Aviance Capital Partners

Aviance Capital Partners as of March 31, 2013

Portfolio Holdings for Aviance Capital Partners

Aviance Capital Partners holds 0 positions in its portfolio as reported in the March 2013 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

                                  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
---------------------------------------------------------------------------------------------------------------------------------
1/100 BERKSHIRE HATHAWAY CL A      COMMON    084990175       1407      900SH              SOLE                   900
3M CO                              COMMON    88579Y101       1627    15300SH              SOLE                 15300
ABBOTT LABORATORIES                COMMON    002824100       1308    37020SH              SOLE                 37020
ABBOTT LABORATORIES                COMMON    002824100          5      151SH              OTHER         1                151
ABBVIE INC                         COMMON    00287Y109        669    16415SH              SOLE                 16415
ABBVIE INC                         COMMON    00287Y109         52     1275SH              OTHER         1               1275
ACCENTURE PLC                      COMMON    G1151C101       3383    44534SH              SOLE                 44534
ADVANCE AUTO PARTS INC             COMMON    00751Y106       2815    34055SH              SOLE                 34055
AEROPOSTALE INC.                   COMMON    007865108        254    18646SH              SOLE                 18646
AETNA INC                          COMMON    00817Y108        375     7326SH              SOLE                  7326
AFLAC INC                          COMMON    001055102       2743    52738SH              SOLE                 52738
ALLIANCEBERNSTEIN GLBL HIINC FD    COMMON    01879R106        844    51650SH              SOLE                 51650
ALLIANCEBERNSTEIN GLBL HIINC FD    COMMON    01879R106        102     6275SH              OTHER         1                6275
ALLSTATE CORP                      COMMON    020002101       1091    22225SH              SOLE                 22225
ALTRIA GROUP INC                   COMMON    02209S103        619    18000SH              SOLE                 18000
AMEDISYS INC                       COMMON    023436108        267    24028SH              SOLE                 24028
AMERICAN CAPITAL LTD               COMMON    02503Y103        486    33275SH              SOLE                 33275
AMERICAN ELEC POWER CO INC         COMMON    025537101        272     5600SH              SOLE                  5600
AMERICAN EXPRESS                   COMMON    025816109        985    14610SH              SOLE                 14610
AMERICAN EXPRESS                   COMMON    025816109          7      100SH              OTHER         1                 100
AMERICAN GREETINGS CORP            COMMON    026375105        278    17243SH              SOLE                 17243
AMERICAN NATIONAL INSURANCE CO     COMMON    028591105        318     3665SH              SOLE                  3665
AMERIPRISE FINANCIAL INC           COMMON    03076C106        442     6000SH              SOLE                  6000
AMERISOURCEBERGEN CORP             COMMON    03073E105        215     4184SH              SOLE                  4184
AMGEN INC                          COMMON    031162100       2704    26375SH              SOLE                 26375
ANADARKO PETROLEUM CORP            COMMON    032511107        602     6880SH              SOLE                  6880
ANNALY CAPITAL MANAGEMENT INC      COMMON    035710409        547    34400SH              SOLE                 34400
APACHE CORP                        COMMON    037411105       1244    16126SH              SOLE                 16126
APPLE INC                          COMMON    037833100       7642    17264SH              SOLE                 17264
ARCHER DANIELS MIDLAND CO          COMMON    039483102        333     9876SH              SOLE                  9876
ASSURANT INC                       COMMON    04621X108        309     6862SH              SOLE                  6862
AT^T INC                           COMMON    00206R102       2629    71670SH              SOLE                 71670
AT^T INC                           COMMON    00206R102         11      292SH              OTHER         1                 292
AUTOMATIC DATA PROCESSING INC      COMMON    053015103        481     7400SH              SOLE                  7400
BANK OF MONTREAL                      ADR    063671101       1322    21001SH              SOLE                 21001
BAXTER INTL INC                    COMMON    071813109        340     4680SH              SOLE                  4680
BERKSHIRE HATHAWAY INC  CL B       COMMON    084670702       2139    20531SH              SOLE                 20531
BEST BUY CO INC                    COMMON    086516101        387    17470SH              SOLE                 17470
BLACKROCK GLOBAL OPP EQUITY TR     COMMON    092501105       1034    74528SH              SOLE                 74528
BLACKROCK INC                      COMMON    09247X101       2383     9275SH              SOLE                  9275
BLACKROCK INCOME OPP TR INC        COMMON    092475102        113    10054SH              SOLE                 10054
BLYTH INC                          COMMON    09643P207        235    13512SH              SOLE                 13512
BOEING CO                          COMMON    097023105       3202    37303SH              SOLE                 37303
BOSTON PROPERTIES INC              COMMON    101121101        283     2800SH              SOLE                  2800
BP PLC                                ADR    055622104        244     5755SH              SOLE                  5755
BP PRUDHOE BAY ROYALTY TRUST       COMMON    055630107        394     4725SH              SOLE                  4725
BRISTOL MYERS SQUIBB CO            COMMON    110122108       1647    39984SH              SOLE                 39984
BRISTOL MYERS SQUIBB CO            COMMON    110122108         46     1107SH              OTHER         1                 1107
BSB BANCORP INC                    COMMON    05573H108        138    10000SH              SOLE                 10000
BUNGE LTD                          COMMON    G16962105        378     5127SH              SOLE                  5127
CAL DIVE INTERNATIONAL INC         COMMON    12802T101         96    53095SH              SOLE                 53095
CALUMET SPECIALTY PROD PRTNR LP    COMMON    131476103       1637    43950SH              SOLE                 43950
CAPITAL ONE FINANCIAL CORP         COMMON    14040H105       1330    24200SH              SOLE                 24200
CASH AMERICA INTERNATIONAL INC     COMMON    14754D100        337     6423SH              SOLE                  6423
CATERPILLAR INC                    COMMON    149123101        884    10170SH              SOLE                 10170
CF INDUSTRIES HOLDINGS INC         COMMON    125269100        676     3550SH              SOLE                  3550
CHESAPEAKE GRANITE WASH            COMMON    165185109        603    43100SH              SOLE                 43100
CHEVRON CORP                       COMMON    166764100       1379    11601SH              SOLE                 11601
CHEVRON CORP                       COMMON    166764100         34      290SH              OTHER         1                  290
CHINA PETROLEUM & CHEMICAL CORP       ADR    16941R108       1076     9200SH              SOLE                  9200
CHINA YUCHAI INTL LTD                 ADR    G21082105        243    15200SH              SOLE                 15200
CINCINNATI FINANCIAL CORP          COMMON    172062101       1015    21500SH              SOLE                 21500
CISCO SYSTEMS INC                  COMMON    17275R102        219    10463SH              SOLE                 10463
CLOUGH GLOBAL EQUITY FUND          COMMON    18914C100       1293    87950SH              SOLE                 87950
CME GROUP INC                      COMMON    12572Q105        534     8700SH              SOLE                  8700
CNOOC LTD                             ADR    126132109        938     4900SH              SOLE                  4900
COLGATE PALMOLIVE CO               COMMON    194162103        437     3700SH              SOLE                  3700
CONOCOPHILLIPS                     COMMON    20825C104       1237    20579SH              SOLE                 20579
CONOCOPHILLIPS                     COMMON    20825C104       1232    20491SH              OTHER         1                 20491
COVIDIEN PLC                          ADR    G2554F105       1601    23600SH              SOLE                 23600
CUMMINS INC                        COMMON    231021106       2608    22523SH              SOLE                 22523
CVS CAREMARK CORP                  COMMON    126650100       1591    28925SH              SOLE                 28925
DANAHER CORP                       COMMON    235851102        789    12700SH              SOLE                 12700
DEVON ENERGY CORP                  COMMON    25179M103        389     6900SH              SOLE                  6900
DIREXION DAILY SM CAP BEAR 3X SH   COMMON    25459W110        424    46000SH              SOLE                 46000
DISCOVER FINANCIAL SERVICES        COMMON    254709108       1308    29175SH              SOLE                 29175
DNP SELECT INCOME FUND             COMMON    23325P104       1439   141950SH              SOLE                141950
DORCHESTER MINERALS LP             COMMON    25820R105        694    29900SH              SOLE                 29900
DOW 30 ENHANCED PREMIUM & INC      COMMON    260537105        354    30050SH              SOLE                 30050
DOW CHEMICAL CO                    COMMON    260543103        255     8000SH              SOLE                  8000
DUKE ENERGY CORP                   COMMON    26441C105        366     5048SH              SOLE                  5048
EATON VANCE LTD DURATN INC FD      COMMON    27828H105        411    24050SH              SOLE                 24050
EATON VANCE RISK MNGED DVRS EQTY   COMMON    27829G106        322    29268SH              SOLE                 29268
ELI LILLY & CO                     COMMON    532457108        198     3472SH              SOLE                  3472
ELI LILLY & CO                     COMMON    532457108          8      147SH              OTHER        1                    147
EMC CORP                           COMMON    268648102       1916    80200SH              SOLE                 80200
ENERGY TRANSFER PARTNER LP         COMMON    29273R109        195     3850SH              SOLE                  3850
ENERGY TRANSFER PARTNER LP         COMMON    29273R109          6      112SH              OTHER        1                    112
ENTERPRISE PRODUCTS PARTNERS LP    COMMON    293792107       1893    31400SH              SOLE                 31400
ENTERPRISE PRODUCTS PARTNERS LP    COMMON    293792107          6       92SH              OTHER        1                     92
ETFS PHYSICAL SWISS GOLD SHARES    COMMON    26922Y105        409     2600SH              SOLE                  2600
EXPEDITORS INTL OF WASHINGTON INC  COMMON    302130109        679    19000SH              SOLE                 19000
EXXON MOBIL CORP                   COMMON    30231G102       5175    57435SH              SOLE                 57435
FIFTH THIRD BANCORP                COMMON    316773100        165    10110SH              SOLE                 10110
FIRST TRUST ACTIVE DIV INCOME FD   COMMON    33731L100        856   103000SH              SOLE                103000
FOREST LABS INC                    COMMON    345838106      13375   351600SH              SOLE                351600
FRANKLIN RESOURCES INC             COMMON    354613101        682     4520SH              SOLE                  4520
FRANKLIN UNIVERSAL TRUST           COMMON    355145103        103    13664SH              SOLE                 13664
FREEPORT MCMORAN COPPER^GOLD INC   COMMON    35671D857        503    15200SH              SOLE                 15200
FREEPORT MCMORAN COPPER^GOLD INC   COMMON    35671D857          5      159SH              OTHER        1                    159
GENERAL ELECTRIC CO                COMMON    369604103        968    41892SH              SOLE                 41892
GENERAL ELECTRIC CO                COMMON    369604103         30     1285SH              OTHER        1                   1285
GENERAL MILLS INC                  COMMON    370334104        172     3500SH              SOLE                  3500
GENERAL MILLS INC                  COMMON    370334104         38      762SH              OTHER        1                    762
GENUINE PARTS CO                   COMMON    372460105        234     3000SH              SOLE                  3000
GOOGLE INC                         COMMON    38259P508       1918     2415SH              SOLE                  2415
H J HEINZ CO                       COMMON    423074103        567     7850SH              SOLE                  7850
HALLIBURTON CO                     COMMON    406216101        998    24700SH              SOLE                 24700
HANOVER INSURANCE GROUP INC        COMMON    410867105        331     6671SH              SOLE                  6671
HARTFORD FINANCIAL SERV GRP 7.25      PFD    416515708        248    10446SH              SOLE                 10446
HARTFORD FINANCIAL SERV GRP INC    COMMON    416515104       1652    64025SH              SOLE                 64025
HCC INSURANCE HOLDINGS INC         COMMON    404132102        478    11364SH              SOLE                 11364
HONEYWELL INTERNATIONAL INC        COMMON    438516106        256     3400SH              SOLE                  3400
HUMANA INC                         COMMON    444859102       1159    16775SH              SOLE                 16775
ING INFRASTRTUR INDUST^MATERIAL FD COMMON    45685U100        653    37600SH              SOLE                 37600
ING INTL HIGH DIV EQUITY INCOME    COMMON    45684Q100        179    17800SH              SOLE                 17800
INTL BUSINESS MACHINES CORP        COMMON    459200101       3724    17457SH              SOLE                 17457
INVACARE CORP                      COMMON    461203101        195    14942SH              SOLE                 14942
IPATH S^P 500 VIX SH TRM FUTURES   COMMON    06740C188        405    20000SH              SOLE                 20000
IPATH S^P 500 VIX SH TRM FUTURES   COMMON    06740C188         10      500SH              OTHER        1                    500
ISHARES BARCLY1-3 YR CREDIT BD FD  COMMON    464288646        248     2353SH              SOLE                  2353
ISHARES BARCLY1-3 YR CREDIT BD FD  COMMON    464288646        229     2176SH              OTHER        1                   2176
ISHARES BARCLAYS INTERN CRDT BD FD cOMMON    464288638        313     2820SH              SOLE                  2820
ISHARES BARCLAYS TIPS BD IDX	   COMMON    464287176	      395     3256SH		  SOLE		        3256
ISHARES CORE TOT US BD MKT         COMMON    464287226        825     7447SH              SOLE                  7447
ISHARES GOLD TRUST IDX             COMMON    464285105        212    13630SH              SOLE                 13630
ISHARES IBOXX INVEST GRDE CORP BD  COMMON    464287242        363     3033SH              SOLE                  3033
ISHARES IBOXX INVEST GRDE CORP BD  COMMON    464287242         20      163SH              OTHER        1                    163
ISHARES S^P US PREFER STK IDX      COMMON    464288687       1191    29394SH              SOLE                 29394
ISHARES S^P US PREFER STK IDX      COMMON    464288687         54     1339SH              OTHER        1                   1339
JAZZ PHARMACEUTICALS PLC              ADR    472147107       1219    21800SH              SOLE                 21800
JOHNSON & JOHNSON                  COMMON    478160104       1468    18010SH              SOLE                 18010
JP MORGAN CHASE & CO               COMMON    46625H100       2415    50890SH              SOLE                 50890
KELLY SERVICES INC                 COMMON    488152208        363    19430SH              SOLE                 19430
KIMBERLY CLARK CORP                COMMON    494368103        195     2000SH              SOLE                  2000
KIMBERLY CLARK CORP                COMMON    494368103         24      240SH              OTHER        1                    240
KINDER MORGAN ENERGY PTNER         COMMON    494550106       2259    25155SH              SOLE                 25155
KINDER MORGAN ENERGY PTNER         COMMON    494550106          7       82SH              OTHER        1                     82
KOHLS CORP                         COMMON    500255104        252     5465SH              SOLE                  5465
KROGER CO                          COMMON    501044101        361    10891SH              SOLE                 10891
LINN ENERGY LLC                    COMMON    536020100       2086    54950SH              SOLE                 54950
LINN ENERGY LLC                    COMMON    536020100         23      606SH              OTHER        1                    606
LOCKHEAD MARTIN CORP               COMMON    539830109        290     3000SH              SOLE                  3000
LOCKHEAD MARTIN CORP               COMMON    539830109         22      230SH              OTHER        1                    230
LOWES COMPANIES INC                COMMON    548661107        243     6400SH              SOLE                  6400
MARATHON PETROLEUM CORP            COMMON    56585A102        419     4674SH              SOLE                  4674
MARKET VECTORS INTERMED MUNI IDX   COMMON    57060U845        439    18748SH              SOLE                 18748
MCDONALDS CORP                     COMMON    580135101        544     5451SH              SOLE                  5451
MCDONALDS CORP                     COMMON    580135101         22      222SH              OTHER        1                    222
MCKESSON CORP                      COMMON    58155Q103        736     6820SH              SOLE                  6820
MEDTRONIC INC                      COMMON    585055106        817    17400SH              SOLE                 17400
MERCK & CO INC                     COMMON    58933Y105        967    21864SH              SOLE                 21864
MERCK & CO INC                     COMMON    58933Y105          5      121SH              OTHER        1                    121
MESABI TRUST                       COMMON    590672101        341    15000SH              SOLE                 15000
MFS INTERMARKET INCOME TRUST       COMMON    59318R103        160    18585SH              SOLE                 18585
MICROSOFT CORP                     COMMON    594918104        557    19470SH              SOLE                 19470
MICROSOFT CORP                     COMMON    594918104         21      738SH              OTHER        1                    738
MURPHY OIL CORP                    COMMON    626717102        389     6097SH              SOLE                  6097
NEXPOINT CREDIT STRATEGIES FD      COMMON    65340G106         77    10026SH              SOLE                 10026
NOKIA CORP                            ADR    654902204         70    21220SH              SOLE                 21220
NORFOLK SOUTHRN CORP               COMMON    655844108        360     4667SH              SOLE                  4667
NORTHSTAR REALTY FINANCE CORP      COMMON    66704R100        192    20203SH              SOLE                 20203
OPPENHEIMER HOLDINGS INC           COMMON    683797104        236    12113SH              SOLE                 12113
ORACLE CORP                        COMMON    68389X105       2932    90680SH              SOLE                 90680
PARKER HANNIFIN CORP               COMMON    701094104        719     7854SH              SOLE                  7854
PEPSICO INC                        COMMON    713448108        892    11276SH              SOLE                 11276
PERMIAN BASIN ROYALTY TRUST        COMMON    714236106        128    10300SH              SOLE                 10300
PFIZER INC                         COMMON    717081103       3306   114555SH              SOLE                114555
PFIZER INC                         COMMON    717081103       1234     1843SH              OTHER        1                   1843
PHILIP MORRIS INTL INC             COMMON    718172109       1290    13300SH              SOLE                 13300
PHILIP MORRIS INTL INC             COMMON    718172109         56      609SH              OTHER        1                    609
PHILLIPS 66                        COMMON    718546104        540     7714SH              SOLE                  7714
PIMCO DYNAMIC CREDIT INCOME FD     COMMON    72202D106       1497    60300SH              SOLE                 60300
PIMCO INTERM MUNICIPAL BOND        COMMON    72201R866        441     8143SH              SOLE                  8143
PLAINS ALL AMERICAN PIPELINE LP    COMMON    726503105        706    12500SH              SOLE                 12500
PLAINS ALL AMERICAN PIPELINE LP    COMMON    726503105         25      451SH              OTHER        1                    451
PNC FINANCIAL SERVICES GROUP INC   COMMON    693475105        805    12100SH              SOLE                 12100
POWERSHARES FINCL PREF             COMMON    73935X229       1015    54800SH              SOLE                 54800
POWERSHARES QQQ                    COMMON    73935A104        372     5400SH              SOLE                  5400
PROCTER & GAMBLE CO                COMMON    742718109       1192    15469SH              SOLE                 15469
PROCTER & GAMBLE CO                COMMON    742718109         22      286SH              OTHER        1                    286
PROSHARES ULTRASHRT 20 YR TREAS    COMMON    74347R297        851    12950SH              SOLE                 12950
PUBLIX SUPER MARKETS INC           COMMON    744663105        234    10075SH              SOLE                 10075
QUAKER CHEMICAL CORP               COMMON    747316107        313     5300SH              SOLE                  5300
QUALCOMM INC                       COMMON    747525103       3009    44955SH              SOLE                 44955
QUALCOMM INC                       COMMON    747525103         33      488SH              SOLE                   488
QUESTCOR PHARMACEUTICALS INC       COMMON    74835Y101       1552    47700SH              SOLE                 47700
REGENERON PHARMACEUTICALS INC      COMMON    75886F107        706     4000SH              SOLE                  4000
REINSURANCE GRP OF AMERICA INC     COMMON    759351604        273     4573SH              SOLE                  4573
REYNOLDS AMERICAN INC              COMMON    761713106       1792    40275SH              SOLE                 40275
SAFEWAY INC                        COMMON    786514208        323    12267SH              SOLE                 12267
SCHLUMBERGER LTD                      ADR    806857108        440     5875SH              SOLE                  5875
SEADRILL LTD                          ADR    G7945E105        768    20650SH              SOLE                 20650
SIEMENS AG                            ADR    826197501        270     2500SH              SOLE                  2500
SKYWEST INC                        COMMON    830879102        446    27793SH              SOLE                 27793
SOUTHERN CO                        COMMON    842587107        487    10380SH              SOLE                 10380
SOUTHWEST AIRLINES CO              COMMON    844741108        374    27743SH              SOLE                 27743
SPDR GOLD SHARES                   COMMON    78463V107        631     4082SH              SOLE                  4082
SPDR S^P 500                       COMMON    78462F103        615     3927SH              SOLE                  3927
STANCORP FINANCIAL GROUP INC       COMMON    852891100        310     7246SH              SOLE                  7246
STATE AUTO FINANCIAL CORP          COMMON    855707105        360    20685SH              SOLE                 20685
T.ROWE PRICE GROUP INC             COMMON    74144T108        434     5800SH              SOLE                  5800
TARGA RESOURCES PARTNERS LP        COMMON    87611X105        262     5700SH              SOLE                  5700
TASEKO MINES LTD                     ADR     876511106         69    25000SH              SOLE                 25000
TECHNOLOGY SELECT SECTOR SPDR      COMMON    81369Y803        215     7105SH              SOLE                  7105
TECHNOLOGY SELECT SECTOR SPDR      COMMON    81369Y803         27      885SH              OTHER        1                     885
TECK RESOURCES LTD                    ADR    878742204        226     8038SH              SOLE                  8038
TELEFONICA SA                         ADR    879382208       1067    79008SH              SOLE                 79008
THE COCA COLA CO                   COMMON    191216100        520    12849SH              SOLE                 12849
THE COCA COLA CO                   COMMON    191216100          5      134SH              OTHER        1                     134
TIFFANY & CO                       COMMON    886547108        216     3100SH              SOLE                  3100
TORCHMARK CORP                     COMMON    891027104        417     6971SH              SOLE                  6971
TOTAL SA                              ADR    89151E109        297     6200SH              SOLE                  6200
UNION PACIFIC CORP                 COMMON    907818108        285     2000SH              SOLE                  2000
UNITED STATE STEEL CORP            COMMON    912909108        249    12777SH              SOLE                 12777
UNITED TECHNOLOGIES CORP           COMMON    913017109       1131    12100SH              SOLE                 12100
V.F. CORP                          COMMON    918204108       1002     5975SH              SOLE                  5975
VALE SA                               ADR    91912E105        268    15506SH              SOLE                 15506
VALERO ENERGY CORP                 COMMON    91913Y100        322     7076SH              SOLE                  7076
VANGUARD NATURAL RES LLC           COMMON    92205F106        699    24600SH              SOLE                 24600
VANGUARD NATURAL RES LLC           COMMON    92205F106         17      590SH              OTHER        1                     590
VODAFONE GROUP PLC                    ADR    92857W209        727    25575SH              SOLE                 25575
VODAFONE GROUP PLC                    ADR    92857W209          5      189SH              OTHER        1                     189
WALT DISNEY CO                     COMMON    254687106        255     4492SH              SOLE                  4492
WELLS FARGO & CO                   COMMON    949746101        610    16498SH              SOLE                 16498
WELLS FARGO & CO                   COMMON    949746101         17      463SH              OTHER        1                     463
WINDSTREAM CORP                    COMMON    97381W104        588    74200SH              SOLE                 74200