Choate Investment Advisors

Choate Investment Advisors as of Dec. 31, 2011

Portfolio Holdings for Choate Investment Advisors

Choate Investment Advisors holds 0 positions in its portfolio as reported in the December 2011 quarterly 13F filing

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					FORM 13F INFORMATION TABLE
				VALUE	SHARES/	SH/	PUT/	INVSTMT	OTHER          VOT	VOTING AUTHORITY
NAME OF ISSUER	TITLE OF CLASS		CUSIP	(x$1000)	PRN AMT	PRN	CALL	DSCRETN	MANAGERS	SOLE	SHARED	NONE

{S}                            {C}              {C}       {C}      {C}      {C} {C}  {C}     {C}          {C}      {C}      {C}
BHP BILLITON LTD SPONS ADR     ADRs             088606108      232     3279 SH       Sole                     3279
BP PLC SPONS ADR               ADRs             055622104     1242    29054 SH       Sole                    29054
GLAXO SMITHKLINE SPONS ADR     ADRs             37733w105     2467    54071 SH       Sole                    54071
NESTLE SA SPONS ADR            ADRs             641069406     3378    58530 SH       Sole                    58530
PETROCHINA CO LTD SPONS ADR    ADRs             71646e100      287     2310 SH       Sole                     2310
ROYAL DUTCH SHELL PLC SPONS AD ADRs             780259107      469     6169 SH       Sole                     6169
ROYAL DUTCH SHELL SPONS ADR    ADRs             780259206      875    11968 SH       Sole                    11968
TELEFONICA SA SPONS ADR        ADRs             879382208      191    11085 SH       Sole                    11085
TEVA PHARMACEUTICAL INDS SPONS ADRs             881624209     1533    37986 SH       Sole                    37986
ISHARES DJ US CONSMER CYCLIC   Closed-End Equit 464287580      411     5750 SH       Sole                     5750
ISHARES MSCI CANADA INDEX FUND Closed-End Equit 464286509    15227   572446 SH       Sole                   572446
ISHARES MSCI EAFE INDEX FUND   Closed-End Equit 464287465    92858  1874776 SH       Sole                  1874776
ISHARES MSCI EAFE SMALL CAP    Closed-End Equit 464288273     1073    30855 SH       Sole                    30855
ISHARES MSCI EMERGING MKT IN   Closed-End Equit 464287234     7366   194160 SH       Sole                   194160
ISHARES MSCI GERMANY           Closed-End Equit 464286806    25189  1310539 SH       Sole                  1310539
ISHARES RUSSELL 1000 INDEX FUN Closed-End Equit 464287622      305     4394 SH       Sole                     4394
ISHARES RUSSELL 2000 INDEX FUN Closed-End Equit 464287655      403     5463 SH       Sole                     5463
ISHARES S^P 500 INDEX FUND     Closed-End Equit 464287200   158341  1257074 SH       Sole                  1257074
ISHARES S^P SMALLCAP 600       Closed-End Equit 464287804    20378   298360 SH       Sole                   298360
ISHARES JP MORGAN EM BOND FD   Closed-End Equit 464288281      341     3110 SH       Sole                     3110
MORGAN STANLEY FRONTIER EMER   Closed-End Equit 61757p101     5653   541448 SH       Sole                   541448
SPDR DJ WILSHIRE INTL REAL EST Closed-End Equit 78463x863     9199   288991 SH       Sole                   288991
SPDR EM SMALL CAP              Closed-End Equit 78463x756     1400    37103 SH       Sole                    37103
SPDR GOLD TRUST                Closed-End Equit 78463v107      580     3815 SH       Sole                     3815
SPDR S^P 500 ETF TRUST         Closed-End Equit 78462f103    16547   131851 SH       Sole                   131851
SPDR S^P MIDCAP 400 ETF TRUST  Closed-End Equit 78467y107    43205   270895 SH       Sole                   270895
VANGUARD DIVIDEND APPREC ETF   Closed-End Equit 921908844    48004   878396 SH       Sole                   878396
VANGUARD FTSE ALL WORLD X-US S Closed-End Equit 922042718    37768   486891 SH       Sole                   486891
VANGUARD HIGH DVD YIELD ETF    Closed-End Equit 921946406      295     6520 SH       Sole                     6520
VANGUARD MSCI EAFE ETF         Closed-End Equit 921943858    60542  1976546 SH       Sole                  1976546
VANGUARD MSCI EMERGING MARKETS Closed-End Equit 922042858    35221   921772 SH       Sole                   921772
WISDOMTREE EMERGING MKTS S/C D Closed-End Equit 97717w281    12209   295343 SH       Sole                   295343
WISDOMTREE JAPAN DIVIDEND FD   Closed-End Equit 97717w851     6510   207737 SH       Sole                   207737
3M CO                          Common Stock     88579y101     5439    66552 SH       Sole                    66552
ABBOTT LABS                    Common Stock     002824100     8668   154145 SH       Sole                   154145
AFLAC INC                      Common Stock     001055102      585    13520 SH       Sole                    13520
AIR PRODUCTS & CHEMICALS INC   Common Stock     009158106      276     3245 SH       Sole                     3245
ALLSTATE CORP                  Common Stock     020002101     1481    54037 SH       Sole                    54037
ALTRIA GROUP INC               Common Stock     02209s103      255     8600 SH       Sole                     8600
AMAZON.COM INC                 Common Stock     023135106      507     2930 SH       Sole                     2930
AMERICAN EXPRESS CO            Common Stock     025816109     2310    48965 SH       Sole                    48965
ANADARKO PETROLEUM CORPORATION Common Stock     032511107      524     6866 SH       Sole                     6866
APACHE CORP                    Common Stock     037411105     1054    11635 SH       Sole                    11635
APPLE INC                      Common Stock     037833100     2173     5366 SH       Sole                     5366
AT^T INC                       Common Stock     00206r102     1909    63128 SH       Sole                    63128
AUTOMATIC DATA PROCESSING INC  Common Stock     053015103     4842    89651 SH       Sole                    89651
BANK OF AMERICA CORP           Common Stock     060505104      183    32914 SH       Sole                    32914
BAXTER INTL INC                Common Stock     071813109     1000    20220 SH       Sole                    20220
BB^T CORPORATION               Common Stock     054937107      304    12080 SH       Sole                    12080
BEMIS INC                      Common Stock     081437105      656    21800 SH       Sole                    21800
BERKSHIRE HATHAWAY INC CLASS A Common Stock     084670108     3328       29 SH       Sole                       29
BERKSHIRE HATHAWAY INC-CL B    Common Stock     084670702     7290    95548 SH       Sole                    95548
BOEING CO                      Common Stock     097023105      330     4500 SH       Sole                     4500
BRISTOL MYERS SQUIBB CO        Common Stock     110122108     2433    69054 SH       Sole                    69054
BUCKEYE PARTNERS LP            Common Stock     118230101      593     9275 SH       Sole                     9275
CATERPILLAR INC                Common Stock     149123101      645     7120 SH       Sole                     7120
CHEVRON CORPORATION            Common Stock     166764100     7422    69756 SH       Sole                    69756
CHUBB CORP                     Common Stock     171232101      962    13899 SH       Sole                    13899
CISCO SYSTEMS INC              Common Stock     17275r102     3259   180232 SH       Sole                   180232
CLOROX COMPANY                 Common Stock     189054109      378     5686 SH       Sole                     5686
COCA COLA CO                   Common Stock     191216100     5014    71665 SH       Sole                    71665
COGNIZANT TECHNOLOGY SOLUTIONS Common Stock     192446102     5295    82333 SH       Sole                    82333
COLGATE PALMOLIVE CO           Common Stock     194162103      749     8109 SH       Sole                     8109
CONOCOPHILLIPS                 Common Stock     20825c104      747    10253 SH       Sole                    10253
CONSTELLATION BRANDS INC       Common Stock     21036p108      230    11104 SH       Sole                    11104
COSTCO WHOLESALE CORP          Common Stock     22160k105      387     4646 SH       Sole                     4646
CVS CAREMARK CORP              Common Stock     126650100     1688    41383 SH       Sole                    41383
DANAHER CORP                   Common Stock     235851102      246     5231 SH       Sole                     5231
DARDEN RESTAURANTS INC         Common Stock     237194105      311     6820 SH       Sole                     6820
DISNEY WALT CO NEW             Common Stock     254687106      738    19672 SH       Sole                    19672
DOMINION RESOURCES INC         Common Stock     25746u109      436     8205 SH       Sole                     8205
DORCHESTER MINERALS LP         Common Stock     25820r105      553    24413 SH       Sole                    24413
DOVER CORP                     Common Stock     260003108      386     6656 SH       Sole                     6656
DOW CHEMICAL COMPANY           Common Stock     260543103      207     7190 SH       Sole                     7190
DU PONT E I DE NEMOURS & CO    Common Stock     263534109      626    13676 SH       Sole                    13676
EDWARDS LIFESCIENCES CORP      Common Stock     28176e108      384     5438 SH       Sole                     5438
EMERSON ELEC CO                Common Stock     291011104     3694    79282 SH       Sole                    79282
EXXONMOBIL CORP                Common Stock     30231g102    15979   188517 SH       Sole                   188517
FEDEX CORPORATION              Common Stock     31428x106      201     2405 SH       Sole                     2405
FISERV INC                     Common Stock     337738108      716    12190 SH       Sole                    12190
FREEPORT-MCMORAN COPPER AND GO Common Stock     35671d857      463    12578 SH       Sole                    12578
GENERAL DYNAMICS CORP          Common Stock     369550108      931    14020 SH       Sole                    14020
GENERAL ELECTRIC CORP          Common Stock     369604103     7651   427191 SH       Sole                   427191
GENERAL MLS INC                Common Stock     370334104     4503   111429 SH       Sole                   111429
GILEAD SCIENCES INC            Common Stock     375558103      204     4981 SH       Sole                     4981
GOOGLE INC CL A                Common Stock     38259p508     3167     4903 SH       Sole                     4903
HEINZ H J CO                   Common Stock     423074103      968    17911 SH       Sole                    17911
HEWLETT PACKARD CO             Common Stock     428236103      311    12076 SH       Sole                    12076
HOME DEPOT INC                 Common Stock     437076102     2203    52403 SH       Sole                    52403
HOSPIRA INC                    Common Stock     441060100      290     9534 SH       Sole                     9534
ILLINOIS TOOL WKS INC          Common Stock     452308109      732    15668 SH       Sole                    15668
INTEL CORP                     Common Stock     458140100     3065   126386 SH       Sole                   126386
INTL. BUSINESS MACHINES CORP   Common Stock     459200101     8016    43596 SH       Sole                    43596
JOHNSON & JOHNSON              Common Stock     478160104     6208    94664 SH       Sole                    94664
JP MORGAN CHASE & CO           Common Stock     46625h100     2903    87309 SH       Sole                    87309
KIMBERLY CLARK CORP            Common Stock     494368103     1223    16628 SH       Sole                    16628
KINDER MORGAN ENERGY PARTNERS  Common Stock     494550106      558     6570 SH       Sole                     6570
KOHLS CORP                     Common Stock     500255104      220     4460 SH       Sole                     4460
LABORATORY CORP AMERICA HOLDIN Common Stock     50540r409      223     2596 SH       Sole                     2596
LILLY ELI & CO                 Common Stock     532457108      807    19426 SH       Sole                    19426
LOWES COS INC                  Common Stock     548661107      310    12207 SH       Sole                    12207
LSI CORP                       Common Stock     502161102      221    37065 SH       Sole                    37065
MARATHON OIL CORP              Common Stock     565849106      597    20400 SH       Sole                    20400
MARATHON PETROLEUM CORPORATION Common Stock     56585a102      333    10000 SH       Sole                    10000
MARSH & MCLENNAN COS INC       Common Stock     571748102     1464    46295 SH       Sole                    46295
MCDONALDS CORP                 Common Stock     580135101      575     5734 SH       Sole                     5734
MCGRAW HILL COMPANIES INC      Common Stock     580645109      645    14345 SH       Sole                    14345
MCKESSON CORP                  Common Stock     58155q103      211     2708 SH       Sole                     2708
MEDCO HEALTH SOLUTIONS INC     Common Stock     58405u102      232     4149 SH       Sole                     4149
MERCK & CO INC                 Common Stock     58933y105     3866   102551 SH       Sole                   102551
METLIFE INC                    Common Stock     59156r108      319    10217 SH       Sole                    10217
MICROSOFT CORP                 Common Stock     594918104     3286   126562 SH       Sole                   126562
MOODYS CORP                    Common Stock     615369105      480    14256 SH       Sole                    14256
NATIONAL-OILWELL INC           Common Stock     637071101      782    11498 SH       Sole                    11498
NEWELL RUBBERMAID INC          Common Stock     651229106      490    30353 SH       Sole                    30353
NEXTERA ENERGY INC             Common Stock     65339f101     1527    25087 SH       Sole                    25087
NIKE INC-CLASS B               Common Stock     654106103      641     6647 SH       Sole                     6647
NORFOLK SOUTHERN CORP          Common Stock     655844108      309     4237 SH       Sole                     4237
NORTHERN TR CORP               Common Stock     665859104      399    10050 SH       Sole                    10050
NORTHROP GRUMMAN CORPORATION   Common Stock     666807102      439     7515 SH       Sole                     7515
NUCOR CORP                     Common Stock     670346105      201     5089 SH       Sole                     5089
O REILLY AUTOMOTIVE INC        Common Stock     67103h107      333     4171 SH       Sole                     4171
ORACLE CORPORATION             Common Stock     68389x105      713    27811 SH       Sole                    27811
PEPSICO INC                    Common Stock     713448108     4860    73251 SH       Sole                    73251
PFIZER INC                     Common Stock     717081103     8721   403001 SH       Sole                   403001
PHILIP MORRIS INTERNATIONAL    Common Stock     718172109      351     4467 SH       Sole                     4467
PIEDMONT NATURAL GAS INC       Common Stock     720186105      340    10000 SH       Sole                    10000
PPL CORPORATION                Common Stock     69351t106      277     9412 SH       Sole                     9412
PROCTER & GAMBLE CO            Common Stock     742718109    10884   163156 SH       Sole                   163156
PROGRESSIVE CORP OHIO          Common Stock     743315103      715    36650 SH       Sole                    36650
PUBLIC SVC ENTERPRISE GROUP IN Common Stock     744573106      289     8741 SH       Sole                     8741
T ROWE PRICE GROUP INC         Common Stock     74144t108      261     4584 SH       Sole                     4584
TARGET CORP                    Common Stock     87612e106      912    17810 SH       Sole                    17810
THE HERSHEY COMPANY            Common Stock     427866108     1135    18377 SH       Sole                    18377
THERMO FISHER SCIENTIFIC INC   Common Stock     883556102      597    13284 SH       Sole                    13284
TJX COS INC                    Common Stock     872540109     3515    54459 SH       Sole                    54459
TORCHMARK CORP                 Common Stock     891027104      334     7689 SH       Sole                     7689
TRAVELERS COMPANIES INC        Common Stock     89417e109      548     9253 SH       Sole                     9253
UNION PAC CORP                 Common Stock     907818108     1088    10270 SH       Sole                    10270
UNITED TECHNOLOGIES CORP       Common Stock     913017109     2917    39915 SH       Sole                    39915
V.F. CORP                      Common Stock     918204108     1979    15586 SH       Sole                    15586
VALUECLICK INC                 Common Stock     92046n102      179    10997 SH       Sole                    10997
VERIZON COMMUNICATIONS         Common Stock     92343v104     1672    41675 SH       Sole                    41675
WAL MART STORES INC            Common Stock     931142103     2435    40742 SH       Sole                    40742
WALGREEN CO                    Common Stock     931422109     1853    56060 SH       Sole                    56060
WELLS FARGO & CO               Common Stock     949746101     2390    86717 SH       Sole                    86717
YUM! BRANDS INC                Common Stock     988498101      670    11356 SH       Sole                    11356
ZIMMER HLDGS INC               Common Stock     98956p102      262     4913 SH       Sole                     4913
GALAXY ENTERTAINMENT GROUP LIM Foreign Stock    6465874        211   114895 SH       Sole                   114895
RUSSEL METALS INC              Foreign Stock    781903604      342    15520 SH       Sole                    15520
SCHLUMBERGER LTD               Foreign Stock    806857108     1812    26526 SH       Sole                    26526
TRANSCANADA CORP               Foreign Stock    89353d107     1169    26765 SH       Sole                    26765
WYNN MACAU LTD                 Foreign Stock    b4jstl6        127    50698 SH       Sole                    50698