AlphaMark Advisors

AlphaMark Advisors as of June 30, 2012

Portfolio Holdings for AlphaMark Advisors

AlphaMark Advisors holds 0 positions in its portfolio as reported in the June 2012 quarterly 13F filing

                TITLE OF                  VALUE SHARES/  SH/ PUT/ INVSTMT OTHER       VOTING AUTHORITY
    NAME OF ISSUER             CLASS           CUSIP   x$1000 PRN AMT  PRN CALL DSCRETN MNGRS    SOLE    SHARED    NONE
-----------------------      --------        --------- ------ -------- --- ---- ------- ------- -------  ------   -------
{S}                          {C}             {C}       {C}    {C}      {C} {C}  {C}     {C}     {C}  	 {C}	  {C}

Ak Steel Holding Corp       	COM  	001547108	12	1975	5.87
Azz Incorporated            	COM  	002474104	716	11680	61.26
Abbott Laboratories         	COM  	012824100	4	65	64.47
Acacia Research             	COM  	003881307	21	557	37.24
Air Packaging Tech New      	COM  	008913204	0	1200	0.01
Amazon Com Inc              	COM  	023135106	98	430	228.35
Amcore Financial Inc Xxx    	COM  	023912108	0	87	0.01
American Express Company    	COM  	025816109	3417	58706	58.21
American Express Company    	COM  	025816109	186	3201	58.21
American Intl Group Inc     	COM  	026874107	3	100	32.09
American Intl Gp   21wts    	COM  	026874156	1	53	10.31
Amgen Incorporated          	COM  	031162100	4030	55276	72.91
Amgen Incorporated          	COM  	031162100	184	2526	72.91
Amphenol Corp Cl A          	COM  	032095101	2383	43395	54.92
Amphenol Corp Cl A          	COM  	032095101	128	2322	54.92
The Andersons               	COM  	034164103	10	240	42.66
Anheuser Busch Co Inc       	COM  	035229103	2	28	79.65
Annaly Capital Mgmt         	ETF	035710409	9	552	16.78
Apache Corp                 	COM  	037411105	130	1475	87.89
Apple Inc                   	COM  	037833100	9728	16658	584
Apple Inc                   	COM  	037833100	359	615	584
Call  AAPL $500 01/18/2014	COM  	037833900	143	10	142.9
Call  AAPL $510 01/19/2013	COM  	037833900	277	28	99
Call AAPL $500  01/18/2014 	COM  	037833900	29	2	143.476
Arch Coal Inc               	COM  	039380100	0	70	6.89
Ashland Inc                 	COM  	044209104	7	106	69.31
Autoliv Inc                 	COM  	052800109	2017	36896	54.66
Autoliv Inc                 	COM  	052800109	142	2600	54.66
Auto Data Processing        	COM  	053015103	81	1448	55.66
Bac Capital TRUST I 7%      	COM  	055187207	25	1000	25.12
B Green Innovations Inc     	COM  	055471106	0	250000	0.001
B P Prudhoe Bay Rlty Tr     	COM  	055630107	163	1402	116.57
Baidu Com Inc Adr           	COM  	056752108	151	1310	114.98
Balchem Corp                	COM  	057665200	0	4	32.61
Bank Of America Corp        	COM  	060505104	3	340	8.18
Bank Of Amer Ser D Pfd      	COM  	060505831	7	300	24.48
Barrick Gold Corp           	COM  	067901108	30	800	37.57
Berkshire Hathaway Cl B     	COM  	084670207	33	400	83.33
Berry Petroleum Co Cl A     	COM  	085789105	602	15178	39.66
Best Buy Inc                	COM  	086516101	8	400	20.96
BHP Billiton Ltd            	COM  	088606108	64	985	65.3
Black Hills Corp            	COM  	092113109	6	200	32.17
Boeing Co                   	COM  	097023105	2	33	74.3
Bristol-Myers Squibb Co     	COM  	110122108	45	1250	35.95
Broadcom Corp Cl A          	COM  	111320107	2008	59468	33.76
Broadcom Corp Cl A          	COM  	111320107	176	5212	33.76
Cincinnati Bell Inc         	COM  	111620100	9	2400	3.72
Buffalo Wild Wings Inc      	COM  	119848109	13	150	86.636
Broadridge Financial Solutions	COM	122044103	9	412	21.27
Cbs Corporation Cl B New    	COM  	124857202	5	162	32.78
Cnooc Limited Adr           	COM  	126132109	2616	12997	201.25
Cnooc Limited Adr           	COM  	126132109	175	871	201.25
C S X Corp                  	COM  	126408103	239	10700	22.36
Caterpillar Inc             	COM  	149123101	979	11527	84.91
Cedar Fair L P Dep Uts      	ETF	150185106	13	450	29.97
CenturyLink                 	COM  	156700106	2138	54148	39.49
Centurytel Inc              	COM  	156700106	190	4801	39.49
Cerner Corp                 	COM  	156782104	99	1200	82.66
Chevron Corp                	COM  	166764100	551	5221	105.5
Cheviot Financial Corp      	COM  	166774109	26	3056	8.53
Call CMG $420  08/18/2012     	COM  	169656905	4	10	4.058
Cincinnati Financial Cp     	COM  	172062101	38	1000	38.07
Cirrus Logic Inc            	COM  	172755100	30	1000	29.85
Citigroup Inc               	COM  	172967101	169	6148	27.41
Cliffs Natural Resource     	COM  	185896107	1280	25968	49.29
Clorox Company              	COM  	189054109	24	325	72.46
Coca Cola Company           	COM  	191216100	37	471	78.19
Coeur D Alene Mines Cp      	COM  	192108108	4	200	17.56
Colgate-Palmolive Co        	COM  	194162103	29	275	104.1
Commerce Bancshares         	COM  	200525103	2	48	37.9
Community Health Systems    	COM  	203668108	0	4	28.03
Corning Inc                 	COM  	219350105	3	200	12.93
Countrywide Cap V 7%        	COM  	222388209	25	1000	24.83
Credit Accept Corp Mich     	COM  	225310101	619	7326	84.43
Cummins Inc                 	COM  	231021106	2249	23211	96.91
Cummins Inc                 	COM  	231021106	129	1333	96.91
Put CMI $82.5 7/21/2012      	COM  	231021956	8	350	0.22
Deckers Outdoor Corp        	COM  	243537107	1	22	44.01
Deere & Co                  	COM  	244199105	2	20	80.87
Delta Air Lines Inc         	COM  	247361108	0	24	10.95
Disney Walt Hldg Co         	COM  	254687106	15	300	48.5
Dover Corporation           	COM  	260003108	2	29	53.61
Du Pont E I De Nemour^Co    	COM  	263534109	128	2528	50.57
Duke Realty Pfd 6.6%        	COM  	264411745	25	1000	25.218
E M C Corp Mass             	COM  	268648102	2329	90870	25.63
E M C Corp Mass             	COM  	268648102	152	5949	25.63
Eastman Chemical Co         	COM  	277432100	1764	35021	50.37
Eastman Chemical Co         	COM  	277432100	133	2650	50.37
Ebay Inc                    	COM  	278642103	3499	83300	42.01
Ebay Inc                    	COM  	278642103	177	4202	42.01
Ebix                        	COM  	278715206	0	6	19.95
Elephant Talk Commun New    	COM  	286202205	0	3	1.68
Emerson Electric Co         	COM  	291011104	10	208	46.58
Encana Corporation          	COM  	292505104	4	200	20.83
Exchange Bancshares         	COM  	301258109	14	1428	10.06
Exlservice Holdings Inc     	COM  	302081104	637	25835	24.64
Express Scripts Inc         	COM  	302182100	158	2825	55.83
Ezcorp                      	COM  	302301106	0	5	23.46
Fairpoint Communications    	COM  	305560104	0	2	6.15
Freddie Mac Voting Shs      	COM  	313400301	0	1500	0.25
Fannie Mae                  	COM  	313586109	1	3000	0.255
Fifth Third Bancorp         	COM  	316773100	818	61071	13.4
First Horizon Natl Corp     	COM  	320517105	1	164	8.65
Ford Motor Company          	COM  	345370860	20	2125	9.59
Gallagher Arthur J & Co     	COM  	363576109	192	5465	35.07
General Electric Company    	COM  	369604103	954	45763	20.84
Gen Elec Cap Pfd            	COM  	369622527	22	850	26.46
General Mills Inc           	COM  	370334104	12	300	38.54
Genesco                     	COM  	371532102	597	9930	60.15
Gilead Sciences Inc         	COM  	375558103	2	42	51.28
Goldcorp Inc New            	COM  	380956409	30	800	37.58
General Dynamics Corp       	COM  	396550108	1	21	65.96
Halliburton Co Hldg Co      	COM  	406216101	5	169	28.39
Hill-Rom Holdings           	COM  	421924101	19	625	30.85
Healthcare Realty TRUST     	ETF	421946104	21	900	23.84
Heinz H J Co                	COM  	423074103	80	1470	54.38
Helmerich & Payne Inc       	COM  	423452101	1	27	43.48
Hillshire Brands            	COM  	432589109	1	40	28.99
Honeywell International     	COM  	438516106	10	175	55.84
Hormel Foods                	COM  	440452100	2	74	30.42
Hillenbrand, Inc.           	COM  	441815107	11	625	18.38
Humana Inc                  	COM  	444859102	2879	37173	77.44
Humana Inc                  	COM  	444859102	169	2188	77.44
Illinois Tool Works Inc     	COM  	452308109	37	694	52.89
Inland Real Estate Corp     	ETF	457461200	38	4500	8.38
Intel Corp                  	COM  	458140100	104	3891	26.65
Inter Parfums Inc           	COM  	458334109	720	41701	17.27
Intl Business Machines      	COM  	459200101	20	101	195.58
iShares MSCI Australia Idx Fd	ETF	464286103	63	2900	21.85
Ishr Msci Brazil Indx       	ETF	464286400	5	101	51.695
Ishares Msci Cda Idx Fd     	COM  	464286509	182	7025	25.84
iShares MSCI Singapore Idx  	ETF	464286673	196	15900	12.32
iShares S^P 100             	ETF	464287101	25	400	62.47
iShares DJ Dividend         	ETF	464287168	114	2027	56.19
Ishares Barclays TIPs       	ETF	464287176	614	5130	119.7
iShares TIPS                	ETF	464287176	2604	21753	119.7
iShare S^P 500              	COM  	464287200	46	334	136.75
Barclays Aggregate Bd, iShares	ETF	464287226	194	1745	111.3
iShares Barclays Aggregate Bon	ETF	464287226	308	2771	111.3
iShares Emerging Mkts       	ETF	464287234	30	763	39.135
iShares iBoxx Corporate Bond I	ETF	464287242	363	3088	117.59
iShares iBoxx Corp Bond     	ETF	464287242	93	792	117.59
iShares - S^P Global Technolog	ETF	464287275	40	616	64.75
iShares S^P Growth          	ETF	464287309	13	179	73.51
iShares S^P Global          	ETF	464287341	51	1400	36.27
iShares Nat'l Resources     	ETF	464287374	21	600	35.42
iShares S^P SmallCap        	ETF	464287382	59	800	73.27
Barclays 20+ Yr Treasury ETF	ETF	464287432	152	1210	125.2
iShares MSCI EAFE Index (EFA)	ETF	464287465	21	425	49.96
iShares Russell Midcap Index	ETF	464287499	27	255	105.36
Ishr Tr Nasdaq Bio Fd       	ETF	464287556	13	100	129.96
Cohen/Steers REIT Idx ETF   	ETF	464287564	7	90	78.64
iShares Real Estate         	ETF	464287564	155	1970	78.64
iShares Russell 2000        	ETF	464287655	8	100	79.56
iShares DJ US Tech          	ETF	464287721	7	100	71.23
iShares DJ Real Estate      	ETF	464287739	518	8100	63.935
iShares DJ US Energy        	ETF	464287796	14	375	38.34
iShares DJ US Consumer      	ETF	464287812	78	1092	71.8
iShares DJ US Basic Mat     	ETF	464287838	11	170	64.72
Ishares Barclays Bond Fd    	ETF	464288166	85	750	113.47
iShares S^P Glbl Timber & Fore	ETF	464288174	28	740	37.48
Ishares MSCI ACWI Ex US     	COM  	464288240	19	520	37.19
iShares JPMorgan Emerg Mkt  	ETF	464288281	385	3360	114.72
iShares S^P Dev ex-US Prop  	ETF	464288422	522	16700	31.23
Ishares TRUST               	COM  	464288513	14	153	91.29
High Yield Bond ETF Idx     	ETF	464288513	41	450	91.29
Ishares TRUST Barclays      	ETF	464288588	81	750	108.44
iShares Barclays MBS Bond   	ETF	464288588	13	120	108.44
Barclays Credit Bond ETF    	ETF	464288620	111	1000	110.99
Barclays Corp 1-3 YR ETF    	ETF	464288646	157	1500	104.71
iShares Barclays 1-3 Yr Credit	ETF	464288646	4	34	104.71
Ishares S^P U S Pfd Fund    	ETF	464288687	279	7146	39.03
Ishares S^P Global Materials I	COM	464288695	106	1900	55.91
iShares Oil & Gas Expl      	ETF	464288851	7	120	57.96
ishares S^P Growth Alloc    	COM  	464289867	14	440	32.42
Johnson & Johnson           	COM  	478160104	304	4498	67.56
Joy Global                  	COM  	481165108	1355	23887	56.73
Joy Global Inc              	COM  	481165108	127	2242	56.73
Kansas City Southern        	COM  	485170302	14	200	69.56
Kellogg Company             	COM  	487836108	10	200	49.33
Kimberly-Clark Corp         	COM  	494368103	54	650	83.77
Kinder Morgan Energy Lp     	ETF	494550106	24	310	78.58
Kroger Company              	COM  	501044101	118	5084	23.19
L-3 Communications Hldgs    	COM  	502424104	23	310	74.01
Lam Research Corporation    	COM  	512807108	1490	39488	37.74
Lam Research Corporation    	COM  	512807108	132	3493	37.74
Las Vegas Sands Corp        	COM  	517834107	1402	32237	43.49
Las Vegas Sands Corp        	COM  	517834107	125	2877	43.49
Lauder Estee Co Inc Cl A    	COM  	518439104	2811	51938	54.12
Lauder Estee Co Inc Cl A    	COM  	518439104	170	3142	54.12
Lexmark Intl Inc Cl A       	COM  	529771107	5	175	26.58
Lilly Eli & Company         	COM  	532457108	75	1750	42.91
Lions Gate Entmt Cp Newf    	COM  	535919203	147	10000	14.74
Lorillard Inc               	COM  	544147101	132	1000	131.95
Lowes Companies Inc         	COM  	548661107	11	400	28.44
MFS Charter Income Trust    	COM  	552727109	3	300	9.81
U S X-Marathon Group        	COM  	565849106	8	297	25.57
Mc Donalds Corp             	COM  	580135101	3105	35070	88.53
Mc Donalds Corp             	COM  	580135101	168	1893	88.53
Medtronic Inc               	COM  	585055106	2	46	38.73
Merck & Co Inc              	COM  	589331107	25	600	41.75
Meridian Bioscience Inc     	COM  	589584101	800	39093	20.46
Merrill Lynch Pfd 6.45%     	COM  	590199204	25	1000	24.6
MetroPCS Communications     	COM  	591708102	0	70	6.05
Microsoft Corp              	COM  	594918104	143	4685	30.59
Mirant Corporation   Xxx    	ETF	604675991	0	52	0.01
Mitcham Industries          	COM  	606501104	757	44600	16.97
Motricity Inc               	COM  	620107102	0	100	0.62
Movado Group Inc            	COM  	624580106	25	1000	25.02
Mylan Laboratories Inc      	COM  	628530107	2	80	21.37
Nyse Euronext N V           	COM  	629491101	0	15	25.58
National Oilwell Varco      	COM  	637071101	8	125	64.44
Natl Rural Utils Coop       	COM  	637432808	25	1000	25.43
Nokia Corp Spon Adr         	COM  	654902204	0	150	2.07
Norfolk Southern Corp       	COM  	655844108	27	372	71.77
Northeast Utilities         	COM  	664397106	2	51	38.81
Novo-Nordisk                	COM  	670100205	4377	30115	145.34
Novo-Nordisk A-S Adr        	COM  	670100205	256	1758	145.34
Oil Company Lukoil          	COM  	677862104	22	400	56.08
Orchard Sply Hrdwre Cl A    	COM  	685691404	0	1	16.63
Orchard Supply              	COM  	685691503	0	1	1.95
Pnc Finl Services Gp Inc    	COM  	693475105	16	264	61.11
Packaging Corp Of Amer      	COM  	695156109	3	90	28.24
Parker-Hannifin Corp        	COM  	701094104	24	308	76.88
Penn West Energy TRUST      	COM  	707885109	13	1000	13.39
Permian Basin Royalty Tr    	COM  	714236106	5	272	17.74
Perrigo Co                  	COM  	714290103	3777	32026	117.93
Perrigo Co                  	COM  	714290103	281	2387	117.93
Pfizer Incorporated         	COM  	717081103	280	12178	23
Philip Morris Intl Inc      	COM  	718172109	153	1750	87.26
Phillips 66                 	COM  	718546104	4	111	33.24
PVH                         	COM  	718592108	639	8212	77.79
Pimco High Income Fund      	COM  	722014107	125	9265	13.54
Piper Jaffray Cos New       	COM  	724078100	0	1	23.43
Plum Creek Timber Co        	ETF	729251108	8	209	39.7
Preformed Line Products     	COM  	740444104	16	275	57.91
Priceline.Com               	COM  	741503403	332	500	664.52
Procter & Gamble         	COM  	742718109	4296	70145	61.25
Procter & Gamble            	COM  	742718109	5	75	61.25
Progress Energy Inc         	COM  	743263105	12	200	60.17
Prudential Financial Inc    	COM  	744320102	1	30	48.43
Rockwell Automation Inc     	COM  	773903109	2561	38765	66.06
Rockwell Automation Inc     	COM  	773903109	120	1816	66.06
Ross Stores                 	COM  	778296103	3165	50666	62.47
Ross Stores Inc             	COM  	778296103	203	3250	62.47
Royal Bk Scotland Pfd 6.4%  	COM  	780097796	18	1000	17.52
Coffee Co Xxx        Xxx    	COM  	803111970	2	200	10.674
Sears Holdings Corp         	COM  	812350106	3	43	59.7
Seattle Genetics Inc        	COM  	812578102	16	625	25.39
Siemens A G Adr             	COM  	826197501	4	50	84.07
J M Smuckers Co New         	COM  	832696405	28	372	75.52
The Southern Company        	COM  	842587107	14	295	46.3
Southwestern Energy Company 	COM  	845467109	13	409	31.93
Spectra Energy Corp         	COM  	847560109	66	2285	29.06
Spreadtrum Commun Adr       	COM  	849415203	0	3	17.65
Starbucks Corp              	COM  	855244109	4	70	53.32
State Street Corp           	COM  	857477103	1	27	44.64
SPDR Gold Trust             	ETF	863307104	450	2899	155.19
Sturm Ruger                 	COM  	864159108	519	12932	40.15
Sun Life Financial Inc      	COM  	866796105	1	61	21.76
Suntrust Banks Inc          	COM  	867914103	75	3100	24.23
Teco Energy Inc             	COM  	872375100	2	87	18.06
Templeton Global Incm Fd    	COM  	880198106	395	42725	9.25
Terex Corp                  	COM  	880779103	4	200	17.83
Tiffany & Co New            	COM  	886547108	5	100	52.95
Timken Company              	COM  	887389104	2	34	45.79
Tupperware Corporation      	COM  	899896104	2	30	54.76
U S Bancorp Del New         	COM  	902973304	1499	46624	32.16
Ultratech                   	COM  	904034105	657	20900	31.44
Under Armour Inc            	COM  	904311107	9	100	94.48
Union Pacific Corp          	COM  	907818108	3	21	119.31
United Parcel Service B     	COM  	911312106	16	200	78.76
Vanguard LT Bond Index      	ETF	921937793	23	240	94.952
Vanguard Bond Index Fund    	ETF	921937827	41	500	81.13
Vanguard Bond Index Market ETF	COM	921937835	1	6.027	84.38
Vanguard MSCI EAFE ETF      	ETF	921943858	14	455	31.57
Vanguard Emerging Market    	ETF	922042858	35	880	39.93
Veeco Instruments Inc       	COM  	922417100	21	600	34.36
Vanguard REIT ETF Index     	ETF	922908553	61	925	65.43
Vanguard Mid Cap            	ETF	922908629	9	115	77.2
Vanguard Large Cap          	ETF	922908637	31	500	62.1
Vanguard Value              	ETF	922908744	23	420	55.94
Vanguard Small Cap          	ETF	922908751	12	152	76.04
Vanguard Total Stock Mkt    	ETF	922908769	3	50.213	69.7
Vina Concha y Toro          	COM  	927191106	667	16714	39.92
Wal-Mart Stores Inc         	COM  	931142103	8	116	69.72
Walgreen Company            	COM  	931422109	16	546	29.58
Wells Fargo & Co New        	COM  	949746101	4	114	33.44
Western Union Company       	COM  	959802109	2	92	16.84
Whirlpool                   	COM  	963320106	1	18	61.16
Tricon Global Restr Inc     	COM  	988498101	15	232	64.42
Petrochina Co Adr           	COM  	7.16E+104	6	50	129.14
Target Corporation          	COM  	8.76E+110	6	102	58.19
A T & T Corp                	COM  	00206R102 	160	4500	35.66
Adobe Systems Inc           	COM  	00724F101 	328	10146	32.37
Agilent Technologies Inc    	COM  	00846U101 	2	39	39.24
Akamai Technologies         	COM  	00971T101 	10	300	31.75
Altria Group                	COM  	02209S103 	97	2800	34.55
American Capital Agency     	ETF	02503X105	15	450	33.61
Amerigon                    	COM  	03070L300 	0	2	11.49
Ameriprise Financial Inc    	COM  	03076C106 	2	36	52.26
BCE                         	COM  	05534B760 	2	45	41.2
Bk One Cap Tr Vi Pfd 7.2%   	COM  	06423W204 	5	192	25.98
Barclays Bank Ipath Etn     	COM  	06738C778 	107	2671	40.18
Barclays Bk Plc iPath S^P GSCI	ETF	06738C786	5	225	20.7
iPath S^P 500 VIX Sht Term Fd	COM 	06740C261 	5	300	15.21
iPath US Treasury Flattener Et	COM	06740L485 	31	500	62.678
W R  Berkley Tr II Pfd 6.75%	COM  	08449Q203 	25	1000	25.44
Biogen Idec Inc             	COM  	09062X103 	5282	36586	144.38
Biogen Idec Inc             	COM  	09062X103 	257	1777	144.38
Blackrock Ener & Res Tr     	COM  	09250U101 	23	1000	22.52
Cardinal Health Inc         	COM  	14149Y108 	2	41	42
Cenovus Energy              	COM  	15135U109 	9	268	31.8
Citigroup Viii Cap Sec 6.95%	COM  	17306R204 	42	1700	24.94
Citigrp Cap Xvi Pfd 6.45%   	COM  	17310L201 	25	1000	24.6
Claymore Exch Traded Fd     	COM  	18383M100 	5	145	34.08
Guggenheim Exch Trd Fd      	COM  	18383Q838 	8	420	19.52
Cliffs Natural Res Inc      	COM  	18683K101 	101	2052	49.29
Coca Cola Enterptices       	COM  	19122T109 	2	58	28.04
Cohen & Steers Qty Inc Realty	COM 	19247L106 	36	3441	10.45
Cohen & Steers Total Ret R/E	COM  	19247R103 	25	1855	13.28
Cohen & Steers Reit         	COM  	19247X100 	24	1475	16.45
Comcast Corp New Cl A       	COM  	20030N101 	2	69	31.97
Conocophillips              	COM  	20825C104 	12	223	55.88
Costco Whsl Corp New        	COM  	22160K105 	57	600	95
Ctrip.com Intl Ltd          	COM  	22943F100 	2	130	16.76
Dendreon Corp               	COM  	24823Q107 	0	50	7.4
PowerShares DB Commodity    	COM  	25154H459 	0	30	16.3
Powershrs Db Commodity      	COM  	25154H475 	1	100	8.069
PowerShares Deutsche Bank Gold	ETF	25154H731	5	1100	4.979
Direxion Small Cap Bull 3X  	COM  	25459W847 	2	35	53.87
Direxion Shares S^P 500 Bear 3	COM	25459W854	44	2100	21.19
Direxion Shares S^P 500 Bull 3	COM	25459W862	17	218	76.17
Discovery Communications    	COM  	25470F104 	3501	64842	54
Discovery Commun Ser A      	COM  	25470F104 	184	3414	54
Dominion Resources Va       	COM  	25746U109 	1	20	54
Duke Energy Corporation     	COM  	26441C105 	177	7664	23.06
E-Commerce China Dangdang   	COM  	26833A105 	1	100	6.66
ETFS Phys PM Basket Shrs    	COM  	26922W109 	13	150	86.651
Etfs Gold Trust             	COM  	26922Y105 	1197	7570	158.184
East West Bancorp           	COM  	27579R104 	2	83	23.46
Eaton Vance Tax Mgd Eq Inc Fd	ETF	27828N102	25	2770	9.07
Eaton Vance Tax Adv Glb Div In	COM	27828S101 	11	859	13.3
Endo Pharmaceuticals Hlds   	COM  	29264F205 	1	42	30.98
EnerSys                     	COM  	29275Y102 	736	21000	35.07
Ensign Group                	COM  	29358P101 	781	27630	28.27
Environmental Power New     	COM  	29406L201 	0	1000	0.001
Exxon Mobil Corporation     	COM  	30231G102 	3847	44957	85.57
Exxon Mobil Corporation     	COM  	30231G102 	165	1924	85.57
F P L Cap Tr I Pfd 5.875%   	COM  	30257V207 	10	400	26.14
FedEx Corporation           	COM  	31428X106 	2	19	91.61
First Trust ISE Nat Gas Idx 	COM  	33734J102 	3	201	16.42
First Tr Tech AlphaDEX      	ETF	33734X176	13	625	20.85
Fleet Cap Tr Viii Pfd 7.2%  	COM  	33889X203 	30	1200	25.16
Flowserve Corporation       	COM  	34354P105 	2621	22837	114.75
Flowserve Corporation       	COM  	34354P105 	182	1585	114.75
Freeport Mcmorn Cp^Gld B    	COM  	35671D857 	88	2586	34.07
G III Apparel Group         	COM  	36237H101 	0	3	23.69
Gold Canyon Res Inc         	COM  	38055D105 	1	700	1.275
Goldman Sachs Group Inc     	COM  	38141G104 	213	2222	95.86
Call GS $110     01/18/2014  	COM  	38141G904	4	4	9.533
Call GS $150     01/19/2013  	COM  	38141G904	0	8	0.18
Google Inc Class A          	COM  	38259P508 	1993	3435	580.07
Google Inc Class A          	COM  	38259P508 	222	383	580.07
HCA Holdings                	COM  	40412C101 	0	5	30.43
Health Care Reit Inc        	ETF	42217k106	156	2680	58.3
Host Hotels & Resorts       	ETF	44107P104	3	221	15.82
Huntington Bancshs Inc      	COM  	446150104	1	100	6.4
Integra Bank Corporation    	COM  	45814P105 	0	253	0.002
Intrcontinentalexchange     	COM  	45865V100 	3781	27809	135.98
Intrcontinentalexchange     	COM  	45865V100 	169	1243	135.98
Intuitive Surgical New      	COM  	46120E602 	50	90	553.79
Iridium Communications      	COM  	46269C102	22	2500	8.94
iShares Silver Trust        	COM  	46428Q109 	717	26915	26.65
Ishares S^P GSCI Cmdty      	COM  	46428R107 	5	150	30.44
J P Morgan Chase & Co       	COM  	46625H100 	752	21035	35.73
Jpmorgan XXIV Cap Ser 6.875%	COM  	48123W209 	26	1000	25.58
JP Morgan Chase Cap         	COM  	48124G104 	8	300	25.29
Kraft Foods                 	COM  	50075N104 	96	2475	38.62
Level 3 Communications      	COM  	52729N100 	4	200	22.15
Linkedin Corp               	COM  	53578A108 	3	30	106.27
Liquidity Services          	COM  	53635B107 	589	11500	51.18
Call LQDT $55  08/18/2012       COM  	53635B907	31	110	2.814
MKS Instruments             	COM  	55306N104 	695	24080	28.86
Macys Inc                   	COM  	55616P104 	3	79	34.35
Magnum Hunter Resources     	COM  	55973B102 	42	10000	4.18
Marathon Petroluem          	COM  	56585A102 	5	120	44.92
MarketAxess Holdings        	COM  	57060D108 	527	19772	26.64
Market Vectors Etf TRUST    	COM  	57060U100 	47	1050	44.77
Market Vectors Junior Gold Min	COM	57060U589 	2	100	19.21
Market Vectors Nuclear Etf Tt	ETF	57060U704	20	1400	14.25
Mastercard Inc              	COM  	57636Q104 	197	458	430.11
Mckesson Corporation        	COM  	58155Q103 	1	15	93.75
Medidata Solutions Inc      	COM  	58471A105 	0	3	32.67
M L Cap Pref Cap Tr Pfd 7.28%	COM 	59021K205 	25	1000	24.93
Merrill Lynch Cap Tr III    	COM  	59025D207 	20	800	25.23
Monotype Imaging Hldgs      	COM  	61022P100 	855	50958	16.77
Monsanto Co New Del         	COM  	61166W101 	13	154	82.78
Netflix Inc                 	COM  	64110L106 	6	90	68.485
NIC                         	COM  	64110L106 	0	16	12.7
NetEase.com                 	COM  	64110W102 	2109	35841	58.85
NetEase.com                 	COM  	64110W102 	143	2423	58.85
Netgear                     	COM  	64111Q104 	651	18875	34.51
Novartis A G Spon Adr       	COM  	66987V109 	67	1200	55.9
Oracle Corporation          	COM  	68389X105 	2592	87285	29.7
Oracle Corporation          	COM  	68389X105 	180	6077	29.7
Pimco Corporate Oppty Fd    	ETF	72201B101	24	1260	18.73
Pimco Income Strategy Fd    	COM  	72201H108 	11	908	11.94
Pimco Exch Traded Fund      	COM  	72201R833 	40	400	101.09
Pimco Income Oppty Fund     	COM  	72202B100 	12	433	26.88
Powershares Listed Private Equ	ETF	73935X195	4	439	8.84
Powershs DB USD Index Bullish	COM 	73936D107 	3	141	22.47
Build America Bonds ETF     	ETF	73937B407	211	7100	29.7
Call TBT 01/18/2014             COM  	74347R297	33	200	1.64
Proshares Ultrashort Lehman 20	COM	74347R297 	19	1200	15.84
ProShares Short S^P500      	COM  	74347R503 	11	300	36.46
Proshs Ultrashort Oil & Gas 	ETF	74347X591	8	300	25.4
Quest Diagnostic Inc        	COM  	74834L100 	0	0.272	59.9
Questcor Pharmaceuticals    	COM  	74835Y101 	703	13201	53.24
Rare Element Resources      	COM  	75381M102 	0	100	4.95
Retail Pptys Amer           	ETF	76131V202	2	199	9.72
S P D R Trust Unit SR       	ETF	78462f103	49	359	136.105
Put SPY $80  12/21/2013         COM  	78462F953	6	25	2.35
Put  GLD $152  9/22/2012        COM  	78463V957	5	13	4
SPDR DJ S^P INTL FINCL ETF  	COM  	78463X699 	4	285	15.34
Spdr Index Shares Fund      	COM  	78463X749 	588	14815	39.67
Spdr S & P Intl Dividend    	COM  	78463X772 	7	150	44.52
Spdr Dow Jones Intl         	COM  	78463X863 	5	135	36.78
Spdr Wells Fargo EFT        	COM  	78464A292 	46	1027	45.25
Spdr Wells Fargo Etf        	COM  	78464A292 	5	100	45.25
SPDR Barclays Capital TIPS  	ETF	78464A656	48	800	59.6
SPDR S^P Dividend Etf       	ETF	78464A763	227	4075	55.65
SciClone Pharmaceuticals    	COM  	80862K104 	687	98017	7.01
Sector Spdr Materials Fd    	ETF	81369Y100	18	500	35.29
Health Care Select Sector SPDR	ETF	81369Y209	40	1055	38.005
S^P Energy Sector ETF       	ETF	81369Y506	40	600	66.37
Energy Select Sector SPDR   	COM  	81369Y506 	12	185	66.37
Silicon Motion Tech Adrf    	COM  	82706C108 	661	46860	14.11
Skyworks Solutions Inc      	COM  	83088M102 	3	100	27.32
Sonic Foundry               	COM  	83545R207 	22	3000	7.244
Telecom Holdrs TRUST        	ETF	87927P200	13	400	32.6
Tenet Healthcare Corp       	COM  	88033G100 	1	160	5.24
3D Systems                  	COM  	88554D205 	701	20536	34.14
Minnesota Mining & Mfg      	COM  	88579Y101 	18	206	89.6
Titan Machinery             	COM  	88830R101 	809	26650	30.37
Travelers Companies Inc     	COM  	'89417E109	3	46	63.84
Unitedhealth Group Inc      	COM  	91324P102 	15	264	58.5
Unum Group                  	COM  	91529Y106 	2	89	19.13
Valero Energy Corp New      	COM  	91913Y100 	7	310	24.15
Vanguard Financials         	COM  	92204A405 	24	781	31.06
Vanguard Telecom Svcs       	COM  	92204A884 	9	140	67.81
Vangrd Russell 2000 ETF     	COM  	92206C649 	1	16	60.79
Ventas Inc                  	ETF	92276F100	39	625	63.12
Verizon Communications      	COM  	92343V104 	2841	63930	44.44
Verizon Communications      	COM  	92343V104 	231	5201	44.44
Viacom Inc Non Vtg Cl B     	COM  	92553P201 	2	40	47.02
Visa Inc Cl A               	COM  	92826C839 	124	1000	123.63
Warren Resources Inc        	COM  	93564A100 	5	2000	2.39
Waste Management Inc Del    	COM  	94106L109 	2032	60850	33.4
Waste Management Inc Del    	COM  	94106L109 	145	4341	33.4
Wellpoint Hlth Ntwks New    	COM  	94973V107 	116	1819	63.79
Western Asset Claymore      	COM  	95766R104 	2	150	13.05
WisdomTree Emerging Mkts    	ETF	97717W315	333	6430	51.81
Wisdomtree Dividend         	COM  	97717W406 	67	1250	53.82
WisdomTree Global           	COM  	97717W653 	69	3950	17.422
Wright Express Corp         	COM  	98233Q105 	716	11603	61.72
Xcel Energy Inc             	COM  	98389B100 	3	100	28.41
Zagg                        	COM  	98884U108	20	1800	10.91
Bunge Limited               	COM  	G16962105	125	2000	62.74
Herbalife Ltd               	COM  	G4412G101 	2	38	48.33
Marvell Tech Group Ltd      	COM  	G5876H105 	4	364	11.28
Textainer Group Hldg        	COM  	G8766E109 	18	500	36.9
Transocean Ltd              	COM  	G90073100 	7	151	44.73
Radware                     	COM  	M81873107 	651	17000	38.29
Yandex N V Cl A             	COM  	N97284108 	1	60	19.05
CellaVision AB              	COM  	W2128U119 	2	1000	2.405
Avago Technologies Ltd      	COM  	Y0486S104 	2	63	35.9