Lau Associates

Lau Associates as of Dec. 31, 2012

Portfolio Holdings for Lau Associates

Lau Associates holds 0 positions in its portfolio as reported in the December 2012 quarterly 13F filing

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AFLAC Inc                  COM               001055102      2463    46376 SH      SOLE                             46376
AT & T Inc                 COM               00206R102       956    28349 SH      SOLE                             28349
Abbott Laboratories        COM               002824100       535     8173 SH      SOLE                              8173
Accenture Ltd Cl A         CL A              G1150G111      4372    65745 SH      SOLE                             65745
Altria Group               COM               02209S103       483    15350 SH      SOLE                             15350
American Express Co        COM               025816109       701    12200 SH      SOLE                             12200
Apple Inc                  COM               037833100      7516    14124 SH      SOLE                             14124
Baker Hughes Inc           COM               057224107       324     7930 SH      SOLE                              7930
Bristol-Myers Squibb       COM               110122108       414    12690 SH      SOLE                             12690
Central Fd Cda Ltd         CL A              153501101      5738   272830 SH      SOLE                            272830
Cerner Inc                 COM               156782104       442     5700 SH      SOLE                              5700
Chevron Corp               COM               166764100      1461    13512 SH      SOLE                             13512
Coach Inc                  COM               189754104       333     6000 SH      SOLE                              6000
Coca Cola Company          COM               191216100      1139    31420 SH      SOLE                             31420
Commerce Bancshares Inc    COM               200525103       996    28411 SH      SOLE                             28411
ConocoPhillips             COM               20825C104      5636    97185 SH      SOLE                             97185
Danaher Corp               COM               235851102      2671    47777 SH      SOLE                             47777
Du Pont E I De Nemour & Co COM               263534109      5015   111508 SH      SOLE                            111508
EMC Corp                   COM               268648102       218     8600 SH      SOLE                              8600
ETFS Phys Swiss Gold       GOLD ETF          26922Y105     24381   147614 SH      SOLE                            147614
Express Scripts Inc        COM               302182100       805    14911 SH      SOLE                             14911
Exxon Mobil Corporation    COM               30231G102      3501    40452 SH      SOLE                             40452
Fiserv Inc                 COM               337738108       492     6230 SH      SOLE                              6230
Freeport McMoran Copper    COM               35671D857       528    15450 SH      SOLE                             15450
General Electric Company   COM               369604103      2340   111468 SH      SOLE                            111468
Gilead Sciences Inc        COM               375558103       749    10200 SH      SOLE                             10200
Idexx Labs Inc             COM               45168D104      2377    25612 SH      SOLE                             25612
Intel Corp                 COM               458140100      3711   179957 SH      SOLE                            179957
Int'l Business Machines    COM               459200101      3737    19507 SH      SOLE                             19507
JP Morgan Chase & Co       COM               46625H100       369     8400 SH      SOLE                              8400
Johnson & Johnson          COM               478160104      4103    58526 SH      SOLE                             58526
Merck & Co                 COM               589331107       994    24272 SH      SOLE                             24272
Microsoft Corp             COM               594918104       684    25594 SH      SOLE                             25594
Nike Inc                   Cl B              654106103       413     8000 SH      SOLE                              8000
Novartis AG Spon Adr       SPONSORED ADR     66987V106       283     4475 SH      SOLE                              4475
Oracle Corp                COM               68389X105      1559    46791 SH      SOLE                             46791
PP^L Corp                  COM               69351T106      2186    76345 SH      SOLE                             76345
Pepsico Incorporated       COM               713448108      5198    75963 SH      SOLE                             75963
Pfizer Inc                 COM               717081103       337    13436 SH      SOLE                             13436
Philip Morris Intl Inc     COM               718172109       444     5311 SH      SOLE                              5311
Phillips 66 Inc            COM               718546104      2664    50169 SH      SOLE                             50169
Procter & Gamble Co        COM               742718109      2638    38862 SH      SOLE                             38862
Qualcomm Inc               COM               747525103       425     6875 SH      SOLE                              6875
Royal Dutch Shell A        SPONSORED ADR     780257804       499     7238 SH      SOLE                              7238
Schlumberger Ltd           COM               806857108       765    11039 SH      SOLE                             11039
Sigma Aldrich Corp         COM               826552101       221     3000 SH      SOLE                              3000
The Southern Company       COM               842587107       342     8000 SH      SOLE                              8000
Sprint Nextel Corp         COM               852061100        66    11600 SH      SOLE                             11600
Sprott Physical Gold Tr	   CLOSED END FD     85207H104      8072   568070 SH      SOLE                            568070
Stryker Corp               COM               863667101       370     6750 SH      SOLE                              6750
Sysco Corp                 COM               871829107      1206    38087 SH      SOLE                             38087
Thor Industries Inc        COM               885160101      1029    27488 SH      SOLE                             27488
3M Company                 COM               88579Y101      1562    16828 SH      SOLE                             16828
United Parcel Serv Inc     COM               911312106       555     7525 SH      SOLE                              7525
United Technologies Corp   COM               913071109       584     7122 SH      SOLE                              7122
Vanguard Div Apprec ETF    Dividend ETF      921908844       205     3447 SH      SOLE                              3447
Verizon Communications     COM               92343V104       403     9308 SH      SOLE                              9308
Vodafone Group Plc Adr     SPONSORED ADR     92857W209       668    26506 SH      SOLE                             26506