Benchmark Capital Advisors

Benchmark Capital Advisors as of Dec. 31, 2011

Portfolio Holdings for Benchmark Capital Advisors

Benchmark Capital Advisors holds 0 positions in its portfolio as reported in the December 2011 quarterly 13F filing

                Title of           Value  Shares/   Sh/   Invstmt
Name of Issuer                       class    CUSIP   (x$1000)Prn Amt   Prn   Dscretn
------------------------------       -----  --------- ------  --------  ---   -------
{S}                                 {C}           {C}      {C}     {C}  {C}    {C}
***ARCELORMITTAL SA LUXEMBOURG      COM     03938L104      914   50250   SH   Sole
***LEE & MAN PAPER MANUFACTURI      COM       1009975        5   16000   SH   Sole
ABBOTT LABORATORIES                 COM     002824100     1638   29137   SH   Sole
ALCOA INC COM                       COM     013817101      113   13100   SH   Sole
ALLIANCEBERNSTEIN INCOME FUND       COM     018881E10      810  100400   SH   Sole
ALLSTATE CORP                       COM     020002101     1190   43400   SH   Sole
ALTRIA GROUP INC                    COM     02209S103     1041   35100   SH   Sole
AMERICAN TEL & TEL CO               COM     001957109     3150  104171   SH   Sole
ANHEUSER BUSCH COS INC COM          COM     035229103     1842   30200   SH   Sole
ANNALY MTG MGMT INC COM             COM     035710409     1226   76800   SH   Sole
API TECHNOLOGIES CORP COM NEW       COM     00187E203       70   22000   SH   Sole
ARBOR RLTY TR INC COM               COM     038923108       94   26750   SH   Sole
AVALON OIL AND GAS INC COM NEW      COM     053467205        0  119400   SH   Sole
AVI BIOPHARMA INC COM               COM     002346104       19   25000   SH   Sole
BLACKROCK INCOME OPPORTUNITY T      COM     092475102      337   33000   SH   Sole
BOEING CO-W/RTS TO PUR P/STK        COM     097023105      682    9300   SH   Sole
BRISTOL MYERS SQUIBB CO.            COM     110122108     1875   53200   SH   Sole
CAPITAL PRODUCT PARTNE COM UNI      COM     Y11082107      134   21840   SH   Sole
CENTER BANCORP INC COM              COM     151408101     1215  124354   SH   Sole
CITIGROUP INC                       COM     894190107      365   13864   SH   Sole
CLEAN ENERGY FUELS CRP COM          COM     184499101     2797  224500   SH   Sole
COCA COLA CO.                       COM     191216100      924   13200   SH   Sole
COLGATE PALMOLIVE CO                COM     194162103      208    2250   SH   Sole
CONOCO PHILLIPS                     COM     20825C104      867   11900   SH   Sole
CONS EDISON CO OF NEW YORK INC      COM     209111103     3191   51450   SH   Sole
CORE MARK HLDG CO INC COM           COM     218681104     3267   82500   SH   Sole
DENNYS CORP COM                     COM     24869P104      199   53000   SH   Sole
DEVON ENERGY CORPORATION NEW        COM     25179M103     3290   53070   SH   Sole
DYNAMICS RESH CORP COM              COM     268057106      801   70606   SH   Sole
E I DU PONT DE NEMOURS & CO         COM     263534109      569   12425   SH   Sole
EDAC TECH CORP                      COM     279285100     1235  111889   SH   Sole
EDISON INTL COM                     COM     281020107     2207   53300   SH   Sole
ELI LILLY & CO                      COM     532457108      416   10000   SH   Sole
ENERPLUS CORPORATION                COM     292766102     1441   56900   SH   Sole
FALCONSTOR SOFTWARE INC             COM     306137100     1272  493140   SH   Sole
FEDERAL MOGUL CORP COM              COM     313549404      184   12500   SH   Sole
FIRSTENERGY CORP COM                COM     337932107      895   20200   SH   Sole
FORD MOTOR CO PAR $0.01             COM     345370860      769   71450   SH   Sole
GAMESTOP CORP                       COM     36467W109      362   15000   SH   Sole
GAP INC                             COM     364760108     1857  100100   SH   Sole
GENERAL ELECTRIC CO.                COM     369604103     2082  116220   SH   Sole
GENERAL MOTORS CORP                 COM     370442105      596   29400   SH   Sole
GENIE ENERGY LTD CL B               COM     372284208      174   22000   SH   Sole
GLOBAL ENERGY HLDGS GR COM          COM     37991A100        0   97670   SH   Sole
HEALTH CARE REIT INC COM            COM     42217K106     1727   31675   SH   Sole
HERCULES TECH GWTH CAP COM          COM     427096508     1888  199960   SH   Sole
HOME DEPOT INC                      COM     437076102     1368   32550   SH   Sole
HOUSTON AMERN ENERGY C COM          COM     44183U100    22797 1870137   SH   Sole
INTEL CORP                          COM     458140100      230    9500   SH   Sole
INTERNATIONAL PAPER CO-             COM     460146103     2759   93225   SH   Sole
INTL BUSINESS MACHINES CORP         COM     459200101      405    2200   SH   Sole
ISHARES TR MRTG PLS CAP IDX         COM     464288539      695   54900   SH   Sole
ISHARES TR S^P 100 IDX FD           COM     464287101      409    7180   SH   Sole
ISTAR FINANCIAL INC                 COM     45031U101       88   16600   SH   Sole
J P MORGAN CHASE & CO               COM     46625H100      895   26924   SH   Sole
JOHNSON & JOHNSON                   COM     478160104     2248   34285   SH   Sole
KRAFT FOODS INC CL A                COM     50075N104     3336   89300   SH   Sole
KRATOS DEFENSE & SEC COM            COM     50077B108      251   42000   SH   Sole
LIGAND PHARMACEUTICALS INC          COM     53220K207     1131   95300   SH   Sole
MARKET VECTORS ETF TR GOLD MIN      COM     57060U100      602   11700   SH   Sole
MCDONALDS CORP.                     COM     580135101     1275   12706   SH   Sole
MFA FINANCIAL INC                   COM     55272X102     1046  155700   SH   Sole
MFS CHARTER INCOME TRUST-SBI        COM     552727109      685   74900   SH   Sole
MICROSOFT CORP.                     COM     594918104     3611  139102   SH   Sole
MONMOUTH REAL ESTATE INVT CORP      COM     609720107     1115  121900   SH   Sole
MPC CORP                            COM     553166109        0   25000   SH   Sole
NEUROLOGIX INC COM NEW              COM     64125U406        1   25562   SH   Sole
NEW LEAF BRANDS INC COM             COM     646390104      102 5131945   SH   Sole
NORFOLK SOUTHERN CORP               COM     655844108      681    9350   SH   Sole
OP-TECH ENVIRONMENTAL SERVICES      COM     683450100       41  587832   SH   Sole
PAYCHEX INC                         COM     704326107      893   29650   SH   Sole
PCM FD INC COM                      COM     69323T101      167   15500   SH   Sole
PEMBINA PIPELINE CORP               COM     706327103      811   27800   SH   Sole
PENN WEST PETROLEUM LTD             COM     707887105     1042   52645   SH   Sole
PFIZER INC.                         COM     717081103     3119  144150   SH   Sole
PHANTOM FIBER CORP COM NEW          COM     717106207        0  100000   SH   Sole
PROCTER & GAMBLE CO                 COM     742718109      967   14500   SH   Sole
PROSHARES TRUST ULTRASHORT S^P      COM     74347r883     1060   54950   SH   Sole
REALTY INCOME CORPORATION           COM     756109104      253    7250   SH   Sole
RED LION HOTELS CORP COM            COM     756764106      814  117516   SH   Sole
REDWOOD TR INC COM                  COM     758075402     1012   99400   SH   Sole
RELM WIRELESS CORP COM              COM     759525108     1139 1035853   SH   Sole
RETAIL OPPORTUNITY INV COM          COM     76131N101      521   44000   SH   Sole
RICHARDSON ELECTRS COM              COM     763165107      209   17000   SH   Sole
SEADRILL LIMITED SHS                COM     G7945E105     1581   47650   SH   Sole
SELECT SECTOR SPDR TR SBI HEAL      COM     81369y209      538   15500   SH   Sole
SHEERVISION INC COM                 COM     82104Q105        1   52500   SH   Sole
SPROTT PHYSICAL GOLD UNIT           COM     85207H104     1547  112100   SH   Sole
STREETTRACKS GOLD TRUST             COM     863307104     1140    7500   SH   Sole
SUPERVALU INC COM                   COM     868536103      825  101650   SH   Sole
SYMANTEC CORP                       COM     871503108      647   41350   SH   Sole
TEEKAY SHIPPNG MARS IS COM          COM     Y8564W103      241    9000   SH   Sole
TEEKAY TANKERS LTD CL A             COM     Y8565N102       53   15000   SH   Sole
TEREX CORP NEW                      COM     880779103      501   37100   SH   Sole
UNITED PARCEL SVC INC               COM     911312106      490    6700   SH   Sole
UNITED TECHNOLOGIES CORP            COM     913017109      409    5600   SH   Sole
VANGUARD INDEX FDS STK MRK ETF      COM     922908769      258    4010   SH   Sole
VERIZON COMMUNICATIONS              COM     077853109      605   15089   SH   Sole
VISTEON CORP COM                    COM     92839U206      424    8500   SH   Sole
WABCO HLDGS INC COM                 COM     92927K102      282    6500   SH   Sole
WELLS FARGO & CO.                   COM     949746101     1204   43700   SH   Sole
WENDYS                              COM     950587105     1208  225350   SH   Sole
WESTPORT INNOVATIONS COM NEW        COM     960908309     2114   63600   SH   Sole
WEYERHAEUSER CO                     COM     962166104      450   24100   SH   Sole
YAHOO INC                           COM     984332106     2809  174140   SH   Sole
***SEASPAN CORPORATION              PRD     Y75638125      339   12400   SH   Sole
BANK OF AMERICA CORP DEP SH PF      PRD     060505765      754   34100   SH   Sole
BANK OF AMERICA CORP DEP SHS P      PRD     060505633      163   11900   SH   Sole
CHS INC 8% CUM REDEEMABLE PFD       PRD     12542R209     1659   56224   SH   Sole
CITIGROUP CAP X11 TR PFD SECS       PRD     17315D204     1376   54700   SH   Sole
COMCAST CORP NEW NT SER B 7.00      PRD     20030N408     1740   68000   SH   Sole
GOLDMAN SACHS GROUP PFD A 1/10      PRD     38143Y665     1044   62652   SH   Sole
HEALTH CARE REIT INC 7.625% CU      PRD     42217k403      444   17250   SH   Sole
JP MORGAN CHASE CAP XVI 6.35%       PRD     481228203      460   18300   SH   Sole
JPMORGAN CHASE CAP XXVI 8% SER      PRD     48124G104     1344   51900   SH   Sole
MERRILL LYNCH PFD TR V TOPRS 7      PRD     59021K205      222   10800   SH   Sole
METLIFE INC PFD A FLT RATE          PRD     59156R504      751   34100   SH   Sole
MORGAN STANLEY DEP SHS REPSTG       PRD     61747S504      423   28760   SH   Sole
SOUTHERN CALIFORNIA EDISON CO       PRD     842400756      309    3090   SH   Sole
VORNADO RLTY L P PINES 7.875%3      PRD     929043602      753   27385   SH   Sole
WELLS FARGO CAP VII TRUPS 5.85      PRD     94979B204     1137   44850   SH   Sole
***FAST RETAILING CO LTD UNSPO      ADR     31188H101      186   10200   SH   Sole
CHINA MOBILE LTD SPONSORED ADR      ADR     16941M109      861   17750   SH   Sole
WTS BAYWOOD INTNL RSTD EXP 3/3      WT        9v85115        0   50000   SH   Sole
WTS NEW LEAF BRANDS EXP 12/23/      WT        9315848        0  295453   SH   Sole
WTS NEW LEAF BRANDS INC EXP 05      WT        9L49261        0  795777   SH   Sole
WTS NEW LEAF BRANDS INC EXP 2/      WT        9l48107        0  147727   SH   Sole