FAIRVIEW CAPITAL INVESTMENT MANAGEMENT

Latest statistics and disclosures from Fairview Capital Investment Management's latest quarterly 13F-HR filing:

Fairview Capital Investment Management portfolio companies for quarter ending December 2012

Ticker Name Portfolio Weight Change Share Count Price Last Trade
Lpl Financial Holdings 6.21 +109.00% 1384050 28.16 0.00
Seaspan 5.85 +18.00% 2291197 16.03 0.00
LINTA Liberty Media 5.36 +19.00% 1709861 19.68 23.35
NCMI National CineMedia 4.66 +28.00% 2068400 14.13 16.94
LNG Cheniere Energy 4.38 +432.00% 1465000 18.78 30.60
DISCK Discovery Communications 4.07 -10.00% 436635 58.50 69.89
LAMR Lamar Advertising Company 3.90 -13.00% 631750 38.75 48.67
CCI Crown Castle International 3.61 +11.00% 314253 72.16 77.87
SYY SYSCO Corporation 3.02 +25.00% 598733 31.66 35.14
JNJ Johnson & Johnson 3.01 +11.00% 269406 70.10 88.09
XOM Exxon Mobil Corporation 2.67 +17.00% 193987 86.55 91.76
PG Procter & Gamble Company 2.66 +1022.00% 245548 67.89 80.02
UPS United Parcel Service 2.65 +12.00% 225506 73.73 88.70
FLR Fluor Corporation 2.61 +116.00% 279350 58.74 64.57
VSAT ViaSat 2.57 NEW 415000 38.90 71.38
WMT Wal-Mart Stores 2.55 -12.00% 234639 68.23 77.87
MMP Magellan Midstream Partners 2.52 +46.00% 365808 43.19 51.95
GE General Electric Company 2.51 750271 20.99 23.46
EFII Electronics For Imaging 2.49 +4.00% 822889 18.99 26.21
NTRS Northern Trust Corporation 2.39 +44.00% 299650 50.16 58.27
CVX Chevron Corporation 2.38 +8.00% 137997 108.14 123.42
CTAS Cintas Corporation 2.34 -5.00% 359850 40.90 45.89
CSJ iShares Barclays 1-3 Year Cred Bd Fd ETF 2.31 NEW 137687 105.48 105.57
VWO Vanguard Emerging Markets ETF 2.20 NEW 310450 44.53 44.02
HYG iShares iBoxx $ High Yid Corp Bond 2.14 NEW 144250 93.35 95.46
TFX Teleflex Incorporated 2.12 +15.00% 186400 71.31 80.42
Progressive Waste Solutions 2.05 NEW 596050 21.60 0.00
INTC Intel Corporation 1.97 +11.00% 600180 20.62 24.04
PCY PowerShares Emerging Markets Sovere 1.59 NEW 317165 31.45 30.41
American Tower Reit 1.41 NEW 114850 77.27 0.00
BWX SPDR Barclays Capital Intl Tresy Bd ETF 1.33 NEW 137275 61.01 57.53
Libertyinteractivecorp lbtventcoma 0.84 NEW 77581 67.76 0.00
Alerian Mlp Etf 0.81 NEW 319700 15.95 0.00
VEA Vanguard Europe Pacific ETF 0.74 NEW 131250 35.23 39.01
TUC Mac-Gray Corporation 0.52 -39.00% 261863 12.55 13.45
TIP iShares Barclays TIPS Bond Fund 0.52 NEW 27083 121.40 118.92
DISCA Discovery Communications 0.50 -23.00% 49388 63.48 78.85
RWX SPDR DJ International Real Estate ETF 0.36 NEW 55346 41.36 45.62
GLD SPDR Gold Trust 0.33 NEW 12785 161.99 131.07
IBM International Business Machines 0.26 NEW 8440 191.59 208.44
PFE Pfizer 0.23 NEW 56665 25.08 28.96
MA MasterCard Incorporated 0.22 NEW 2789 491.22 584.78
UN Unilever N.V. 0.22 NEW 35288 38.31 42.16
MSFT Microsoft Corporation 0.21 +96.00% 50040 26.72 34.87
CL Colgate-Palmolive Company 0.21 NEW 12779 104.55 62.04
ADP Automatic Data Processing 0.20 NEW 21558 56.92 71.63
Bce 0.20 NEW 29745 42.93 0.00
ABC AmerisourceBergen 0.18 NEW 25588 43.18 54.83
PEP Pepsi 0.18 NEW 16613 68.44 83.80
BCR C.R. Bard 0.17 NEW 10774 97.74 107.38
BDX Becton, Dickinson and 0.14 NEW 11112 78.20 101.78
AAPL Apple 0.14 -15.00% 1644 532.24 434.23
VNQ Vanguard REIT ETF 0.14 NEW 13333 65.78 77.53
PNC PNC Financial Services 0.13 NEW 14160 58.33 71.51
COP ConocoPhillips 0.13 NEW 13781 57.98 63.31
Eaton 0.11 NEW 12915 54.20 0.00
BOH Bank of Hawaii Corporation 0.10 +191.00% 14558 44.03 50.87
CAT Caterpillar 0.09 -14.00% 6553 89.58 87.67
EMR Emerson Electric 0.09 NEW 10798 52.97 59.36
WR Westar Energy 0.09 NEW 20000 28.60 33.45
ABT Abbott Laboratories 0.07 +9.00% 7133 65.47 37.35
NSRGY Nestle SA Reg Shs. Ser. B Spons 0.07 NEW 6417 65.14 69.54
WFC Wells Fargo & Company 0.06 -14.00% 10586 34.20 39.88
NVO Novo Nordisk A/S 0.05 NEW 1743 162.94 171.99
Transcanada 0.05 NEW 6000 47.33 0.00
OKE ONEOK 0.04 NEW 5500 42.73 49.25
KO Coca-Cola Company 0.03 NEW 6010 36.27 42.97
CMCSK Comcast Corporation 0.03 NEW 5925 35.95 41.02