Beaumont Financial Partners

Beaumont Financial Partners as of Dec. 31, 2012

Portfolio Holdings for Beaumont Financial Partners

Beaumont Financial Partners holds 0 positions in its portfolio as reported in the December 2012 quarterly 13F filing

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FORM 13F INFORMATION TABLE
									Value		SHARES/	SH/	PUT/	INVSTMT	OTHER	  	VOTING AUTHORITY
NAME OF ISSUER			TITLE OF CLASS		CUSIP		(x$ 1000)	PRN AMT	PRN	CALL	DSCRETN	MANAGERS		NONE

3M CO				COM			88579Y101	287		3087	SH		SOLE				3087
ABERDEEN ASIA PACIFIC INC	COM			003009107	7553		975853	SH		SOLE				975853
APPLE INC			COM			037833100	4367		8207	SH		SOLE				8207
AT^T				COM			00206R102	13171		390704	SH		SOLE				390704
B^G FOODS INC			COM			05508R106	2553		90194	SH		SOLE				90194
BANK OF AMERICA			COM			060505104	127		10916	SH		SOLE				10916
BCE INC				COM			05534B760	7846		182724	SH		SOLE				182724
BERKSHIRE HATHAWAY B		CLASS B			084670207	453		5054	SH		SOLE				5054
BLACKROCK MUNI HLDS INV QL	COM			09254P108	171		10600	SH		SOLE				10600
CATERPILLAR INC DEL		COM			149123101	232		2584	SH		SOLE				2584
CELGENE CORP			COM			151020104	534		6805	SH		SOLE				6805
CENTRAL FUND CDA LTD		CL A			153501101	30975		1472884	SH		SOLE				1472884
CHEVRON CORP			COM			166764100	4263		39423	SH		SOLE				39423
CLAYMORE ETF TRUST		CDN ENERGY		18383Q606	164		10570	SH		SOLE				10570
COACH INC			COM			189754104	725		13060	SH		SOLE				13060
COCA COLA CO			COM			191216100	9685		267170	SH		SOLE				267170
COLGATEPALMOLIVE CO		COM			194162103	3167		30295	SH		SOLE				30295
CONOCOPHILLIPS			COM			20825C104	214		3690	SH		SOLE				3690
CURRENCYSHARES AUSTRLN DLR	AUSTRALIAN DLR		23129U101	3276		31455	SH		SOLE				31455
DIAGEO PLC			SPONSORED ADR		25243Q205	781		6700	SH		SOLE				6700
DIAMOND OFFSHORE DRILLING INC	COM			25271C102	225		3305	SH		SOLE				3305
DONNELLEY RR+SONS		COM			257867101	1379		153402	SH		SOLE				153402
EATON VANCE TAX MNG GBL DV	COM			27829F108	255		29000	SH		SOLE				29000
EMC CORP MASS			COM			268648102	771		30467	SH		SOLE				30467
EMERSON ELECTRIC CO.		COM			291011104	382		7205	SH		SOLE				7205
ENERGY TRANSFER LP		COM UT LTD PTN		29273V100	2604		57245	SH		SOLE				57245
ENERPLUS RES TRUST		TRUST UNIT		29274D604	196		15150	SH		SOLE				15150
ENTERPRISE PRODUCTS PRTNS LP	COM			293792107	3956		78990	SH		SOLE				78990
EXXON MOBIL CORP		COM			30231G102	2241		25893	SH		SOLE				25893
FIRST TR ETF			HEALTH CARE ALPHADEX	33734X143	4406		135274	SH		SOLE				135274
FIRST TR ETF			CONS STPL		33734X119	4406		173940	SH		SOLE				173940
FIRST TR ETF			CONS DISC		33734X101	4406		194951	SH		SOLE				194951
FIRST TR ETF			ENERGY ALPHADX		33734X127	4406		221958	SH		SOLE				221958
FIRST TR ETF			FINCL ALPHADEX		33734X135	4406		281165	SH		SOLE				281165
FIRST TR ETF			NA ENERGY		33738D101	6547		314283	SH		SOLE				314283
FIRST TR ETF ALPHA		DEVLP MKT EX-US		33737J174	231		5219	SH		SOLE				5219
GENERAL ELECTRIC CO		COM			369604103	11015		524754	SH		SOLE				524754
GENERAL MOTORS CO		COM			370454100	200		6950	SH		SOLE				6950
GLOBAL PARTNERS LP		COM UNITS		37946R109	254		10000	SH		SOLE				10000
GOOGLE INC			COM			38259P508	316		447	SH		SOLE				447
INTEL CORP			COM			458140100	5872		284773	SH		SOLE				284773
INTL BUSINESS MACH		COM			459200101	4685		24457	SH		SOLE				24457
ISHARES GOLD TR			COMEX			464285105	33756		2073538	SH		SOLE				2073538
ISHARES INC			MSCI SWEDEN		464286756	5614		185900	SH		SOLE				185900
ISHARES INC			MSCI AUSTRALIA		464286103	5620		223578	SH		SOLE				223578
ISHARES SILVER TR		COM			46428Q109	19220		654438	SH		SOLE				654438
ISHARES TR			CORE S^P MC400 IDX	464287507	393		3864	SH		SOLE				3864
ISHARES TR			S^P SM CAP 600		464287804	359		4597	SH		SOLE				4597
ISHARES TR			S^P INDEX		464287200	967		6757	SH		SOLE				6757
ISHARES TR			S^P NAT AMT-FREE MUNI	464288414	919		8304	SH		SOLE				8304
ISHARES TR			HGH DIV EQT FD		46429B663	767		13060	SH		SOLE				13060
ISHARES TR			MSCI TAIWAN		464286731	279		20500	SH		SOLE				20500
ISHARES TR			BCLYS 1-3 YR CRP	464288646	2557		24244	SH		SOLE				24244
ISHARES TR			FTSE XNHUA INDX		464287184	1001		24751	SH		SOLE				24751
ISHARES TR			BARCLAYS GOVT CR	464288596	3325		28953	SH		SOLE				28953
ISHARES TR			BARCLYS INTER CR	464288638	3276		29437	SH		SOLE				29437
ISHARES TR			BARCLYS  US AGG BND	464287226	3428		30857	SH		SOLE				30857
ISHARES TR			MSCI SINGAPORE		464286673	502		36675	SH		SOLE				36675
ISHARES TR			DJ CONS GDS IDX		464287812	3325		44343	SH		SOLE				44343
ISHARES TR			GLOB CONS STPL IDX	464288737	3276		44494	SH		SOLE				44494
ISHARES TR			JP MORGAN USD		464288281	9767		79551	SH		SOLE				79551
ISHARES TR			DJ US RL EST INDX	464287739	5664		87573	SH		SOLE				87573
ISHARES TR			BCLYS 1-3 YR TRS	464287457	7521		89093	SH		SOLE				89093
ISHARES TR			RUSSELL 2000 GR		464287648	9978		104694	SH		SOLE				104694
ISHARES TR			MSCI BRAZIL		464286400	5890		105292	SH		SOLE				105292
ISHARES TR			SMALL CAP GRW		464287887	8940		106372	SH		SOLE				106372
ISHARES TR			DJ US HEALTHCARE	464287762	10772		128989	SH		SOLE				128989
ISHARES TR			DJ US TECH		464287721	9978		141097	SH		SOLE				141097
ISHARES TR			MSCI MEXICO		464286822	9978		141477	SH		SOLE				141477
ISHARES TR			RUSSELL 1000 GR		464287614	9978		152365	SH		SOLE				152365
ISHARES TR			RUSSELL MIDCP GR	464287481	10027		162002	SH		SOLE				162002
ISHARES TR			COHEN & ST RLTY		464287564	18918		240869	SH		SOLE				240869
ISHARES TR			MSCI EAFE IDX		464287465	18631		327663	SH		SOLE				327663
ISHARES TR			US PRFD STK INDX	464288687	13304		335795	SH		SOLE				335795
ISHARES TR			DJ US BAS MAT		464287838	26753		385992	SH		SOLE				385992
ISHARES TR			CONS SRVC IDX		464287580	37981		437566	SH		SOLE				437566
ISHARES TR			FLTG RATE NTE		46429B655	23689		468256	SH		SOLE				468256
ISHARES TR			BCLYS TIPS BD		464287176	59622		491086	SH		SOLE				491086
ISHARES TR			DJ UTILITIES		464287697	43132		499442	SH		SOLE				499442
ISHARES TR			DJ US INDUSTRIALS	464287754	37519		511646	SH		SOLE				511646
ISHARES TR			MSCI EMERG MKT		464287234	39987		901622	SH		SOLE				901622
ISHARES TR			MSCI MALAYSIA		464286830	15650		1034357	SH		SOLE				1034357
JOHNSON &  JOHNSON		COM			478160104	11919		170021	SH		SOLE				170021
KIMBERLY CLARK CORP		COM			494368103	9510		112639	SH		SOLE				112639
MARKET VECTOR ETF TR		GOLD MINER ETF		57060U100	5139		110769	SH		SOLE				110769
MARKET VECTOR ETF TR VE JR	GOLD MINER ETF		57060U589	303		15330	SH		SOLE				15330
MCDONALDS CORP			COM			580135101	762		8635	SH		SOLE				8635
MERCK AND CO INC		COM			58933Y105	2012		49150	SH		SOLE				49150
MERCURY SYS INC			COM			589378108	368		40040	SH		SOLE				40040
MICROSOFT CORP			COM			594918104	7267		272073	SH		SOLE				272073
MORGAN STANLEY EM MKT DM DE	COM			617477104	200		11900	SH		SOLE				11900
NUVEEN EQTY PREM OPP		COM			6706EM102	266		22000	SH		SOLE				22000
NUVEEN PREM INC MUN FD 4	COM			6706K4105	165		11700	SH		SOLE				11700
OCCIDENAL PETR CORP		COM			674599105	216		2815	SH		SOLE				2815
ORACLE CORP			COM			68389X105	3912		117394	SH		SOLE				117394
PENGROWTH		 	ENERGY TR		706902509	326		65510	SH		SOLE				65510
PEPSICO INC			COM			713448108	233		3402	SH		SOLE				3402
PETROLOGISTICS LP		UNIT LTD 		71672U101	459		33905	SH		SOLE				33905
PFIZER INC			COM			717081103	407		16245	SH		SOLE				16245
PIMCO ETF			ENHAN SHRT MAT		72201R833	3351		33023	SH		SOLE				33023
PIMCO ETF TR			1-5 US TIP IDX		72201R205	13324		246473	SH		SOLE				246473
PROCTER & GAMBLE CO		COM			742718109	5282		77803	SH		SOLE				77803
SEAGATE TECHNOLOGY PLC		SHS			G7945M107	3711		121979	SH		SOLE				121979
SEMPRA ENERGY			COM			816851109	4061		57240	SH		SOLE				57240
SODASTREAM INTL LTD		USD SHS			M9068E105	887		19770	SH		SOLE				19770
SPDR GOLD TR			GLD SH			78463V107	3618		22328	SH		SOLE				22328
SPDR INDEX SHS FDS		DJ INTL RL EST ETF	78463X863	5634		136222	SH		SOLE				136222
SPDR TR				SBI INT UTILS		81369Y886	1044		29900	SH		SOLE				29900
SPDR TR				SBI INT TECH		81369Y803	2526		87558	SH		SOLE				87558
SPDR TR				SBI CONS DISCR		81369Y407	10775		227125	SH		SOLE				227125
SPDR TR				MATERIALS		81369Y100	10773		286980	SH		SOLE				286980
SPDR TR				SBI CONS STAPLES	81369Y308	15036		430835	SH		SOLE				430835
SPDR TR				SBI ENERGY		81369Y506	33158		464271	SH		SOLE				464271
SPDR TR				DB INTL GOVT 		78464A490	32561		512444	SH		SOLE				512444
SPDR TR				SBI HEALTHCARE		81369Y209	22415		562044	SH		SOLE				562044
SPDR TR				FINANCIALS		81369Y605	33139		2021914	SH		SOLE				2021914
SPROTT PHYS GOLD TR		UNIT			85207H104	10927		768979	SH		SOLE				768979
SPROTT PHYSICAL SILVER TR	UNIT			85207K107	211		17515	SH		SOLE				17515
SWEDISH EXPT CR CORP		ROG AGRI ETN22		870297603	3136		346188	SH		SOLE				346188
TEXAS INSTRUMENTS		COM			882508104	340		11000	SH		SOLE				11000
TJX COS INC			COM			872540109	406		9558	SH		SOLE				9558
TOTAL SA			SPONSORED ADR		89151E109	3187		61270	SH		SOLE				61270
UNILEVER PLC			SPON ADR NEW		904767704	4269		110255	SH		SOLE				110255
UNITED STS COMMODITY INX	COMM IDX FND		911717106	679		11575	SH		SOLE				11575
VAN INT EQ INDEX		EMRG MKT ETF		922042858	6556		147223	SH		SOLE				147223
VANGUARD FUNDS			GROWTH ETF		922908736	3366		47289	SH		SOLE				47289
VANGUARD INDEX FND		MIDCAP ETF		922908629	678		8222	SH		SOLE				8222
VANGUARD INTL INDEX F		ALL WRLD EX US		922042775	8540		186669	SH		SOLE				186669
VANGUARD WORLD FDS		CONS STPL ETF		92204A207	28078		319414	SH		SOLE				319414
VERIZON COMMUNICATIONS		COM			92343V104	933		21570	SH		SOLE				21570
WASTE MGMT INC			COM			94106L109	1451		43002	SH		SOLE				43002
WILLIAMS PARTNERS LP		COM UNIT LP		96950F104	3948		81126	SH		SOLE				81126