First Foundation Advisors

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

FIRST FOUNDATION ADVISORS portfolio companies for September 2013 quarter

Ticker Name Portfolio Weight Change Share Count Price Last Trade
American Realty Capital Prop 5.30 NEW 2794078 12.20 0.00
Rexford Industrial Realty Inc reit 4.23 NEW 2013718 13.51 0.00
JNJ Johnson & Johnson 3.78 279979 86.69 99.32
Aon 3.23 +4.00% 279117 74.44 0.00
UPS United Parcel Service 3.18 +4.00% 223688 91.37 96.74
PM Philip Morris International 3.15 +4.00% 233779 86.59 84.55
NVS Novartis AG 3.07 +5.00% 257453 76.71 84.21
IBM International Business Machines 3.00 +8.00% 104308 185.18 197.55
BRK.B Berkshire Hathaway 2.98 168669 113.51 0.00
QCOM QUALCOMM 2.84 -12.00% 270844 67.32 79.72
MSFT Microsoft Corporation 2.83 +5.00% 547513 33.28 40.01
BUD Anheuser-Busch InBev NV 2.74 +5.00% 177404 99.20 109.12
DEO Diageo 2.73 +4.00% 138340 127.08 127.68
RSG Republic Services 2.72 +4.00% 524800 33.36 34.55
GSK GlaxoSmithKline 2.49 +38.00% 318566 50.17 52.56
PEP Pepsi 2.49 +6.00% 201309 79.50 84.73
BA Boeing Company 2.39 +6.00% 130795 117.50 124.82
BLK BlackRock 2.23 +4.00% 53010 270.63 305.21
BK Bank of New York Mellon Corporation 2.16 +4.00% 459417 30.19 33.43
GS Goldman Sachs 2.04 +3.00% 82776 158.21 155.96
TJX TJX Companies 1.94 +3.00% 221001 56.39 58.96
OXY Occidental Petroleum Corporation 1.89 +3.00% 129748 93.54 95.87
SLB Schlumberger 1.83 +1859.00% 133296 88.36 100.83
Mondelez Int 1.83 +4.00% 373582 31.42 0.00
TEVA Teva Pharmaceutical Industries 1.79 +4.00% 303928 37.78 50.36
MO Altria 1.78 +4.00% 333011 34.35 38.38
CMCSK Comcast Corporation 1.70 NEW 251968 43.35 48.26
DIS Walt Disney Company 1.67 +4.00% 166205 64.49 78.58
WFC Wells Fargo & Company 1.57 +7.00% 244942 41.32 48.87
BTI British American Tobac 1.52 +5.00% 92879 105.15 114.85
Canadian Natural Resources 1.45 +3.00% 296662 31.44 0.00
AXP American Express Company 1.44 +3.00% 122760 75.52 86.63
CVX Chevron Corporation 1.43 +199.00% 75588 121.50 121.47
ORCL Oracle Corporation 1.42 +1510.00% 275217 33.17 39.77
PCM PCM Fund 1.41 789770 11.45 12.08
DVN Devon Energy Corporation 1.04 +8.00% 115366 57.76 69.45
PFN Pimco Income Strategy Fund II 0.99 625795 10.20 10.35
XOM Exxon Mobil Corporation 0.91 +118.00% 67856 86.04 99.57
PFE Pfizer 0.55 +4.00% 122436 28.73 30.14
AAPL Apple 0.52 7022 476.79 517.45
Pimco Dynamic Incm Fund 0.42 -18.00% 93578 28.69 0.00
SPY SPDR S&P; 500 ETF 0.38 +23.00% 14618 168.01 185.17
Spdr Short-term High Yield mf 0.37 +120.00% 78150 30.54 0.00
BRK.A Berkshire Hathaway 0.34 -7.00% 13 170384.62 0.00
STWD Starwood Property Trust 0.30 +8.00% 80900 23.97 23.01
Enterprise Products Partners 0.30 +2.00% 32046 61.04 0.00
ROIC Retail Opportunity Investments 0.26 +9.00% 121050 13.80 15.72
Doubleline Opportunistic Cr 0.25 -2.00% 70949 22.88 0.00
PG Procter & Gamble Company 0.24 +322.00% 20722 75.57 81.81
O Realty Income 0.24 +23.00% 39412 39.76 42.49
T AT&T; 0.22 +9.00% 42421 33.83 35.82
PZC Pimco CA Muni. Income Fund III 0.21 -8.00% 144342 9.36 9.94
MMM 3M Company 0.18 +314.00% 9621 119.43 134.90
EFA iShares MSCI EAFE Index Fund 0.17 +29.00% 17350 63.80 66.86
BBN Blackrock Build America Bond Trust 0.17 +182.00% 59591 18.81 20.24
CTL CenturyLink 0.16 32529 31.39 34.37
CLNY Colony Financial 0.16 53000 19.98 20.97
GE General Electric Company 0.15 +69.00% 39218 23.89 25.99
UN Unilever N.V. 0.15 NEW 25650 37.74 42.43
ABV Companhia de Bebidas das Americas 0.14 -7.00% 22647 38.37 0.00
GLD SPDR Gold Trust 0.14 -13.00% 6947 128.11 125.27
IBKR Interactive Brokers 0.13 -6.00% 44389 18.77 23.50
EMR Emerson Electric 0.13 +118.00% 12428 64.69 67.18
NOV National-Oilwell Var 0.13 10968 78.14 80.89
ITW Illinois Tool Works 0.13 +141.00% 10661 76.26 82.86
KO Coca-Cola Company 0.12 +18.00% 20852 37.89 40.46
BRCM Broadcom Corporation 0.12 29728 26.04 29.53
NUE Nucor Corporation 0.11 14279 49.02 51.53
TOT TOTAL S.A. 0.11 12615 57.95 67.56
VEA Vanguard Europe Pacific ETF 0.11 NEW 17572 39.89 41.19
VWO Vanguard Emerging Markets ETF 0.11 NEW 17232 40.16 41.07
TSI TCW Strategic Income Fund 0.11 +51.00% 134851 5.39 5.43
Nuveen Build Amer Bd fd 0.11 +74.00% 38951 18.07 0.00
MCD McDonald's Corporation 0.10 6965 96.20 100.76
TXN Texas Instruments Incorporated 0.10 NEW 16391 40.27 45.08
CLX Clorox Company 0.10 NEW 8225 81.70 90.53
SOR Source Capital 0.10 -2.00% 10072 62.15 66.26
Oaktree Cap 0.10 -22.00% 12000 52.33 0.00
Abbvie 0.10 +187.00% 14353 44.73 0.00
PPG PPG Industries 0.09 NEW 3500 167.14 190.35
WWE World Wrestling Entertainment 0.09 -8.00% 59992 10.17 21.48
MMP Magellan Midstream Partners 0.09 +11.00% 9999 55.31 72.81
FFC Flaherty & Crumrine/Claymore Preferred S 0.09 +17.00% 32307 18.01 19.86
EXG Eaton Vance Tax-Managed Global Dive Eq 0.09 60439 9.38 10.08
JPC Nuveen Multi-Strategy Income & Growth Fd 0.09 +93.00% 63937 8.68 9.35
Level 3 Communications 0.09 +3.00% 20726 26.68 0.00
ABT Abbott Laboratories 0.08 NEW 15314 33.17 37.77
BMY Bristol Myers Squibb 0.08 NEW 11255 46.29 48.58
BF.B Brown-Forman Corporation 0.08 7423 68.17 0.00
UTX United Technologies Corporation 0.08 +3.00% 4736 107.90 117.07
VTR Ventas 0.08 -7.00% 8386 61.53 65.27
VNQ Vanguard REIT ETF 0.08 NEW 7335 66.12 71.79
PTY PIMCO Corporate Opportunity Fund 0.08 +33.00% 28375 18.04 18.04
RWX SPDR DJ International Real Estate ETF 0.08 NEW 12063 42.11 42.02
BTZ BlackRock Credit All Inc Trust IV 0.08 +209.00% 40933 13.05 13.55
USB U.S. Ban 0.07 -4.00% 11923 36.57 40.38
HD Home Depot 0.07 +9.00% 6073 75.91 76.04
LLY Eli Lilly & Co. 0.07 9440 50.32 59.76
D Dominion Resources 0.07 +5.00% 7355 62.54 70.70
CSCO Cisco Systems 0.07 18290 23.46 22.91
PSA Public Storage 0.07 2611 160.47 170.73
VZ Verizon Communications 0.07 +29.00% 9250 46.70 46.90
CL Colgate-Palmolive Company 0.07 7784 59.35 67.00
RDS.A Royal Dutch Shell 0.07 +17.00% 6706 65.61 0.00
Lance 0.07 NEW 16156 28.84 0.00
ESD Western Asset Emerging Mrkts Dbt Fnd 0.07 +121.00% 26153 17.93 17.55
ISI iShares S&P; 1500 Index Fund 0.07 +99.00% 5872 77.15 65.92
PFL Pimco Income Strategy Fund 0.07 -4.00% 36427 11.56 11.78
TEI Templeton Emerging Markets Income Fund 0.07 NEW 33581 14.29 14.15
MUC Blackrock MuniHoldings CA Insrd Fnd 0.07 NEW 35085 13.62 14.03
Kayne Anderson Mdstm Energy 0.07 NEW 14603 32.05 0.00
Nuveen Build Amer Bd Opptny 0.07 NEW 25044 18.53 0.00
INTC Intel Corporation 0.06 -42.00% 17004 22.94 26.75
COP ConocoPhillips 0.06 +33.00% 5782 69.53 73.27
HAL Halliburton Company 0.06 8617 48.16 60.43
SBUX Starbucks Corporation 0.06 5083 76.92 69.99
PAA Plains All American Pipeline 0.06 +18.00% 6789 52.73 55.79
IJR iShares S&P; SmallCap 600 Index 0.06 NEW 3662 99.67 106.73
EVV Eaton Vance Limited Duration Income Fund 0.06 +56.00% 23531 15.64 15.05
BLW BlackRock Ltd. Duration Income Trust 0.06 +50.00% 21080 16.98 16.99
AOD Alpine Total Dynamic Dividend Fund 0.06 NEW 102701 4.02 8.37
ERC Wells Fargo Adv Multi-Sector Inco Fund 0.06 +80.00% 29299 14.13 14.41
CB Chubb Corporation 0.05 NEW 3625 89.38 90.51
JPM JPMorgan Chase & Co. 0.05 +22.00% 6810 51.69 54.91
UNP Union Pacific Corporation 0.05 NEW 1906 155.30 187.36
ADP Automatic Data Processing 0.05 +34.00% 4081 72.29 75.05
SWY Safeway 0.05 10263 31.96 34.16
MRK Merck & Co 0.05 +26.00% 6253 47.66 56.33
IJK iShares S&P; MidCap 400 Growth 0.05 NEW 2162 139.22 147.09
XLP Consumer Staples Select Sect. SPDR 0.05 +33.00% 8734 39.84 43.54
Citi 0.05 -6.00% 7182 48.45 0.00
BP BP 0.04 NEW 5505 41.96 48.20
EEM iShares MSCI Emerging Markets Indx 0.04 NEW 6811 40.82 41.35
CAT Caterpillar 0.04 -22.00% 2734 83.39 102.46
ECL Ecolab 0.04 NEW 2411 98.71 106.51
WMT Wal-Mart Stores 0.04 NEW 3779 73.83 77.33
TRV Travelers Companies 0.04 2711 84.84 86.83
FELE Franklin Electric 0.04 NEW 6400 39.38 40.57
JWN Nordstrom 0.04 5000 56.20 61.59
DD E.I. du Pont de Nemours & Company 0.04 -4.00% 4553 58.64 67.45
AMGN Amgen 0.04 2433 111.80 114.17
DBC PowerShares DB Com Indx Trckng Fund 0.04 NEW 10130 25.77 26.66
OKS Oneok Partners 0.04 NEW 4247 52.98 55.85
ANH Anworth Mortgage Asset Corporation 0.04 NEW 49700 4.83 5.31
SXL Sunoco Logistics Partners 0.04 NEW 3526 66.36 87.74
SLV iShares Silver Trust 0.04 -4.00% 12593 20.88 18.86
GAM General American Investors 0.04 NEW 7400 34.19 34.95
NCA Nuveen California Municipal Value Fund 0.04 NEW 27608 9.16 9.92
RLI RLI 0.03 NEW 2350 87.23 43.01
BAC Bank of America Corporation 0.03 15364 13.80 15.90
MDT Medtronic 0.03 NEW 3889 53.23 58.13
GOOG Google 0.03 NEW 248 875.00 544.66
ETE Energy Transfer Equity 0.03 NEW 3139 65.63 48.39
LUV Southwest Airlines 0.03 +7.00% 12186 14.52 23.06
KMP Kinder Morgan Energy Partners 0.03 -13.00% 2717 79.87 78.19
IJH iShares S&P; MidCap 400 Index 0.03 NEW 1685 124.04 133.55
BGT BlackRock Floating Rate Income Trust 0.03 12908 14.18 13.95
VCV Invesco Van Kampen Cal Val Mun Inc Trust 0.03 +13.00% 18193 11.21 11.86
NLY Annaly Capital Management 0.02 -22.00% 11333 11.56 11.43
FTR Frontier Communications 0.02 25102 4.18 5.70
TICC TICC Capital 0.02 10126 9.78 9.64
JQC Nuveen Multi-Strategy Inc & Growth Fd 2 0.02 -26.00% 14030 9.34 9.36
NUV Nuveen Muni Value Fund 0.02 14674 9.13 9.44
Resolute Fst Prods In 0.02 NEW 10162 13.19 0.00
Blackberry 0.02 NEW 19164 7.93 0.00
Eldorado Gold 0.01 11330 6.71 0.00
JPS Nuveen Quality Pref. Inc. Fund II 0.01 10582 8.13 8.74
CIM Chimera Investment Corporation 0.00 10000 3.00 3.15
Rubicon Minerals 0.00 14000 1.29 0.00
Comstock Mining Inc cs 0.00 14163 1.77 0.00

Past 13F-HR SEC Filings for FIRST FOUNDATION ADVISORS