Covington Investment Advisors

Covington Investment Advisors as of Dec. 31, 2012

Portfolio Holdings for Covington Investment Advisors

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

                VALUE	SHRS OR	SH/	PUT/	INVESTMENT	OTHER	VOTING AUTHORITY
NAME OF ISSUER	TITLE OF CLASS	CUSIP	(x$1000)	PRN AMT	PRN	CALL	DISCRETION	MANAGER	SOLE	SHARED	NONE
{C}	{C}	{C}	{C}	{C}			{C}	{C}	{C}
ALTRIA GROUP INC	COM	02209S103	5620	178743.847	SH		SOLE		0	0	178743.847
BROWN FORMAN CORP	CL B	115637209	3213	50795	SH		SOLE		0	0	50795
MCDONALDS CORP	COM	580135101	1393	15790	SH		SOLE		0	0	15790
PHILIP MORRIS INTL INC	COM	718172109	10271	122798	SH		SOLE		0	0	122798
TARGET CORP	COM	87612E106	523	8835	SH		SOLE		0	0	8835
TRW AUTOMOTIVE HLDGS CORP	COM	87264S106	762	14210	SH		SOLE		0	0	14210
YUM BRANDS INC	COM	988498101	660	9944	SH		SOLE		0	0	9944
COCA COLA CO	COM	191216100	2794	77080	SH		SOLE		0	0	77080
COLGATE PALMOLIVE CO	COM	194162103	402	3850	SH		SOLE		0	0	3850
CONAGRA FOODS INC	COM	205887102	328	11130	SH		SOLE		0	0	11130
COSTCO WHSL CORP NEW	COM	22160K105	414	4198	SH		SOLE		0	0	4198
GENERAL MLS INC	COM	370334104	2960	73240	SH		SOLE		0	0	73240
KIMBERLY CLARK CORP	COM	494368103	2456	29085	SH		SOLE		0	0	29085
KRAFT FOODS GROUP INC	COM	50076Q106	1013	22288	SH		SOLE		0	0	22288
MONDELEZ INTL INC	CL A	609207105	1703	66906	SH		SOLE		0	0	66906
PEPSICO INC	COM	713448108	557	8138	SH		SOLE		0	0	8138
PROCTER & GAMBLE CO	COM	742718109	2247	33097	SH		SOLE		0	0	33097
WAL-MART STORES INC	COM	931142103	559	8195	SH		SOLE		0	0	8195
CONOCOPHILLIPS	COM	20825C104	1228	21180	SH		SOLE		0	0	21180
ENERGY TRANSFER PRTNRS L P	UNIT LTD PARTN	29273R109	1389	32350	SH		SOLE		0	0	32350
EXXON MOBIL CORP	COM	30231G102	4554	52621	SH		SOLE		0	0	52621
HALLIBURTON CO	COM	406216101	417	12017	SH		SOLE		0	0	12017
KINDER MORGAN ENERGY PARTNER	UT LTD PARTNER	494550106	3605	45175	SH		SOLE		0	0	45175
MARKWEST ENERGY PARTNERS L P	UNIT LTD PARTN	570759100	2079	40755	SH		SOLE		0	0	40755
SCHLUMBERGER LTD	COM	806857108	528	7621	SH		SOLE		0	0	7621
AFLAC INC	COM	001055102	2077	39100	SH		SOLE		0	0	39100
BANK NOVA SCOTIA HALIFAX	COM	064149107	1866	32245	SH		SOLE		0	0	32245
PNC FINL SVCS GROUP INC	COM	693475105	2240	38410	SH		SOLE		0	0	38410
TORONTO DOMINION BK ONT	COM NEW	891160509	1803	21380	SH		SOLE		0	0	21380
WELLS FARGO & CO NEW	COM	949746101	1945	56915	SH		SOLE		0	0	56915
ABBOTT LABS	COM	002824100	3077	46980	SH		SOLE		0	0	46980
ALLERGAN INC	COM	018490102	2038	22217	SH		SOLE		0	0	22217
BECTON DICKINSON & CO	COM	075887109	1344	17195	SH		SOLE		0	0	17195
BRISTOL MYERS SQUIBB CO	COM	110122108	1954	59960	SH		SOLE		0	0	59960
CVS CAREMARK CORPORATION	COM	126650100	495	10243	SH		SOLE		0	0	10243
EXPRESS SCRIPTS HLDG CO	COM	30219G108	1684	31177	SH		SOLE		0	0	31177
LILLY ELI & CO	COM	532457108	537	10895	SH		SOLE		0	0	10895
MCKESSON CORP	COM	58155Q103	2880	29700	SH		SOLE		0	0	29700
MERCK & CO INC NEW	COM	58933Y105	234	5713	SH		SOLE		0	0	5713
PFIZER INC	COM	717081103	2421	96522	SH		SOLE		0	0	96522
UNITEDHEALTH GROUP INC	COM	91324P102	438	8075	SH		SOLE		0	0	8075
VARIAN MED SYS INC	COM	92220P105	378	5375	SH		SOLE		0	0	5375
3M CO	COM	88579Y101	645	6945	SH		SOLE		0	0	6945
CATERPILLAR INC DEL	COM	149123101	735	8206	SH		SOLE		0	0	8206
EMERSON ELEC CO	COM	291011104	2206	41645	SH		SOLE		0	0	41645
HONEYWELL INTL INC	COM	438516106	2037	32100	SH		SOLE		0	0	32100
ILLINOIS TOOL WKS INC	COM	452308109	755	12420	SH		SOLE		0	0	12420
INGERSOLL-RAND PLC	SHS	G47791101	322	6705	SH		SOLE		0	0	6705
PARKER HANNIFIN CORP	COM	701094104	374	4395	SH		SOLE		0	0	4395
RAYTHEON CO	COM NEW	755111507	818	14210	SH		SOLE		0	0	14210
UNITED TECHNOLOGIES CORP	COM	913017109	2267	27640	SH		SOLE		0	0	27640
WABTEC CORP	COM	929740108	294	3360	SH		SOLE		0	0	3360
DU PONT E I DE NEMOURS & CO	COM	263534109	2799	62240	SH		SOLE		0	0	62240
MONSANTO CO NEW	COM	61166W101	580	6130	SH		SOLE		0	0	6130
ACCENTURE PLC IRELAND	SHS CLASS A	G1151C101	1869	28110	SH		SOLE		0	0	28110
ACTIVISION BLIZZARD INC	COM	00507V109	673	63370	SH		SOLE		0	0	63370
CISCO SYS INC	COM	17275R102	674	34280	SH		SOLE		0	0	34280
FISERV INC	COM	337738108	620	7840	SH		SOLE		0	0	7840
INTEL CORP	COM	458140100	479	23226	SH		SOLE		0	0	23226
INTERNATIONAL BUSINESS MACHS	COM	459200101	5571	29082	SH		SOLE		0	0	29082
MICROSOFT CORP	COM	594918104	259	9700	SH		SOLE		0	0	9700
ORACLE CORP	COM	68389X105	572	17155	SH		SOLE		0	0	17155
SEAGATE TECHNOLOGY PLC	SHS	G7945M107	619	20340	SH		SOLE		0	0	20340
VMWARE INC	CL A COM	928563402	498	5285	SH		SOLE		0	0	5285
WESTERN DIGITAL CORP	COM	958102105	424	9980	SH		SOLE		0	0	9980
AT^T INC	COM	00206R102	1816	53875	SH		SOLE		0	0	53875
VERIZON COMMUNICATIONS INC	COM	92343V104	2766	63925	SH		SOLE		0	0	63925
AMERICAN ELEC PWR INC	COM	025537101	2602	60955	SH		SOLE		0	0	60955
CONSOLIDATED EDISON INC	COM	209115104	247	4455	SH		SOLE		0	0	4455
DOMINION RES INC VA NEW	COM	25746U109	887	17130	SH		SOLE		0	0	17130
DUKE ENERGY CORP NEW	COM NEW	26441C204	2675	41928	SH		SOLE		0	0	41928
NEXTERA ENERGY INC	COM	65339F101	1932	27920	SH		SOLE		0	0	27920
WISCONSIN ENERGY CORP	COM	976657106	565	15340	SH		SOLE		0	0	15340
ISHARES TR	S^P 500 VALUE	464287408	339	5112	SH		SOLE		0	0	5112
BLACKROCK MUNIYIELD PA QLTY	COM	09255G107	278	17000	SH		SOLE		0	0	17000
NUVEEN PA DIVID ADVANTAGE MU	COM	67071W102	150	10000	SH		SOLE		0	0	10000
NUVEEN PA PREM INCOME FD	COM	67061F101	226	15000	SH		SOLE		0	0	15000
VANGUARD BD INDEX FD INC	TOTAL BND MRKT	921937835	1370	16305	SH		SOLE		0	0	16305