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
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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