Antonetti Capital Management as of March 31, 2013
Portfolio Holdings for Antonetti Capital Management
Antonetti Capital Management holds 0 positions in its portfolio as reported in the March 2013 quarterly 13F filing
Title of VALUE SHRS OR SH/ PUT/ INVESTMENT OTHER VOTING AUTHORITY Name of Issuer Class CUSIP (x$1000) PRN AMT PRN CALL DISCRETION MANAGERS SOLE SHARED NONE -------------- ----- ----- -------- ------- --- ---- ---------- -------- ---- ------ ---- {S} {C} {C} {C} {C} {C} {C} {C} {C} {C} {C} {C} 3m Company COM 88579Y101 282 2650 SH SOLE SOLE A F L A C Inc COM 1055102 78 1500 SH SOLE SOLE A T & T Inc New COM 00206R102 430 11725 SH SOLE SOLE Abbott Laboratories COM 2824100 104 2940 SH SOLE SOLE Abbvie Inc COM 00287Y109 124 3045 SH SOLE SOLE Aberdeen Asia Pac In COM 3009107 1289 165662 SH SOLE SOLE Accenture Plc Cl A SHS CLASS A G1151C101 42 556 SH SOLE SOLE Advanced Micro Devic COM 7903107 14 5600 SH SOLE SOLE Aes Tiete Sa Rep Adr ADR 00808P108 21 2175 SH SOLE SOLE Ag Growth Intl Inc COM 1181106 153 4630 SH SOLE SOLE Air Liquide Adr ADR 9126202 31 1260 SH SOLE SOLE Air Prod & Chemicals COM 009158106 44 500 SH SOLE SOLE Alabama Pwr COM 010392512 10 400 SH SOLE SOLE Alabama Pwr Co COM 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05157A107 0 17 SH SOLE SOLE B & G Foods Inc COM 05508R106 88 2900 SH SOLE SOLE B B & T Corp COM 54937206 5 200 SH SOLE SOLE B C E Inc New COM 05534B760 61 1300 SH SOLE SOLE Bae Systems Plc Adr ADR 05523R107 69 2850 SH SOLE SOLE Banco De Chile Adr ADR 059520106 49 516 SH SOLE SOLE Banco Santander Sa A COM 05964H105 0 9 SH SOLE SOLE Bank Montreal Quebec ADR 63671101 166 2635 SH SOLE SOLE Bank Of America Corp COM 60505104 58 4801 SH SOLE SOLE Barclays Bank Ipath COM 06738C778 2014 49576 SH SOLE SOLE Barclays Bank Plc Ad ADR 06738E204 21 1200 SH SOLE SOLE Berkshire Hathaway B COM 84670702 57 543 SH SOLE SOLE Bhp Billiton Adr New ADR 06645E209 185 3190 SH SOLE SOLE Blackrock Inc COM 09247X101 144 560 SH SOLE SOLE Boeing Co COM 97023105 103 1200 SH SOLE SOLE Borg Warner Inc COM 99724106 4 50 SH SOLE SOLE Bp Plc Adr ADR 55622104 4 100 SH SOLE SOLE Bristol-Myers Squibb COM 110122108 117 2850 SH SOLE SOLE Brit Amer Tobacco Ad COM 110448107 27 250 SH SOLE SOLE Buckeye Partners Uts COM 118230101 12 200 SH SOLE SOLE C S X Corp COM 126408103 32 1284 SH SOLE SOLE C V S Caremark Corp COM 126650100 29 536 SH SOLE SOLE Cal Dive Internation COM 12802T101 1 500 SH SOLE SOLE Capital Bk Finl Cp C COM 139794101 832 48552 SH SOLE SOLE Capital City Energy COM 139893101 0 10000 SH SOLE SOLE Capital One Finl Dep COM 14040H402 207 8150 SH SOLE SOLE Cardinal Health Inc COM 14149Y108 23 559 SH SOLE SOLE Caseys Gen Stores In COM 147528103 36 625 SH SOLE SOLE Cash America Intl In COM 14754D100 10 200 SH SOLE SOLE Caterpillar Inc COM 149123101 173 1985 SH SOLE SOLE Centerpoint Energy I COM 15189T107 71 2950 SH SOLE SOLE Central Pacific Finl COM 154760409 0 15 SH SOLE SOLE Centurylink Inc COM 156700106 18 500 SH SOLE SOLE Check Pt Software Te COM M22465104 4 75 SH SOLE SOLE Chesapeake Energy Co COM 165167107 18 900.162 SH SOLE SOLE Chevron Corporation COM 166764100 12 100 SH SOLE SOLE Chipotle Mexican Gri COM 169656105 109 335 SH SOLE SOLE Chiquita Brands Intl COM 170032809 22 2800 SH SOLE SOLE Chubb Corporation COM 171232101 26 300 SH SOLE SOLE Church & Dwight Co I COM 171340102 45 698 SH SOLE SOLE Cia De Bebidas Das A COM 20441W104 87 2100 SH SOLE SOLE Cia Siderurgica Spn COM 20440W105 9 2050 SH SOLE SOLE Cisco Systems Inc COM 17275R102 140 6677 SH SOLE SOLE Citigroup Inc COM 172967101 21 475 SH SOLE SOLE Clorox Company COM 189054109 46 525 SH SOLE SOLE Coca Cola Amatil Adr COM 191085208 55 1800 SH SOLE SOLE Coca Cola Company COM 191216100 87 2150 SH SOLE SOLE Comcast Cp New Cl A CLASS A SPL 20030N200 40 1000 SH SOLE SOLE Companhia De Saneam COM 20441A102 91 1910 SH SOLE SOLE Compania Cer Unidas COM 204429104 122 3687 SH SOLE SOLE Compugen Limited COM M25722105 104 20500 SH SOLE SOLE Conagra Foods Inc COM 205887102 107 3000 SH SOLE SOLE Conocophillips COM 20825C104 217 3605 SH SOLE SOLE Consumer Discretiona ETF 81369Y407 2014 37996 SH SOLE SOLE Consumer Staples Sel ETF 81369Y308 1024 25757 SH SOLE SOLE Corning Inc COM 219350105 1 100 SH SOLE SOLE Corts Aon Cap COM 22532R101 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SOLE Enbridge Energy Ptnr COM 29250R106 12 400 SH SOLE SOLE Energy Select Sector ETF 81369Y506 2084 26281 SH SOLE SOLE Enersis S A Adr ADR 29274F104 12 600 SH SOLE SOLE Enersis Sa 13 COM 29274F112 0 302 SH SOLE SOLE Engility Hldgs Inc COM 29285W104 5 227 SH SOLE SOLE Exxon Mobil Corporat COM 30231G102 12 130 SH SOLE SOLE F N B Corporation Pa COM 302520101 1 52 SH SOLE SOLE Factset Research Sys COM 303075105 28 299 SH SOLE SOLE Financial Select Sec ETF 81369Y605 2093 114958 SH SOLE SOLE Forest City Ent Cl A CLASS A 345550107 2 100 SH SOLE SOLE Freeport Mcmoran Cop COM 35671D857 37 1110 SH SOLE SOLE Fuel Systems Solutio COM 35952W103 7 400 SH SOLE SOLE General Electric Com COM 369604103 95 4100 SH SOLE SOLE General Mills Inc COM 370334104 54 1090 SH SOLE SOLE Georgia Pwr Co COM 373334457 27 950 SH SOLE SOLE Glaxosmithkline Plc COM 37733W105 168 3572 SH SOLE SOLE Google Inc Class A CLASS A 38259P508 6 8 SH SOLE SOLE Grainger W W Inc COM 384802104 34 149 SH SOLE SOLE Hannover Rueckversi 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Ishares Iboxx Invest ETF 464287242 3649 30430 SH SOLE SOLE Ishares Medical Devi ETF 464288810 500 6539 SH SOLE SOLE Ishares Msci Acwi In ETF 464288257 302 5950 SH SOLE SOLE Ishares Msci Emrg Mk ETF 464287234 7026 164274 SH SOLE SOLE Ishares Msci Emu Ind ETF 464286608 2296 70326 SH SOLE SOLE Ishares Msci Pac Ex ETF 464286665 1213 24407 SH SOLE SOLE Ishares Msci Utd Kin ETF 464286699 1317 72070 SH SOLE SOLE Ishares Muni Bond Tr ETF 464288414 475 4308 SH SOLE SOLE Ishares Russell Midc ETF 464287499 46 360 SH SOLE SOLE Ishares S^P Gsci Cmd ETF 46428R107 252 7650 SH SOLE SOLE Ishares S^P North Am ETF 464287549 908 12504 SH SOLE SOLE Ishares S^P U S Pfd ETF 464288687 398 9825 SH SOLE SOLE Ishares Tr Barclays ETF 464288646 779 7380 SH SOLE SOLE Ishares Tr Barclays ETF 464288620 266 2365 SH SOLE SOLE Ishares Tr Barclays ETF 464287226 185 1670 SH SOLE SOLE iShares Tr Barclays ETF 464287176 155 1278 SH SOLE SOLE Ishares Tr Barclays ETF 464287457 125 1475 SH SOLE SOLE Ishares Tr Barclays ETF 464288638 12 110 SH SOLE SOLE Ishares Tr Dj US Uti ETF 464287697 74 763 SH SOLE SOLE Ishares Tr Dow Jones ETF 464287739 14 200 SH SOLE SOLE Ishares Tr Dow Jones ETF 464288448 7 199.99 SH SOLE SOLE Ishares Tr Msci Eafe ETF 464287465 1923 32599 SH SOLE SOLE Ishares Tr Russell ETF 464287655 72 759 SH SOLE SOLE Ishares Tr S^P 100 I ETF 464287101 76 1080 SH SOLE SOLE Ishares Tr S^P Midca ETF 464287507 410 3562 SH SOLE SOLE Ishares Tr S^P Small ETF 464287804 7 75 SH SOLE SOLE Ishares TRUST Barcla ETF 464288588 29 272 SH SOLE SOLE Ishares TRUST Etf ETF 464288281 1284 10914 SH SOLE SOLE Ishares TRUST S^P ETF 464287200 300 1904 SH SOLE SOLE Israel Chemicals Adr COM 465036200 118 9150 SH SOLE SOLE Johnson & Johnson COM 478160104 203 2495 SH SOLE SOLE Joy Global Inc COM 481165108 463 7780 SH SOLE SOLE Jp Morgan Chase COM 46625H100 275 10650 SH SOLE SOLE Jpmorgan Chase & Co COM 46625H100 9 200 SH SOLE SOLE Kayne Anderson Energ COM 48660P104 72 2418 SH SOLE SOLE Kayne Anderson Mlp I COM 486606106 179 5150 SH SOLE SOLE Keppel Corp Ltd Adr ADR 492051305 14 770 SH SOLE SOLE Kimberly Clark De Ad COM 494386204 110 6325 SH SOLE SOLE Kimberly-Clark Corp COM 494368103 137 1400 SH SOLE SOLE Klabin S A Adr ADR 49834M100 61 900 SH SOLE SOLE Kraft Foods Group COM 50076Q106 7 133 SH SOLE SOLE L-3 Communications H COM 502424104 122 1505 SH SOLE SOLE Lab Cp Of Amer Hldg COM 50540R409 7 75 SH SOLE SOLE Landauer Inc COM 51476K103 34 600 SH SOLE SOLE Lazard World Div & I COM 521076109 14 1000 SH SOLE SOLE Lennar Corp Cl A CLASS A 526057104 4 100 SH SOLE SOLE Liberty Global Inc C SER A 530555101 26 356 SH SOLE SOLE Liberty Global Inc S SER C 530555309 24 356 SH SOLE SOLE Liberty Interactive LBT VENT COM A 53071M880 9 119 SH SOLE SOLE Liberty Media Corp COM 531229102 0 286 SH SOLE SOLE Liberty Media Hldg C INT COM SER A 53071M104 38 1784 SH SOLE SOLE Lilly Eli & Company COM 532457108 40 700 SH SOLE SOLE Lockheed Martin Corp COM 539830109 225 2332 SH SOLE SOLE Lonking Hldgs Ltd Or COM G5636C107 5 20000 SH SOLE SOLE M S Emerging Mkts De COM 61744H105 349 29530 SH SOLE SOLE Maiden Holdings Ltd COM G5753U112 74 7000 SH SOLE SOLE Market Vectors Etf T ETF 57060U100 8 200 SH SOLE SOLE Masco Corp COM 574599106 11 560 SH SOLE SOLE Materials Select Sec ETF 81369Y704 57 1443 SH SOLE SOLE Mc Donalds Corp COM 580135101 266 2671 SH SOLE SOLE Medtronic Inc COM 585055106 160 3403.239 SH SOLE SOLE Merck & Co Inc New COM 58933Y105 21 475 SH SOLE SOLE Metlife Inc COM 59156R108 4 100 SH SOLE SOLE Metlife Inc B COM 59156R603 5 200 SH SOLE SOLE Microchip Technology COM 595017104 77 2100 SH SOLE SOLE Microsoft Corp COM 594918104 294 10285 SH SOLE SOLE Mitsubishi Ufj Finl ADR 606822104 7 1200 SH SOLE SOLE Mondelez Intl Inc Cl COM 690207105 12 400 SH SOLE SOLE Monmouth Real Est In COM 609720107 40 3600 SH SOLE SOLE Morgan Stanley COM 61753R200 15 600 SH SOLE SOLE Naikai Zosen Corp Or COM J47593108 34 13000 SH SOLE SOLE Natl Health Investor COM 63633D104 111 1700 SH SOLE SOLE Nestle S A Reg B Adr ADR 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342 4033 SH SOLE SOLE Vanguard Consumr Sta ETF 92204A207 292 2899 SH SOLE SOLE Vanguard Energy Etf ETF 92204A306 485 4280 SH SOLE SOLE Vanguard Ftse Etf ETF 922042718 19 200 SH SOLE SOLE Vanguard Industrials ETF 92204A603 396 4962 SH SOLE SOLE Vanguard Large Cap ETF 922908637 220 3070 SH SOLE SOLE Vanguard Msci Eafe E ETF 921943858 155 4255 SH SOLE SOLE Vanguard Msci Emergi ETF 922042858 1170 27275 SH SOLE SOLE Vanguard Reit ETF 922908553 1631 23127 SH SOLE SOLE Vanguard Small Cap ETF 922908751 372 4085 SH SOLE SOLE Vanguard Telecommun ETF 92204A884 64 862 SH SOLE SOLE Venaxis Inc COM 92262A107 0 7 SH SOLE SOLE Verizon Communicatio COM 92343V104 1258 25600 SH SOLE SOLE Vodafone Group New A COM 92857W209 302 10630 SH SOLE SOLE Vornado Rlty Tr COM 929042851 188 7400 SH SOLE SOLE Wabtec COM 929740108 225 2205 SH SOLE SOLE Wal-Mart Stores Inc COM 931142103 71 950 SH SOLE SOLE Walter Energy Inc COM 93317Q105 1 20 SH SOLE SOLE Waste Management Inc COM 94106L109 168 4290 SH SOLE SOLE Wells 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