Hugh Johnson Advisors

Hugh Johnson Advisors as of March 31, 2013

Portfolio Holdings for Hugh Johnson Advisors

Hugh Johnson Advisors holds 0 positions in its portfolio as reported in the March 2013 quarterly 13F filing

                QUANTITY      CUSIP                 ISSUER                SYMBOL  PRICE  MARKET VALUE  CLASS  DISCRETION VOTING AUTHORITY
--------    --------- ----------------------------------  ------ ------- ------------- ------ ---------- ----------------
{C}         {C}       {S}                                 {C}    {C}     {C}           {C}    {C}        {C}
  54112.7   002824100 Abbott Laboratories                 ABT    $ 35.32 $1,911,000.00 Common Sole       Partial
 52967.38   00287y109 Abbvie Inc                          ABBV   $ 40.78 $2,160,000.00 Common Sole       Partial
    58559   025816109 American Express Co                 AXP    $ 67.45 $3,950,000.00 Common Sole       Partial
      860   037833100 Apple Inc                           AAPL   $443.02 $  381,000.00 Common Sole       Partial
 48787.25   071813109 Baxter Intl Inc                     BAX    $ 72.64 $3,544,000.00 Common Sole       Partial
     3570   13342b105 Cameron International Corp          CAM    $ 65.27 $  233,000.00 Common Sole       Partial
    94470   171340102 Church & Dwight Inc                 CHD    $ 64.63 $6,106,000.00 Common Sole       Partial
    53970   189754104 Coach Inc                           COH    $ 49.99 $2,698,000.00 Common Sole       Partial
 51540.48   194162103 Colgate Palmolive Co                CL     $118.02 $6,083,000.00 Common Sole       Partial
    41868   20825c104 ConocoPhillips                      COP    $ 60.09 $2,516,000.00 Common Sole       Partial
  3839.23   237194105 Darden Restaurants Inc              DRI    $ 51.57 $  198,000.00 Common Sole       Partial
    59875   25490a309 DirecTV                             DTV    $ 56.58 $3,388,000.00 Common Sole       Partial
    90528   254687106 Disney Walt Co Disney               DIS    $ 56.80 $5,142,000.00 Common Sole       Partial
    36880   g3157s106 Ensco PLC Class A                   ESV    $ 60.01 $2,213,000.00 Common Sole       Partial
 32208.87   30231g102 Exxon Mobil Corp                    XOM    $ 90.10 $2,902,000.00 Common Sole       Partial
224515.81   316773100 Fifth Third Bancorp                 FITB   $ 16.31 $3,662,000.00 Common Sole       Partial
    69910   33616c100 First Republic Bank San Fran C      FRC    $ 38.62 $2,700,000.00 Common Sole       Partial
    26385   354613101 Franklin Resources Inc              BEN    $150.81 $3,979,000.00 Common Sole       Partial
138977.13   369604103 General Electric Co                 GE     $ 23.12 $3,213,000.00 Common Sole       Partial
    39180   413875105 Harris Corp                         HRS    $ 46.35 $1,816,000.00 Common Sole       Partial
    69640   418056107 Hasbro Inc                          HAS    $ 43.94 $3,060,000.00 Common Sole       Partial
 11541.36   458140100 Intel Corp                          INTC   $ 21.83 $  252,000.00 Common Sole       Partial
 28266.98   459200101 International Business Machine      IBM    $213.29 $6,029,000.00 Common Sole       Partial
     3475   478160104 Johnson & Johnson                   JNJ    $ 81.44 $  283,000.00 Common Sole       Partial
 93669.31   46625h100 JPMorgan Chase & Co                 JPM    $ 47.46 $4,446,000.00 Common Sole       Partial
  2518.73   580135101 McDonalds Corp                      MCD    $ 99.65 $  251,000.00 Common Sole       Partial
 53452.39   58933y105 Merck & Co Inc                      MRK    $ 44.21 $2,363,000.00 Common Sole       Partial
  7505.64   594918104 Microsoft Corp                      MSFT   $ 28.65 $  215,000.00 Common Sole       Partial
   177699   68389x105 Oracle Corp                         ORCL   $ 32.33 $5,745,000.00 Common Sole       Partial
100604.97   717081103 Pfizer Inc                          PFE    $ 28.86 $2,903,000.00 Common Sole       Partial
  4398.48   742718109 Procter & Gamble Co                 PG     $ 77.07 $  339,000.00 Common Sole       Partial
126628.14   882508104 Texas Instruments Inc               TXN    $ 35.48 $4,493,000.00 Common Sole       Partial
    35440   89417e109 Travelers Companies Inc             TRV    $ 84.20 $2,984,000.00 Common Sole       Partial
    62583   898349105 Trustco Bank Corp NY                TRST   $  5.58 $  349,000.00 Common Sole       Partial
    27850   907818108 Union Pacific Corp                  UNP    $142.41 $3,966,000.00 Common Sole       Partial
 34764.24   913017109 United Technologies Corp            UTX    $ 93.43 $3,248,000.00 Common Sole       Partial
 47234.06   92343v104 Verizon Communications Inc          VZ     $ 49.16 $2,322,000.00 Common Sole       Partial
  5102.07   931422109 Walgreen Co                         WAG    $ 47.63 $  243,000.00 Common Sole       Partial
  5532.15   969457100 Williams Cos Inc                    WMB    $ 37.42 $  207,000.00 Common Sole       Partial
  2864.67   988498101 Yum Brands Inc                      YUM    $ 71.91 $  206,000.00 Common Sole       Partial
    31266   03524a108 Anheuser- Busch InBev SA NV Sp      BUD    $ 99.57 $3,113,000.00 Common Sole       Partial
  5669.06   904784709 Unilever NV NY                      UN     $ 40.92 $  232,000.00 Common Sole       Partial
  7587.74   464287689 iShares Tr Russell 3000             IWV    $ 93.44 $  709,000.00 Common Sole       Partial
    10657   464287309 iShares Tr S^P 500 Growth           IVW    $ 82.39 $  878,000.00 Common Sole       Partial<br /><br />QUANTITY      CUSIP                 ISSUER                SYMBOL  PRICE   MARKET VALUE   CLASS  DISCRETION VOTING AUTHORITY
--------    --------- ----------------------------------  ------ ------- --------------- ------ ---------- ----------------
{C}         {C}       {S}                                 {C}    {C}     {C}             {C}    {C}        {C}
    22198   464287408 iShares Tr S^P 500 Value             IVE   $ 73.79 $  1,638,000.00 Common Sole       Partial
  67704.5   464287804 iShares Tr S^P Small Cap 600         IJR   $ 87.05 $  5,894,000.00 Common Sole       Partial
    34750   81369y209 Select Sector SPDR Healthcare        XLV   $ 46.01 $  1,599,000.00 Common Sole       Partial
    27290   81369y407 Select Sector SPDR Tr SBI Cons       XLY   $ 52.99 $  1,446,000.00 Common Sole       Partial
    35375   81369y308 Select Sector SPDR Tr SBI Cons       XLP   $ 39.77 $  1,407,000.00 Common Sole       Partial
    18220   81369y506 Select Sector SPDR Tr SBI Ener       XLE   $ 79.31 $  1,445,000.00 Common Sole       Partial
   108605   81369y605 Select Sector SPDR Tr SBI Fina       XLF   $ 18.21 $  1,978,000.00 Common Sole       Partial
    30190   81369y704 Select Sector SPDR Tr SBI Indu       XLI   $ 41.77 $  1,261,000.00 Common Sole       Partial
    72290   81369y100 Select Sector SPDR Tr SBI Mate       XLB   $ 39.18 $  2,832,000.00 Common Sole       Partial
    89850   81369y803 Select Sector SPDR Tr SBI Tech       XLK   $ 30.27 $  2,720,000.00 Common Sole       Partial
    82885   81369y886 Select Sector SPDR Tr SBI Util       XLU   $ 39.10 $  3,241,000.00 Common Sole       Partial
 57799.89   78462f103 SPDR S^P 500 Index ETF               SPY   $156.68 $  9,056,000.00 Common Sole       Partial
 58032.23   78467y107 SPDR S^P Mid Cap 400 ETF Tr          MDY   $209.73 $ 12,171,000.00 Common Sole       Partial
     5065   78464a763 SPDR Series Trust S^P Div ETF        SDY   $ 65.94 $    334,000.00 Common Sole       Partial
   100876   922042858 Vanguard Emerg Mkt ETF               VWO   $ 42.89 $  4,327,000.00 Common Sole       Partial
 54754.38   922908769 Vanguard Index Funds Stock Mkt       VTI   $ 80.96 $  4,433,000.00 Common Sole       Partial
     6678   922042775 Vanguard Intl Equity Index Fun       VEU   $ 46.42 $    310,000.00 Common Sole       Partial
     4468   921932885 Vanguard Mid Cap 400 Index           IVOO  $ 77.22 $    345,000.00 Common Sole       Partial
    50304   922908413 Vanguard S^P 500 ETF Sh              VOO   $ 71.64 $  3,604,000.00 Common Sole       Partial
214080.49   921943858 Vanguard Tax- Managed Fund Euro      VEA   $ 36.43 $  7,799,000.00 Common Sole       Partial
     3760   921910816 Vanguard World Fund Mega Growt       MGK   $ 60.11 $    226,000.00 Common Sole       Partial
     8612   921910840 Vanguard World Fund Mega Value       MGV   $ 47.38 $    408,000.00 Common Sole       Partial
148922.52   46429b366 iShares Barclays CMBS                CMBS  $ 51.72 $  7,702,000.00 Common Sole       Partial
    28515   464288646 iShares Tr Barclays 1-3 Years        CSJ   $105.52 $  3,009,000.00 Common Sole       Partial
     2702   464287457 iShares Tr Barclays 1-3 Yr           SHY   $ 84.38 $    228,000.00 Common Sole       Partial
 52390.99   464288638 iShares Tr Barclays Interm Cre       CIU   $111.15 $  5,823,000.00 Common Sole       Partial
 90864.56   464288612 iShares Tr Barclays Interm Gov       GVI   $112.37 $ 10,210,000.00 Common Sole       Partial
164542.56   464287226 iShares Tr Barclays US Aggreg        AGG   $110.73 $ 18,220,000.00 Common Sole       Partial
    70368   921937835 Vanguard Bond Index Fund Inc T       BND   $ 83.65 $  5,886,000.00 Common Sole       Partial

                                                                         $227,183,000.00