FIRST AMERICAN TRUST

Latest statistics and disclosures from FIRST AMERICAN TRUST's latest quarterly 13F-HR filing:

FIRST AMERICAN TRUST portfolio companies for quarter ending March 2013

Ticker Name Portfolio Weight Change Share Count Price Last Trade
AAPL Apple 3.54 22218 442.67 444.44
XOM Exxon Mobil Corporation 3.00 92350 90.11 91.44
Alerian Mlp Etf 2.99 NEW 468447 17.72 0.00
KO Coca-Cola Company 2.88 +33.00% 197557 40.44 41.79
PG Procter & Gamble Company 2.68 +13.00% 96355 77.06 81.75
JPM JPMorgan Chase & Co. 2.56 +16.00% 149927 47.46 52.97
UPS United Parcel Service 2.30 -11.00% 74165 85.90 86.77
PFE Pfizer 2.23 214266 28.86 28.98
GLD SPDR Gold Trust 2.19 -38.00% 39372 154.48 134.21
GS Goldman Sachs 2.12 +3.00% 39976 147.14 156.66
GE General Electric Company 2.08 249382 23.12 23.55
WFC Wells Fargo & Company 2.07 -54.00% 155610 36.99 39.99
V Visa 2.02 33053 169.85 180.25
GOOG Google 2.01 7025 794.23 873.95
T AT&T; 1.95 +65.00% 147621 36.69 36.62
ORCL Oracle Corporation 1.92 165214 32.33 33.70
CVX Chevron Corporation 1.91 -15.00% 44528 118.83 124.56
MSFT Microsoft Corporation 1.68 162988 28.60 34.16
DIS Walt Disney Company 1.65 80796 56.80 64.50
PM Philip Morris International 1.49 44685 92.72 93.87
GPC Genuine Parts Company 1.39 -49.00% 49663 77.78 81.37
Citi 1.39 +104.00% 87069 44.24 0.00
NOV National-Oilwell Var 1.36 +3.00% 53413 70.75 69.26
CSCO Cisco Systems 1.31 174189 20.90 23.48
Express Scripts Holding 1.29 61949 57.62 0.00
WMT Wal-Mart Stores 1.27 46999 74.84 77.09
AMGN Amgen 1.24 +3.00% 33530 102.49 105.29
TMO Thermo Fisher Scientific 1.21 +3.00% 43979 76.50 86.12
AXP American Express Company 1.19 49002 67.47 74.26
CLGX CoreLogic 1.18 126273 25.86 26.59
PEP Pepsi 1.17 41164 79.12 82.54
AMZN Amazon 1.17 12187 266.50 259.20
HON Honeywell International 1.16 42844 75.35 78.82
SLB Schlumberger 1.16 +696.00% 43110 74.88 73.80
Ace Limited Cmn 1.12 34850 88.98 0.00
QCOM QUALCOMM 1.10 45647 66.94 63.79
HES Hess 1.04 +11.00% 40401 71.61 66.62
SLB Schlumberger 1.03 +696.00% 38302 74.88 73.80
JCI Johnson Controls 1.02 80464 35.07 36.72
MET MetLife 1.02 -9.00% 74720 38.02 41.61
MAS Masco Corporation 1.01 -90.00% 138755 20.25 21.77
CF CF Industries Holdings 1.00 +5.00% 14617 190.40 186.53
Duke Energy 1.00 +8.00% 38343 72.58 0.00
COST Costco Wholesale Corporation 0.96 25066 106.11 114.27
FCX Freeport-McMoRan Copper & Gold 0.96 +15.00% 80693 33.10 30.52
DE Deere & Company 0.95 30797 85.97 86.07
PRU Prudential Financial 0.95 44646 58.98 65.80
MCD McDonald's Corporation 0.93 25890 99.68 100.14
BRK.B Berkshire Hathaway 0.92 24600 104.19 0.00
UNH UnitedHealth 0.90 -18.00% 43698 57.21 62.18
DAL Delta Air Lines 0.89 -44.00% 148886 16.51 18.62
FAF First American Financial 0.85 +3.00% 91930 25.57 24.38
ITC ITC Holdings 0.84 26058 89.27 88.49
CHECK POINT SOFTWARE Technolog Com Stk 0.84 -4.00% 49659 46.99 0.00
ABT Abbott Laboratories 0.82 64494 35.33 37.36
AES AES Corporation 0.82 +4.00% 181106 12.57 12.74
BDX Becton, Dickinson and 0.81 -9.00% 23501 95.61 99.31
LOW Lowe's Companies 0.75 -2.00% 55252 37.92 42.28
BBBY Bed Bath & Beyond 0.70 +9.00% 30323 64.42 68.57
JNPR Juniper Networks 0.70 +78.00% 104189 18.54 17.25
HAR Harman International Industries Inc./DE/ 0.69 +8.00% 42601 44.63 51.12
CMCSA Comcast Corporation 0.68 -46.00% 44649 41.99 41.38
Tyco International Ltd S hs 0.65 56323 32.01 0.00
WMB Williams Companies 0.63 -4.00% 46910 37.47 36.70
DVY iShares Dow Jones Select Dividend 0.59 +11.00% 26012 63.42 65.55
IEF iShares Lehman 7-10 Yr Treas. Bond 0.52 +118.00% 13565 107.36 106.56
Marvell Technology 0.50 132278 10.58 0.00
Adt 0.49 27988 48.94 0.00
AGG iShares Lehman Aggregate Bond 0.47 +5.00% 11686 110.73 109.96
LQD iShares IBoxx $ Invest Grade Corp Bd Fd 0.46 +6.00% 10750 119.91 119.69
ADM Archer Daniels Midland Company 0.43 35005 33.74 33.98
Pentair 0.28 NEW 14600 52.72 0.00
UNP Union Pacific Corporation 0.27 5247 142.41 156.06
IJS iShares S&P; SmallCap 600 Value Idx 0.23 +24.00% 7080 89.97 93.62
IJJ iShares S&P; MidCap 400 Value Index 0.23 +27.00% 6380 100.94 102.70
RNP Cohen & Steers REIT/Pfd Inc Fd 0.22 32522 18.88 18.96
BMY Bristol Myers Squibb 0.21 -6.00% 13978 41.15 46.68
VZ Verizon Communications 0.21 +4.00% 12013 49.17 51.38
CL Colgate-Palmolive Company 0.19 4473 117.87 60.58
VTV Vanguard Value ETF 0.18 -4.00% 7429 65.55 69.15
AGN Allergan 0.17 -6.00% 4265 111.61 97.79
INTC Intel Corporation 0.16 +8.00% 19925 21.85 23.68
EFA iShares MSCI EAFE Index Fund 0.16 +4.00% 7597 58.99 61.06
VIG Vanguard Dividend Appreciation ETF 0.16 +72.00% 6704 65.63 68.56
JNJ Johnson & Johnson 0.15 -6.00% 5256 81.62 86.61
GSK GlaxoSmithKline 0.15 -5.00% 8600 46.86 52.74
CLX Clorox Company 0.15 4565 88.64 85.95
BTZ BlackRock Credit All Inc Trust IV 0.15 29113 14.01 14.14
NPI Nuveen Premium Income Municipal Fund 0.15 28300 14.66 14.24
NVS Novartis AG 0.14 -4.00% 5459 71.26 74.22
CVS CVS Caremark Corporation 0.13 6554 54.92 58.49
TJX TJX Companies 0.13 -5.00% 7590 46.77 50.47
Aon 0.13 5850 61.54 0.00
SPY SPDR S&P; 500 ETF 0.12 NEW 2155 156.84 164.51
DD E.I. du Pont de Nemours & Company 0.12 6950 49.15 54.78
PX Praxair 0.12 2980 111.54 115.50
PID PowerShares Intl. Dividend Achiev. 0.12 -51.00% 20420 16.90 17.35
Abbvie 0.12 NEW 8358 40.62 0.00
HD Home Depot 0.11 4293 69.70 78.63
TEVA Teva Pharmaceutical Industries 0.11 7660 39.66 39.05
IWR iShares Russell Midcap Index Fund 0.11 -6.00% 2318 127.26 132.18
VWO Vanguard Emerging Markets ETF 0.11 NEW 7390 42.90 42.69
ADP Automatic Data Processing 0.10 -38.00% 4227 65.06 69.75
ADP Automatic Data Processing 0.10 -38.00% 4227 65.06 69.75
MAS Masco Corporation 0.10 -90.00% 13614 20.27 21.77
FISV Fiserv 0.10 3000 88.00 87.77
MOO Market Vectors Agribusiness 0.10 +4.00% 5131 54.18 53.42
MMM 3M Company 0.09 2335 106.59 109.88
IBM International Business Machines 0.09 -16.00% 1132 213.11 205.69
HYG iShares iBoxx $ High Yid Corp Bond 0.09 -14.00% 2527 94.18 94.72
IJR iShares S&P; SmallCap 600 Index 0.09 2897 86.99 90.36
IPE SPDR Barclays Capital TIPS 0.09 4000 60.50 58.96
* Barrick Gold 0.08 NEW 7138 29.42 0.00
EEM iShares MSCI Emerging Markets Indx 0.08 NEW 5259 42.78 42.08
EEM iShares MSCI Emerging Markets Indx 0.08 NEW 5259 42.78 42.08
SYY SYSCO Corporation 0.08 NEW 6200 35.00 34.73
MRK Merck & Co 0.08 5080 44.23 46.70
ITW Illinois Tool Works 0.08 3600 60.88 69.81
BND Vanguard Total Bond Market ETF 0.08 2500 83.60 83.06
VNQ Vanguard REIT ETF 0.08 -32.00% 3279 70.42 74.31
BAC Bank of America Corporation 0.07 +11.00% 16232 12.19 13.18
CAT Caterpillar 0.07 -33.00% 2370 86.83 85.97
BA Boeing Company 0.07 -17.00% 2400 85.83 99.99
UTX United Technologies Corporation 0.07 -30.00% 2119 93.44 94.64
UTX United Technologies Corporation 0.07 -30.00% 2119 93.44 94.64
PID PowerShares Intl. Dividend Achiev. 0.07 -51.00% 10741 16.85 17.35
OIA Invesco Municipal Income Opp Trust 0.06 22445 7.35 7.09
NUM Nuveen Michigan Qlity Incom Municipal Fd 0.06 NEW 10895 15.14 14.98
JKI iShares Morningstar Mid Value Idx 0.05 NEW 1400 94.29 98.81
MTU Mitsubishi UFJ Financial 0.02 10740 5.96 6.05

Past 13F-HR SEC Filings for FIRST AMERICAN TRUST