Kistler-Tiffany Advsiors

Kistler-Tiffany Advsiors as of Dec. 31, 2011

Portfolio Holdings for Kistler-Tiffany Advsiors

Kistler-Tiffany Advsiors holds 0 positions in its portfolio as reported in the December 2011 quarterly 13F filing

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FORM 13F  INFORMATION TABLE
COLUMN 1				COLUMN 2		COLUMN 3	COLUMN 4	COLUMN 5		COLUMN 6	COLUMN 7	COLUMN 8
ISSUER					TITLE OF CLASS		CUSIP		VALUE		SHRS OR SH/ PUT/
															INVESTMENT	OTHER	VOTING AUTHORITY
										(x$1000)	PRN AMT PRN CALL 	DISCRETION    MANAGERS 	SOLE   SHARED 	NONE

ACNB CORP				COM			000868109	18		1313	SH		sole					1313
AFLAC INC				COM			001055102	35		803	SH		sole					803
AOL INC					COM			00184X105	1		89	SH		sole					89
AT^T INC				COM			00206R102	696		23015	SH		Sole					23015
ABBOTT LABS				COM			002824100	487		8675	SH		sole					8675
ACTIVISION BLIZZARD INC			COM			00507V109	1		100	SH		sole					100
AETNA INC NEW				COM			00817Y108	42		1006	SH		sole					1006
AGILENT TECHNOLOGIES INC		COM			00846U101	0		13	SH		sole					13
AGNICO EAGLE MINES LTD			COM			008474108	36		1000	SH		sole					1000
ALASKA COMMUNICATIONS SYS GR		COM			01167P101	3		1093	SH		sole					1093
ALCOA INC				COM			013817101	1		101	SH		sole					101
ALCATEL-LUCENT	 			SPONSORED ADR		013904305	2		974	SH		sole					974
ALERE INC				COM			01449J105	9		400	SH		sole					400
ALLIANCE RES PARTNER L P		UT LTD PART		01877R108	23		300	SH		sole					300
ALLIANCEBERNSTEIN INCOME FUN		COM			01881E101	1		114	SH		sole					114
ALLSCRIPTS HEALTHCARE SOLUTN		COM			01988P108	8		420	SH		sole					420
ALPHA NATURAL RESOURCES INC		COM			02076X102	2		102	SH		sole					102
ALTRIA GROUP INC			COM			02209S103	986		33237	SH		sole					33237
AMAZON COM INC				COM			023135106	7		40	SH		sole					40
AMERICA MOVIL SAB DE CV			SPON ADR L SHS		02364W105	134		5934	SH		sole					5934
AMERICA MOVIL SAB DE CV			SPON ADR A SHS		02364W204	34		1500	SH		sole					1500
AMERICAN CAMPUS CMNTYS INC		COM			024835100	0		12	SH		sole					12
AMERICAN EXPRESS CO			COM			025816109	133		2829	SH		sole					2829
AMERICAN INTL GROUP INC			COM NEW			026874784	1		36	SH		sole					36
AMERICAN WOODMARK CORP			COM			030506109	1		46	SH		sole					46
AMERIPRISE FINL INC			COM			03076C106	19		390	SH		sole					390
AMERIGAS PARTNERS L P			UNIT L P INT		030975106	160		3491	SH		sole					3491
AMGEN INC				COM			031162100	1,203		18743	SH		sole					18743
AMPHENOL CORP NEW			CL A			032095101	39		867	SH		sole					867
ANADARKO PETE CORP			COM			032511107	13		175	SH		sole					175
ANNALY CAP MGMT INC			COM			035710409	38		2360	SH		sole					2360
APACHE CORP				COM			037411105	274		3029	SH		sole					3029
APARTMENT INVT & MGMT CO		CL A			03748R101	2		102	SH		sole					102
APPLE INC				COM			037833100	829		2046	SH		sole					2046
APPLIED MATLS INC			COM			038222105	15		1412	SH		sole					1412
AQUA AMERICA INC			COM			03836W103	170		7718	SH		sole					7718
ARCELORMITTAL SA LUXEMBOURG		NY REGISTRY SH		03938L104	5		282	SH		sole					282
ASTRAZENECA PLC				SPONSORED ADR		046353108	7		152	SH		sole					152
ATMOS ENERGY CORP			COM			049560105	14		423	SH		sole					423
AUTOMATIC DATA PROCESSING IN		COM			053015103	66		1207	SH		sole					1207
AVON PRODS INC				COM			054303102	54		3334	SH		sole					3334
BP PLC					SPONSORED ADR		055622104	192		4498	SH		sole					4498
BAIDU INC				SPON ADR REP A	0	56752108	47		406	SH		sole					406
BAKER HUGHES INC			COM			057224107	15		312	SH		sole					312
BALLY TECHNOLOGIES INC			COM			05874B107	63		1600	SH		sole					1600
BANCO BILBAO VIZCAYA ARGENTA		SPONSORED ADR		05946K101	38		4434	SH		sole					4434
BANCO SANTANDER SA			ADR			05964H105	141		18711	SH		sole					18711
BANK OF AMERICA CORPORATION		COM			060505104	122		21856	SH		sole					21856
BANK NOVA SCOTIA HALIFAX		COM			064149107	24		480	SH		sole					480
BARD C R INC				COM			067383109	47		550	SH		sole					550
BARCLAYS BK PLC				DJUBS CMDT ETN36	06738C778	1,492		35333	SH		sole					35333
BARCLAYS PLC				ADR			06738E204	16		1483	SH		sole					1483
BARCLAYS BANK PLC			ETN DJUBS AGRI37	06739H206	47		874	SH		sole					874
BARCLAYS BANK PLC			ETN DJUBS PMET38	06739H248	22		256	SH		sole					256
BARCLAYS BANK PLC			CARRY ETN 38		06739H412	44		950	SH		sole					950
BARRICK GOLD CORP			COM			067901108	6		125	SH		sole					125
BAXTER INTL INC				COM			071813109	90		1824	SH		sole					1824
BECTON DICKINSON & CO			COM			075887109	109		1453	SH		sole					1453
BERKSHIRE HATHAWAY INC DEL		CL B NEW		084670702	907		11888	SH		sole					11888
BHP BILLITON LTD			SPONSORED ADR		088606108	42		596	SH		sole					596
BIGLARI HLDGS INC			COM			08986R101	15		40	SH		sole					40
BLACKROCK MUNIHLDGS NJ QLTY		COM			09254X101	16		1000	SH		sole					1000
BLOCK H & R INC				COM			093671105	32		1990	SH		sole					1990
BOEING CO				COM			097023105	17		232	SH		sole					232
BOSTON SCIENTIFIC CORP			COM			101137107	1		216	SH		sole					216
BRANDYWINE RLTY TR			SH BEN INT NEW		105368203	16		1685	SH		sole					1685
BRISTOL MYERS SQUIBB CO			COM			110122108	329		9324	SH		sole					9324
BRITISH AMERN TOB PLC			SPONSORED ADR		110448107	6		66	SH		sole					66
BROOKFIELD ASSET MGMT INC		CL A LTD VT SH		112585104	19		675	SH		sole					675
BROOKFIELD OFFICE PPTYS INC		COM			112900105	2		101	SH		sole					101
BROWN FORMAN CORP			CL A			115637100	66		828	SH		sole					828
BROWN FORMAN CORP			CL B			115637209	17		207	SH		sole					207
BRYN MAWR BK CORP			COM			117665109	2		80	SH		sole					80
CBIZ INC				COM			124805102	47		7635	SH		sole					7635
CBS CORP NEW				CL B			124857202	24		892	SH		sole					892
CIGNA CORPORATION			COM			125509109	352		8382	SH		sole					8382
CNOOC LTD				SPONSORED ADR		126132109	14		80	SH		sole					80
CVS CAREMARK CORPORATION		COM			126650100	95		2718	SH		sole					2718
CALAMOS GBL DYN INCOME FUND		COM			12811L107	7		1000	SH		sole					1000
CAMBIUM LEARNING GRP INC		COM			13201A107	1		300	SH		sole					300
CAMPBELL SOUP CO			COM			134429109	3		100	SH		sole					100
CANADIAN NATL RY CO			COM			136375102	37		467	SH		sole					467
CAREFUSION CORP				COM			14170T101	5		194	SH		sole					194
CARPENTER TECHNOLOGY CORP		COM			144285103	24		460	SH		sole					460
CATERPILLAR INC DEL			COM			149123101	738		8142	SH		sole					8142
CELGENE CORP				COM			151020104	22		330	SH		sole					330
CENOVUS ENERGY INC			COM			15135U109	33		992	SH		sole					992
CENTERPOINT ENERGY INC			COM			15189T107	19		949	SH		sole					949
CENTURYLINK INC				COM			156700106	12		324	SH		sole					324
CHESAPEAKE ENERGY CORP			COM			165167107	149		6698	SH		sole					6698
CHEVRON CORP NEW			COM			166764100	1,421		14068	SH		sole					14068
CHINA NEW BORUN CORP			ADR			16890T105	0		20	SH		sole					20
CHINA SHEN ZHOU MNG & RES IN		COM			16942H109	0		46	SH		sole					46
CHURCH & DWIGHT INC			COM			171340102	117		2556	SH		sole					2556
CIENA CORP				COM NEW			171779309	1		120	SH		sole					120
CINCINNATI BELL INC NEW			COM			171871106	7		2250	SH		sole					2250
CISCO SYS INC				COM			17275R102	221		12201	SH		sole					12201
CITIGROUP INC				COM NEW			172967424	130		4922	SH		sole					4922
CLAYMORE EXCHANGE TRD FD TR		GUGG S^P GBL WTR	18383Q507	181		9640	SH		sole					9640
COACH INC				COM			189754104	16		260	SH		sole					260
COCA COLA CO				COM			191216100	487		7236	SH		sole					7236
COLGATE PALMOLIVE CO			COM			194162103	168		1820	SH		sole					1820
COMCAST CORP NEW			CL A			20030N101	44		1836	SH		sole					1836
CONAGRA FOODS INC			COM			205887102	26		1000	SH		sole					1000
CONNECTICUT BK^TR CO HART NE		COM			207546102	8		1000	SH		sole					1000
CONOCOPHILLIPS				COM			20825C104	335		4597	SH		sole					4597
CONSOL ENERGY INC			COM			20854P109	4		108	SH		sole					108
CONSOLIDATED EDISON INC			COM			209115104	5		81	SH		sole					81
CONVERGYS CORP				COM			212485106	26		2000	SH		sole					2000
CORNING INC				COM			219350105	1		100	SH		sole					100
COSTCO WHSL CORP NEW			COM			22160K105	193		2320	SH		sole					2320
COVENTRY HEALTH CARE INC		COM			222862104	3		100	SH		sole					100
CRACKER BARREL OLD CTRY STOR		COM			22410J106	5		100	SH		sole					100
CROWN HOLDINGS INC			COM			228368106	101		3000	SH		sole					3000
CUMMINS INC				COM			231021106	116		1314	SH		sole					1314
CURRENCYSHARES AUSTRALIAN DL		AUSTRALIAN DOL		23129U101	24		230	SH		sole					230
CYPRESS SEMICONDUCTOR CORP		COM			232806109	2		103	SH		sole					103
DCT INDUSTRIAL TRUST INC		COM			233153105	76		14797	SH		sole					14797
DDR CORP				COM			23317H102	11		885	SH		sole					885
DST SYS INC DEL				COM			233326107	1		17	SH		sole					17
DTE ENERGY CO				COM			233331107	10		192	SH		sole					192
DECKERS OUTDOOR CORP			COM			243537107	40		534	SH		sole					534
DEERE & CO				COM			244199105	152		1968	SH		sole					1968
DELL INC				COM			24702R101	0		25	SH		sole					25
DEVON ENERGY CORP NEW			COM			25179M103	69		1108	SH		sole					1108
DIAGEO P L C				SPON ADR NEW		25243Q205	210		2406	SH		sole					2406
DIAMOND OFFSHORE DRILLING IN		COM			25271C102	4		70	SH		sole					70
DISNEY WALT CO				COM DISNEY		254687106	167		4448	SH		sole					4448
DISCOVER FINL SVCS			COM			254709108	16		660	SH		sole					660
DIRECTV	COM 				CL A			25490A101	29		687	SH		sole					687
DOMINION RES INC VA NEW			COM			25746U109	61		1150	SH		sole					1150
DOW CHEM CO				COM			260543103	25		857	SH		sole					857
DU PONT E I DE NEMOURS & CO		COM			263534109	282		6152	SH		sole					6152
DUKE ENERGY CORP NEW			COM			26441C105	28		1289	SH		sole					1289
E M C CORP MASS				COM			268648102	66		3063	SH		sole					3063
E TRADE FINANCIAL CORP			COM NEW			269246401	1		158	SH		sole					158
EATON CORP				COM			278058102	4		100	SH		sole					100
EDISON INTL				COM			281020107	25		600	SH		sole					600
EL PASO CORP				COM			28336L109	11		400	SH		sole					400
EMERSON ELEC CO				COM			291011104	181		3892	SH		sole					3892
ENCANA CORP				COM			292505104	25		1336	SH		sole					1336
ENERGY CONVERSION DEVICES IN		NOTE  3.000% 6/1	292659AA7	24		50000	PRN		sole					50000
ENERGY TRANSFER PRTNRS L P		UNIT LTD PARTN		29273R109	22		472	SH		sole					472
ENTERCOM COMMUNICATIONS CORP		CL A			293639100	6		1000	SH		sole					1000
ENTERGY CORP NEW			COM			29364G103	29		400	SH		sole					400
ENTERPRISE PRODS PARTNERS L		COM			293792107	88		1900	SH		sole					1900
ENTREMED INC				COM NEW			29382F202	0		45	SH		sole					45
ENZON PHARMACEUTICALS INC		COM			293904108	6		825	SH		sole					825
ESCALON MED CORP			COM NEW			296074305	0		400	SH		sole					400
EXELON CORP				COM			30161N101	708		16305	SH		sole					16305
EXPRESS SCRIPTS INC			COM			302182100	12		270	SH		sole					270
EXXON MOBIL CORP			COM			30231G102	4,723		55718	SH		sole					55718
FMC TECHNOLOGIES INC			COM			30249U101	21		400	SH		sole					400
FASTENAL CO				COM			311900104	26		600	SH		sole					600
FEDERATED INVS INC PA			CL B			314211103	22		1420	SH		sole					1420
FIBRIA CELULOSE S A			SP ADR REP COM		31573A109	0		33	SH		sole					33
FIRST NIAGARA FINL GP INC		COM			33582V108	17		2000	SH		sole					2000
FIRSTENERGY CORP			COM			337932107	57		1303	SH		sole					1303
FLUOR CORP NEW				COM			343412102	7		130	SH		sole					130
FORD MTR CO DEL				COM PAR $0.01		345370860	49		4531	SH		sole					4531
FOREST LABS INC				COM			345838106	15		500	SH		sole					500
FOREST OIL CORP				COM PAR $0.01		346091705	7		500	SH		sole					500
FRANCE TELECOM				SPONSORED ADR		35177Q105	57		3660	SH		sole					3660
FREEPORT-MCMORAN COPPER & GO		COM			35671D857	2		43	SH		sole					43
FRONTIER COMMUNICATIONS CORP		COM			35906A108	11		2163	SH		sole					2163
GENERAL AMERN INVS INC			COM			368802104	154		6167	SH		sole					6167
GENERAL DYNAMICS CORP			COM			369550108	32		480	SH		sole					480
GENERAL ELECTRIC CO			COM			369604103	1,823		101787	SH		sole					101787
GENERAL MLS INC				COM			370334104	37		920	SH		sole					920
GENERAL MTRS CO				COM			37045V100	2		80	SH		sole					80
GENON ENERGY INC			COM			37244E107	2		748	SH		sole					748
GILEAD SCIENCES INC			COM			375558103	26		632	SH		sole					632
GLAXOSMITHKLINE PLC			SPONSORED ADR		37733W105	163		3576	SH		sole					3576
GOLD FIELDS LTD NEW			SPONSORED ADR		38059T106	15		1000	SH		sole					1000
GOLDCORP INC NEW			COM			380956409	113		2552	SH		sole					2552
GOLDMAN SACHS GROUP INC			COM			38141G104	10		110	SH		sole					110
GOOGLE INC				CL A			38259P508	107		166	SH		sole					166
GREAT PLAINS ENERGY INC			COM			391164100	2		100	SH		sole					100
HSBC HLDGS PLC				SPON ADR NEW		404280406	33		878	SH		sole					878
HALLIBURTON CO				COM			406216101	54		1551	SH		sole					1551
HARLEY DAVIDSON INC			COM			412822108	12		300	SH		sole					300
HARTFORD FINL SVCS GROUP INC		COM			416515104	5		333	SH		sole					333
HECLA MNG CO				COM			422704106	8		1510	SH		sole					1510
HEINZ H J CO				COM			423074103	16		303	SH		sole					303
HEWLETT PACKARD CO			COM			428236103	45		1747	SH		sole					1747
HOME DEPOT INC				COM			437076102	30		700	SH		sole					700
HONEYWELL INTL INC			COM			438516106	12		220	SH		sole					220
HOSPITALITY PPTYS TR			COM SH BEN INT		44106M102	14		600	SH		sole					600
HUANENG PWR INTL INC			SPON ADR H SHS		443304100	47		2250	SH		sole					2250
HUBBELL INC				CL B			443510201	2		29	SH		sole					29
HUNTINGTON INGALLS INDS INC		COM			446413106	1		33	SH		sole					33
ICG GROUP INC				COM			44928D108	1		125	SH		sole					125
ITT CORP NEW				COM NEW			450911201	5		250	SH		sole					250
IDEXX LABS INC				COM			45168D104	187		2436	SH		sole					2436
ILLINOIS TOOL WKS INC			COM			452308109	6		122	SH		sole					122
INDIA FD INC				COM			454089103	9		450	SH		sole					450
INDEXIQ ETF TR				CAN SML CP ETF		45409B867	7		290	SH		sole					290
ING GROEP N V				SPONSORED ADR		456837103	2		300	SH		sole					300
INTEL CORP				COM			458140100	537		22138	SH		sole					22138
INTERNATIONAL BUSINESS MACHS		COM			459200101	1,050		5714	SH		sole					5714
INTUITIVE SURGICAL INC			COM NEW			46120E602	21		45	SH		sole					45
INVESCO VAN KAMPEN PA VALUE		COM			46132K109	14		1000	SH		sole					1000
ISHARES GOLD TRUST			ISHARES			464285105	183		12145	SH		sole					12145
ISHARES INC				MSCI AUSTRALIA		464286103	39		1797	SH		sole					1797
ISHARES INC				MSCI BRAZIL		464286400	19		332	SH		sole					332
ISHARES INC				MSCI CDA INDEX		464286509	414		15552	SH		sole					15552
ISHARES INC				MSCI JAPAN		464286848	58		6375	SH		sole					6375
ISHARES TR				DJ SEL DIV INX		464287168	41		760	SH		sole					760
ISHARES TR				BARCLYS TIPS BD		464287176	58		500	SH		sole					500
ISHARES TR				TRANSP AVE IDX		464287192	58		643	SH		sole					643
ISHARES TR				S^P 500 INDEX		464287200	102		813	SH		sole					813
ISHARES TR				MSCI EMERG MKT		464287234	162		4274	SH		sole					4274
ISHARES TR				S^P GBL TELCM		464287275	17		300	SH		sole					300
ISHARES TR				S^P GBL INF		464287291	39		662	SH		sole					662
ISHARES TR				S^P500 GRW		464287309	16		232	SH		sole					232
ISHARES TR				S^P GBL HLTHCR		464287325	214		3806	SH		sole					3806
ISHARES TR				S^P GBL FIN		464287333	14		378	SH		sole					378
ISHARES TR				S^P GBL ENER		464287341	515		12296	SH		sole					12296
ISHARES TR				S^P NA NAT RES		464287374	111		2914	SH		sole					2914
ISHARES TR				S^P 500 VALUE		464287408	15		268	SH		sole					268
ISHARES TR				MSCI EAFE INDEX		464287465	166		3353	SH		sole					3353
ISHARES TR				RUSSELL MIDCAP		464287499	42		429	SH		sole					429
ISHARES TR				S^P MIDCAP 400		464287507	150		1713	SH		sole					1713
ISHARES TR				S^P GLB100INDX		464287572	111		1924	SH		sole					1924
ISHARES TR				RUSSELL1000VAL		464287598	988		15566	SH		sole					15566
ISHARES TR				S^P MC 400 GRW		464287606	615		6228	SH		sole					6228
ISHARES TR				RUSSELL1000GRW		464287614	1,585		27432	SH		sole					27432
ISHARES TR				RUSSELL 1000		464287622	198		2860	SH		sole					2860
ISHARES TR				RUSL 2000 VALU		464287630	27		405	SH		sole					405
ISHARES TR				RUSL 2000 GROW		464287648	140		1660	SH		sole					1660
ISHARES TR				RUSSELL 2000		464287655	153		2081	SH		sole					2081
ISHARES TR				RUSSELL 3000		464287689	28		374	SH		sole					374
ISHARES TR				S^P MIDCP VALU		464287705	125		1641	SH		sole					1641
ISHARES TR				DJ US TECH SEC		464287721	128		1996	SH		sole					1996
ISHARES TR				DJ US REAL EST		464287739	16		288	SH		sole					288
ISHARES TR				DJ US HEALTHCR		464287762	114		1593	SH		sole					1593
ISHARES TR				DJ US FINL SEC		464287788	22		450	SH		sole					450
ISHARES TR				DJ US ENERGY		464287796	146		3678	SH		sole					3678
ISHARES TR				S^P SMLCAP 600		464287804	81		1187	SH		sole					1187
ISHARES TR				DJ US INDEX FD		464287846	1		15	SH		sole					15
ISHARES TR				S^P SMLCP GROW		464287887	26		350	SH		sole					350
ISHARES TR				MID CORE INDEX		464288208	55		650	SH		sole					650
ISHARES TR				S^P GLBIDX ETF		464288224	3		345	SH		sole					345
ISHARES TR				JPMORGAN USD		464288281	104		947	SH		sole					947
ISHARES TR				S^P GLO INFRAS		464288372	420		12636	SH		sole					12636
ISHARES TR				DJ INTL SEL DIVD	464288448	115		3888	SH		sole					3888
ISHARES TR				BARCLYS 1-3YR CR	464288646	1,404		13477	SH		sole					13477
ISHARES TR				BARCLYS 3-7 YR		464288661	11		89	SH		sole					89
ISHARES TR				US PFD STK IDX		464288687	418		11725	SH		sole					11725
ISHARES TR				S^P GLB MTRLS		464288695	43		749	SH		sole					749
ISHARES TR				S^P GL UTILITI		464288711	28		680	SH		sole					680
ISHARES TR				DJ OIL EQUIP		464288844	15		239	SH		sole					239
ISHARES TR				DJ OIL^GAS EXP		464288851	16		263	SH		sole					263
ISHARES SILVER TRUST			ISHARES			46428Q109	102		3791	SH		sole					3791
ISHARES TR				INDO INVS MRKT		46429B309	24		809	SH		sole					809
ISHARES TR				HGH DIV EQT FD		46429B663	723		13024	SH		sole					13024
ISIS PHARMACEUTICALS INC		COM			464330109	1		200	SH		sole					200
JDS UNIPHASE CORP			COM PAR $0.001		46612J507	0		22	SH		sole					22
JPMORGAN CHASE & CO			COM			46625H100	207		6227	SH		sole					6227
JACOBS ENGR GROUP INC DEL		COM			469814107	70		1715	SH		sole					1715
JOHNSON & JOHNSON			COM			478160104	2,439		37195	SH		sole					37195
JOHNSON CTLS INC			COM			478366107	17		525	SH		sole					525
JUNIPER NETWORKS INC			COM			48203R104	0		20	SH		sole					20
KAYNE ANDERSON ENRGY TTL RT		COM			48660P104	22		853	SH		sole					853
KIMBERLY CLARK CORP			COM			494368103	186		2528	SH		sole					2528
KINDER MORGAN ENERGY PARTNER		UT LTD PARTNER		494550106	846		9961	SH		sole					9961
KINDER MORGAN INC DEL			COM			49456B101	46		1432	SH		sole					1432
KRAFT FOODS INC				CL A			50075N104	154		4124	SH		sole					4124
LSI CORPORATION				COM			502161102	0		28	SH		sole					28
LAKELAND BANCORP INC			COM			511637100	29		3352	SH		sole					3352
LAKES ENTMNT INC			COM			51206P109	0		200	SH		sole					200
LEGG MASON INC				COM			524901105	1		25	SH		sole					25
LIBERTY MEDIA CORPORATION		LIB CAP COM A		530322106	11		135	SH		sole					135
LIBERTY PPTY TR				SH BEN INT		531172104	9		300	SH		sole					300
LILLY ELI & CO				COM			532457108	2		53	SH		sole					53
LINCOLN NATL CORP IND			COM			534187109	12		594	SH		sole					594
LIQUIDITY SERVICES INC			COM			53635B107	9		250	SH		sole					250
LLOYDS BANKING GROUP PLC		SPONSORED ADR		539439109	5		3146	SH		sole					3146
LO-JACK CORP				COM			539451104	286		93000	SH		sole					93000
LOWES COS INC				COM			548661107	5		200	SH		sole					200
M & T BK CORP				COM			55261F104	61		799	SH		sole					799
MELA SCIENCES INC			COM			55277R100	1		300	SH		sole					300
MACQUARIE FT TR GB INF UT DI		COM			55607W100	14		1000	SH		sole					1000
MANULIFE FINL CORP			COM			56501R106	229		21520	SH		sole					21520
MARATHON OIL CORP			COM			565849106	24		828	SH		sole					828
MARKWEST ENERGY PARTNERS L P		UNIT LTD PARTN		570759100	25		450	SH		sole					450
MCDONALDS CORP				COM			580135101	123		1232	SH		sole					1232
MCGRAW HILL COS INC			COM			580645109	2		50	SH		sole					50
MCKESSON CORP				COM			58155Q103	15		192	SH		sole					192
MEDCO HEALTH SOLUTIONS INC		COM			58405U102	462		8272	SH		sole					8272
MEDTRONIC INC				COM			585055106	41		1061	SH		sole					1061
MERCK & CO INC NEW			COM			58933Y105	1,240		32894	SH		sole					32894
MESA LABS INC				COM			59064R109	2,613		63048	SH		sole					63048
MICROSOFT CORP				COM			594918104	455		17548	SH		sole					17548
MINDRAY MEDICAL INTL LTD		SPON ADR		602675100	18		700	SH		sole					700
MITSUBISHI UFJ FINL GROUP IN		SPONSORED ADR		606822104	12		2950	SH		sole					2950
MONSANTO CO NEW				COM			61166W101	33		478	SH		sole					478
MORGAN STANLEY INDIA INVS FD		COM			61745C105	10		749	SH		sole					749
MORNINGSTAR INC				COM			617700109	24		400	SH		sole					400
MOTOROLA SOLUTIONS INC			COM NEW			620076307	5		112	SH		sole					112
MOTOROLA MOBILITY HLDGS INC		COM			620097105	2		62	SH		sole					62
NCR CORP NEW				COM			62886E108	2		138	SH		sole					138
NATIONAL GRID PLC			SPON ADR NEW		636274300	26		532	SH		sole					532
NATIONAL OILWELL VARCO INC		COM			637071101	30		445	SH		sole					445
NATIONAL PENN BANCSHARES INC		COM			637138108	5		585	SH		sole					585
NATIONAL RETAIL PROPERTIES I		COM			637417106	12		457	SH		sole					457
NATIONAL WESTMINSTER BK PLC		SPON ADR C		638539882	2		100	SH		sole					100
NATURAL RESOURCE PARTNERS L		COM UNIT L P		63900P103	22		800	SH		sole					800
NAVISTAR INTL CORP NEW			COM			63934E108	4		100	SH		sole					100
NETAPP INC				COM			64110D104	4		100	SH		sole					100
NEW JERSEY RES				COM			646025106	138		2800	SH		sole					2800
NEW YORK CMNTY BANCORP INC		COM			649445103	19		1513	SH		sole					1513
NEWFIELD EXPL CO			COM			651290108	1		14	SH		sole					14
NEWMONT MINING CORP			COM			651639106	56		927	SH		sole					927
NEXTERA ENERGY INC			COM			65339F101	235		3868	SH		sole					3868
NIKE INC				CL B			654106103	14		150	SH		sole					150
NORFOLK SOUTHERN CORP			COM			655844108	139		1900	SH		sole					1900
NORTHEAST UTILS				COM			664397106	11		300	SH		sole					300
NORTHROP GRUMMAN CORP			COM			666807102	12		200	SH		sole					200
NORTHWEST NAT GAS CO			COM			667655104	14		300	SH		sole					300
NOVARTIS A G				SPONSORED ADR		66987V109	188		3290	SH		sole					3290
NSTAR					COM			67019E107	69		1466	SH		sole					1466
NUCOR CORP				COM			670346105	36		898	SH		sole					898
NUSTAR ENERGY LP			UNIT COM		67058H102	18		306	SH		sole					306
NUVEEN PA PREM INCOME MUN FD		COM			67061F101	2		112	SH		sole					112
NUVEEN INVT QUALITY MUN FD I		COM			67062E103	14		867	SH		sole					867
NUVEEN PREM INCOME MUN FD		COM			67062T100	91		6308	SH		sole					6308
NUVEEN PREM INCOME MUN FD 2		COM			67063W102	1		74	SH		sole					74
NUVEEN DIVID ADVANTAGE MUN F		COM			67066V101	25		1704	SH		sole					1704
OLIN CORP				COM PAR $1		680665205	2		100	SH		sole					100
OLYMPIC STEEL INC			COM			68162K106	2		100	SH		sole					100
ONEOK INC NEW				COM			682680103	27		315	SH		sole					315
ONEOK PARTNERS LP			UNIT LTD PARTN		68268N103	80		1380	SH		sole					1380
ORACLE CORP				COM			68389X105	284		11086	SH		sole					11086
PNC FINL SVCS GROUP INC			COM			693475105	1,037		17982	SH		sole					17982
PPG INDS INC				COM			693506107	52		621	SH		sole					621
PPL CORP				COM			69351T106	110		3740	SH		sole					3740
PAREXEL INTL CORP			COM			699462107	21		1000	SH		sole					1000
PATTERSON COMPANIES INC			COM			703395103	9		307	SH		sole					307
PAYCHEX INC				COM			704326107	28		929	SH		sole					929
PEABODY ENERGY CORP			COM			704549104	13		400	SH		sole					400
PENN VA RESOURCES PARTNERS L		COM			707884102	18		700	SH		sole					700
PEPCO HOLDINGS INC			COM			713291102	47		2294	SH		sole					2294
PEPSICO INC				COM			713448108	1,423		21452	SH		sole					21452
PERKINELMER INC				COM			714046109	20		1000	SH		sole					1000
PETROLEO BRASILEIRO SA PETRO		SPONSORED ADR		71654V408	43		1716	SH		sole					1716
PFIZER INC				COM			717081103	855		39488	SH		sole					39488
PHARMACEUTICAL HLDRS TR			DEPOSITRY RCPT		71712A206	14		200	SH		sole					200
PHILIP MORRIS INTL INC			COM			718172109	820		10454	SH		sole					10454
PIMCO ETF TR				ENHAN SHRT MAT		72201R833	3,366		33609	SH		sole					33609
PIONEER NAT RES CO			COM			723787107	13		142	SH		sole					142
PITNEY BOWES INC			COM			724479100	9		470	SH		sole					470
PLAINS ALL AMERN PIPELINE L		UNIT LTD PARTN		726503105	285		3881	SH		sole					3881
PLUM CREEK TIMBER CO INC		COM			729251108	100		2725	SH		sole					2725
POPULAR INC				COM			733174106	2		1700	SH		sole					1700
POWERSHARES QQQ TRUST			UNIT SER 1		73935A104	69		1231	SH		sole					1231
POWERSHARES DB CMDTY IDX TRA		UNIT BEN INT		73935S105	65		2414	SH		sole					2414
POWERSHARES ETF TRUST			GOLDEN DRG USX		73935X401	6		282	SH		sole					282
POWERSHARES ETF TRUST			WNDRHLL CLN EN		73935X500	5		900	SH		sole					900
POWERSHS DB MULTI SECT COMM		DB PREC MTLS		73936B200	14		260	SH		sole					260
POWERSHS DB MULTI SECT COMM		DB AGRICULT FD		73936B408	59		2041	SH		sole					2041
POWERSHARES ETF TRUST II		GLOB GLD^P ETF		73936Q876	19		487	SH		sole					487
POWERSHARES GLOBAL ETF TRUST		GBL CLEAN ENER		73936T615	9		1066	SH		sole					1066
POWERSHARES GLOBAL ETF TRUST		EMER MRKT PORT		73936T763	414		20482	SH		sole					20482
POWERSHARES ETF TR II			EMRG MKTS INFR		73937B209	11		285	SH		sole					285
POWERSHARES ETF TR II			S^P SMCP ENE P		73937B704	9		270	SH		sole					270
POWERSHARES ETF TR II			S^P500 LOW VOL		73937B779	36		1380	SH		sole					1380
POWERSHARES ETF TR II			S^P SMCP IT PO		73937B860	9		334	SH		sole					334
POZEN INC				COM			73941U102	8		2000	SH		sole					2000
PRECISION CASTPARTS CORP		COM			740189105	16		100	SH		sole					100
PROCTER & GAMBLE CO			COM			742718109	1,741		26094	SH		sole					26094
PROGRESS ENERGY INC			COM			743263105	39		696	SH		sole					696
PROLOGIS INC				COM			74340W103	0		2	SH		sole					2
PROVIDENT FINL SVCS INC			COM			74386T105	31		2340	SH		sole					2340
PRUDENTIAL FINL INC			COM			744320102	12		244	SH		sole					244
PUBLIC SVC ENTERPRISE GROUP		COM			744573106	98		2976	SH		sole					2976
PUBLIC STORAGE				COM			74460D109	88		658	SH		sole					658
QUALCOMM INC				COM			747525103	4		60	SH		sole					60
RPM INTL INC				COM			749685103	3		125	SH		sole					125
RAVEN INDS INC				COM			754212108	27		430	SH		sole					430
REGIONS FINANCIAL CORP NEW		COM			7591EP100	2		535	SH		sole					535
REPUBLIC FIRST BANCORP INC		COM			760416107	0		100	SH		sole					100
REVENUESHARES ETF TR			LARGECAP FD		761396100	212		9112	SH		sole					9112
REVENUESHARES ETF TR			MID CAP FD		761396209	325		11521	SH		sole					11521
REVENUESHARES ETF TR			SMALL CAP FD		761396308	387		12085	SH		sole					12085
REVENUESHARES ETF TR			S^P500 FINL FD		761396506	25		1055	SH		sole					1055
REYNOLDS AMERICAN INC			COM			761713106	9		223	SH		sole					223
RIO TINTO PLC				SPONSORED ADR		767204100	116		2364	SH		sole					2364
RITE AID CORP				COM			767754104	25		19800	SH		sole					19800
ROYAL BK SCOTLAND GROUP PLC		ADR PREF SER N		780097770	11		1000	SH		sole					1000
ROYAL BK SCOTLAND GROUP PLC		SP ADR L RP PF		780097788	4		300	SH		sole					300
ROYAL DUTCH SHELL PLC			SPON ADR B		780259107	95		946	SH		sole					946
ROYAL DUTCH SHELL PLC			SPONS ADR A		780259206	24		325	SH		sole					325
ROYAL GOLD INC				COM			780287108	67		1000	SH		sole					1000
RYDEX ETF TRUST				S^P500 PUR GRW		78355W403	321		7420	SH		sole					7420
SBA COMMUNICATIONS CORP			COM			78388J106	21		500	SH		sole					500
SPDR S^P 500 ETF TR			TR UNIT			78462F103	73		576	SH		sole					576
SPDR GOLD TRUST				GOLD SHS		78463V107	1,184		7793	SH		sole					7793
SPDR INDEX SHS FDS			S^P INTL ETF		78463X772	79		1700	SH		sole					1700
SPDR INDEX SHS FDS			S^P BRIC 40ETF		78463X798	32		1468	SH		sole					1468
SPDR INDEX SHS FDS			MACQU GLBIN100		78463X855	105		2661	SH		sole					2661
SPDR SERIES TRUST			BRCLYS YLD ETF		78464A417	5		124	SH		sole					124
SPDR SERIES TRUST			DB INT GVT ETF		78464A490	28		490	SH		sole					490
SPDR SERIES TRUST			GLB DOW ETF		78464A706	34		675	SH		sole					675
SPDR SERIES TRUST			S^P METALS MNG		78464A755	178		3642	SH		sole					3642
SPDR SERIES TRUST			S^P DIVID ETF		78464A763	3,613		67063	SH		sole					67063
SPDR SERIES TRUST			S^P BIOTECH		78464A870	22		337	SH		sole					337
SPDR DOW JONES INDL AVRG ETF		UT SER 1		78467X109	130		1070	SH		sole					1070
SPDR S^P MIDCAP 400 ETF TR		UTSER1 S^PDCRP		78467Y107	6		39	SH		sole					39
SAFEGUARD SCIENTIFICS INC		COM NEW			786449207	34		2136	SH		sole					2136
ST JUDE MED INC				COM			790849103	6		170	SH		sole					170
SALESFORCE COM INC			COM			79466L302	13		125	SH		sole					125
SALIX PHARMACEUTICALS INC		COM			795435106	325		6800	SH		sole					6800
SANOFI					SPONSORED ADR		80105N105	9		250	SH		sole					250
SANOFI					RIGHT 12/31/2020	80105N113	0		75	SH		sole					75
SAP AG					SPON ADR		803054204	11		210	SH		sole					210
SCHLUMBERGER LTD			COM			806857108	222		3245	SH		sole					3245
SELECT SECTOR SPDR TR			SBI MATERIALS		81369Y100	43		1274	SH		sole					1274
SELECT SECTOR SPDR TR			SBI INT-ENERGY		81369Y506	149		1993	SH		sole					1993
SELECT SECTOR SPDR TR			SBI INT-INDS		81369Y704	20		587	SH		sole					587
SELECT SECTOR SPDR TR			TECHNOLOGY		81369Y803	94		3687	SH		sole					3687
SELECT SECTOR SPDR TR			SBI INT-UTILS		81369Y886	62		1723	SH		sole					1723
SEMPRA ENERGY				COM			816851109	79		1435	SH		sole					1435
SENIOR HSG PPTYS TR			SH BEN INT		81721M109	1		50	SH		sole					50
SILVER STD RES INC			COM			82823L106	3		190	SH		sole					190
SILVER WHEATON CORP			COM			828336107	36		1255	SH		sole					1255
SIMON PPTY GROUP INC NEW		COM			828806109	64		497	SH		sole					497
SIRIUS XM RADIO INC			COM			82967N108	87		47715	SH		sole					47715
SMITH A O				COM			831865209	4		90	SH		sole					90
SMUCKER J M CO				COM NEW			832696405	8		100	SH		sole					100
SONY CORP				ADR NEW			835699307	5		300	SH		sole					300
SOURCE CAP INC				COM			836144105	146		3111	SH		sole					3111
SOUTH JERSEY INDS INC			COM			838518108	108		1900	SH		sole					1900
SOUTHERN CO				COM			842587107	27		590	SH		sole					590
SOUTHERN COPPER CORP			COM			84265V105	15		490	SH		sole					490
SPECTRA ENERGY CORP			COM			847560109	3		92	SH		sole					92
STAR GAS PARTNERS L P			UNIT LTD PARTNR		85512C105	26		5408	SH		sole					5408
STEPAN CO				COM			858586100	84		1050	SH		sole					1050
STRYKER CORP				COM			863667101	35		702	SH		sole					702
SUBURBAN PROPANE PARTNERS L		UNIT LTD PARTN		864482104	5		105	SH		sole					105
SUN LIFE FINL INC			COM			866796105	3		142	SH		sole					142
SUNCOR ENERGY INC NEW			COM			867224107	57		1975	SH		sole					1975
SUNOCO INC				COM			86764P109	2		42	SH		sole					42
SUNPOWER CORP				COM			867652406	0		3	SH		sole					3
SUPERIOR ENERGY SVCS INC		COM			868157108	14		500	SH		sole					500
SUSQUEHANNA BANCSHARES INC P		COM			869099101	30		3600	SH		sole					3600
SUTOR TECH GROUP LTD			COM			869362103	0		51	SH		sole					51
SYMANTEC CORP				COM			871503108	21		1372	SH		sole					1372
SYSCO CORP				COM			871829107	84		2877	SH		sole					2877
TC PIPELINES LP				UT COM LTD PRT		87233Q108	24		500	SH		sole					500
TARGET CORP				COM			87612E106	38		745	SH		sole					745
TELEFLEX INC				COM			879369106	18		300	SH		sole					300
TELEFONICA S A				SPONSORED ADR		879382208	85		4926	SH		sole					4926
TELEFONOS DE MEXICO S A B		SPON ADR ORD L		879403780	10		708	SH		sole					708
TERADATA CORP DEL			COM			88076W103	7		138	SH		sole					138
TEVA PHARMACEUTICAL INDS LTD		ADR			881624209	44		1094	SH		sole					1094
TEXAS INSTRS INC			COM			882508104	15		500	SH		sole					500
THERAVANCE INC				COM			88338T104	2		100	SH		sole					100
3M CO					COM			88579Y101	325		3976	SH		sole					3976
TIME WARNER INC				COM NEW			887317303	56		1549	SH		sole					1549
TIME WARNER CABLE INC			COM			88732J207	38		605	SH		sole					605
TORONTO DOMINION BK ONT			COM NEW			891160509	170		2272	SH		sole					2272
TOTAL S A				SPONSORED ADR		89151E109	207		4051	SH		sole					4051
TOYOTA MOTOR CORP			SP ADR REP2COM		892331307	0		3	SH		sole					3
TRANSCANADA CORP			COM			89353D107	31		721	SH		sole					721
TRAVELCENTERS OF AMERICA LLC		COM			94174101	0		60	SH		sole					60
TRAVELERS COMPANIES INC			COM			89417E109	21		354	SH		sole					354
TYSON FOODS INC				CL A			902494103	10		500	SH		sole					500
UGI CORP NEW				COM			902681105	32		1086	SH		sole					1086
US BANCORP DEL				COM NEW			902973304	6		200	SH		sole					200
ULTRATECH INC				COM			904034105	5		200	SH		sole					200
UNILEVER PLC				SPON ADR NEW		904767704	12		372	SH		sole					372
UNION PAC CORP				COM			907818108	53		500	SH		sole					500
UNISYS CORP				COM NEW			909214306	0		10	SH		sole					10
UNITED PARCEL SERVICE INC		CL B			911312106	144		1980	SH		sole					1980
UNITED STS COMMODITY INDEX F		COMM IDX FND		911717106	149		2549	SH		sole					2549
UNITED STATES NATL GAS FUND		UNIT NEW		912318110	57		8841	SH		sole					8841
UNITED STATIONERS INC			COM			913004107	29		900	SH		sole					900
UNITED TECHNOLOGIES CORP		COM			913017109	665		9106	SH		sole					9106
UNITEDHEALTH GROUP INC			COM			91324P102	30		600	SH		sole					600
VALE S A				ADR			91912E105	26		1217	SH		sole					1217
VALERO ENERGY CORP NEW			COM			91913Y100	171		8124	SH		sole					8124
VALLEY NATL BANCORP			COM			919794107	20		1634	SH		sole					1634
VANGUARD SPECIALIZED PORTFOL		DIV APP ETF		921908844	1,366		25004	SH		sole					25004
VANGUARD TAX MANAGED INTL FD		MSCI EAFE ETF		921943858	90		2933	SH		sole					2933
VANGUARD WHITEHALL FDS INC		HIGH DIV YLD		921946406	2,405		53135	SH		sole					53135
VANGUARD INTL EQUITY INDEX F		TT WRLD ST ETF		922042742	26		597	SH		sole					597
VANGUARD INTL EQUITY INDEX F		ALLWRLD EX US		922042775	326		8211	SH		sole					8211
VANGUARD INTL EQUITY INDEX F		MSCI EMR MKT ETF	922042858	1,567		41027	SH		sole					41027
VANGUARD INTL EQUITY INDEX F		MSCI PAC ETF		922042866	1		11	SH		sole					11
VANGUARD WORLD FDS			ENERGY ETF		92204A306	74		734	SH		sole					734
VANGUARD WORLD FDS			FINANCIALS ETF		92204A405	334		12102	SH		sole					12102
VANGUARD WORLD FDS			MATERIALS ETF		92204A801	78		1064	SH		sole					1064
VANGUARD WORLD FDS			UTILITIES ETF		92204A876	72		936	SH		sole					936
VANGUARD SCOTTSDALE FDS			SHRT-TERM CORP		92206C409	2,259		29010	SH		sole					29010
VANGUARD SCOTTSDALE FDS			LG-TERM COR BD		92206C813	426		4896	SH		sole					4896
VANGUARD SCOTTSDALE FDS			INT-TERM CORP		92206C870	3,776		45848	SH		sole					45848
VARIAN MED SYS INC			COM			92220P105	30		448	SH		sole					448
VANGUARD INDEX FDS			REIT ETF		922908553	1,751		30190	SH		sole					30190
VANGUARD INDEX FDS			LARGE CAP ETF		922908637	4,690		81853	SH		sole					81853
VANGUARD INDEX FDS			EXTEND MKT ETF		922908652	359		6026	SH		sole					6026
VANGUARD INDEX FDS			GROWTH ETF		922908736	137		2226	SH		sole					2226
VANGUARD INDEX FDS			VALUE ETF		922908744	370		7048	SH		sole					7048
VANGUARD INDEX FDS			TOTAL STK MKT		922908769	2,170		33743	SH		sole					33743
VEOLIA ENVIRONNEMENT			SPONSORED ADR		92334N103	13		1143	SH		sole					1143
VERIZON COMMUNICATIONS INC		COM			92343V104	645		16079	SH		sole					16079
VERTEX PHARMACEUTICALS INC		COM			92532F100	20		600	SH		sole					600
VIACOM INC NEW				CL B			92553P201	41		892	SH		sole					892
VISTEON CORP				COM NEW			92839U206	0		1	SH		sole					1
VODAFONE GROUP PLC NEW			SPONS ADR NEW		92857W209	150		5354	SH		sole					5354
VOYAGER OIL & GAS INC			COM			92911K100	0		95	SH		sole					95
W P CAREY & CO LLC			COM			92930Y107	23		551	SH		sole					551
WAL MART STORES INC			COM			931142103	65		1090	SH		sole					1090
WASTE MGMT INC DEL			COM			94106L109	50		1538	SH		sole					1538
WATSON PHARMACEUTICALS INC		COM			942683103	60		1000	SH		sole					1000
WELLS FARGO & CO NEW			COM			949746101	267		9663	SH		sole					9663
WEST PHARMACEUTICAL SVSC INC		COM			955306105	3,473		91524	SH		sole					91524
WESTPAC BKG CORP			SPONSORED ADR		961214301	26		253	SH		sole					253
WHITING PETE CORP NEW			COM			966387102	19		400	SH		sole					400
WHOLE FOODS MKT INC			COM			966837106	2		25	SH		sole					25
WILLIAMS PARTNERS L P			COM UNIT L P		96950F104	36		600	SH		sole					600
WINDSTREAM CORP				COM			97381W104	117		9961	SH		sole					9961
WIRELESS TELECOM GROUP INC		COM			976524108	13		11100	SH		sole					11100
WISDOMTREE TRUST			TOTAL DIVID FD		97717W109	93		1904	SH		sole					1904
WISDOMTREE TRUST			DRYFS CURR ETF		97717W133	9		433	SH		sole					433
WISDOMTREE TRUST			EMG MKTS SMCAP		97717W281	93		2243	SH		sole					2243
WISDOMTREE TRUST			EMERG MKTS ETF		97717W315	587		11454	SH		sole					11454
WISDOMTREE TRUST			DEFA EQT INC ETF	97717W802	50		1372	SH		sole					1372
XEROX CORP				COM			984121103	30		3756	SH		sole					3756
YAHOO INC				COM			984332106	14		876	SH		sole					876
YUM BRANDS INC				COM			988498101	101		1708	SH		sole					1708
ZHONGPIN INC				COM			98952K107	0		10	SH		sole					10
ZIMMER HLDGS INC			COM			98956P102	14		255	SH		sole					255
ACCENTURE PLC IRELAND			SHS CLASS A		G1151C101	64		1200	SH		sole					1200
COVIDIEN PLC				SHS			G2554F113	11		250	SH		sole					250
NABORS INDUSTRIES LTD			SHS			G6359F103	7		385	SH		sole					385
NOBLE CORPORATION BAAR			NAMEN -AKT		H5833N103	56		1859	SH		sole					1859
TRANSOCEAN LTD				REG SHS			H8817H100	58		1499	SH		sole					1499
TYCO INTERNATIONAL LTD			SHS			H89128104	12		250	SH		sole					250
UBS AG					SHS NEW			H89231338	9		758	SH		sole					758
DRYSHIPS INC				SHS			Y2109Q101	0		100	SH		sole					100
FLEXTRONICS INTL LTD			ORD			Y2573F102	5		966	SH		sole					966