First Foundation Advisors

Latest statistics and disclosures from First Foundation Advisors's latest quarterly 13F-HR filing:

First Foundation Advisors portfolio companies for quarter ending March 2013

Ticker Name Portfolio Weight Change Share Count Price Last Trade
American Realty Capital Prop 10.24 +1769.00% 3771942 14.67 0.00
JNJ Johnson & Johnson 4.02 +5.00% 266442 81.53 86.61
QCOM QUALCOMM 3.75 +9.00% 302308 66.94 63.79
PM Philip Morris International 3.66 +6.00% 213016 92.71 93.87
IBM International Business Machines 3.65 +4.00% 92408 213.30 205.69
UPS United Parcel Service 3.25 +5.00% 204176 85.90 86.77
NVS Novartis AG 3.13 +4.00% 237559 71.24 74.22
BUD Anheuser-Busch InBev NV 2.97 -27.00% 161071 99.55 95.27
DEO Diageo 2.95 +6.00% 126498 125.84 122.11
BRK.B Berkshire Hathaway 2.94 +6.00% 152297 104.20 0.00
RSG Republic Services 2.92 +9.00% 477121 33.00 34.56
Aon 2.91 +4.00% 255842 61.50 0.00
PEP Pepsi 2.66 +4.00% 181630 79.11 82.54
MSFT Microsoft Corporation 2.64 +6.00% 498925 28.61 34.16
BLK BlackRock 2.30 -32.00% 48303 256.88 281.37
BK Bank of New York Mellon Corporation 2.18 +3.00% 421318 27.99 29.40
GS Goldman Sachs 2.06 +5.00% 75548 147.15 156.66
GD General Dynamics Corporation 2.00 +6.00% 153020 70.51 76.72
PCM PCM Fund 1.98 -2.00% 811995 13.16 12.98
MO Altria 1.96 +6.00% 307233 34.39 36.75
TEVA Teva Pharmaceutical Industries 1.94 +8.00% 263444 39.68 39.05
Mondelez Int 1.94 +5.00% 342700 30.62 0.00
GE General Electric Company 1.87 +5.00% 437989 23.12 23.55
BA Boeing Company 1.85 NEW 116624 85.85 99.99
OXY Occidental Petroleum Corporation 1.74 +8.00% 120182 78.37 90.43
TJX TJX Companies 1.72 NEW 198140 46.75 50.47
BTI British American Tobac 1.67 +8.00% 84405 107.06 111.76
Canadian Natural Resources 1.63 +9.00% 274758 32.13 0.00
DIS Walt Disney Company 1.61 +4.00% 152743 56.80 64.50
Potash Corp. Of Saskatchewan I 1.49 +4.00% 205067 39.25 0.00
AXP American Express Company 1.40 +1875.00% 112115 67.46 74.26
PFN Pimco Income Strategy Fund II 1.28 602949 11.46 11.48
Accenture 1.15 +4.00% 81864 75.97 0.00
DVN Devon Energy Corporation 1.04 +10.00% 99977 56.42 57.41
Suncor Energy 0.98 +4.00% 176753 30.01 0.00
PFE Pfizer 0.64 120498 28.86 28.98
Pimco Dynamic Incm Fund 0.64 +18.00% 111893 31.10 0.00
CVX Chevron Corporation 0.56 25465 118.83 124.56
XOM Exxon Mobil Corporation 0.50 30215 90.12 91.44
AAPL Apple 0.46 -10.00% 5608 442.76 444.44
O Realty Income 0.43 NEW 51247 45.35 49.46
BRK.A Berkshire Hathaway 0.41 14 156285.71 0.00
STWD Starwood Property Trust 0.36 +9.00% 70800 27.75 26.33
PZC Pimco CA Muni. Income Fund III 0.33 161702 11.08 10.89
T AT&T; 0.32 +12.00% 47306 36.70 36.62
CTL CenturyLink 0.32 -3.00% 48923 35.14 37.16
GLD SPDR Gold Trust 0.26 +24.00% 9232 154.46 134.21
ROIC Retail Opportunity Investments 0.26 +14.00% 100900 14.01 14.94
SPY SPDR S&P; 500 ETF 0.24 -20.00% 8402 156.63 164.51
TIP iShares Barclays TIPS Bond Fund 0.22 10014 121.23 118.31
CLNY Colony Financial 0.21 +22.00% 52000 22.19 22.14
BRCM Broadcom Corporation 0.19 -23.00% 29728 34.68 36.32
Abbvie 0.19 NEW 25105 40.79 0.00
Oaktree Cap 0.17 18400 51.03 0.00
AMAT Applied Materials 0.16 +7.00% 64268 13.47 14.54
VTR Ventas 0.16 11474 73.21 76.44
ERC Wells Fargo Adv Multi-Sector Inco Fund 0.16 -26.00% 51848 16.39 16.49
Spdr Short-term High Yield mf 0.16 +141.00% 27773 30.89 0.00
EW Edwards Lifesciences 0.15 +2.00% 9576 82.18 64.97
KO Coca-Cola Company 0.14 +14.00% 18582 40.42 41.79
NOV National-Oilwell Var 0.14 10803 70.72 69.26
REG Regency Centers Corporation 0.14 14250 52.91 54.25
FRA BlackRock Floating Rate Income Strat. Fn 0.14 -6.00% 47820 16.16 16.62
TOT TOTAL S.A. 0.13 +26.00% 14300 47.97 50.95
MCD McDonald's Corporation 0.12 +19.00% 6731 99.69 100.14
NUE Nucor Corporation 0.12 14279 46.15 45.42
EFA iShares MSCI EAFE Index Fund 0.12 +40.00% 10687 58.95 61.06
PFL Pimco Income Strategy Fund 0.12 50195 13.31 13.19
IBKR Interactive Brokers 0.10 +30.00% 35070 14.91 15.58
LLY Eli Lilly & Co. 0.10 9191 56.79 54.01
BF.B Brown-Forman Corporation 0.10 7423 71.40 0.00
INTC Intel Corporation 0.10 -4.00% 25775 21.84 23.68
VZ Verizon Communications 0.10 +18.00% 10466 49.11 51.38
ORCL Oracle Corporation 0.10 16396 32.32 33.70
SOR Source Capital 0.10 +36.00% 8908 58.60 62.10
SLB Schlumberger 0.09 6312 74.94 73.80
CVC Cablevision Systems Corporation 0.09 +31.00% 31001 14.97 15.29
MMP Magellan Midstream Partners 0.09 NEW 8872 53.43 53.70
ABV Companhia de Bebidas das Americas 0.08 NEW 10041 42.33 41.82
USB U.S. Ban 0.08 NEW 13191 33.96 35.37
D Dominion Resources 0.08 +13.00% 7040 58.24 58.15
WFC Wells Fargo & Company 0.08 +17.00% 12202 36.96 39.99
Willis Group Holdings 0.08 +50.00% 11304 39.46 0.00
LMT Lockheed Martin Corporation 0.08 +99.00% 4647 96.62 105.77
CL Colgate-Palmolive Company 0.08 3866 117.95 60.58
UTX United Technologies Corporation 0.08 +9.00% 4826 93.45 94.64
WWE World Wrestling Entertainment 0.08 +24.00% 50215 8.82 9.17
HD Home Depot 0.07 5046 69.76 78.63
CSCO Cisco Systems 0.07 +23.00% 17586 20.87 23.48
PSA Public Storage 0.07 2611 152.43 160.46
PG Procter & Gamble Company 0.07 5195 77.00 81.75
RDS.A Royal Dutch Shell 0.07 NEW 5726 65.14 0.00
PAA Plains All American Pipeline 0.07 -3.00% 6912 56.42 58.41
SLV iShares Silver Trust 0.07 NEW 13230 27.44 21.76
TSI TCW Strategic Income Fund 0.07 68245 5.82 5.95
Level 3 Communications 0.07 +23.00% 19663 20.29 0.00
CAT Caterpillar 0.06 -2.00% 3560 87.08 85.97
EMR Emerson Electric 0.06 +22.00% 5728 55.87 56.61
HAL Halliburton Company 0.06 8397 40.37 42.78
Nuveen Build Amer Bd fd 0.06 14200 20.99 0.00
Citi 0.06 -7.00% 7747 44.28 0.00
Facebook Inc cl a 0.06 NEW 12940 25.58 0.00
MMM 3M Company 0.05 NEW 2610 106.13 109.88
JWN Nordstrom 0.05 5000 55.20 59.69
AMGN Amgen 0.05 NEW 2377 102.65 105.29
COP ConocoPhillips 0.05 4127 60.09 62.46
ISRG Intuitive Surgical 0.05 -10.00% 550 490.91 502.00
F Ford Motor Company 0.05 +77.00% 20021 13.14 14.67
ITW Illinois Tool Works 0.05 4400 60.91 69.81
SBUX Starbucks Corporation 0.05 -10.00% 4903 56.90 63.00
KMP Kinder Morgan Energy Partners 0.05 -11.00% 3277 89.72 88.06
PTY PIMCO Corporate Opportunity Fund 0.05 12139 21.50 20.03
NLY Annaly Capital Management 0.04 -18.00% 12147 15.89 14.31
JPM JPMorgan Chase & Co. 0.04 -9.00% 4946 47.51 52.97
BAC Bank of America Corporation 0.04 15743 12.20 13.18
DD E.I. du Pont de Nemours & Company 0.04 NEW 4603 49.10 54.78
AGN Allergan 0.04 NEW 1911 111.46 97.79
ESD Western Asset Emerging Mrkts Dbt Fnd 0.04 11139 21.19 21.36
BGT BlackRock Floating Rate Income Trust 0.04 12908 15.73 16.23
VCSH Vanguard Short Term Corporate Bond ETF 0.04 NEW 2491 80.29 80.20
Penn West Energy Trust 0.04 20906 10.76 0.00
LYV Live Nation Entertainment 0.03 -43.00% 15111 12.38 13.76
LUV Southwest Airlines 0.03 NEW 11078 13.45 14.11
CIM Chimera Investment Corporation 0.03 43333 3.18 3.15
FAX Aberdeen Asia-Pacific Income Fund 0.03 +14.00% 18433 7.76 7.23
CSQ Calamos Strategic Total Return Fund 0.03 17116 10.63 10.81
FTR Frontier Communications 0.02 25000 4.00 4.39
TICC TICC Capital 0.02 10126 9.97 9.90
RTK Rentech 0.02 NEW 42679 2.34 2.13
Eldorado Gold 0.02 11330 9.53 0.00
DOLE Dole Food Company 0.02 NEW 10919 10.90 11.07
DCT DCT Industrial Trust 0.01 10000 7.40 7.69
PMBC Pacific Mercantile Ban 0.01 10802 5.83 6.00
Rubicon Minerals 0.01 14000 2.43 0.00
Comstock Mining Inc cs 0.01 NEW 14163 1.98 0.00
Citigroup Inc Com Us cmn 0.00 28985 0.52 0.00

Past 13F-HR SEC Filings for First Foundation Advisors