Choate Investment Advisors

Choate Investment Advisors as of Sept. 30, 2012

Portfolio Holdings for Choate Investment Advisors

Choate Investment Advisors holds 0 positions in its portfolio as reported in the September 2012 quarterly 13F filing

                FORM 13F INFORMATION TABLE
 	 	 							Value		Shares/	Sh/	Put/	Invstmt	Other		  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}
BP PLC SPONS ADR		SPONSORED ADR		055622104	1359	32091	SH		Sole				2666		29425
CHINA MOBILE LIMITED SPONS ADR	SPONSORED ADR		16941m109	221	4000	SH		Sole						4000
GLAXO SMITHKLINE SPONS ADR	SPONSORED ADR		37733w105	2068	44715	SH		Sole						44715
PETROCHINA CO LTD SPONS ADR	SPONSORED ADR		71646E104	256	1979	SH		Sole						1979
ROYAL DUTCH SHELL SPONS ADR	SPONSORED ADR A		780259206	476	6865	SH		Sole						6865
TELEFONICA SA SPONS ADR		ADR			879382208	147	11085	SH		Sole						11085
TEVA PHARMACEUTICAL INDS SPONS	SPONSORED ADR		881624209	1025	24746	SH		Sole						24746
ISHARES TR			COHEN^ST RLTY		464287564	2136	27435	SH		Sole						27435
ISHARES TR			ISHARES			464285105	427	24715	SH		Sole						24715
ISHARES TR			S^P 500 INDEX		464287200	171822	1189905	SH		Sole						1189905
ISHARES TR			S^P SMLCAP 600		464287804	10264	133179	SH		Sole						133179
ISHARES TR			CONS SRVC IDX		464287580	366	4230	SH		Sole						4230
ISHARES TR			MSCI CDA INDEX		464286509	13409	470650	SH		Sole						470650
ISHARES TR			CONS SRVC IDX		464287465	59152	1116080	SH		Sole						1116080
ISHARES TR			MSCI SMALL CAP		464288273	545	14090	SH		Sole						14090
ISHARES TR			MSCI EMERG MKT		464287234	7854	190060	SH		Sole						190060
ISHARES INC			MSCI GERMAN		464286806	4526	200552	SH		Sole						200552
ISHARES TR			RUSSELL 1000		464287622	349	4394	SH		Sole						4394
ISHARES TR 			MSCI GRW IDX		464288885	19355	342679	SH		Sole						342679
KAYNE ANDERSON MLP INVESTMENT	COM			486606106	611	19560	SH		Sole						19560
POWERSHARES BUYBACK ACHIEVERS	GBL WTR PORT		73935x286	26086	871264	SH		Sole						871264
SPDR DJ WILSHIRE INTL REAL EST	DJ INTL RL ETF		78463x863	8050	205099	SH		Sole						205099
SPDR GOLD TRUST			GOLD SHS		78463v107	726	4224	SH		Sole						4224
SPDR S^P 500 ETF TRUST		TR UNIT			78462f103	15197	105559	SH		Sole						105559
SPDR S^P EMERGING SMALL CAP	S^P EMKTSC ETF		78463x756	1561	35119	SH		Sole						35119
SPDR S^P MIDCAP 400 ETF TRUST	UTSER1 S^PDCRP		78467y107	23940	133058	SH		Sole						133058
VANGUARD DIVIDEND APPREC ETF	DIV APP ETF		921908844	55096	923190	SH		Sole						923190
VANGUARD FTSE ALL WORLD X-US S	FTSE SMCAP ETF		922042718	37178	425133	SH		Sole						425133
VANGUARD GLBL EX-US REAL EST	GLB EX US ETF		922042676	5860	113933	SH		Sole						113933
VANGUARD HIGH DVD YIELD ETF	HIGH DIV YLD		921946406	329	6520	SH		Sole						6520
VANGUARD MSCI EAFE ETF		MSCI EAFA ETF		921943858	76867	2337818	SH		Sole						2337818
VANGUARD MSCI EMERGING MARKETS	MSCI EMR MKT ETF	922042858	61773	1480668	SH		Sole						1480668
VANGUARD TOTAL STOCK MARKET ET	TOTAL STK MKT		922908769	288	3917	SH		Sole						3917
WISDOMTREE EMERGING MKTS S/C D	EMG MKTS SMCAP		97717w281	21619	471415	SH		Sole						471415
3M CO				COM			88579y101	5287	57208	SH		Sole				2400		54808
ABBOTT LABS			COM			002824100	9081	132450	SH		Sole						132450
AFLAC INC			COM			001055102	734	15335	SH		Sole						15335
ALLSTATE CORP			COM			020002101	1920	48475	SH		Sole						48475
ALTRIA GROUP INC		COM			02209s103	498	14912	SH		Sole				3600		11312
AMERICAN EXPRESS CO		COM			025816109	2488	43762	SH		Sole				1218		42544
AMERIPRISE FINANCIAL INC.	COM			03076c106	1062	18727	SH		Sole				243		18484
AMGEN INC			COM			031162100	484	5740	SH		Sole						5740
ANADARKO PETROLEUM CORPORATION	COM			032511107	243	3469	SH		Sole						3469
ANSYS INC			COM			03662q105	667	9090	SH		Sole						9090
APACHE CORP			COM			037411105	1359	15718	SH		Sole						15718
APPLE INC			COM			037833100	3887	5826	SH		Sole						5826
AT^T INC			COM			00206r102	1863	49428	SH		Sole				4234		45194
AUTOMATIC DATA PROCESSING INC	COM			053015103	3293	561350	SH		Sole						56135
BANK OF AMERICA CORP		COM			060505104	281	31816	SH		Sole				1578		30238
BAXTER INTL INC			COM			071813109	1156	19178	SH		Sole				1600		17578
BB^T CORPORATION		COM			054937107	389	11720	SH		Sole						11720
BEMIS INC			COM			081437105	602	19140	SH		Sole						19140
BERKSHIRE HATHAWAY INC CLASS A	COM			084670108	3716	28	SH		Sole						28
BERKSHIRE HATHAWAY INC-CL B	COM			084670702	6807	77178	SH		Sole						77178
BIO-REFERENCE LABS INC		COM			09057g602	372	13000	SH		Sole						13000
BMC SOFTWARE INC		COM			055921100	321	7731	SH		Sole						7731
BOEING CO			COM			097023105	161	2310	SH		Sole						2310
BRISTOL MYERS SQUIBB CO		COM			110122108	1987	58885	SH		Sole				3840		55045
BUCKEYE PARTNERS LP		COM			118230101	214	4455	SH		Sole						4455
CATERPILLAR INC			COM			149123101	610	7095	SH		Sole						7095
CENOVUS ENERGY INC		COM			15135u109	612	17555	SH		Sole						17555
CHEVRON CORPORATION		COM			166764100	6428	55151	SH		Sole						55151
CHUBB CORP			COM			171232101	640	8392	SH		Sole						8392
CISCO SYSTEMS INC		COM			17275r102	2336	122352	SH		Sole						122352
CLOROX COMPANY			COM			189054109	387	5376	SH		Sole						5376
COCA COLA CO			COM			191216100	4003	105549	SH		Sole						105549
COGNIZANT TECHNOLOGY SOLUTIONS	COM			192446102	4880	69826	SH		Sole						69826
COLGATE PALMOLIVE CO		COM			194162103	622	5805	SH		Sole						5805
CONOCOPHILLIPS			COM			20825c104	521	9103	SH		Sole						9103
CONSTELLATION BRANDS INC	COM			21036p108	360	11142	SH		Sole						11142
CVS CAREMARK CORP		COM			126650100	1561	32243	SH		Sole				404		31839
DANAHER CORP			COM			235851102	1071	19420	SH		Sole						19420
DARDEN RESTAURANTS INC		COM			237194105	434	7780	SH		Sole				1950		5830
DENTSPLY INTERNATIONAL INC	COM			249030107	572	15000	SH		Sole						15000
DEWEY ELECTRONICS CORP		COM			252063102	16	10998	SH		Sole						10998
DISNEY WALT CO NEW		COM			254687106	726	13892	SH		Sole						13892
DOMINION RESOURCES INC		COM			25746u109	268	5070	SH		Sole						5070
DORCHESTER MINERALS LP		COM			25820r105	272	12354	SH		Sole						12354
DOVER CORP			COM			260003108	348	5851	SH		Sole						5851
DU PONT E I DE NEMOURS & CO	COM			263534109	671	13356	SH		Sole						13356
ECOLAB INC			COM			278865100	599	9250	SH		Sole						9250
EMC CORP MASS			COM			268648102	721	26435	SH		Sole						26435
EMERSON ELEC CO			COM			291011104	2886	59787	SH		Sole						59787
EXPEDITORS INTL WASH INC	COM			302130109	563	15485	SH		Sole						15485
EXPRESS SCRIPTS HLDG		COM			30219g108	199	3176	SH		Sole						3176
EXXONMOBIL CORP			COM			30231g102	13479	147397	SH		Sole				1964		145433
FISERV INC			COM			337738108	1060	14319	SH		Sole						14319
FREEPORT-MCMORAN COPPER AND GO	COM			35671d857	462	11676	SH		Sole						11676
GENERAL DYNAMICS CORP		COM			369550108	663	10031	SH		Sole						10031
GENERAL ELECTRIC CORP		COM			369604103	8298	365392	SH		Sole				14448		350944
GENERAL MLS INC			COM			370334104	3983	99944	SH		Sole				6400		93544
GILEAD SCIENCES INC		COM			375558103	267	4023	SH		Sole						4023
GOOGLE INC CL A			COM			38259p508	2876	3812	SH		Sole						3812
HARMAN INTERNATIONAL INDS	COM			413086109	517	11204	SH		Sole						11204
HARRIS CORP DEL			COM			413875105	248	4844	SH		Sole						4844
HEINZ H J CO			COM			423074103	986	17621	SH		Sole						17621
HOME DEPOT INC			COM			437076102	3219	53320	SH		Sole						53320
IDEXX LABS INC			COM			45168d104	636	6400	SH		Sole						6400
ILLINOIS TOOL WKS INC		COM			452308109	667	11213	SH		Sole						11213
INTEL CORP			COM			458140100	2304	101679	SH		Sole						101679
INTL. BUSINESS MACHINES CORP	COM			459200101	7931	38229	SH		Sole						38229
JOHNSON & JOHNSON		COM			478160104	4384	63617	SH		Sole						63617
JP MORGAN CHASE & CO		COM			46625h100	3317	81938	SH		Sole						81938
KIMBERLY CLARK CORP		COM			494368103	934	10885	SH		Sole						10885
KINDER MORGAN ENERGY PARTNERS	COM			494550106	466	5650	SH		Sole						5650
KOHLS CORP			COM			500255104	207	4034	SH		Sole						4034
KRAFT FOODS INC CL A		COM			50075n104	227	5488	SH		Sole				2491		2997
LABORATORY CORP AMERICA HOLDIN	COM			50540r409	258	2790	SH		Sole						2790
LANCASTER COLONY CORP		COM			513847103	614	8385	SH		Sole						8385
LILLY ELI & CO			COM			532457108	894	18853	SH		Sole						18853
LINKEDIN CORP-A			COM			53578a108	428	3556	SH		Sole						3556
LOWES COS INC			COM			548661107	360	11917	SH		Sole						11917
LSI CORP			COM			502161102	275	39790	SH		Sole						39790
MARATHON OIL CORP		COM			565849106	591	20000	SH		Sole						20000
MARATHON PETROLEUM CORPORATION	COM			56585a102	546	10000	SH		Sole						10000
MARSH & MCLENNAN COS INC	COM			571748102	1516	44690	SH		Sole						44690
MCDONALDS CORP			COM			580135101	1016	11070	SH		Sole						11070
MCGRAW HILL COMPANIES INC	COM			580645109	912	16710	SH		Sole				4000		12710
MCKESSON CORP			COM			58155q103	263	3052	SH		Sole						3052
MERCK & CO INC			COM			58933y105	3532	78332	SH		Sole						78332
METLIFE INC			COM			59156r108	219	6346	SH		Sole						6346
METTLER-TOLEDO INTERNATIONAL I	COM			592688105	595	3485	SH		Sole						3485
MICROSOFT CORP			COM			594918104	1863	62597	SH		Sole						62597
MOODYS CORP			COM			615369105	573	12976	SH		Sole						12976
MURPHY OIL CORP			COM			626717102	259	4829	SH		Sole						4829
NABORS INDUSTRIES LTD		SHS			g6359f103	468	33390	SH		Sole						33390
NATIONAL-OILWELL INC		COM			637071101	742	9262	SH		Sole						9262
NEWELL RUBBERMAID INC		COM			651229106	566	29663	SH		Sole						29663
NEXTERA ENERGY INC		COM			65339f101	1336	18992	SH		Sole						18992
NIKE INC-CLASS B		COM			654106103	572	6023	SH		Sole						6023
NORTHERN TR CORP		COM			665859104	341	7350	SH		Sole						7350
NORTHROP GRUMMAN CORPORATION	COM			666807102	365	5502	SH		Sole						5502
NVIDIA CORP			COM			67066g104	219	16402	SH		Sole						16402
O REILLY AUTOMOTIVE INC		COM			67103h107	603	7210	SH		Sole						7210
ORACLE CORPORATION		COM			68389x105	1454	46209	SH		Sole						46209
PEPSICO INC			COM			713448108	3744	52900	SH		Sole						52900
PFIZER INC			COM			717081103	7695	309645	SH		Sole				2661		306984
PHILIP MORRIS INTERNATIONAL	COM			718172109	977	10863	SH		Sole				3600		7263
PIEDMONT NATURAL GAS INC	COM			720186105	325	10000	SH		Sole						10000
PPL CORPORATION			COM			69351t106	234	8071	SH		Sole						8071
PRAXAIR INC			COM			74005p104	627	6033	SH		Sole						6033
PROCTER & GAMBLE CO		COM			742718109	9277	133756	SH		Sole				5404		128352
PROGRESSIVE CORP OHIO		COM			743315103	644	31055	SH		Sole						31055
PUBLIC SVC ENTERPRISE GROUP IN	COM			744573106	257	7995	SH		Sole						7995
QUALCOMM INC			COM			747525103	579	9265	SH		Sole						9265
ROPER INDS INC			COM			776696106	262	2380	SH		Sole						2380
SCHLUMBERGER LTD		COM			806857108	2222	30714	SH		Sole						30714
SCRIPPS NETWORKS INTERACT INC	COM			811065101	652	10650	SH		Sole						10650
STATE STREET CORP		COM			857477103	405	9655	SH		Sole						9655
STERICYCLE INC			COM			858912108	712	7865	SH		Sole						7865
STRYKER CORPORATION		COM			863667101	766	13755	SH		Sole						13755
TARGET CORP			COM			87612e106	819	12901	SH		Sole						12901
TERADATA CORP			COM			88076w103	580	7686	SH		Sole						7686
THE HERSHEY COMPANY		COM			427866108	1035	14597	SH		Sole						14597
THERMO FISHER SCIENTIFIC INC	COM			883556102	366	6228	SH		Sole						6228
TJX COS INC			COM			872540109	2983	66605	SH		Sole						66605
TORCHMARK CORP			COM			891027104	285	5559	SH		Sole						5559
TRACTOR SUPPLY CO		COM			892356106	636	6430	SH		Sole						6430
TRANSCANADA CORP		COM			89353d107	1095	24055	SH		Sole						24055
TRAVELERS COMPANIES INC		COM			89417e109	433	6348	SH		Sole						6348
UNION PAC CORP			COM			907818108	1221	10283	SH		Sole						10283
UNITED TECHNOLOGIES CORP	COM			913017109	2728	34844	SH		Sole						34844
US BANCORP NEW			COM			902973304	807	23521	SH		Sole						23521
V.F. CORP			COM			918204108	1894	11883	SH		Sole						11883
VALUECLICK INC			COM			92046n102	189	10997	SH		Sole						10997
VERIZON COMMUNICATIONS		COM			92343v104	1482	32523	SH		Sole				1238		31285
WAL MART STORES INC		COM			931142103	2422	32813	SH		Sole						32813
WALGREEN CO			COM			931422109	1511	41459	SH		Sole						41459
WATSON PHARMACEUTICALS INC	COM			942683103	427	5017	SH		Sole						5017
WELLS FARGO & CO		COM			949746101	1945	56315	SH		Sole						56315
YUM! BRANDS INC			COM			988498101	753	11356	SH		Sole						11356
ZIMMER HLDGS INC		COM			98956p102	250	3700	SH		Sole				384		3316