 NEW 44690 4.54 4.95
Gran Tierra Energy 0.07 29900 5.89 0.00
Sandridge Mississippian Tr I 0.06 12500 12.24 0.00
FOFI First Opportunity Fund 0.05 15700 8.09 8.43
Crusader Energy Group Inc Com Stk 0.00 95000 0.00 0.00