Pacific Heights Asset Management

Latest statistics and disclosures from Pacific Heights Asset Management's latest quarterly 13F-HR filing:

Pacific Heights Asset Management portfolio companies for quarter ending March 2013

Ticker Name Portfolio Weight Change Share Count Price Last Trade
Bhp Billiton Ltd - Spon Adr adr 088 3.19 2500000 68.43 0.00
Freeport-mcmoran Cop&g 2.66 4320000 33.10 0.00
Prologis Tr C 743 2.61 3500000 39.98 0.00
Hollyfrontier 2.61 -22.00% 2725000 51.45 0.00
Exxon Mobil Corporation 2.52 1500000 90.11 0.00
Vornado Realty Trust 2.34 1500000 83.64 0.00
Weyerhaeuser 2.34 4000000 31.38 0.00
Chevron 2.21 1000000 118.82 0.00
Rio Tinto Plc Spons ored adr 767 2.19 -10.00% 2500000 47.08 0.00
Apache 2.16 1500000 77.16 0.00
Wynn Resorts 2.12 -24.00% 908000 125.16 0.00
Bp Plc - Spons Adr 055 1.97 2500000 42.35 0.00
Avalonbay Communities 1.89 -11.00% 800000 126.67 0.00
Gilead Sciences 1.84 +99.00% 2024000 48.93 0.00
Federal Realty Invs Trust 1.81 900000 108.04 0.00
Celgene 1.75 -19.00% 812000 115.91 0.00
Amgen 1.74 910000 102.51 0.00
Boston Properties 1.69 -10.00% 900000 101.06 0.00
Conocophillips 1.68 1500000 60.10 0.00
State Street 1.67 -39.00% 1515000 59.09 0.00
SCHWAB CHARLES 1.66 5040000 17.69 0.00
Devon Energy 1.58 1500000 56.42 0.00
Fedex 1.48 -46.00% 810000 98.20 0.00
Air Products & Chemicals 1.47 -9.00% 908000 87.12 0.00
Kansas City Southern 1.47 -29.00% 710000 110.90 0.00
Kimco Realty 1.46 3500000 22.40 0.00
Lockheed Martin 1.45 -19.00% 805000 96.52 0.00
Williams-sonoma 1.45 -39.00% 1515000 51.52 0.00
Morgan Stanley 1.44 -22.00% 3525000 21.98 0.00
Costco Wholesale Corp. New Com 221 1.40 -12.00% 708000 106.11 0.00
Symantec 1.39 3030000 24.68 0.00
Peabody Energy 1.39 3535000 21.15 0.00
Parker Hannifin 1.38 -19.00% 809000 91.58 0.00
Bre Properties 1.36 1500000 48.68 0.00
Cameco Corp C om 133 1.35 3500000 20.78 0.00
Suncor Energy 1.31 -24.00% 1513000 46.41 0.00
Bank Of New York Mellon 1.31 -16.00% 2520000 27.99 0.00
Nucor 1.30 -24.00% 1515000 46.15 0.00
Phillips 66 1.30 1000000 69.97 0.00
Emmis Communications Corp cl a 291 1.26 -16.00% 1014000 66.95 0.00
Fluor 1.25 -33.00% 1010000 66.33 0.00
Digital Realty Trust 1.25 1000000 66.91 0.00
Facebook Inc cl a 303 1.21 NEW 2530000 25.58 0.00
Viacom Inc New cl a 925 1.19 1010000 63.06 0.00
Agilent Technologies 1.18 1515000 41.97 0.00
Ryland Group Inc C om 783 1.18 1518000 41.62 0.00
Autodesk 1.16 -24.00% 1515000 41.24 0.00
Illinois Tool Works 1.15 -16.00% 1013000 60.94 0.00
Mosaic Co equity 619 1.12 -33.00% 1010000 59.61 0.00
Duke Realty 1.11 3500000 16.98 0.00
Disney Walt Co. Com D isney 254 1.07 -33.00% 1015000 56.80 0.00
Plains Exploration & Prod.comp. 1.06 -40.00% 1200000 47.47 0.00
Juniper Networks 1.05 3030000 18.54 0.00
Albemarle Corp. Com 012 1.04 2000000 27.84 0.00
Alexander & Baldwin 1.00 1500000 35.75 0.00
Corporate Office Properties 0.99 2000000 26.68 0.00
Mattel 0.99 -39.00% 1220000 43.79 0.00
Vale S A A dr 919 0.97 3000000 17.29 0.00
Harley-davidson 0.91 -39.00% 914000 53.30 0.00
Udr 0.90 2000000 24.19 0.00
Equity One 0.89 2000000 23.97 0.00
Chemtura 0.81 2025000 21.61 0.00
Pennsylvania Rl Estate Invt S h ben int 709 0.72 2000000 19.39 0.00
Mwi Veterinary Supply 0.71 4050000 9.40 0.00
Matson 0.69 1500000 24.60 0.00
Cbs Corp Class A cl a new 124 0.60 700000 46.33 0.00
Silicon Graphics Inc. Com 827 0.54 2550000 11.36 0.00
Ipg Photonics Corp equity 449 0.45 +812.00% 365000 66.41 0.00
Canadian Natural Resources 0.36 NEW 600000 32.13 0.00
Texas Pac Ld Tr sub ctf prop i 882 0.33 250000 70.48 0.00
Parker Drilling Co cs 701 0.25 3090000 4.28 0.00
Epl Oil & Gas 0.24 NEW 490000 26.81 0.00
Urstadt Biddle Pptys Inc Class 0.20 500000 21.76 0.00
Halcon Res 0.16 NEW 1100000 7.79 0.00
Urstadt Biddle Pptys Inc cl a 917 0.07 200000 19.08 0.00
Apache Corporation con 037 0.01 10000 44.60 0.00