Biondo Investment Advisors

Biondo Investment Advisors as of March 31, 2013

Portfolio Holdings for Biondo Investment Advisors

Biondo Investment Advisors holds 0 positions in its portfolio as reported in the March 2013 quarterly 13F filing

                {C}{C}
FORM 13F INFORMATION TABLE
Name of Issuer                 Title of
Class CUSIP
Value (x$1000) Shares / Prn Amt Sh / Prn Put
 / Call Investment Discretion Other Managers Sole
       Shared     None
AMGEN INC                      CS
031162100    2064           20135            SH
Sole                                 20135      0          0
APPLE COMPUTER INC             CS
037833100    8798           19876            SH
Sole                                 19666      0          210
ARIAD PHARMACEUTICALS INC      CS
04033A100    1551           85800            SH
Sole                                 85400      0          400
BANK OF AMERICA CORPORATION    CS
060505104    11390          935150           SH
Sole                                 930505     0          4645
BANK OF AMERICA CORPORATION WT WT
060505146    1081           189625           SH
Sole                                 187925     0          1700
BE AEROSPACE INC               CS
073302101    1524           25277            SH
Sole                                 25182      0          95
BERKSHIRE HATHAWAY INC DEL CL  CS
084670702    505            4850             SH
Sole                                 4850       0          0
BOEING CO                      CS
097023105    3968           46220            SH
Sole                                 46000      0          220
BRISTOL MYERS SQUIBB CO        CS
110122108    1530           37147            SH
Sole                                 35852      0          1295
CABLEVISION SYS CORP           CS
12686C109    1438           96106            SH
Sole                                 96106      0          0
CARBO CERAMICS INC             CS
140781105    4155           45620            SH
Sole                                 45495      0          125
CATERPILLAR INC DEL            CS
149123101    631            7250             SH
Sole                                 7250       0          0
CELGENE CORP                   CS
151020104    15414          132980           SH
Sole                                 132250     0          730
CHART INDS INC                 CS
16115Q308    9775           122170           SH
Sole                                 121845     0          325
CONOCOPHILLIPS                 CS
20825C104    646            10745            SH
Sole                                 10510      0          235
CUMMINS INC                    CS
231021106    2254           19464            SH
Sole                                 19299      0          165
DISCOVERY COMMUNICATNS NEW     CS
25470F104    335            4255             SH
Sole                                 4225       0          30
DU PONT E I DE NEMOURS AND CO  CS
263534109    1473           29969            SH
Sole                                 28999      0          970
DUKE ENERGY CORP NEW COM NEW   CS
26441C204    1436           19785            SH
Sole                                 19050      0          735
EDWARDS LIFESCIENCES CORP      CS
28176E108    6125           74548            SH
Sole                                 73983      0          565
ENERGY TRANSFER EQUITY L P     CS
29273V100    368            6300             SH
Sole                                 6300       0          0
EQUINIX INC                    CS
29444U502    2160           9985             SH
Sole                                 9935       0          50
EXXON MOBIL CORP               CS
30231G102    1406           15607            SH
Sole                                 15607      0          0
F M C CORP                     CS
302491303    1732           30364            SH
Sole                                 30239      0          125
FEDERATED INVS INC PA          CS
314211103    1055           44581            SH
Sole                                 42546      0          2035
FEDEX CORP                     CS
31428X106    442            4500             SH
Sole                                 4500       0          0
FORD MTR CO DEL                CS
345370860    14336          1090206          SH
Sole                                 1084831    0          5375
GENERAL MLS INC                CS
370334104    1531           31051            SH
Sole                                 29974      0          1077
GILEAD SCIENCES INC            CS
375558103    3341           68265            SH
Sole                                 67825      0          440
GOLAR LNG LTD BERMUDA          CS
G9456A100    601            16250            SH
Sole                                 15490      0          760
GOOGLE INC                     CS
38259P508    4261           5365             SH
Sole                                 5300       0          65
HEINZ H J CO                   CS
423074103    1439           19913            SH
Sole                                 19498      0          415
IDEXX LABS INC                 CS
45168D104    10751          116370           SH
Sole                                 115895     0          475
ILLUMINA INC                   CS
452327109    4277           79230            SH
Sole                                 78730      0          500
INTEL CORP                     CS
458140100    621            28435            SH
Sole                                 27030      0          1405
INTUITIVE SURGICAL INC         CS
46120E602    16558          33710            SH
Sole                                 33510      0          200
IRONWOOD PHARMACEUTICALS INC   CS
46333X108    206            11250            SH
Sole                                 11250      0          0
ISHARES INC MSCI MEXICO        ETF
464286822    766            10265            SH
Sole                                 9628       0          637
ISHARES INC MSCI THAILAND      ETF
464286624    790            8673             SH
Sole                                 8123       0          550
ISHARES INC MSCI TURKEY FD     ETF
464286715    628            8825             SH
Sole                                 8195       0          630
ISHARES JPMORGAN USD EMERGING  ETF
464288281    760            6459             SH
Sole                                 6374       0          85
ISHARES TR 1-3 YR TRS BD       ETF
464287457    549            6502             SH
Sole                                 6502       0          0
ISHARES TR DJ US TOTL MKT      ETF
464287846    591            7470             SH
Sole                                 6900       0          570
ISHARES TR GS CORP BD FD       ETF
464287242    732            6106             SH
Sole                                 6021       0          85
ISHARES TR HIGH YLD CORP       ETF
464288513    720            7633             SH
Sole                                 7528       0          105
ISHARES TR LEHMAN INTER C      ETF
464288638    687            6180             SH
Sole                                 6095       0          85
ISHARES TR PHILL INVSTMRK      ETF
46429B408    597            14520            SH
Sole                                 13480      0          1040
ISHARES TR US PFD STK IDX      ETF
464288687    791            19515            SH
Sole                                 19255      0          260
J P MORGAN CHASE AND CO        CS
46625H100    5994           126304           SH
Sole                                 125214     0          1090
JOHNSON AND JOHNSON            CS
478160104    327            4005             SH
Sole                                 4005       0          0
JPMORGAN CHASE AND CO          WT
46634E114    15739          1104507          SH
Sole                                 1101510    0          2997
KINDER MORGAN INC DEL          CS
49456B101    1067           27582            SH
Sole                                 26307      0          1275
LENNAR CORP                    CS
526057104    1251           30170            SH
Sole                                 30040      0          130
LOCKHEED MARTIN CORP           CS
539830109    1035           10725            SH
Sole                                 10228      0          497
MACQUARIE INFRASTR CO LLC      CS
55608B105    1231           22772            SH
Sole                                 22162      0          610
MADISON SQUARE GARDEN INC      CS
55826P100    212            3685             SH
Sole                                 3685       0          0
MAKO SURGICAL CORP             CS
560879108    2055           184290           SH
Sole                                 183140     0          1150
MASTERCARD INC                 CS
57636Q104    16919          31266            SH
Sole                                 31076      0          190
MCDONALDS CORP                 CS
580135101    1364           13686            SH
Sole                                 13152      0          534
MERCK & CO INC NEW             CS
58933Y105    502            11350            SH
Sole                                 11350      0          0
MOLYCORP INC DEL               CS
608753109    114            22000            SH
Sole                                 22000      0          0
MONSANTO CO NEW                CS
61166W101    6246           59127            SH
Sole                                 58817      0          310
NBT BANCORP INC                CS
628778102    252            11355            SH
Sole                                 11355      0          0
PACIRA PHARMACEUTICALS INC     CS
695127100    2493           86370            SH
Sole                                 85915      0          455
PEPSICO INC                    CS
713448108    305            3850             SH
Sole                                 3850       0          0
PHILIP MORRIS INTL INC         CS
718172109    1673           18043            SH
Sole                                 17492      0          551
POWERSHARES ETF TRUST II DWA D ETF
73936Q108    651            30541            SH
Sole                                 28408      0          2133
POWERSHARES ETF TRUST II DWA E ETF
73936Q207    846            41799            SH
Sole                                 39359      0          2440
PROCTER AND GAMBLE CO          CS
742718109    433            5615             SH
Sole                                 5615       0          0
QUALCOMM INC                   CS
747525103    4530           67674            SH
Sole                                 67409      0          265
RANGE RES CORP                 CS
75281A109    387            4775             SH
Sole                                 4775       0          0
SANOFI CONTGNT VAL RT          RT
80105N113    33             18700            SH
Sole                                 18700      0          0
SCHLUMBERGER LTD               CS
806857108    1554           20751            SH
Sole                                 20686      0          65
SEADRILL LIMITED               CS
G7945E105    1239           33289            SH
Sole                                 32099      0          1190
SMUCKER J M CO                 CS
832696405    1255           12660            SH
Sole                                 12610      0          50
SOUTHERN CO                    CS
842587107    1221           26028            SH
Sole                                 24968      0          1060
STERICYCLE INC                 CS
858912108    429            4040             SH
Sole                                 4015       0          25
SUNOCO LOGISTICS PRTNRS L P    CS
86764L108    319            4875             SH
Sole                                 4875       0          0
SUSSEX BANCORP                 CS
869245100    122            16262            SH
Sole                                 0          0          16262
TIME WARNER CABLE INC          CS
88732J207    1347           14020            SH
Sole                                 13970      0          50
TORONTO DOMINION BK ONT        CS
891160509    1213           14570            SH
Sole                                 13972      0          598
TRANSOCEAN LTD ZUG             CS
H8817H100    433            8339             SH
Sole                                 8339       0          0
V F CORP                       CS
918204108    1010           6019             SH
Sole                                 5793       0          226
VERIZON COMMUNICATIONS         CS
92343V104    1191           24242            SH
Sole                                 23197      0          1045
WELLS FARGO AND CO NEW         CS
949746101    259            7000             SH
Sole                                 7000       0          0
WELLS FARGO AND CO NEW WT EXP  PFD
949746119    782            65155            SH
Sole                                 63950      0          1205
WESTERN GAS PARTNERS LP        CS
958254104    267            4500             SH
Sole                                 4500       0          0
WILLIAMS PARTNERS L P          CS
96950F104    373            7198             SH
Sole                                 7198       0          0
REPORT SUMMARY: 88 DATA RECORDS    227462
0 0 OTHER MANAGERS ON WHOSE BEHALF REPORT IS FILED.     0 0 0