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