Choate Investment Advisors

Choate Investment Advisors as of Dec. 31, 2012

Portfolio Holdings for Choate Investment Advisors

Choate Investment Advisors holds 0 positions in its portfolio as reported in the December 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}
3M CO				COM			88579y101	4361	46970	SH		Sole						46970
ABBOTT LABS			COM			002824100	8523	130119	SH		Sole						130119
AFLAC INC			COM			001055102	2179	41028	SH		Sole						41028
ALLSTATE CORP			COM			020002101	1850	46044	SH		Sole						46044
ALNYLAM PHARMACEUTICALS INC	COM			02043q107	289	15851	SH		Sole						15851
ALTRIA GROUP INC		COM			02209s103	583	18554	SH		Sole						18554
AMAZON.COM INC			COM			023135106	1066	4251	SH		Sole						4251
AMERICAN EXPRESS CO		COM			025816109	2606	45339	SH		Sole						45339
AMERIPRISE FINANCIAL INC.	COM			03076c106	2148	34298	SH		Sole						34298
AMGEN INC			COM			031162100	1268	14707	SH		Sole						14707
ANADARKO PETROLEUM CORP		COM			032511107	222	2993	SH		Sole						2993
ANSYS INC			COM			03662q105	612	9090	SH		Sole						9090
APACHE CORP			COM			037411105	1323	16853	SH		Sole						16853
APPLE INC			COM			037833100	4862	9137	SH		Sole						9137
AT^T INC			COM			00206r102	1679	49821	SH		Sole						49821
AUTOMATIC DATA PROCESSING INC	COM			053015103	2853	50107	SH		Sole						50107
BAKER HUGHES INC		COM			057224107	332	8135	SH		Sole						8135
BANK OF AMERICA CORP		COM			060505104	606	52238	SH		Sole						52238
BAXTER INTL INC			COM			071813109	1632	24475	SH		Sole						24475
BB^T CORP			COM			054937107	346	11895	SH		Sole						11895
BEMIS INC			COM			081437105	311	9295	SH		Sole						9295
BERKSHIRE HATHAWAY INC CL A	CL A			084670108	4290	32	SH		Sole						32
BERKSHIRE HATHAWAY INC-CL B	CL B NEW		084670702	5934	66159	SH		Sole						66159
BIO-REFERENCE LABS INC		COM $.01 NEW		09057g602	372	13000	SH		Sole						13000
BMC SOFTWARE INC		COM			055921100	305	7696	SH		Sole						7696
BOEING CO			COM			097023105	366	4860	SH		Sole						4860
BP PLC SPONS ADR		SPONSORED ADR		055622104	1285	30860	SH		Sole						30860
BRISTOL MYERS SQUIBB CO		COM			110122108	1976	60633	SH		Sole						60633
BROADCOM CORP			CL A			111320107	752	22655	SH		Sole						22655
CATERPILLAR INC			COM			149123101	649	7245	SH		Sole						7245
CELGENE CORP			COM			151020104	1003	12786	SH		Sole						12786
CENOVUS ENERGY INC		COM			15135u109	589	17555	SH		Sole						17555
CHESAPEAKE ENERGY CORP		COM			165167107	602	36206	SH		Sole						36206
CHEVRON CORP			COM			166764100	6490	60016	SH		Sole						60016
CHINA MOBILE LIMITED		SPONSORED ADR		16941m109	235	4000	SH		Sole						4000
CHUBB CORP			COM			171232101	548	7275	SH		Sole						7275
CISCO SYSTEMS INC		COM			17275r102	2512	127848	SH		Sole						127848
CLOROX COMPANY			COM			189054109	394	5376	SH		Sole						5376
COCA COLA CO			COM			191216100	3744	103292	SH		Sole						103292
COGNIZANT TECH SOLUTIONS	CL A			192446102	4994	67591	SH		Sole						67591
COLGATE PALMOLIVE CO		COM			194162103	1751	16751	SH		Sole						16751
COMCAST CORP-CL A		CL A			20030n101	1235	33063	SH		Sole						33063
CONCHO RESOURCES		COM			20605p101	416	5170	SH		Sole						5170
CONOCOPHILLIPS			COM			20825c104	871	15013	SH		Sole						15013
CONSTELLATION BRANDS INC	CL A			21036p108	386	10912	SH		Sole						10912
CVS CAREMARK CORP		COM			126650100	1504	31106	SH		Sole						31106
DANAHER CORP			COM			235851102	1084	19400	SH		Sole						19400
DARDEN RESTAURANTS INC		COM			237194105	413	9163	SH		Sole						9163
DELL INC			COM			24702r101	182	17917	SH		Sole						17917
DENTSPLY INTERNATIONAL INC	COM			249030107	594	15000	SH		Sole						15000
DIAGEO PLC SPONS ADR		SPON ADR NEW		25243q205	864	7409	SH		Sole						7409
DISCOVERY COMMUNICATIONS CL A	COM SER A		25470f104	665	10475	SH		Sole						10475
DISNEY WALT CO NEW		COM DISNEY		254687106	538	10797	SH		Sole						10797
DOLLAR TREE INC			COM			256746108	282	6949	SH		Sole						6949
DOMINION RESOURCES INC		COM			25746u109	239	4620	SH		Sole						4620
DORCHESTER MINERALS LP		COM UNIT		25820r105	225	11061	SH		Sole						11061
DOVER CORP			COM			260003108	361	5501	SH		Sole						5501
DR PEPPER SNAPPLE GROUP INC	COM			26138e109	290	6567	SH		Sole						6567
DU PONT E I DE NEMOURS & CO	COM			263534109	599	13317	SH		Sole						13317
ECOLAB INC			COM			278865100	665	9250	SH		Sole						9250
EMC CORP MASS			COM			268648102	657	25965	SH		Sole						25965
EMERSON ELEC CO			COM			291011104	3158	59631	SH		Sole						59631
ENERGIZER HLDGS INC		COM			29266r108	697	8719	SH		Sole						8719
EXPEDITORS INTL WASH INC	COM			302130109	612	15485	SH		Sole						15485
EXPRESS SCRIPTS HLDG		COM			30219g108	236	4364	SH		Sole						4364
EXXONMOBIL CORP			COM			30231g102	12148	140359	SH		Sole						140359
FACEBOOK INC-A			CL A			30303m102	849	31904	SH		Sole						31904
FEDEX CORP			COM			31428x106	619	6750	SH		Sole						6750
FISERV INC			COM			337738108	1130	14294	SH		Sole						14294
FREEPORT-MCMORAN COP & GLD 	COM			35671d857	493	14403	SH		Sole						14403
GENERAL DYNAMICS CORP		COM			369550108	723	10441	SH		Sole						10441
GENERAL ELECTRIC CORP		COM			369604103	8639	411569	SH		Sole						411569
GENERAL MLS INC			COM			370334104	3615	89431	SH		Sole						89431
GILEAD SCIENCES INC		COM			375558103	295	4018	SH		Sole						4018
GLAXO SMITHKLINE SPONS ADR	SPONSORED ADR		37733w105	1905	43819	SH		Sole						43819
GOOGLE INC CL A			CL A			38259p508	2894	4091	SH		Sole						4091
HARMAN INTERNATIONAL INDS	COM			413086109	532	11919	SH		Sole						11919
HARRIS CORP DEL			COM			413875105	334	6824	SH		Sole						6824
HEINZ H J CO			COM			423074103	914	15848	SH		Sole						15848
HOLOGIC INC			COM			436440101	890	44461	SH		Sole						44461
HOME DEPOT INC			COM			437076102	3298	53315	SH		Sole						53315
HONEYWELL INTERNATIONAL INC	COM			438516106	1287	20276	SH		Sole						20276
IDEXX LABS INC			COM			45168d104	594	6400	SH		Sole						6400
ILLINOIS TOOL WKS INC		COM			452308109	636	10460	SH		Sole						10460
IMPERVA INC			COM			45321L100	543	17228	SH		Sole						17228
INTEL CORP			COM			458140100	2777	134666	SH		Sole						134666
INTL. BUSINESS MACHINES CORP	COM			459200101	11165	58288	SH		Sole						58288
ISHARES BARCLAYS TIPS BOND FUND	BARCLYS TIPS BD		464287176	260	2145	SH		Sole						2145
ISHARES COHEN & STEERS RLTY	COHEN^ST RLTY		464287564	1324	16856	SH		Sole						16856
ISHARES COMEX GOLD TRUST	ISHARES			464285105	402	24715	SH		Sole						24715
ISHARES CORE S^P 500 ETF	CORE S^P500 ETF		464287200	172064	1202066	SH		Sole						1202066
ISHARES CORE S^P SMALL-CAP ETF	CORE S^P SCP ETF	464287804	9901	126767	SH		Sole						126767
ISHARES DJ SELECT DIVD INDEX FD	DJ SEL DIV INX		464287168	623	10880	SH		Sole						10880
ISHARES DJ US CONSMER CYCLIC	CONS SRVC IDX		464287580	367	4230	SH		Sole						4230
ISHARES JP MORGAN EM BOND FD	JPMORGAN USD		464288281	375	3055	SH		Sole						3055
ISHARES MSCI CANADA INDEX FUND	MSCI CDA INDEX		464286509	13551	477164	SH		Sole						477164
ISHARES MSCI EAFE INDEX FUND	MSCI EAFE INDEX		464287465	62235	1094533	SH		Sole						1094533
ISHARES MSCI EAFE SMALL CAP	MSCI SMALL CAP		464288273	665	16345	SH		Sole						16345
ISHARES MSCI EMERGING MKT IN	MSCI EMERG MKT		464287234	12115	273178	SH		Sole						273178
ISHARES MSCI GERMANY	MSCI GERMAN			464286806	4082	165252	SH		Sole						165252
ISHARES RUSSELL 1000 IND FUND	RUSSELL 1000		464287622	348	4394	SH		Sole						4394
ISHARES RUSSELL 2000 IND FUND	RUSSELL 2000		464287655	4155	49280	SH		Sole						49280
ISHARES S^P 500 VALUE IND FUND	S^P 500 VALUE		464287408	233	3505	SH		Sole						3505
ISHARES TR MSCI EAFE GROWTH IND	MSCI GRW IDX		464288885	41301	687886	SH		Sole						687886
JOHNSON & JOHNSON		COM			478160104	4311	61500	SH		Sole						61500
JP MORGAN CHASE & CO		COM			46625h100	4590	104392	SH		Sole						104392
KAYNE ANDERSON MLP INVESTMENT	COM			486606106	576	19560	SH		Sole						19560
KIMBERLY CLARK CORP		COM			494368103	876	10378	SH		Sole						10378
KINDER MORGAN ENERGY PTNRS 	UT LTD PARTNR		494550106	411	5150	SH		Sole						5150
KRAFT FOODS GROUP INC		COM			50076q106	209	4606	SH		Sole						4606
KROGER CO			COM			501044101	956	36752	SH		Sole						36752
LABORATORY CORP AMERICA 	COM NEW			50540r409	227	2618	SH		Sole						2618
LANCASTER COLONY CORP		COM			513847103	580	8385	SH		Sole						8385
LILLY ELI & CO			COM			532457108	1027	20824	SH		Sole						20824
LOWES COS INC			COM			548661107	531	14950	SH		Sole						14950
LSI CORP			COM			502161102	300	42437	SH		Sole						42437
MARATHON OIL CORP		COM			565849106	651	21245	SH		Sole						21245
MARATHON PETROLEUM CORP		COM			56585a102	630	10000	SH		Sole						10000
MARSH & MCLENNAN COS INC	COM			571748102	1540	44690	SH		Sole						44690
MCDONALDS CORP			COM			580135101	1799	20399	SH		Sole						20399
MCGRAW HILL COMPANIES INC	COM			580645109	979	17905	SH		Sole						17905
MCKESSON CORP			COM			58155q103	295	3047	SH		Sole						3047
MERCK & CO INC			COM			58933y105	3076	75142	SH		Sole						75142
METLIFE INC			COM			59156r108	428	12986	SH		Sole						12986
METTLER-TOLEDO INTERNATL	COM			592688105	674	3485	SH		Sole						3485
MICROSOFT CORP			COM			594918104	2982	111631	SH		Sole						111631
MONDELEZ INTERNATIONAL INC	CL A			609207105	346	13593	SH		Sole						13593
MONSANTO CO			COM			61166w101	297	3136	SH		Sole						3136
MOODYS CORP			COM			615369105	653	12976	SH		Sole						12976
MURPHY OIL CORP			COM			626717102	494	8302	SH		Sole						8302
NABORS INDUSTRIES LTD		SHS			g6359f103	519	35905	SH		Sole						35905
NATIONAL-OILWELL INC		COM			637071101	1388	20306	SH		Sole						20306
NEWELL RUBBERMAID INC		COM			651229106	661	29663	SH		Sole						29663
NEXTERA ENERGY INC		COM			65339f101	1147	16575	SH		Sole						16575
NIKE INC-CLASS B		CL B			654106103	589	11416	SH		Sole						11416
NORFOLK SOUTHERN CORP		COM			655844108	385	6222	SH		Sole						6222
NORTHROP GRUMMAN CORP		COM			666807102	372	5502	SH		Sole						5502
NUCOR CORP			COM			670346105	569	13195	SH		Sole						13195
NVIDIA CORP			COM			67066g104	204	16612	SH		Sole						16612
O REILLY AUTOMOTIVE INC		COM			67103h107	610	6820	SH		Sole						6820
ORACLE CORP			COM			68389x105	1459	43779	SH		Sole						43779
PEPSICO INC			COM			713448108	3133	45791	SH		Sole						45791
PETROCHINA CO LTD SPONS ADR	SPONSORED ADR		71646e100	285	1979	SH		Sole						1979
PFIZER INC			COM			717081103	8110	323377	SH		Sole						323377
PHILIP MORRIS INTERNATIONAL	COM			718172109	925	11054	SH		Sole						11054
PIEDMONT NATURAL GAS INC	COM			720186105	313	10000	SH		Sole						10000
POWERSHARES BUYBACK ACHIEV	DYNA BUYBK ACH		73935x286	29281	982592	SH		Sole						982592
POWERSHARES GLOBAL WATER 	GBL WTR PORT		73936t623	381	21180	SH		Sole						21180
PRAXAIR INC			COM			74005p104	595	5435	SH		Sole						5435
PROCTER & GAMBLE CO		COM			742718109	9505	140005	SH		Sole						140005
PROGRESS SOFTWARE CORP		COM			743312100	2367	112753	SH		Sole						112753
PROGRESSIVE CORP OHIO		COM			743315103	602	28530	SH		Sole						28530
PUBLIC SVC ENTERPRISE GROUP	COM			744573106	244	7967	SH		Sole						7967
QUALCOMM INC			COM			747525103	1631	26372	SH		Sole						26372
RAYTHEON COMPANY		COM			755111507	445	7735	SH		Sole						7735
ROPER INDS INC			COM			776696106	263	2360	SH		Sole						2360
ROYAL DUTCH SHELL SPONS ADR	SPONS ADR A		780259206	576	8359	SH		Sole						8359
SCHLUMBERGER LTD		COM			806857108	2156	31114	SH		Sole						31114
SCRIPPS NETWORKS INTERACT INC 	CL A COM		811065101	646	11145	SH		Sole						11145
SKYWORKS SOLUTIONS INC		COM			83088m102	780	38446	SH		Sole						38446
SPDR DJ WILSHIRE INTL RL EST	DJ INTL RL ETF		78463x863	7575	183185	SH		Sole						183185
SPDR GOLD TRUST	GOLD 		SHS			78463v107	1060	6543	SH		Sole						6543
SPDR S^P 500 ETF TRUST		TR UNIT			78462f103	14956	105022	SH		Sole						105022
SPDR S^P EMERGING SMALL CAP	S^P EMKTSC ETF		78463x756	1638	35119	SH		Sole						35119
SPDR S^P MIDCAP 400 ETF TRUST	UTSER1 S^PDCRP		78467y107	23887	128625	SH		Sole						128625
STATE STREET CORP		COM			857477103	689	14655	SH		Sole						14655
STERICYCLE INC			COM			858912108	732	7850	SH		Sole						7850
STONE ENERGY CORP		COM			861642106	205	10000	SH		Sole						10000
STRYKER CORP			COM			863667101	778	14192	SH		Sole						14192
SUMITOMO MITSUI FINL GROUP 	SPONSORED ADR		86562m209	94	12770	SH		Sole						12770
TARGET CORP			COM			87612e106	1522	25726	SH		Sole						25726
TELEFONICA SA SPONS AD	R	SPONSORED ADR		879382208	150	11085	SH		Sole						11085
TERADATA CORP			COM			88076w103	476	7686	SH		Sole						7686
TEVA PHARMACEUTICAL INDS 	SPONS ADR		881624209	1620	43392	SH		Sole						43392
THE MOSAIC COMPANY		COM			61945c103	572	10102	SH		Sole						10102
THERMO FISHER SCIENTIFIC INC	COM			883556102	477	7477	SH		Sole						7477
TJX COS INC			COM			872540109	2591	61028	SH		Sole						61028
TORCHMARK CORP			COM			891027104	287	5559	SH		Sole						5559
TORONTO DOMINION BANK		COM NEW			891160509	638	7569	SH		Sole						7569
TRACTOR SUPPLY CO		COM			892356106	568	6430	SH		Sole						6430
TRANSCANADA CORP		COM			89353d107	1033	21830	SH		Sole						21830
TRAVELERS COMPANIES INC		COM			89417E109	423	5891	SH		Sole						5891
UNILEVER NV NY SHARES		NY SHS NEW		904784709	419	10949	SH		Sole						10949
UNION PAC CORP			COM			907818108	1933	15374	SH		Sole						15374
UNITED TECHNOLOGIES CORP	COM			913017109	3747	45688	SH		Sole						45688
UNUM GROUP			COM			91529y106	203	9732	SH		Sole						9732
US BANCORP NEW			COM NEW			902973304	1669	52262	SH		Sole						52262
V.F. CORP			COM			918204108	1789	11848	SH		Sole						11848
VALUECLICK INC			COM			92046n102	213	10997	SH		Sole						10997
VANGUARD DIVIDEND APPREC ETF	DIV APP ETF		921908844	56712	952017	SH		Sole						952017
VANGUARD FTSE ALL WORLD X-US S	FTSE SMCAP ETF		922042718	37529	412905	SH		Sole						412905
VANGUARD GLBL EX-US REAL EST	GLB EX US ETF		922042676	8345	151639	SH		Sole						151639
VANGUARD HIGH DVD YIELD ETF	HIGH DIV YLD		921946406	322	6520	SH		Sole						6520
VANGUARD MSCI EAFE ETF		MSCI EAFE ETF		921943858	99355	2820178	SH		Sole						2820178
VANGUARD MSCI EMERGING 		MSCI EMR MK ETF		922042858	73221	1644305	SH		Sole						1644305
VANGUARD S^P 500 ETF		S^P 500 ETF SH		922908413	1283	19679	SH		Sole						19679
VANGUARD TOTAL BOND MARKET ETF	TOTAL BND MRKT		921937835	217	2580	SH		Sole						2580
VERIZON COMMUNICATIONS		COM			92343v104	2441	56419	SH		Sole						56419
WAL MART STORES INC		COM			931142103	2369	34728	SH		Sole						34728
WALGREEN CO			COM			931422109	1487	40191	SH		Sole						40191
WATSON PHARMACEUTICALS INC	COM			942683103	330	3837	SH		Sole						3837
WELLS FARGO & CO		COM			949746101	2685	78548	SH		Sole						78548
WISDOMTREE EMERGING MKTS 	EMG MKT SMCAP		97717w281	25800	521847	SH		Sole						521847
YUM! BRANDS INC			COM			988498101	754	11356	SH		Sole						11356
ZIMMER HLDGS INC		COM			98956p102	966	14492	SH		Sole						14492