Carroll Financial Associates

Carroll Financial Associates as of March 31, 2013

Portfolio Holdings for Carroll Financial Associates

Carroll Financial Associates holds 0 positions in its portfolio as reported in the March 2013 quarterly 13F filing

                Title
                                      of                Value      Value        Shares        Investment    Other      Voting
Name of Issuer                        Class             CUSIP     (X1000)      Quantity       Discretion    Managers   Authority
-------------------------------------------------------------------------------------------------------------------------------
{S}                               {C}                  {C}          {C}         {C}            {C}              {C}         {C}
JPMORGAN CHASE & ALERIAN MLP (AMJ)    EXCHANGE TRADED
                                        PRODUCT         46625h365   17644.785    387968       YES                         NO
EXXON MOBIL CORP COM                  COMMON EQUITY     30231g102   14995.264    166411       YES                         NO
ISHARES MSCI USA MINIMUM VOLATILITY   EXCHANGE TRADED
  (USMV)                                PRODUCT         46429b697   14606.275    445857       YES                         NO
JOHNSON & JOHNSON COM                 COMMON EQUITY     478160104   12382.897    151881       YES                         NO
HATTERAS FINL CORP COM                COMMON EQUITY     41902r103   11420.974    416368       YES                         NO
POWERSHARES FTSE RAFI US 1000 (PRF)   EXCHANGE TRADED
                                        PRODUCT         73935x583    9686.772    138205       YES                         NO
MICROSOFT CORP COM                    COMMON EQUITY     594918104    8399.341    293632       YES                         NO
BERKSHIRE HATHAWAY B                  COMMON EQUITY     84670702     6984.839     67033       YES                         NO
GENERAL ELECTRIC CO COM               COMMON EQUITY     369604103    6215.131    268821       YES                         NO
STANDARD & POORS 500 (SPY)            EXCHANGE TRADED
                                        PRODUCT         78462f103    6031.482     38498       YES                         NO
JP MORGAN CHASE & CO                  COMMON EQUITY     46625h100    5235.835    110321       YES                         NO
EXELON CORP COM                       COMMON EQUITY     30161n101    4681.763    135782       YES                         NO
APPLE INC COM                         COMMON EQUITY     037833100     4654.57     10515       YES                         NO
OAKTREE CAP GROUP LLC                 COMMON EQUITY     674001201    4528.025     88750       YES                         NO
DOW CHEM CO                           COMMON EQUITY     260543103    3849.488    120901       YES                         NO
PFIZER INC COM                        COMMON EQUITY     717081103    3591.916    124460       YES                         NO
DUKE ENERGY                           COMMON EQUITY     26441c204    3096.036     42651       YES                         NO
BANK OF AMERICA PFD CLASS E FLOATING  PREFERRED EQUITY  060505815    2953.637    121900       YES                         NO
BB & T CORP                           COMMON EQUITY     054937107    2846.622     90686       YES                         NO
PARK STERLING BANK                    COMMON EQUITY     70086y105     2771.27    491360       YES                         NO
VANGUARD SPECIALIZED PORTFOLIOS       EXCHANGE TRADED
  DIV (VIG)                            PRODUCT          921908844    2699.547     41089       YES                         NO
SPECTRA ENERGY CORP COM               COMMON EQUITY     847560109    2638.307     85799       YES                         NO
LOWES COS INC                         COMMON EQUITY     548661107    2610.072     68831       YES                         NO
UBS ALERIAN MLP INDEX (MLPI)          EXCHANGE TRADED
                                        PRODUCT         902641646     2469.12     64300       YES                         NO
APPLIED MATERIALS INC                 COMMON EQUITY     038222105    2411.842    178920       YES                         NO
PROCTER & GAMBLE CO COM               COMMON EQUITY     742718109    2123.311     27554       YES                         NO
AUTOMATIC DATA PROCESSING INC         COMMON EQUITY     053015103    2020.677     31073       YES                         NO
RANGE RES CORP COM                    COMMON EQUITY     75281A109    1948.688     24046       YES                         NO
BANK OF NEW YORK MELLON CORP          COMMON EQUITY     064058100    1916.279     68463       YES                         NO
SYSCO CORP                            COMMON EQUITY     871829107    1709.051     48594       YES                         NO
NUCOR CORP COM                        COMMON EQUITY     670346105      1696.7     36765       YES                         NO
MORGAN STANLEY FLOATING SERIES A      PREFERRED EQUITY  61747s504     1673.25     72750       YES                         NO
GOLDMAN SACHS FLOATING PFD SERIES A   PREFERRED EQUITY  38143y665    1610.728     68600       YES                         NO
CISCO SYSTEMS INC                     COMMON EQUITY     17275R102    1567.165     75002       YES                         NO
WESTERN UN CO COM                     COMMON EQUITY     959802109    1470.897     97799       YES                         NO
3M CO COM                             COMMON EQUITY     88579Y101    1431.039     13461       YES                         NO
CHEVRON CORP                          COMMON EQUITY     166764100    1405.709     11831       YES                         NO
HORMEL FOODS CORP COM                 COMMON EQUITY     440452100    1354.222     32774       YES                         NO
HARVEST NATURAL RESOURCES             COMMON EQUITY     41754v103    1318.181    375550       YES                         NO
UNITED PARCEL SVC INC CL B            COMMON EQUITY     911312106     1283.69     14944       YES                         NO
POWERSHARES DIVIDEND ACHIEVERS (PFM)  EXCHANGE TRADED
                                        PRODUCT         73935x732    1270.094     70600       YES                         NO
WELLS FARGO & CO NEW COM              COMMON EQUITY     949746101    1243.715     33623       YES                         NO
MCDONALDS CORP                        COMMON EQUITY     580135101    1221.548     12253       YES                         NO
PIEDMONT NAT GAS INC COM              COMMON EQUITY     720186105    1208.767     36763       YES                         NO
PEPSICO INC                           COMMON EQUITY     713448108    1200.969     15181       YES                         NO
PHILIP MORRIS INTL INC COM            COMMON EQUITY     718172109    1194.754     12887       YES                         NO
COCA COLA COMPANY                     COMMON EQUITY     191216100     1185.09     29305       YES                         NO
RIO TINTO PLC SPONSORED ADR           COMMON EQUITY     767204100    1145.598     24333       YES                         NO
KKR FINANCIAL                         COMMON EQUITY     48248a306    1055.525     95350       YES                         NO
FREEPORT MCMORAN COPPER & GOLD INC
  CLASS B                             COMMON EQUITY     35671D857    1055.294     31882       YES                         NO
BAKER HUGHES INC                      COMMON EQUITY     057224107     1039.63     22401       YES                         NO
AT^T INC                              COMMON EQUITY     00206r102    1023.064     27884       YES                         NO
ROYAL BK CDA MONTREAL QUE             COMMON EQUITY     780087102      960.76     15933       YES                         NO
ZIMMER HLDGS INC COM                  COMMON EQUITY     98956p102     956.798     12720       YES                         NO
CONOCOPHILLIPS COM                    COMMON EQUITY     20825C104     943.089     15692       YES                         NO
OCCIDENTAL PETROLEUM CORP             COMMON EQUITY     674599105     872.336     11131       YES                         NO
QUALCOMM INC                          COMMON EQUITY     747525103     837.888     12517       YES                         NO
SOUTHERN CO COM                       COMMON EQUITY     842587107     830.897     17709       YES                         NO
INTERNATIONAL BUSINESS MACHINES       COMMON EQUITY     459200101     829.097      3887       YES                         NO
GUGGENHEIM BULLET 2015 HIGH YIELD     EXCHANGE TRADED
  (BSJF)                                PRODUCT         18383m423     801.747     29838       YES                         NO
UNITED TECHNOLOGIES CORP DEL COM      COMMON EQUITY     913017109      773.32      8277       YES                         NO
MONSANTO CO NEW COM                   COMMON EQUITY     61166W101     763.071      7224       YES                         NO
SONOCO PRODUCTS CO                    COMMON EQUITY     835495102     750.361     21445       YES                         NO
PEOPLES BK N C COM                    COMMON EQUITY     710577107     724.914     64900       YES                         NO
UNION BANKSHARES CORP COM             COMMON EQUITY     90662p104     665.255     34011       YES                         NO
SPDR INDEX EURO STOXX 50 (FEZ)        EXCHANGE TRADED
                                        PRODUCT         78463x202      652.87     19760       YES                         NO
HOME DEPOT INC COM                    COMMON EQUITY     437076102     625.787      8968       YES                         NO
COVIDIEN PLC                          COMMON EQUITY     g2554f113     621.143      9156       YES                         NO
EV RISK MGD DIVERSIFIED EQUITY (ETJ)  EXCHANGE TRADED
                                        PRODUCT         27829g106      615.44     56000       YES                         NO
TALISMAN ENERGY INC COM               COMMON EQUITY     87425E103     613.848     50110       YES                         NO
BANK OF AMERICA                       COMMON EQUITY     060505104     603.012     49508       YES                         NO
WILLIAMS COS INC COM                  COMMON EQUITY     969457100      580.63     15500       YES                         NO
SCANA CORP NEW                        COMMON EQUITY     80589M102      580.41     11345       YES                         NO
VERIZON COMMUNICATIONS COM            COMMON EQUITY     92343V104     578.053     11761       YES                         NO
NEWMONT MINING CORP (HLDG CO)         COMMON EQUITY     651639106     571.757     13649       YES                         NO
ENTERPRISE PRODS PARTNERS L P COM     COMMON EQUITY     293792107     552.799      9169       YES                         NO
SUPERIOR INDUSTRIES INTL INC          COMMON EQUITY     868168105     521.172     27900       YES                         NO
LINCOLN NATL CORP IND                 COMMON EQUITY     534187109     519.282     15924       YES                         NO
BEMIS INC                             COMMON EQUITY     081437105     488.356     12100       YES                         NO
ALTRIA GROUP INC                      COMMON EQUITY     02209s103     474.616     13801       YES                         NO
PHILLIPS 66                           COMMON EQUITY     718546104     459.423      6566       YES                         NO
GOLDCORP INC                          COMMON EQUITY     380956409     428.244     12734       YES                         NO
UBS 2X WELLS FARGO BUSINESS DLVP      EXCHANGE TRADED
  (BDCL)                                PRODUCT         90267b765     421.502     14600       YES                         NO
BRISTOL MYERS SQUIBB CO COM           COMMON EQUITY     110122108     416.719     10117       YES                         NO
BECTON DICKINSON & CO                 COMMON EQUITY     075887109     402.901      4214       YES                         NO
AMGEN INC                             COMMON EQUITY     031162100     395.689      3860       YES                         NO
ORACLE CORP COM                       COMMON EQUITY     68389X105     395.008     12218       YES                         NO
VANGUARD INTL EQUITY INDEX FD (VEU)   EXCHANGE TRADED
                                        PRODUCT         922042775     391.557      8446       YES                         NO
AMERICAN INTL GROUP INC               COMMON EQUITY     026874784     385.133      9921       YES                         NO
KINDER MORGAN ENERGY PARTNERS LP      COMMON EQUITY     494550106     383.857      4276       YES                         NO
WAL MART STORES INC                   COMMON EQUITY     931142103     383.204      5121       YES                         NO
DOMINION RES INC VA COM               COMMON EQUITY     25746U109     365.138      6276       YES                         NO
DU PONT E I DE NEMOURS & COMPANY      COMMON EQUITY     263534109     365.062      7426       YES                         NO
AFLAC INC                             COMMON EQUITY     001055102     359.822      6917       YES                         NO
DISNEY WALT CO DISNEY COM             COMMON EQUITY     254687106     348.468      6135       YES                         NO
CENTURYTEL INC COM                    COMMON EQUITY     156700106     340.726      9699       YES                         NO
VANGUARD INDEX FDS VANGUARD           EXCHANGE TRADED
  LARGE CAP (VV)                        PRODUCT         922908637     329.932      4599       YES                         NO
ISHARES TR S^P 500 INDEX (IVV)        EXCHANGE TRADED
                                        PRODUCT         464287200     327.309      2080       YES                         NO
BNC BANCORP                           COMMON EQUITY     05566T101     325.389     32474       YES                         NO
INTEL CORP COM                        COMMON EQUITY     458140100     324.963     14883       YES                         NO
VISA INC COM CL A                     COMMON EQUITY     92826c839     324.394      1910       YES                         NO
HARTFORD FINL SVCS                    COMMON EQUITY     416515104     315.353     12223       YES                         NO
RENT A CENTER INC                     COMMON EQUITY     76009n100     310.296      8400       YES                         NO
HOLLY CORP COM PAR $0.01              COMMON EQUITY     436106108       308.7      6000       YES                         NO
TRIANGLE CAP CORP                     COMMON EQUITY     895848109     291.096     10400       YES                         NO
SUNTRUST BKS INC                      COMMON EQUITY     867914103     286.746      9953       YES                         NO
RYDEX S^P 500 EQUAL WEIGHT INDEX      EXCHANGE TRADED
  (RSP)                                 PRODUCT         78355w106     286.272      4800       YES                         NO
CATERPILLAR INC                       COMMON EQUITY     149123101     282.392      3247       YES                         NO
BANK OF AMERICA CORP DEP SHS          PREFERRED EQUITY  060505625     281.091     12900       YES                         NO
BANK AMER CORP DEP SHS REPSTG
  1/1200TH PFD                        PREFERRED EQUITY  060505559       270.3     10600       YES                         NO
CVS CAREMARK CORP                     COMMON EQUITY     126650100     266.756      4851       YES                         NO
STATE STREET CORP COM                 COMMON EQUITY     857477103     265.905      4500       YES                         NO
UBS ALERIAN 2X MLP INDEX (MLPL)       EXCHANGE TRADED
                                        PRODUCT         902664200     258.377      4900       YES                         NO
BOEING CO COM                         COMMON EQUITY     097023105     252.742      2944       YES                         NO
SECTOR SPDR INT TECHNOLOGY (XLK)      EXCHANGE TRADED
                                        PRODUCT         81369y803     245.187      8100       YES                         NO
JOHNSON CONTROLS INC COM              COMMON EQUITY     478366107      237.95      6785       YES                         NO
DEERE & CO                            COMMON EQUITY     244199105     236.101      2746       YES                         NO
SCHLUMBERGER LTD COM                  COMMON EQUITY     806857108      231.69      3094       YES                         NO
ONEOK PARTNERS L P UNIT LTD
  PARTNERSHIP                         COMMON EQUITY     68268n103       229.6      4000       YES                         NO
FIFTH THIRD BANCORP                   COMMON EQUITY     316773100     220.658     13529       YES                         NO
SPDR SER TR S^P DIVID ETF (SDY)       EXCHANGE TRADED
                                        PRODUCT         78464a763     210.376      3188       YES                         NO
RAYMOND JAMES FINL INC COM            COMMON EQUITY     754730109      207.45      4500       YES                         NO
QEP RES INC COM                       COMMON EQUITY     74733v100      206.96      6500       YES                         NO
NOVARTIS AG SPONSORED ADR             COMMON EQUITY     66987V109     203.461      2856       YES                         NO
DOLLAR TREE INC                       COMMON EQUITY     256746108     201.953      4170       YES                         NO
BULLETSHARES 2018 HIGH YIELD BOND     EXCHANGE TRADED
  (BSJI)                                PRODUCT         18383m381     189.918      7100       YES                         NO
AMERICAN EXPRESS COMPANY              COMMON EQUITY     025816109     187.944      2786       YES                         NO
ISHARES DOW JONES SELECT DIVID INDEX  EXCHANGE TRADED
  (DVY)                                 PRODUCT         464287168     183.987      2902       YES                         NO
CITIGROUP                             COMMON EQUITY     172967424     180.455      4079       YES                         NO
AVAGO TECHNOLOGIES                    COMMON EQUITY     y0486s104       179.6      5000       YES                         NO
POWERSHARES AGG PREFERRED (PGX)       EXCHANGE TRADED
                                        PRODUCT         73936t565     178.188     11975       YES                         NO
TARGET CORP                           COMMON EQUITY     87612e106     167.908      2453       YES                         NO
AMERICAN TOWER REIT                   COMMON EQUITY     03027x100     167.609      2179       YES                         NO
TRW AUTOMOTIVE HOLDINGS COM           COMMON EQUITY     87264s106         165      3000       YES                         NO
SANDISK CORP                          COMMON EQUITY     80004C101      164.88      3000       YES                         NO
UNION PACIFIC CORP COM                COMMON EQUITY     907818108     159.072      1117       YES                         NO
EATON VANCE TAX MANAGED GLB DIV (EXG) EXCHANGE TRADED
                                        PRODUCT         27829f108      158.44     17000       YES                         NO
FAMILY DOLLAR STORES                  COMMON EQUITY     307000109     156.483      2650       YES                         NO
EMERSON ELECTRIC                      COMMON EQUITY     291011104     155.877      2790       YES                         NO
MONDELEZ INTL                         COMMON EQUITY     609207105     155.861      5091       YES                         NO
LIBERTY ALL STAR EQUITY FD SBI (USA)  EXCHANGE TRADED
                                        PRODUCT         530158104     152.618     29520       YES                         NO
AMERICA MOVIL                         COMMON EQUITY     02364w105     147.181      7022       YES                         NO
VANGUARD EMERGING MARKETS ETF (VWO)   EXCHANGE TRADED
                                        PRODUCT         922042858     146.872      3424       YES                         NO
NATIONAL BANKSHARES INC VA COM        COMMON EQUITY     634865109     143.213      4100       YES                         NO
ELAN PLC ADR REPSTG SHS               COMMON EQUITY     284131208     142.202     12051       YES                         NO
KEYCORP NEW COM                       COMMON EQUITY     493267108     136.552     13710       YES                         NO
PIMCO HIGH INCOME FD COM SHS (PHK)    EXCHANGE TRADED
                                        PRODUCT         722014107     135.936     11007       YES                         NO
ALLSTATE CORP                         COMMON EQUITY     020002101     132.195      2694       YES                         NO
OGE ENERGY CORP                       COMMON EQUITY     670837103     131.772      1883       YES                         NO
NEWELL RUBBERMAID INC COM             COMMON EQUITY     651229106       130.5      5000       YES                         NO
FIFTH ST FIN CORP                     COMMON EQUITY     31678a103     130.036     11800       YES                         NO
PNC FINL SVCS GROUP INC COM           COMMON EQUITY     693475105     128.279      1929       YES                         NO
ANADARKO PETE CORP                    COMMON EQUITY     032511107     125.928      1440       YES                         NO
AES TR III TR PFD CONV SECS           PREFERRED EQUITY  00808n202     125.825      2500       YES                         NO
DIAGEO PLC SPONSORED ADR              COMMON EQUITY     25243Q205     125.804      1000       YES                         NO
NEXTERA ENERGY INC COM                COMMON EQUITY     65339f101     124.987      1609       YES                         NO
PPG INDUSTRIES INC                    COMMON EQUITY     693506107     123.627       923       YES                         NO
MARTIN MARIETTA MATERIAL INC          COMMON EQUITY     573284106     122.424      1200       YES                         NO
NIKE INC CLASS B                      COMMON EQUITY     654106103     119.554      2026       YES                         NO
MKT VECTORS MORNINGSTAR WIDE MOAT
  (MOAT)                              COMMON EQUITY     57060u134     119.539      5100       YES                         NO
EXPRESS SCRIPTS INC COM               COMMON EQUITY     30219g108     119.331      2071       YES                         NO
MERCK & CO INC NEW COM                COMMON EQUITY     58933Y105     119.075      2694       YES                         NO
LABORATORY CORP AMER HLDGS            COMMON EQUITY     50540r409     119.064      1320       YES                         NO
WPP PLC                               COMMON EQUITY     92937a102     118.578      1480       YES                         NO
SPDR GOLD TR GOLD SHS (GLD)           EXCHANGE TRADED
                                        PRODUCT         78463v107     118.015       764       YES                         NO
ENERGY TRANSFER EQUITY UNITS          COMMON EQUITY     29273v100      116.96      2000       YES                         NO
BLACKSTONE FINANCIAL (BGB)            COMMON EQUITY     09257r101     116.464      5800       YES                         NO
GILEAD SCIENCES INC                   COMMON EQUITY     375558103     115.205      2354       YES                         NO
LILLY ELI & CO COM                    COMMON EQUITY     532457108     113.126      1992       YES                         NO
GENUINE PARTS CO                      COMMON EQUITY     372460105      111.93      1435       YES                         NO
ISHARES S^P NATL MUNI BOND            EXCHANGE TRADED
                                        PRODUCT         464288414     111.823      1015       YES                         NO
KRAFT FOODS GROUP                     COMMON EQUITY     50076q106     111.683      2167       YES                         NO
PREFORMED LINES PRODS CO              COMMON EQUITY     740444104     109.993      1572       YES                         NO
QUESTAR CORP COM                      COMMON EQUITY     748356102     109.485      4500       YES                         NO
WISDOMTREE TR EARNING 500 FD (EPS)    EXCHANGE TRADED
                                        PRODUCT         97717w588      108.84      2000       YES                         NO
POWERSHARES FTSE RAFI EMERGING MKTS   EXCHANGE TRADED
  (PXH)                                 PRODUCT         73936t763      108.65      5000       YES                         NO
COMCAST CORP CL A                     COMMON EQUITY     20030N101     107.511      2561       YES                         NO
REGIONS FINL CORP NEW COM             COMMON EQUITY     7591ep100     107.264     13097       YES                         NO
NORFOLK SOUTHERN CORP                 COMMON EQUITY     655844108     107.141      1390       YES                         NO
ROYAL DUTCH SHELL PLC SPONSORED ADR
  RESPTG                              COMMON EQUITY     780259206     106.341      1632       YES                         NO
ISHARES TR MSCI ACWI INDEX            EXCHANGE TRADED
                                        PRODUCT         464288257     105.306      2075       YES                         NO
FIDUS INVT CORP COM                   COMMON EQUITY     316500107     104.559      5460       YES                         NO
ING GROEP NV 7.375%                   PREFERRED EQUITY  456837707      104.14      4100       YES                         NO
VULCAN MATERIALS CO HLDG CO COM       COMMON EQUITY     929160109       103.4      2000       YES                         NO
PULTE GROUP 7.375%                    PREFERRED EQUITY  745867200      102.52      4000       YES                         NO
LOEWS CORP COM                        COMMON EQUITY     540424108     101.669      2307       YES                         NO
DE MASTER BLENDERS 1753               COMMON EQUITY     n2563n109     101.567      6565       YES                         NO
NOBLE CORP                            COMMON EQUITY     H5833N103     101.098      2650       YES                         NO
NUVEEN NC PREMIUM INCOME MUNI         CLOSED END        67060P100     100.301      6946       YES                         NO
GOOGLE                                COMMON EQUITY     38259p508     100.068       126       YES                         NO
PLAINS ALL AMERN PIPELINE L.P. UNIT   COMMON EQUITY     726503105      97.484      1726       YES                         NO
DAIMLER AG                            COMMON EQUITY     D1668R123      96.838      1777       YES                         NO
NEWS CORP CL B                        COMMON EQUITY     65248e203       95.94      3119       YES                         NO
FORD MOTOR CO                         COMMON EQUITY     345370860      92.274      7017       YES                         NO
FIRST HORIZON NATL CORP COM           COMMON EQUITY     320517105      92.232      8636       YES                         NO
BLUEHARBOR BANK NC                    COMMON EQUITY     095613105      91.125     13500       YES                         NO
NISOURCE INC HLDG CO COM STK          COMMON EQUITY     65473p105       89.34      3045       YES                         NO
TEVA PHARMACEUTICAL INDUSTRIES
  LTD ADR ISI                         COMMON EQUITY     881624209      88.566      2232       YES                         NO
CENTRAL FD                            COMMON EQUITY     153501101      87.552      4520       YES                         NO
BLACKSTONE GROUP L P COM UNIT REPSTG
  (BX)                                COMMON EQUITY     09253u108      87.032      4400       YES                         NO
CSX CORPORATION                       COMMON EQUITY     126408103       86.55      3514       YES                         NO
CLECO CORP                            COMMON EQUITY     12561w105      84.654      1800       YES                         NO
POWERSHARES EMERGING MKT LOW VOL      EXCHANGE TRADED
  (EELV)                                PRODUCT         73937b662      83.781      2900       YES                         NO
GLAXOSMITHKLINE PLC SPONS ADR         COMMON EQUITY     37733w105      82.609      1761       YES                         NO
VANGUARD WORLD FDS CONSUM DIS ETF     EXCHANGE TRADED
                                        PRODUCT         92204a108      81.606       962       YES                         NO
ISHARES NASDAQ BIOTECHNOLOGY INDEX    EXCHANGE TRADED
  (IBB)                                 PRODUCT         464287556      79.965       500       YES                         NO
CHARLES SCHWAB CORP COM NEW           COMMON EQUITY     808513105      79.605      4500       YES                         NO
KINDER MORGAN                         COMMON EQUITY     49456b101      78.056      2018       YES                         NO
AARONS INC CL A                       COMMON EQUITY     002535300      77.422      2700       YES                         NO
MORGAN STANLEY COM NEW                COMMON EQUITY     617446448      75.018      3413       YES                         NO
ISHARES TR S^P U S PFD STK INDEX      EXCHANGE TRADED
  (PFF)                                 PRODUCT         464288687      74.233      1832       YES                         NO
iSHARES DOW JONES TECHNOLOGY SECTOR   EXCHANGE TRADED
                                        PRODUCT         464287721      73.896      1008       YES                         NO
GENERAL MILLS INC COM                 COMMON EQUITY     370334104      73.176      1484       YES                         NO
CHUBB CORP                            COMMON EQUITY     171232101      71.775       820       YES                         NO
EATON CORP                            COMMON EQUITY     g29183103      71.173      1162       YES                         NO
UBS RUSSELL 1000 GROWTH INDEX         PREFERRED EQUITY  90268u176      70.942      2180       YES                         NO
NAVIGANT CONSULTING                   COMMON EQUITY     63935n107      69.642      5300       YES                         NO
ABBOTT LABORATORIES                   COMMON EQUITY     2824100        69.157      1958       YES                         NO
SUNCOR ENERGY INC NEW COM             COMMON EQUITY     867224107      69.023      2300       YES                         NO
GOLDMAN SACHS GROUP                   COMMON EQUITY     38141g104      69.013       469       YES                         NO
SPDR WELLS FARGO PFD STOCK ETF (PSK)  EXCHANGE TRADED
                                        PRODUCT         78464a292        68.4      1500       YES                         NO
SHERWIN WILLIAMS CO                   COMMON EQUITY     824348106      67.556       400       YES                         NO
CATO CORP NEW CL A                    COMMON EQUITY     149205106      66.699      2763       YES                         NO
UNUMPROVIDENT CORP                    COMMON EQUITY     91529y106      66.698      2361       YES                         NO
ISHARES INC MSCI BRAZIL (EWZ)         EXCHANGE TRADED
                                        PRODUCT         464286400      65.376      1200       YES                         NO
BAXTER INTERNATIONAL INC              COMMON EQUITY     071813109       64.94       894       YES                         NO
ISHARES TR MSCI EMERGING MKTS INDEX   EXCHANGE TRADED
  (EEM)                                 PRODUCT         464287234      64.069      1498       YES                         NO
SELECT SECTOR SPDR TR ENERGY (XLE)    EXCHANGE TRADED
                                        PRODUCT         81369y506      63.289       798       YES                         NO
DIVDEND CAPITAL DIVERSIFIED PROPERTY  COMMON EQUITY     225994706      62.722      9306       YES                         NO
POWERSHARES US DOLLAR BULL (UUP)      EXCHANGE TRADED
                                        PRODUCT         73936d107      62.715      2775       YES                         NO
STARBUCKS CORP COM                    COMMON EQUITY     855244109      60.993      1071       YES                         NO
AMERICAN ELECTRIC POWER CO            COMMON EQUITY     025537101      60.982      1254       YES                         NO
PAYCHEX INC                           COMMON EQUITY     704326107      60.899      1737       YES                         NO
ING GROEP N V PERPETUAL HYBRID CAP
  SECS 6.                             PREFERRED EQUITY  456837608       59.76      2400       YES                         NO
PRAXAIR INC                           COMMON EQUITY     74005P104      59.228       531       YES                         NO
ENSCO PLC A                           COMMON EQUITY     g3157s106        57.6       960       YES                         NO
FMC CORP NEW                          COMMON EQUITY     302491303      57.543      1009       YES                         NO
METTLER TOLEDO INTL COM               COMMON EQUITY     592688105      57.356       269       YES                         NO
DR PEPPER SNAPPLE GROUP INC           COMMON EQUITY     26138e109       56.34      1200       YES                         NO
ABERCROMBIE & FITCH CO CL A           COMMON EQUITY     002896207      56.179      1216       YES                         NO
HONEYWELL INTL INC                    COMMON EQUITY     438516106       56.06       744       YES                         NO
HENRY SCHEIN INC                      COMMON EQUITY     806407102       55.53       600       YES                         NO
WACHOVIA PRF FDG CORP PERP PFD
  SECS SER A                          PREFERRED EQUITY  92977v206       54.78      2000       YES                         NO
XCEL ENERGY INC                       COMMON EQUITY     98389b100      54.589      1838       YES                         NO
ARCHER DANIELS MIDLAND CO             COMMON EQUITY     039483102      54.137      1605       YES                         NO
NVR INC COM                           COMMON EQUITY     62944t105      54.006        50       YES                         NO
MEDTRONIC INC                         COMMON EQUITY     585055106      53.769      1145       YES                         NO
PRUDENTIAL FINL INC COM               COMMON EQUITY     744320102      53.445       906       YES                         NO
MARKET VECTORS ETF SHORT MUNI INDEX   EXCHANGE TRADED
  (SMB)                                 PRODUCT         57060u803       53.43      3000       YES                         NO
GRUMA SAB                             COMMON EQUITY     400131306       52.68      3000       YES                         NO
XYLEM INC                             COMMON EQUITY     98419m100      52.364      1900       YES                         NO
ISHARES TR S^P SMALLCAP 600 INDEX     EXCHANGE TRADED
  (IJR)                                 PRODUCT         464287804      52.236       600       YES                         NO
RITE AID CORP                         COMMON EQUITY     767754104      52.134     27439       YES                         NO
WISDOMTREE TR INTL DIVID EX FINLS     EXCHANGE TRADED
  (DOO)                                 PRODUCT         97717w786      51.362      1220       YES                         NO
ABBVIE INC                            COMMON EQUITY     00287y109      51.301      1258       YES                         NO
POWERSHS AGRICULTURE FUND (DBA)       EXCHANGE TRADED
                                        PRODUCT         73936b408      51.282      1980       YES                         NO
EASTMAN CHEMICAL CO                   COMMON EQUITY     277432100      51.005       730       YES                         NO
COSTCO WHSL CORP                      COMMON EQUITY     22160k105      50.827       479       YES                         NO
TWO HBRS INVT CORP COM                COMMON EQUITY     90187b101       50.44      4000       YES                         NO
BLDRS INDEX FDS TR ASIA
  50 ADR INDEX FD                     OMMON EQUITY      09348r102      49.987      1850       YES                         NO
ROSS STORES INC                       COMMON EQUITY     778296103      49.648       819       YES                         NO
WELLS FARGO & CO NEW DEP SHS
  PERP PRFD A                         PREFERRED EQUITY  949746747      48.941      1920       YES                         NO
EMC CORP (MASS) COM                   COMMON EQUITY     268648102      48.329      2023       YES                         NO
CNB CORP CDT COM ISSUE INACTIVE       COMMON EQUITY     12612r105      47.952      1080       YES                         NO
ROCKWELL AUTOMATION INC COM
  FORMERLY ROCKW                      COMMON EQUITY     773903109      47.838       554       YES                         NO
VANGUARD WHITEHALL FDS                EXCHANGE TRADED
  HIGH DIVIDEND YIELD                   PRODUCT         921946406      47.411       865       YES                         NO
SPECTRA ENERGY PARTNERS               COMMON EQUITY     84756n109       47.22      1200       YES                         NO
PIMCO ETF TR 0-5 YR
  HIGH YIELD CORP (HYS)               COMMON EQUITY     72201r783      47.057       450       YES                         NO
COHEN & STEERS CLOSED END             EXCHANGE TRADED
  OPPORTUNITY FD                        PRODUCT         19248p106        46.9      3500       YES                         NO
AVON PRODS INC                        COMMON EQUITY     054303102      46.788      2257       YES                         NO
AUXILIUM PHARMACEUTICL                COMMON EQUITY     05334d107      46.683      2700       YES                         NO
HILLSHIRE BRANDS CO COM               COMMON EQUITY     432589109      46.152      1313       YES                         NO
LANCE INC                             COMMON EQUITY     833551104      45.721      1810       YES                         NO
DIEBOLD                               COMMON EQUITY     253651103       45.48      1500       YES                         NO
VANGUARD INDEX FDS REIT ETF (VNQ)     EXCHANGE TRADED
                                        PRODUCT         922908553      44.645       633       YES                         NO
ACTAVIS INC                           COMMON EQUITY     00507k103      42.371       460       YES                         NO
GLOBAL CHINA CONSUMER (CHIQ)          EXCHANGE TRADED
                                        PRODUCT         37950e408      42.142      3000       YES                         NO
TERADATA CORP DEL COM                 COMMON EQUITY     88076w103      40.957       700       YES                         NO
RAYTHEON CO COM NEW                   COMMON EQUITY     755111507      40.389       687       YES                         NO
CORNING INC COM                       COMMON EQUITY     219350105      40.123      3010       YES                         NO
THERMO FISHER SCIENTIFIC INC          COMMON EQUITY     883556102      39.775       520       YES                         NO
EBAY INC COM                          COMMON EQUITY     278642103      39.635       731       YES                         NO
MOLSON COORS BREWING CL B             COMMON EQUITY     60871r209      39.389       805       YES                         NO
PIONEER NAT RES CO COM                COMMON EQUITY     723787107      39.263       316       YES                         NO
VIACOM INC CL B                       COMMON EQUITY     92553p201       39.04       635       YES                         NO
POWERSHARES QQQ TR UNIT SER 1 (QQQQ)  EXCHANGE TRADED
                                        PRODUCT         73935a104      38.416       557       YES                         NO
KIMBERLY CLARK                        COMMON EQUITY     494368103      38.212       390       YES                         NO
LIBERTY MEDIA CORP DELAWARE CL A      COMMON EQUITY     531229102      38.066       341       YES                         NO
REYNOLDS AMERN INC COM                COMMON EQUITY     761713106      37.505       843       YES                         NO
MORGAN STANLEY CAP TR V CAP
  SECS PFD 5.75%                      PREFERRED EQUITY  617466206        37.5      1500       YES                         NO
YUM BRANDS INC COM                    COMMON EQUITY     988498101      37.337       519       YES                         NO
ASSURED GTY MUN HLDGS INC NT          PREFERRED EQUITY  04623a403      37.335      1500       YES                         NO
AON PLC SHARES                        COMMON EQUITY     g0408v102        36.9       600       YES                         NO
HSBC HLDGS PLC ADR SER A REP
  1/40 SER A 6.                       PREFERRED EQUITY  404280604      36.685      1450       YES                         NO
BHP BILLITON LTD                      COMMON EQUITY     088606108       36.61       535       YES                         NO
SANOFI AVENTIS SPONSORED ADR          COMMON EQUITY     80105n105      36.573       716       YES                         NO
MARKET VECTORS ETF TR GOLD MINERS     EXCHANGE TRADED
  (GDX)                                 PRODUCT         57060u100      36.525       965       YES                         NO
LORILLARD INC COM                     COMMON EQUITY     544147101      36.315       900       YES                         NO
ULTRA PETE CORP COM                   COMMON EQUITY     903914109       36.18      1800       YES                         NO
TEXAS INSTRUMENTS INC                 COMMON EQUITY     882508104       35.87      1011       YES                         NO
ITT CORP                              COMMON EQUITY     450911201      35.538      1250       YES                         NO
SHANGHAI ERFANGJI LTD SPONSORED ADR   COMMON EQUITY     819423104       35.53      5500       YES                         NO
ROCKWELL COLLINS INC COM              COMMON EQUITY     774341101      34.968       554       YES                         NO
GOLDMAN SACHS GROUP INC 5.95%
  PERPETUAL PF                        PREFERRED EQUITY  38145g209      34.535      1365       YES                         NO
VANGUARD INDEX FDS VANGUARD GROWTH    EXCHANGE TRADED
  (VUG)                                 PRODUCT         922908736      34.104       440       YES                         NO
GOLDMAN SACHS FLOATING PFD SERIES C   PREFERRED EQUITY  38144x609      33.964      1400       YES                         NO
POWERSHARES EXCHANGE TRADED INTL DIV  EXCHANGE TRADED
  (PID)                                 PRODUCT         73935x716       33.76      2000       YES                         NO
TJX COMPANIES INC (NEW)               COMMON EQUITY     872540109      33.473       716       YES                         NO
ZWEIG TOTAL RETURN FD INC COM NEW     EXCHANGE TRADED
  (ZTR)                                 PRODUCT         989837208      32.575      2500       YES                         NO
MARKET VECTORS ETF TR OIL SVCS ETF    EXCHANGE TRADED
                                        PRODUCT         57060u191      32.183       750       YES                         NO
VODAFONE GROUP PLC SPON ADR           COMMON EQUITY     92857w209      31.524      1110       YES                         NO
YAHOO INC COM                         COMMON EQUITY     984332106      30.588      1300       YES                         NO
COCA COLA BOTTLING CO                 COMMON EQUITY     191098102       30.16       500       YES                         NO
VIRGINIA HERITAGE BANK COM            COMMON EQUITY     927819102          30      2000       YES                         NO
RYDER SYS INC                         COMMON EQUITY     783549108      29.875       500       YES                         NO
DIRECT TV CLASS A                     COMMON EQUITY     25490a309      29.823       527       YES                         NO
INDEPENDENCE BANCSHARES INC           COMMON EQUITY     45338e107       29.75     35000       YES                         NO
BLACKROCK MUN INCOME TR II            CLOSED END        09249n101      29.328      1816       YES                         NO
WP CAREY & CO                         COMMON EQUITY     92936u109        29.1       432       YES                         NO
FIRST NATL BK SHELBY N C COM          COMMON EQUITY     33354p107        28.8       192       YES                         NO
ISHARES RUSSELL MIDCAP GROWTH INDEX   EXCHANGE TRADED
  (IWP)                                 PRODUCT         464287481      28.647       410       YES                         NO
AIR PRODUCTS & CHEMS INC              COMMON EQUITY     053015103      28.488       327       YES                         NO
FIRSTENERGY CORP COM                  COMMON EQUITY     337932107      28.485       675       YES                         NO
SAP AG SPONSORED ADR                  COMMON EQUITY     803054204      28.431       353       YES                         NO
WALGREEN CO                           COMMON EQUITY     931422109      27.893       585       YES                         NO
HARLEY DAVIDSON INC                   COMMON EQUITY     412822108      27.663       519       YES                         NO
ISHARES INC MSCI PACIFIC EX JAPAN     EXCHANGE TRADED
  INDEX FD                              PRODUCT         464286665      27.434       552       YES                         NO
US BANCORP DEL COM                    COMMON EQUITY     902973304      27.212       802       YES                         NO
FACEBOOK                              COMMON EQUITY     30303m102      26.706      1044       YES                         NO
WINDSTREAM CORP COM                   COMMON EQUITY     97381w104      26.647      3360       YES                         NO
HALLIBURTON CO COM                    COMMON EQUITY     406216101      26.428       654       YES                         NO
POWERSHARES WATER RESOURCES (PHO)     EXCHANGE TRADED
                                        PRODUCT         73935x575      26.427      1150       YES                         NO
TOTAL S A SPONSORED ADR               COMMON EQUITY     89151e109      26.005       542       YES                         NO
VAN KAMPEN AMERICAN CAPITAL           EXCHANGE TRADED
  MUNI OPP (VMO)                        PRODUCT         46132c107      25.899      1829       YES                         NO
SWEDISH ELEMENTS ROGERS COMMODITY     EXCHANGE TRADED
  (RJI)                                 PRODUCT         870297801       25.83      3000       YES                         NO
RENAISSANCERE HOLDINGS LTD
  PREF SHS C 6.08                     PREFERRED EQUITY  g7498p309       25.32      1000       YES                         NO
PROTECTIVE LIFE CORP                  COMMON EQUITY     743674103      25.203       704       YES                         NO
FPL GROUP CAP TR I PFD TR SECS
  CALLABLE                            PREFERRED EQUITY  30257v207      25.087       975       YES                         NO
WELLS FARGO MULTI SECTOR INCOME FD    EXCHANGE TRADED
  (ERC)                                 PRODUCT         94987d101      24.913      1520       YES                         NO
POWERSHARES S^P LOW VOLATILITY        EXCHANGE TRADED
  PORTFOLIO                             PRODUCT         73937b779      24.864       800       YES                         NO
HARSCO CORP                           COMMON EQUITY     415864107       24.72       998       YES                         NO
INTUITIVE SURGICAL INC COM NEW        COMMON EQUITY     46120e602       24.56        50       YES                         NO
BP PLC                                COMMON EQUITY     055622104      24.521       579       YES                         NO
ISHARES TR S^P GLOBAL ENERGY          EXCHANGE TRADED
  SECTOR INDEX                          PRODUCT         464287341      23.958       600       YES                         NO
MCGRAW HILL COMPANIES INC             COMMON EQUITY     580645109      23.748       456       YES                         NO
COLGATE PALMOLIVE CO                  COMMON EQUITY     194162103      23.606       200       YES                         NO
MANITOWOC INC                         COMMON EQUITY     563571108       23.32      1134       YES                         NO
CAROLINA BK LINCOLNTON NC             COMMON EQUITY     144200102       23.25      7500       YES                         NO
BLDRS INDEX FDS TR EMER MK 50 ADR     COMMON EQUITY     09348r300       23.16       600       YES                         NO
ISHARES TR S^P MIDCAP 400 INDEX (IJH) EXCHANGE TRADED
                                        PRODUCT         464287507      23.014       200       YES                         NO
FIRST AMERICAN FINANCIAL CORP         COMMON EQUITY     31847r102      23.013       900       YES                         NO
HATTERAS FINL CORP CUM REDEEMABLE
  PFD SER                             PREFERRED EQUITY  41902r400      22.959       910       YES                         NO
ING GROEP NV PERPETUAL DEBT
  SECS 7.05% CAL                      PREFERRED EQUITY  456837202      22.923       900       YES                         NO
ING GROEP N V                         COMMON EQUITY     456837103      22.899      3176       YES                         NO
POWERSHARES DYNAMIC HEALTHCARE (PTH)  EXCHANGE TRADED
                                        PRODUCT         73935X351      22.702       590       YES                         NO
NUVEEN QUALITY INCOME MUNICIPAL
  FD INC                              CLOSED END        670977107      22.342      1466       YES                         NO
PARKER HANNIFIN CORP COM              COMMON EQUITY     701094104      22.162       242       YES                         NO
DREYFUS HIGH YIELD STRATEGIES (DHF)   EXCHANGE TRADED
                                        PRODUCT         26200s101          22      5000       YES                         NO
SPDR MORGAN STANLEY TECHNOLOGY (MTK)  EXCHANGE TRADED
                                        PRODUCT         78464a102      21.956       300       YES                         NO
RYDEX GUGGENHEIM S^P 500 PURE GROWTH  EXCHANGE TRADED
  (RPG)                                 PRODUCT         78355w403      21.542       388       YES                         NO
TRIPADVISOR INC                       COMMON EQUITY     896945201      21.533       410       YES                         NO
RBS CAP FDG TR V GTD TR PFD
  SECS 5.90%                          PREFERRED EQUITY  74928K208       21.32      1000       YES                         NO
CORELOGIC INC                         COMMON EQUITY     21871d103      20.688       800       YES                         NO
ALPS ETF ALERIAN MLP (AMLP)           EXCHANGE TRADED
                                        PRODUCT         00162q866      20.591      1162       YES                         NO
BARCLAYS BK PLC CALL 3/15/13@25.00
  7.75%                               COMMON EQUITY     06739h511       20.52       800       YES                         NO
SLM CORP COM                          COMMON EQUITY     78442p106        20.5      1000       YES                         NO
POWERSHARES FINANCIAL PREFERRED (PGF) EXCHANGE TRADED
                                        PRODUCT         73935x229      20.383      1100       YES                         NO
DNP SELECT INCOME FD INC COM          CLOSED END        23325p104       20.28      2000       YES                         NO
BIOGEN IDEC INC                       COMMON EQUITY     09062x103      20.225       105       YES                         NO
TOTAL SYSTEMS SERVICES INC            COMMON EQUITY     891906109       20.22       816       YES                         NO
METLIFE INC COM                       COMMON EQUITY     59156r108      20.151       530       YES                         NO
VANGUARD TAX MGD EUROPE PACIFIC (VEA) EXCHANGE TRADED
                                        PRODUCT         921943858      20.037       550       YES                         NO
FEDEX CORP COM                        COMMON EQUITY     31428x106       19.64       200       YES                         NO
WISDOMTREE EMG MKTS YIELDING EQUITY   EXCHANGE TRADED
  (DEM)                                 PRODUCT         97717W315      19.271       350       YES                         NO
CLAYMORE/BNY MELLON FRONTIER MKTS     EXCHANGE TRADED
  (FRN)                                 PRODUCT         18383q838       19.09      1000       YES                         NO
WISDOMTREE TR SMALLCAP EARNING FD     EXCHANGE TRADED
  (EES)                                 PRODUCT         97717W562      19.011       300       YES                         NO
PROSHARES ULTRA BASIC MATERIALS (UYM) EXCHANGE TRADED
                                        PRODUCT         74347r776       18.89       500       YES                         NO
REGENERON PHARMA                      COMMON EQUITY     75886f107      18.699       106       YES                         NO
LUCENT TECHNOLOGIES CAP TR I
  CONV TR PFD S                       PREFERRED EQUITY  549462307       18.54        20       YES                         NO
TECO ENERGY INC COM                   COMMON EQUITY     872375100      18.301      1027       YES                         NO
PENN WEST ENERGY TR TR UNIT           COMMON EQUITY     707887105      18.292      1700       YES                         NO
ISHARES S^P GLOBAL CONS STAPLES       EXCHANGE TRADED
                                        PRODUCT         464288737      18.152       220       YES                         NO
GABELLI HEALTHCARE & WELLNESS (GRX)   EXCHANGE TRADED
                                        PRODUCT         36246k103       17.91      1800       YES                         NO
UNITEDHEALTH GROUP INC COM            COMMON EQUITY     91324p102      17.735       310       YES                         NO
HEWLETT PACKARD                       COMMON EQUITY     428236103      17.427       731       YES                         NO
MCKESSON CORP COM                     COMMON EQUITY     58155q103      17.274       160       YES                         NO
VANGUARD NAT RES LLCCOM UNIT          COMMON EQUITY     92205f106      17.058       600       YES                         NO
NEWCASTLE INVT CORP COM               COMMON EQUITY     65105m108      16.934      1516       YES                         NO
VANGUARD INDEX TOTAL STK MKT (VTV)    EXCHANGE TRADED
                                        PRODUCT         922908769      16.921       209       YES                         NO
MYLAN INC COM                         COMMON EQUITY     628530107      16.765       579       YES                         NO
ISHARES TR FTSE XINHUA HK CHINA (FXI) EXCHANGE TRADED
                                        PRODUCT         464287184      16.619       450       YES                         NO
REPUBLIC SVCS INC COM                 COMMON EQUITY     760759100        16.5       500       YES                         NO
MRC GLOBAL INC COM                    COMMON EQUITY     55345k103      16.465       500       YES                         NO
FLAHERTY & CRUMRINE CLAYMORE PFD
  SEC INC C                           PREFERRED EQUITY  338478100       16.36       800       YES                         NO
ISHARES TR S^P 500 VALUE              COMMON EQUITY     464287408      16.236       220       YES                         NO
AEGON N V ORD AMER REG                COMMON EQUITY     007924103      15.963      2656       YES                         NO
SIMON PPTY GROUP INC NEW COM          COMMON EQUITY     828806109      15.856       100       YES                         NO
SPX CORP                              COMMON EQUITY     784635104      15.792       200       YES                         NO
SENSIENT TECHNOLOGIES CORP COM        COMMON EQUITY     81725t100      15.636       400       YES                         NO
ING GROEP N V 8.5% PERPETUAL
  HYBRID CAP SE                       PREFERRED EQUITY  456837806       15.63       600       YES                         NO
PRICESMART INC COM                    COMMON EQUITY     741511109      15.566       200       YES                         NO
VALLEY NATL BANCORP COM               COMMON EQUITY     919794107       15.36      1500       YES                         NO
COUNTRYWIDE CAP V GTD CAP SECS
  7.00% 11/01                         PREFERRED EQUITY  222388209       15.33       600       YES                         NO
BANK AMER CORP 8.2% DEP SH REPSTG
  1/1000TH                            PREFERRED EQUITY  060505765      15.288       600       YES                         NO
MERRILL LYNCH PFD CAP TR III
  TR ORIG PFD S                       PREFERRED EQUITY  59021f206      15.276       600       YES                         NO
ALLIANZ SOCIETAS EUROPAEA SE
  8.375% UNDATE                       PREFERRED EQUITY  018805200      15.244       600       YES                         NO
MARSH & MCLENNAN COS INC COM          COMMON EQUITY     571748102      15.188       400       YES                         NO
HUNTINGTON BANCSHARES INC             COMMON EQUITY     446150104       15.16      2057       YES                         NO
MARATHON OIL CORP COM                 COMMON EQUITY     565849106       15.14       449       YES                         NO
EXPEDIA INC                           COMMON EQUITY     30212p303      15.004       250       YES                         NO
LIBERTY GLOBAL INC COM SER A          COMMON EQUITY     530555101       14.97       204       YES                         NO
FRONTIER COMMUNICATION COM            COMMON EQUITY     35906a108      14.959      3749       YES                         NO
PEABODY ENERGY CORP COM               COMMON EQUITY     704549104      14.911       705       YES                         NO
LIBERTY MEDIA HLDG CRP INT COM SER A  COMMON EQUITY     53071m104      14.382       673       YES                         NO
AETNA US HEALTHCARE INC               COMMON EQUITY     00817y108      14.163       277       YES                         NO
ISHARES TR RUSSELL MIDCAP INDEX FD    EXCHANGE TRADED
  (IWR)                                 PRODUCT         464287499      14.002       110       YES                         NO
GENESEE & WYO INC CL A                COMMON EQUITY     371559105      13.967       150       YES                         NO
CROWN CASTLE INTL CORP COM            COMMON EQUITY     228227104      13.928       200       YES                         NO
HUMANA INC                            COMMON EQUITY     444859102      13.822       200       YES                         NO
UNILEVER PLC SPON ADR                 COMMON EQUITY     904767704      13.686       324       YES                         NO
EXCEL TR INC COM                      COMMON EQUITY     30068c109       13.65      1000       YES                         NO
HARRIS TEETER SUPERMARKETS INC COM    COMMON EQUITY     414585109      13.539       317       YES                         NO
TIME WARNER CABLE INC COM             COMMON EQUITY     88732j207      13.448       140       YES                         NO
GOLDMAN SACHS GROUP INC NT 6 1/8%     PREFERRED EQUITY  38145x111       13.42       500       YES                         NO
ISHARES TR S^P500 GRW (IVW)           EXCHANGE TRADED
                                        PRODUCT         464287309      12.934       157       YES                         NO
V F CORP                              COMMON EQUITY     918204108      12.581        75       YES                         NO
SYNGENTA AG SPONSORED ADR             COMMON EQUITY     87160a100      12.563       150       YES                         NO
EOG RES INC COM                       COMMON EQUITY     26875p101      12.551        98       YES                         NO
PETSMART INC                          COMMON EQUITY     716768106       12.42       200       YES                         NO
ISHARES TR RUSSELL 2000 INDEX (IWM)   EXCHANGE TRADED
                                        PRODUCT         464287655      12.181       129       YES                         NO
LINN ENERGY LLC UNIT LTD LIAB         COMMON EQUITY     536020100      12.112       319       YES                         NO
NUVEEN PREMIUM INCOME MUNI FD INC     CLOSED END        67062T100      11.886       811       YES                         NO
ING GROEP                             COMMON EQUITY     n4578e413      11.858      1668       YES                         NO
FOREST LABS INC                       COMMON EQUITY     345838106      11.792       310       YES                         NO
MOTOROLA INC                          COMMON EQUITY     620076307      11.782       184       YES                         NO
KKR & CO                              COMMON EQUITY     48248m102      11.592       600       YES                         NO
AIR LEASE CORP CL A                   COMMON EQUITY     00912x302      11.435       390       YES                         NO
UNITED CONTL HLDGS INC COM            COMMON EQUITY     910047109      11.364       355       YES                         NO
VANGUARD WORLD HEALTH CARE (VHT)      EXCHANGE TRADED
                                        PRODUCT         92204a504      11.277       136       YES                         NO
SUBURBAN PROPANE PARTNERS L P UNIT
  LTD PAR                             COMMON EQUITY     864482104      11.125       250       YES                         NO
PINNACLE FOODS INC DEL COM            COMMON EQUITY     72348p104      11.105       500       YES                         NO
CAMPBELL SOUP CO                      COMMON EQUITY     134429109      11.022       243       YES                         NO
ILLINOIS TOOL WORKS INC COM           COMMON EQUITY     452308109      10.969       180       YES                         NO
GANNETT COMPANY INC                   COMMON EQUITY     364730101      10.935       500       YES                         NO
ISHARES MSCI AUSTRALIA INDEX (EWA)    EXCHANGE TRADED
                                        PRODUCT         464286103      10.897       403       YES                         NO
PAA NAT GAS STORAGE LP COM UNIT
  LTD PART I                          COMMON EQUITY     693139107      10.888       509       YES                         NO
EQUINIX INC                           COMMON EQUITY     29444u502      10.816        50       YES                         NO
MANAGED HIGH YIELD PLUS FD INC COM    COMMON EQUITY     561911108        10.8      5000       YES                         NO
PEPCO HLDGS INC COM                   COMMON EQUITY     713291102        10.7       500       YES                         NO
ENERGY TRANSFER PART LP               COMMON EQUITY     29273r109      10.696       211       YES                         NO
EGA EMG MARKETS CONSUMER TITANS       EXCHANGE TRADED
  (ECON)                                PRODUCT         268461779      10.636       400       YES                         NO
BROADCOM CORP CL A                    COMMON EQUITY     111320107      10.577       305       YES                         NO
KLA TENCOR CORP                       COMMON EQUITY     482480100      10.548       200       YES                         NO
SANDRIDGE ENERGY INC COM              COMMON EQUITY     80007p307       10.54      2000       YES                         NO
BARRICK GOLD CORP COM                 COMMON EQUITY     067901108      10.466       356       YES                         NO
ISHARES S^P GLOBAL INFO TECHNOLOGY    EXCHANGE TRADED
  (IXN)                                 PRODUCT         464287291      10.466       150       YES                         NO
CORPORATE BACKED TR CTFS DUKE
  CAP CORP NT                         PREFERRED EQUITY  21988g312        10.4       400       YES                         NO
TCP CAP CORP COM                      COMMON EQUITY     87238q103      10.374       650       YES                         NO
CORPORATE BACKED TR CTFS 2003-7
  BOEING CO                           PREFERRED EQUITY  21988g262      10.344       400       YES                         NO
COUSINS PPTYS INC PFD SER A 7.750%
  (REIT)                              PREFERRED EQUITY  222795304      10.256       400       YES                         NO
CITIGROUP CAP IX TR PFD SECS 6.00%
  CALLABL                             PREFERRED EQUITY  173066200      10.192       400       YES                         NO
NUVEEN NEW YORK AMT- FREE MUN
  INCOME FD                           COMMON EQUITY     670656107      10.144       703       YES                         NO
AXIS CAPITAL HLDGS LTD 7.25%
  SER A PFD CAL                       PREFERRED EQUITY  g0692u208      10.131       397       YES                         NO
CITIGROUP CAP X CAP SECS-TRUPS
  6.10% 09/30                         PREFERRED EQUITY  173064205       10.12       400       YES                         NO
STRATS TR FOR BELLSOUTH
  TELECOMMN CTFS 200                  PREFERRED EQUITY  784787202       10.12       400       YES                         NO
PIMCO ETF TR SHORT TERM MUN BD (SMMU) COMMON EQUITY     72201r874      10.098       200       YES                         NO
EDISON INTERNATIONAL                  COMMON EQUITY     281020107      10.064       200       YES                         NO
PPL CORP COM                          COMMON EQUITY     69351t106      10.051       321       YES                         NO
TEMPUR PEDIC INTL INC COM             COMMON EQUITY     88023u101       9.926       200       YES                         NO
CINCINNATI FINL CORP                  COMMON EQUITY     172062101       9.916       210       YES                         NO
EPL OIL & GAS INC COM                 COMMON EQUITY     26883D108       9.786       365       YES                         NO
UNITED STS STL CORP NEW COM           COMMON EQUITY     912909108        9.75       500       YES                         NO
IBERDROLA SA                          COMMON EQUITY     450737101       9.741       522       YES                         NO
SPDR BARCLAYS CAPITAL S-T MUNI BOND   EXCHANGE TRADED
  (SHM)                                 PRODUCT         78464a425        9.74       400       YES                         NO
ISHARES TR IBOXX USD INVT GRADE CORP  EXCHANGE TRADED
  (LQD)                                 PRODUCT         464287242       9.712        81       YES                         NO
DONNELLEY R R & SONS CO               COMMON EQUITY     257867101        9.64       800       YES                         NO
MARATHON PETROLEUM CORP               COMMON EQUITY     56585a102       9.587       107       YES                         NO
ISHARES COMEX GOLD TR ISHARES (IAU)   EXCHANGE TRADED
                                        PRODUCT         464285105       9.545       615       YES                         NO
DISCOVERY COMMUNICATIONS INC SER A    COMMON EQUITY     25470f104       9.528       121       YES                         NO
DAVITA INC COM                        COMMON EQUITY     23918k108       9.487        80       YES                         NO
H^R BLOCK                             COMMON EQUITY     093671105       9.356       318       YES                         NO
LULULEMON ATHLETICA INC COM           COMMON EQUITY     550021109       9.352       150       YES                         NO
WYNDHAM WORLDWIDE CORP COM            COMMON EQUITY     98310w108       9.027       140       YES                         NO
DELL COMPUTER                         COMMON EQUITY     24702r101       9.014       629       YES                         NO
SEAGATE TECHNOLOGY                    COMMON EQUITY     g7945m107       8.956       245       YES                         NO
FLUOR CORP NEW COM                    COMMON EQUITY     343412102       8.955       135       YES                         NO
JAZZ PHARMACEUTICALS PLC SHS          COMMON EQUITY     G50871105       8.946       160       YES                         NO
UPS CLASS A PRIVATE PLACEMENT         COMMON EQUITY     91199u996       8.934       104       YES                         NO
NATIONAL OILWELL VARCO INC            COMMON EQUITY     637071101       8.844       125       YES                         NO
ULTA SALON COSMETICS & FRAGRANCE INC
  COM                                 COMMON EQUITY     90384s303       8.779       108       YES                         NO
APPOLLO INVT CORP                     COMMON EQUITY     03761u106       8.611      1030       YES                         NO
INTERNATIONAL SPEEDWAY CORP CL A      COMMON EQUITY     460335201       8.497       260       YES                         NO
DISCOVERY COMMUNICATIONS INC SER C    COMMON EQUITY     25470f302       8.414       121       YES                         NO
POSCO SPON ADR                        COMMON EQUITY     693483109       8.403       114       YES                         NO
FLOWSERVE CORP COM                    COMMON EQUITY     34354p105       8.386        50       YES                         NO
BANCO SANTANDER SA                    COMMON EQUITY     05964h105       8.363      1228       YES                         NO
CONNECTICUT LIGHT & POWER CO PFD      PREFERRED EQUITY  207597832       8.363       179       YES                         NO
GOODYEAR TIRE & RUBBER COMPANY        COMMON EQUITY     382550101       8.256       655       YES                         NO
NOVACOPPER INC COM                    COMMON EQUITY     66988K102       8.235      4500       YES                         NO
FORTUNE BRANDS INC COM                COMMON EQUITY     073730103       8.133       128       YES                         NO
CANADIAN NATURAL RES LTD              COMMON EQUITY     136385101       8.097       252       YES                         NO
PULTE HOMES INC                       COMMON EQUITY     745867101       8.096       400       YES                         NO
LENOVO GROUP LTD SPONS ADR            COMMON EQUITY     526250105       7.946       400       YES                         NO
NEWS CORP CL A                        COMMON EQUITY     65248e104       7.933       260       YES                         NO
MERRILL LYNCH PFD CAP TR IV TR
  ORIGINATED                          PREFERRED EQUITY  59021g204       7.871       310       YES                         NO
HONG KONG ELEC HLDGS LTD              COMMON EQUITY     739197200       7.822       829       YES                         NO
LOCKHEED MARTIN CORP  COM             COMMON EQUITY     539830109       7.818        81       YES                         NO
MERRILL LYNCH CAP TR III 7.375%
  PFD SHS MA                          PREFERRED EQUITY  59025d207       7.743       300       YES                         NO
BHP BILLITON PLC ADR                  COMMON EQUITY     05545e209       7.606       131       YES                         NO
STARZ LIBERTY CAP COM SER A           COMMON EQUITY     85571q102       7.553       341       YES                         NO
NORTHROP GRUMMAN CORP                 COMMON EQUITY     666807102       7.436       106       YES                         NO
ATMOS ENERGY CORP.                    COMMON EQUITY     049560105       7.428       174       YES                         NO
REAVES UTIL INCOME FD COM
  SHS BEN INT                         COMMON EQUITY     756158101       7.414       280       YES                         NO
WAL MART DE MEXICO SA DE CV SPONS
  ADR ISIN                            COMMON EQUITY     93114w107       7.269       222       YES                         NO
ENTERGY CORP                          COMMON EQUITY     29364G103       7.209       114       YES                         NO
SMUCKER J M CO COM NEW                COMMON EQUITY     832696405        7.14        72       YES                         NO
NORTHEAST UTILITIES                   COMMON EQUITY     664397106       6.997       161       YES                         NO
INTERNATIONAL PAPER CO                COMMON EQUITY     460146103       6.987       150       YES                         NO
ACUITY BRANDS INC                     COMMON EQUITY     00508y102       6.935       100       YES                         NO
BARCLAYS BK PLC DJAIG CMDT ETN (DJP)  EXCHANGE TRADED
                                        PRODUCT         06738c778       6.905       170       YES                         NO
ALLIANZ NFJ DIVIDEND PREM STRATEGY
  (NFJ)                               COMMON EQUITY     01883a107       6.728       400       YES                         NO
AMERICAN CAPITAL LTD                  COMMON EQUITY     02503y103       6.714       460       YES                         NO
SPDR S^P OIL GAS EXPL & PRODTN (XOP)  EXCHANGE TRADED
                                        PRODUCT         78464a730       6.654       110       YES                         NO
WELLPOINT INC                         COMMON EQUITY     94973v107       6.623       100       YES                         NO
ROYCE VALUE TR INC (RUT)              EXCHANGE TRADED
                                        PRODUCT         780910105       6.551       435       YES                         NO
WAL MART DE MEXICO SA DE CV
  SHS SER V ISIN                      COMMON EQUITY     p98180105        6.54      2000       YES                         NO
MARKET VECTORS GOLD MINES (GDXJ)      EXCHANGE TRADED
                                        PRODUCT         57060u589       6.529       390       YES                         NO
STRYKER CORP                          COMMON EQUITY     863667101       6.524       100       YES                         NO
LIBERTY GLOBAL INCOME C               COMMON EQUITY     530555309       6.314        92       YES                         NO
GMAC LLC  MAT 12/16/44 CALLABLE
  12/16/09                            PREFERRED EQUITY  36186c509       6.305       250       YES                         NO
TYCO ELECTRONICS LTD SWITZERLAND      COMMON EQUITY     h84989104        6.29       150       YES                         NO
VANGUARD WORLD INFORMATION TECH (VGT) EXCHANGE TRADED
                                        PRODUCT         92204a702       6.269        86       YES                         NO
BROOKFIELD INFR PRT LP LP INT UNIT    COMMON EQUITY     g16252101        6.09       160       YES                         NO
BANK OF COMMERCE NC                   COMMON EQUITY     061590105           6      2000       YES                         NO
COACH INC COM                         COMMON EQUITY     189754104       5.999       120       YES                         NO
PETROLEO BRASILERIO SA ADR            COMMON EQUITY     71654v101        5.99       330       YES                         NO
CENTERPOINT ENERGY INC COM            COMMON EQUITY     15189t107       5.918       247       YES                         NO
SIRIUS XM RADIO INC COM               COMMON EQUITY     82967n108       5.914      1920       YES                         NO
APACHE CORP                           COMMON EQUITY     037411105       5.864        76       YES                         NO
NUVEEN MUNICIPAL VALUE FUND INC       CLOSED END        670928100       5.791       570       YES                         NO
HALOZYME THERAPEUTICS INC COM         COMMON EQUITY     40637h109       5.765      1000       YES                         NO
IAC INTERACTIVE CORP                  COMMON EQUITY     44919p508       5.719       128       YES                         NO
TESLA MTRS INC COM                    COMMON EQUITY     88160r101       5.684       150       YES                         NO
ISHARES DOW JONES US OIL & EQUIP      EXCHANGE TRADED
  (IEZ)                                 PRODUCT         464288844       5.623        98       YES                         NO
ENSTAR GROUP LIMITED                  COMMON EQUITY     G3075P101       5.593        45       YES                         NO
CENTERPOINT ENERGY INC ZERO PREMIUM
  EXCHAN                              PREFERRED EQUITY  15189t206       5.558       120       YES                         NO
ISHARES TR DJ US ENERGY               EXCHANGE TRADED
                                        PRODUCT         464287796       5.506       122       YES                         NO
RSTK CBEYOND COMMUNICATIONS INC       COMMON EQUITY     149847907       5.379       724       YES                         NO
MICRO SYS INC                         COMMON EQUITY     594901100        5.37       118       YES                         NO
ISHARES TR MSCI EAFE INDEX FD (EFA)   EXCHANGE TRADED
                                        PRODUCT         464287465       5.308        90       YES                         NO
ISHARES HIGH DIVIDEND EQUITY (HDV)    EXCHANGE TRADED
                                        PRODUCT         46429b663       5.229        80       YES                         NO
ANGLOGOLD ASHANTI LTD                 COMMON EQUITY     035128206       5.181       220       YES                         NO
J P MORGAN CHASE CAP X TR PFD
  SECS 7% CALL                        PREFERRED EQUITY  46623d200        5.14       200       YES                         NO
UNDER ARMOUR INC CL A                 COMMON EQUITY     904311107        5.12       100       YES                         NO
MERRILL LYNCH PFD CAP TR V TR
  ORIGINATED P                        PREFERRED EQUITY  59021k205       5.096       200       YES                         NO
WEYERHAEUSER CO                       COMMON EQUITY     962166104       5.052       161       YES                         NO
CBS CORP CL B                         COMMON EQUITY     124857202       5.043       108       YES                         NO
BED BATH & BEYOND INC                 COMMON EQUITY     075896100        4.96        77       YES                         NO
KROGER CO                             COMMON EQUITY     501044101       4.872       147       YES                         NO
NABORS INDS LTD                       COMMON EQUITY     g6359f103       4.866       300       YES                         NO
TOYOTA MTR CO SPON ADR                COMMON EQUITY     892331307       4.824        47       YES                         NO
DEVON ENERGY CORP                     COMMON EQUITY     25179m103       4.796        85       YES                         NO
FORTUNE BRANDS HOMES & SEC INC        COMMON EQUITY     34964c106       4.791       128       YES                         NO
SPEEDWAY MOTORSPORTS INC COM          COMMON EQUITY     847788106       4.767       265       YES                         NO
NETFLIX                               COMMON EQUITY     64110l106       4.732        25       YES                         NO
TIME WARNER INC COM NEW               COMMON EQUITY     887317303       4.667        81       YES                         NO
CA INC COM                            COMMON EQUITY     12673p105       4.532       180       YES                         NO
GENESCO INC                           COMMON EQUITY     371532102       4.507        75       YES                         NO
ISHARES DOW JONES US OIL & GAS (IEO)  EXCHANGE TRADED
                                        PRODUCT         464288851       4.473        61       YES                         NO
FEDERAL NATL MTG ASSN 8.25%
  SER T PFD SHS                       PREFERRED EQUITY  313586737       4.472      1300       YES                         NO
SWISHER HYGIENE INC                   COMMON EQUITY     870808102       4.445      3500       YES                         NO
ANGLO AMERICAN PLAT UNSPON ADR        COMMON EQUITY     03486t103       4.374       630       YES                         NO
GREENHAVEN CONTINUOUS COMMODITY INDEX EXCHANGE TRADED
                                        PRODUCT         395258106       4.346       154       YES                         NO
UTI WORLDWIDE INC                     COMMON EQUITY     g87210103       4.344       300       YES                         NO
C H ROBINSON WORLDWIDE INC            COMMON EQUITY     12541W209       4.341        73       YES                         NO
MEAD JOHNSON NUTRITION CO COM CL A    COMMON EQUITY     582839106        4.26        55       YES                         NO
BGC PARTNERS                          COMMON EQUITY     05541t101        4.16      1000       YES                         NO
MOLSON COORS BREWING CO SR NT CONV    CONVERTIBLE       60871raa8       4.128      4000       YES                         NO
CHESAPEAKE ENERGY CORP                COMMON EQUITY     165167107       4.082       200       YES                         NO
WEATHERFORD INTL                      COMMON EQUITY     h27013103       4.043       333       YES                         NO
NOVO NORDISK A.S. ADR FORMERLY NOVO
  INDUST                              COMMON EQUITY     670100205       4.038        25       YES                         NO
NATIONAL PRESTO INDS COM              COMMON EQUITY     637215104       4.025        50       YES                         NO
ROGERS INTL COMMODITY INDEX METALS    EXCHANGE TRADED
  (RJZ)                                 PRODUCT         870297405       4.019       400       YES                         NO
OPTICAL CABLE CORP COM NEW            COMMON EQUITY     683827208       3.976       941       YES                         NO
CHINA NEPSTAR CHAIN DRUGSTORE         COMMON EQUITY     16943c109        3.96      2000       YES                         NO
HOSPIRA INC                           COMMON EQUITY     441060100        3.94       120       YES                         NO
CB RICHARD ELLIS GROUP CL A           COMMON EQUITY     12504l109       3.788       150       YES                         NO
MASTERCARD INC CL A COM               COMMON EQUITY     57636q104       3.788         7       YES                         NO
TRAVELERS COS INC COM                 COMMON EQUITY     89417e109       3.704        44       YES                         NO
ISHARES TR S^P LATIN AMER 40 INDEX FD EXCHANGE TRADED
                                        PRODUCT         464287390       3.667        84       YES                         NO
BANK AMER CORP 7.25% NON CUM
  PERPETUAL CON                       PREFERRED EQUITY  060505682       3.666         3       YES                         NO
ASTRAZENECA PLC                       COMMON EQUITY     046353108       3.649        73       YES                         NO
DOLBY LABORATORIES INC CL A           COMMON EQUITY     25659t107        3.49       104       YES                         NO
INGERSOLL RAND PLC SHS                COMMON EQUITY     g47791101       3.466        63       YES                         NO
ACCENTURE PLC IRELAND                 COMMON EQUITY     g1151c101       3.419        45       YES                         NO
SALESFORCE.COM INC                    COMMON EQUITY     79466l302       3.398        19       YES                         NO
MEDIA GEN INC CL A                    COMMON EQUITY     584404107        3.35       564       YES                         NO
VERTEX PHARMACEUTICALS COM            COMMON EQUITY     92532f100       3.298        60       YES                         NO
KINDER MORGAN WT EXP 2/15/17          WARRANTS          49456b119        3.29       640       YES                         NO
GENERAL DYNAMICS CORP COM             COMMON EQUITY     369550108       3.243        46       YES                         NO
VMWARE INC CL A COM                   COMMON EQUITY     928563402       3.234        41       YES                         NO
WPX ENERGY                            COMMON EQUITY     98212b103       3.204       200       YES                         NO
ALLEGHANY CORP                        COMMON EQUITY     017175100       3.167         8       YES                         NO
DOVER CORP                            COMMON EQUITY     260003108       3.134        43       YES                         NO
ISHARES SILVER TR ISHARES (SLV)       EXCHANGE TRADED
                                        PRODUCT         46428q109       3.072       112       YES                         NO
GAZPROM L                             COMMON EQUITY     368287207        2.99       349       YES                         NO
BLACKBAUD INC                         COMMON EQUITY     09227q100       2.963       100       YES                         NO
MARKET VECTORS INDONESIA (IDX)        EXCHANGE TRADED
                                        PRODUCT         57060u753       2.899        90       YES                         NO
FRANKLIN RESOURCES INC                COMMON EQUITY     354613101       2.865        19       YES                         NO
SYNOVUS FINL CORP COM                 COMMON EQUITY     87161c105       2.834      1023       YES                         NO
CUBIST PHARMACEUTICALS COM            COMMON EQUITY     229678107       2.809        60       YES                         NO
PLUM CREEK TIMBER CO INC COM          COMMON EQUITY     729251108       2.767        53       YES                         NO
AMR CORP DEL PUB INCOME NT PINES
  7.875%                              PREFERRED EQUITY  001765866       2.713       100       YES                         NO
PROLOGIS                              COMMON EQUITY     74340w103       2.679        67       YES                         NO
GAP INC                               COMMON EQUITY     364760108       2.655        75       YES                         NO
CIT GROUP                             COMMON EQUITY     125581801       2.652        61       YES                         NO
GENERAL MOTORS                        COMMON EQUITY     37045v100       2.615        94       YES                         NO
KINROSS GOLD CORP COM NO PAR          COMMON EQUITY     496902404       2.593       327       YES                         NO
MICHAEL KORS HLDGS LTD SHS            COMMON EQUITY     g60754101       2.556        45       YES                         NO
PRICE T ROWE GROUP INC COM            COMMON EQUITY     74144t108       2.546        34       YES                         NO
MERRILL LYNCH CP TR II PFD GDR TR     PREFERRED EQUITY  59024t203       2.531       100       YES                         NO
WYNN RESORTS LTD COM                  COMMON EQUITY     983134107       2.503        20       YES                         NO
UBS AG                                COMMON EQUITY     h89231338       2.493       162       YES                         NO
PITNEY BOWES INC                      COMMON EQUITY     724479100       2.467       166       YES                         NO
ALPHA NAT RES INC COM                 COMMON EQUITY     02076x102       2.463       300       YES                         NO
INTERVAL LEISURE GROUP COM            COMMON EQUITY     46113m108       2.435       112       YES                         NO
BARCLAYS PLC                          COMMON EQUITY     06738e204       2.433       137       YES                         NO
LIBERTY INTERACTIVE CORP              COMMON EQUITY     53071m880       2.419        32       YES                         NO
OFFICE DEPOT INC COM                  COMMON EQUITY     676220106       2.397       610       YES                         NO
NIPPON TELEG & TELEPHONE CORP
  SPONSORED AD                        COMMON EQUITY     654624105       2.391       110       YES                         NO
CARDINAL HEALTH INC COM               COMMON EQUITY     14149y108       2.372        57       YES                         NO
NISSAN MOTOR LTD SPON ADR             COMMON EQUITY     654744408       2.335       121       YES                         NO
WABCO HLDGS INC COM                   COMMON EQUITY     92927k102       2.329        33       YES                         NO
CAMECO CORP COM                       COMMON EQUITY     13321l108       2.327       112       YES                         NO
DISCOVER FINL SVCS COM INC            COMMON EQUITY     254709108       2.242        50       YES                         NO
AMERICAN INTL GROUP WT                WARRANTS          026874156       2.219       146       YES                         NO
NOBLE ENERGY INC COM                  COMMON EQUITY     655044105       2.198        19       YES                         NO
PROSPECT CAP CORP COM                 COMMON EQUITY     74348t102       2.182       200       YES                         NO
AUSTRALIA & NEW ZEALAND BKG GROUP     COMMON EQUITY     052528304       2.171        73       YES                         NO
BANCO BILBAO VIZCAYA ARGENTARIA SA    COMMON EQUITY     05946k101       2.157       246       YES                         NO
BUNGE LIMITED 4.875% WITH CONV
  PERP PREF S                         PREFERRED EQUITY  g16962204        2.13        20       YES                         NO
NEWCREST MNG LTD SPONSORED ADR        COMMON EQUITY     651191108       2.111       101       YES                         NO
TRANSOCEAN LTD                        COMMON EQUITY     h8817h100       2.078        40       YES                         NO
ALLIANCE WORLD DOLLAR GOVT I          CLOSED END        01879R106       2.074       127       YES                         NO
ALPINE TOTAL DYNAMIC DIVID FD (AOD)   EXCHANGE TRADED
                                        PRODUCT         021060108       2.045       500       YES                         NO
RADIOSHACK CORP                       COMMON EQUITY     750438103       2.016       600       YES                         NO
FEDERAL HOME LN MTG CP PFD 8.375%
  NCM                                 PREFERRED EQUITY  313400624       1.992       600       YES                         NO
GM WARRANTS EXP 7/10/19 @18.33        WARRANTS          37045v118       1.986       107       YES                         NO
ABB LTD                               COMMON EQUITY     000375204        1.98        87       YES                         NO
PROTHENA CORP                         COMMON EQUITY     g72800108        1.96       293       YES                         NO
CENDANT                               COMMON EQUITY     053774105       1.948        70       YES                         NO
SEVEN & I HOLDINGS CO                 COMMON EQUITY     81783h105       1.922        29       YES                         NO
JOHN BEAN TECHNOLOGIES CORP COM       COMMON EQUITY     477839104       1.909        92       YES                         NO
YAMANA GOLD INC COM                   COMMON EQUITY     98462Y100       1.873       122       YES                         NO
PACCAR INC                            COMMON EQUITY     693718108       1.871        37       YES                         NO
BROADRIDGE FINL SOLUTIONS INC         COMMON EQUITY     11133t103       1.863        75       YES                         NO
PENTAIR LTD                           COMMON EQUITY     h6169q108       1.846        35       YES                         NO
MKT VECTORS RVE HARD ASSETS PRODUCER
  (HAP)                               COMMON EQUITY     57060u795       1.812        50       YES                         NO
ENI SPA                               COMMON EQUITY     26874r108       1.796        40       YES                         NO
INTERCONTINENTAL EXCH ANGE INC COM    COMMON EQUITY     45865v100       1.794        11       YES                         NO
ISHARES TR BARCLAYS 1-3 YR CR BD      EXCHANGE TRADED
  (CSJ)                                 PRODUCT         464288646       1.794        17       YES                         NO
ELEMENTS ROGERS AGRICULTURE (RJA)     EXCHANGE TRADED
                                        PRODUCT         870297603       1.776       200       YES                         NO
ISHARES TR DOW JONES U S REAL ESTATE  EXCHANGE TRADED
  INDEX                                 PRODUCT         464287739       1.737        25       YES                         NO
CAL MAINE FOODS INC COM               COMMON EQUITY     128030202       1.702        40       YES                         NO
LIVE NATION INC COM                   COMMON EQUITY     538034109        1.67       135       YES                         NO
SMITH A O CORP COMMON                 COMMON EQUITY     831865209       1.619        22       YES                         NO
SCBT FINL CORP COM                    COMMON EQUITY     78401v102       1.613        32       YES                         NO
ISHARES TR IBOXX HIGH YIELD CORP BD
  (HYG)                               EXCHANGE TRADED
                                        PRODUCT         464288513       1.604        17       YES                         NO
BLACKROCK CORPORATE HIGH YIELD (CYE)  EXCHANGE TRADED
                                        PRODUCT         09255m104       1.592       200       YES                         NO
CONTINENTAL RES INC COM               COMMON EQUITY     212015101       1.565        18       YES                         NO
BOSTON SCIENTIFIC CORP                COMMON EQUITY     101137107       1.562       200       YES                         NO
SPDR SER TR BARCLAYS HIGH YIELD BOND  EXCHANGE TRADED
  (JNK)                                 PRODUCT         78464a417       1.562        38       YES                         NO
TREASURY WINE ESTATES                 COMMON EQUITY     89465j109       1.548       261       YES                         NO
SPDR INDEX SHS FDS DOW JONES INTL     EXCHANGE TRADED
  REAL EST                              PRODUCT         78463x863       1.548        36       YES                         NO
CERNER CORP                           COMMON EQUITY     156782104       1.516        16       YES                         NO
ANHEUSER BUSCH INBEV SA NV
  SPONSORED ADR                       COMMON EQUITY     03524a108       1.493        15       YES                         NO
PDC ENERGY INC COM                    COMMON EQUITY     69327r101       1.487        30       YES                         NO
RAMCO GERSHENSON PPTYS TR COM
  SH BEN INT                          COMMON EQUITY     751452202       1.478        88       YES                         NO
ISHARES BARCLAYS TIPS BD PROTECTED    EXCHANGE TRADED
  (TIP)                                 PRODUCT         464287176       1.455        12       YES                         NO
BELDEN CDT INC                        COMMON EQUITY     077454106       1.446        28       YES                         NO
MOSAIC CO COM                         COMMON EQUITY     61945c103       1.431        24       YES                         NO
CAPITAL ONE FINL CORP COM             COMMON EQUITY     14040h105       1.429        26       YES                         NO
LSI CORP COM                          COMMON EQUITY     502161102       1.424       210       YES                         NO
TORONTO DOMINION BK COM NEW           COMMON EQUITY     891160509       1.416        17       YES                         NO
ALCATEL LUCENT SPON ADR               COMMON EQUITY     013904305       1.414      1063       YES                         NO
ALUMINA LTD                           COMMON EQUITY     022205108       1.406       305       YES                         NO
PHOTONICS CORP                        COMMON EQUITY     44980x109       1.395        21       YES                         NO
TELEFONICA S A ADR SPONS ADR          COMMON EQUITY     879382208       1.378       102       YES                         NO
PIMCO FLOATING RATE STRATEGY FD COM   EXCHANGE TRADED
  (PFN)                                 PRODUCT         72201j104       1.352       118       YES                         NO
QUICKSILVER RES INC COM               COMMON EQUITY     74837r104        1.35       600       YES                         NO
SOUTHWEST AIRLINES CO                 COMMON EQUITY     844741108       1.348       100       YES                         NO
SUPERGEN INC                          COMMON EQUITY     04624b103        1.34       300       YES                         NO
PANERA BREAD CO CL A                  COMMON EQUITY     69840w108       1.322         8       YES                         NO
SPDR DB INTL GOVT INFLATION PROTECT   EXCHANGE TRADED
                                        PRODUCT         78464a490       1.304        21       YES                         NO
CITRIX SYSTEMS INC                    COMMON EQUITY     177376100       1.299        18       YES                         NO
STILLWATER MINING CO COMMON STOCK     COMMON EQUITY     86074q102       1.293       100       YES                         NO
ESTEE LAUDER COS                      COMMON EQUITY     518439104       1.281        20       YES                         NO
ALASKA AIR GROUP                      COMMON EQUITY     011659109       1.279        20       YES                         NO
PINNACLE WEST CAPITAL CORP            COMMON EQUITY     723484101       1.274        22       YES                         NO
GM WARRANTS EXP 7/10/16 @10           WARRANTS          37045v126       1.262       107       YES                         NO
ROWAN COMPANIES PLC SHS CLASS A       COMMON EQUITY     g7665a101       1.238        35       YES                         NO
FORTINET INC COM                      COMMON EQUITY     34959e109       1.231        52       YES                         NO
NRG ENERGY INC COM NEW                COMMON EQUITY     629377508       1.219        46       YES                         NO
KOMATSU LTD                           COMMON EQUITY     500458401       1.211        51       YES                         NO
ALIGN TECHNOLOGY INC                  COMMON EQUITY     016255101       1.206        36       YES                         NO
CHICOS FAS INC                        COMMON EQUITY     168615102       1.176        70       YES                         NO
HARMAN INTL INDS INC COM              COMMON EQUITY     413086109        1.16        26       YES                         NO
CHINA MOBILE LTD                      COMMON EQUITY     16941m109       1.116        21       YES                         NO
STANDARD MOTOR PRODS INC COM          COMMON EQUITY     853666105       1.109        40       YES                         NO
FEDERAL NATL MTG ASSN PFD DIV 5.5%
  CALLABL                             PREFERRED EQUITY  313586828       1.102       200       YES                         NO
POTASH CORP OF SASKATCHEWAN INC COM   COMMON EQUITY     73755l107       1.099        28       YES                         NO
HUDSON CITY BANCORP COM               COMMON EQUITY     443683107        1.08       125       YES                         NO
MORGAN STANLEY INDIA INVT FD          EXCHANGE TRADED
                                        PRODUCT         61745c105       1.065        60       YES                         NO
NTT DOCOMO INC                        COMMON EQUITY     62942m201       1.041        70       YES                         NO
RYDEX GUGGENHEIM S^P MIDCAP 400
  GROWTH-RFG                          COMMON EQUITY     78355w601       1.011        10       YES                         NO
CAREFUSION CORP COM                   COMMON EQUITY     14170T101        0.98        28       YES                         NO
SPROTT PHYSICAL SILVER TR             COMMON EQUITY     85207k107       0.975        87       YES                         NO
NUANCE COMMUNICATIONS COM             COMMON EQUITY     67020y100       0.969        48       YES                         NO
EAST JAPAN RY CO ADR                  COMMON EQUITY     273202101       0.959        70       YES                         NO
MAGELLAN HEALTH SVCS INC COM NEW      COMMON EQUITY     559079207       0.951        20       YES                         NO
ROYAL GOLD INC                        COMMON EQUITY     780287108       0.923        13       YES                         NO
HUNTINGTON INGALLS                    COMMON EQUITY     446413106       0.907        17       YES                         NO
FEI COMPANY COMMON                    COMMON EQUITY     30241l109       0.904        14       YES                         NO
LLOYDS BANKING GROUP PLC SPONS ADR    COMMON EQUITY     539439109       0.897       299       YES                         NO
MFS CHARTER INCOME TRUST NEW          CLOSED END        552727109       0.892        88       YES                         NO
ALLIANCEBERNSTEIN INCOME FD INC (ACG) EXCHANGE TRADED
                                        PRODUCT         01881e101       0.882       108       YES                         NO
RPM INTL INC                          COMMON EQUITY     749685103       0.853        27       YES                         NO
GOLD FIELDS LTD NEW                   COMMON EQUITY     38059t106       0.845       109       YES                         NO
OLD DOMINION FREIGHT LINE INC COM     COMMON EQUITY     679580100        0.84        22       YES                         NO
PEABODY ENERGY CORP                   CONVERTIBLE       704549ag9       0.815      1000       YES                         NO
NATIONAL GRID PLC SPON ADR NEW        COMMON EQUITY     636274300       0.812        14       YES                         NO
MOTORS LIQ CO GUC TR COM              COMMON EQUITY     62010u101        0.81        30       YES                         NO
ORKLA A S SPONSORED ADR               COMMON EQUITY     686331109       0.809       101       YES                         NO
TIBCO SOFTWARE INC COM                COMMON EQUITY     88632q103       0.809        40       YES                         NO
GREAT PLAINS ENERGY INC COM           COMMON EQUITY     391164100       0.788        34       YES                         NO
UNILEVER N V N Y SHS NEW              COMMON EQUITY     904784709       0.779        19       YES                         NO
NUVEEN CALIF PREM INCOME MUN FD (NCU) COMMON EQUITY     6706l0102       0.778        50       YES                         NO
POWERSHARES GLOBAL EMERGING MARKETS   EXCHANGE TRADED
  (PCY)                                 PRODUCT         73936t573       0.774        26       YES                         NO
PUTNAM PREMIER INCOME                 CLOSED END        746853100        0.77       139       YES                         NO
J HANCOCK PFD INCOME FD III (HPS)     EXCHANGE TRADED
                                        PRODUCT         41021p103       0.769        39       YES                         NO
GUGGENHEIM ENHANCED SHORT DURATION    EXCHANGE TRADED
  (GSY)                                 PRODUCT         18383m654       0.754        15       YES                         NO
ASCENT MEDIA CORP                     COMMON EQUITY     043632108       0.744        10       YES                         NO
EDWARDS LIFESCIENCES                  COMMON EQUITY     28176e108       0.739         9       YES                         NO
BROCADE COMMUNICATIONS                COMMON EQUITY     111621306       0.721       125       YES                         NO
NCR CORP COM                          COMMON EQUITY     62886E108       0.717        26       YES                         NO
J HANCOCK PFD INCOME FD II (HPF)      EXCHANGE TRADED
                                        PRODUCT         41013x106       0.708        31       YES                         NO
PHH CORP COM NEW                      COMMON EQUITY     693320202       0.703        32       YES                         NO
HERBALIFE LTD COM USD SHS             COMMON EQUITY     g4412g101       0.674        18       YES                         NO
KRISPY KREME DOUGHNUTS COM            COMMON EQUITY     501014104       0.635        44       YES                         NO
ARMSTRONG WORLD INDS INC NEW COM      COMMON EQUITY     04247x102       0.615        11       YES                         NO
HSN INC COM                           COMMON EQUITY     404303109       0.603        11       YES                         NO
PIONEER FLOATING RATE TR COM (PHD)    EXCHANGE TRADED
                                        PRODUCT         72369j102       0.594        43       YES                         NO
TELSTRA LTD SPON ADR FINAL
  INSTALLMENT RPS                     COMMON EQUITY     87969n204       0.564        24       YES                         NO
BCE INC                               COMMON EQUITY     05534b760        0.56        12       YES                         NO
STEC INC COM                          COMMON EQUITY     784774101       0.557       126       YES                         NO
NUVEEN FLTNG RATE INCOME OPPTNTY      EXCHANGE TRADED
  (JRO)                                 PRODUCT         6706en100       0.556        41       YES                         NO
CONSOLIDATED EDISON INC COM           COMMON EQUITY     209115104       0.549         9       YES                         NO
DTE ENERGY CO COM                     COMMON EQUITY     233331107       0.547         8       YES                         NO
INTEGRA LIFESCIENCES                  COMMON EQUITY     457985208       0.546        14       YES                         NO
EARTHLINK INC COM                     COMMON EQUITY     270321102       0.541       100       YES                         NO
KIMCO REALTY CORP COM                 COMMON EQUITY     49446r109       0.538        24       YES                         NO
RF MICRO DEVICES INC COM              COMMON EQUITY     749941100       0.532       100       YES                         NO
PETROLEO BRASILEIRO SA PETROBRAS
  SPONSORED                           COMMON EQUITY     71654v408        0.53        32       YES                         NO
ISHARES INC MSCI SINGAPORE INDEX FD   EXCHANGE TRADED
                                        PRODUCT         464286673        0.53        38       YES                         NO
TRANSCANADA CORP                      COMMON EQUITY     89353d107       0.527        11       YES                         NO
KT CORP SPONSORED ADR                 COMMON EQUITY     48268k101       0.518        33       YES                         NO
SK TELECOM LTD SPONSORED ADR          COMMON EQUITY     78440p108       0.518        29       YES                         NO
BALLARD POWER SYSTEMS                 COMMON EQUITY     058586108       0.515       500       YES                         NO
ULTRATECH INC COM                     COMMON EQUITY     904034105       0.514        13       YES                         NO
EMERGING MKTS LOCAL CURRENCY DEBT     EXCHANGE TRADED
  (EMLC)                                PRODUCT         57060u522       0.514        19       YES                         NO
LINNCO LLC COM SHS REPSTG LTD
  LIABILITY                           COMMON EQUITY     535782106       0.508        13       YES                         NO
BLACKROCK CORPORATE HIGH YIELD FD     EXCHANGE TRADED
  (HYV)                                 PRODUCT         09255n102       0.503        38       YES                         NO
BLACKROCK CORPORATE HIGH YIELD FD     EXCHANGE TRADED
  (HYT)                                 PRODUCT         09255p107       0.503        39       YES                         NO
POWERSHARES SENIOR LOAN PORTFOLIO     EXCHANGE TRADED
  (BKLN)                                PRODUCT         73936q769       0.502        20       YES                         NO
VANGUARD BD INDEX INC TOTAL BOND      EXCHANGE TRADED
  (BND)                                 PRODUCT         921937835       0.502         6       YES                         NO
FUSION-IO INC COM                     COMMON EQUITY     36112j107       0.491        30       YES                         NO
FINISH LINE INC                       COMMON EQUITY     317923100        0.49        25       YES                         NO
TELECOM CORP OF NEW ZEALAND LTD
  SPONSORED                           COMMON EQUITY     879278208        0.48        49       YES                         NO
ISHARES JPM EMERGING MKT BOND         COMMON EQUITY     464288281       0.471         4       YES                         NO
PROSHARES ULTRASHORT EURO             EXCHANGE TRADED
                                        PRODUCT         74347w882        0.46        23       YES                         NO
ICAHAN ENTERPRISES                    COMMON EQUITY     451100101       0.436         8       YES                         NO
AXCELIS TECHNOLOGIES                  COMMON EQUITY     054540109       0.428       342       YES                         NO
ALCOA INC                             COMMON EQUITY     013817101       0.426        50       YES                         NO
BANK OF THE CAROLINAS                 COMMON EQUITY     06425j102        0.42       691       YES                         NO
MACYS INC COM                         COMMON EQUITY     55616p104       0.418        10       YES                         NO
TREE COM INC COM                      COMMON EQUITY     894675107       0.407        22       YES                         NO
CITIZENS REP BANCORP                  COMMON EQUITY     174420307       0.406        18       YES                         NO
EDGEWATER TECHNOLOGY                  COMMON EQUITY     280358102       0.398       100       YES                         NO
ALDILA INC COM NEW                    COMMON EQUITY     014384200       0.395       100       YES                         NO
NUVEEN MULTI STRATEGY INC & GROW      EXCHANGE TRADED
  (JPC)                                 PRODUCT         67073b106        0.39        38       YES                         NO
NORTHERN TRUST CORP                   COMMON EQUITY     665859104       0.382         7       YES                         NO
BANCO DO BRASIL S A SPONS ADR         COMMON EQUITY     059578104        0.38        28       YES                         NO
PENNEY J C INC                        COMMON EQUITY     708160106       0.378        25       YES                         NO
GARDNER DENVER INC COM                COMMON EQUITY     365558105       0.376         5       YES                         NO
ALEXANDRIA REAL ESTATE EQUITIES INC   COMMON EQUITY     015271109       0.355         5       YES                         NO
CABOT MICROELECTRONICS CORP COM       COMMON EQUITY     12709p103       0.348        10       YES                         NO
PENSKE AUTO GROUP INC COM             COMMON EQUITY     70959w103       0.334        10       YES                         NO
MILLER INDUSTRIES NEW                 COMMON EQUITY     600551204       0.321        20       YES                         NO
ERICSSON                              COMMON EQUITY     294821608       0.315        25       YES                         NO
SIMPSON MANUFACTURING CO              COMMON EQUITY     829073105       0.306        10       YES                         NO
SMART TECHNOLOGIES INC                COMMON EQUITY     83172r108       0.278       200       YES                         NO
ARKEMA                                COMMON EQUITY     041232109       0.273         3       YES                         NO
EATON VANCE TAX MGD BUY WRITE OPP     EXCHANGE TRADED
  (ETW)                                 PRODUCT         27829c105       0.258        23       YES                         NO
RADIAN GROUP INC COM                  COMMON EQUITY     750236101       0.257        24       YES                         NO
SCHWAB STRATEGIC TR US BROAD MKT
  (SCHB)                              COMMON EQUITY     808524102       0.228         6       YES                         NO
OI S A SPONS ADR REPSTG PFD           COMMON EQUITY     670851203        0.21        69       YES                         NO
MOBILE TELESYSTEMS OJSC SPONSORED
  ADR ISIN                            COMMON EQUITY     607409109       0.207        10       YES                         NO
BLACKROCK GLOBAL FLG                  COMMON EQUITY     091941104       0.205        13       YES                         NO
TRAVELCENTERS AMER LLC COM            COMMON EQUITY     894174101       0.192        20       YES                         NO
PEOPLES UTD FINL INC COM              COMMON EQUITY     712704105       0.188        14       YES                         NO
ROBERT HALF INTL INC                  COMMON EQUITY     770323103       0.188         5       YES                         NO
TELECOMUNICACOES DE SAO PAULO         COMMON EQUITY     87936r106       0.187         7       YES                         NO
COMPANHIA PARANAESE DE ENERGIA COPEL  COMMON EQUITY     20441b407       0.186        12       YES                         NO
CANNABIS SCIENCE INC                  COMMON EQUITY     137648101       0.185      3400       YES                         NO
KINDER MORGAN MGMT LLC SHS            COMMON EQUITY     49455u100       0.176         2       YES                         NO
PIPER JAFFRAY COS COM                 COMMON EQUITY     724078100       0.172         5       YES                         NO
SCHWAB STRATEGIC TR US SMALL CAP
  (SCHA)                              COMMON EQUITY     808524607       0.171         4       YES                         NO
IMPAC MTG HLDGS NEW                   COMMON EQUITY     45254p508       0.163        16       YES                         NO
BLUCORA INC                           COMMON EQUITY     095229100       0.155        10       YES                         NO
SIBANYE GOLD LTD                      COMMON EQUITY     825724206       0.153        27       YES                         NO
SUPERVALU INC                         COMMON EQUITY     868536103       0.146        29       YES                         NO
SCHWAB STRATEGIC TR INTL EQUITY
  (SCHF)                              COMMON EQUITY     808524805       0.139         5       YES                         NO
SCHWAB STRATEGIC TR US REIT (SCHH)    COMMON EQUITY     808524847       0.131         4       YES                         NO
SCHWAB STRATEGIC EMERGING MKTS EQ
  (SCHE)                              COMMON EQUITY     808524706       0.128         5       YES                         NO
MURPHY OIL CORP                       COMMON EQUITY     626717102       0.127         2       YES                         NO
FELCOR LODGING TR INC COM             COMMON EQUITY     31430f101       0.125        21       YES                         NO
HOST HOTELS & RESORTS INC             COMMON EQUITY     44107p104       0.122         7       YES                         NO
AOL INC.                              COMMON EQUITY     00184x105       0.115         3       YES                         NO
JACOBS ENGINEERING GROUP INC          COMMON EQUITY     469814107       0.112         2       YES                         NO
ACCO BRANDS CORP                      COMMON EQUITY     00081t108       0.107        16       YES                         NO
EATON VANCE ENHANCED EQUITY INCOME    EXCHANGE TRADED
  (EOI)                                 PRODUCT         278274105       0.105         9       YES                         NO
EAST WEST BANCORP INC COM             COMMON EQUITY     27579r104       0.103         4       YES                         NO
NEUTRAL TANDEM INC COM                COMMON EQUITY     64128b108       0.098        30       YES                         NO
SUNCOKE                               COMMON EQUITY     86722a103       0.098         6       YES                         NO
TUTOR PERINI CORP COM                 COMMON EQUITY     901109108       0.097         5       YES                         NO
PIMCO MUN INCOME FD II COM (PML)      EXCHANGE TRADED
                                        PRODUCT         72200w106        0.09         7       YES                         NO
EASTMAN KODAK CO COM                  COMMON EQUITY     277461109       0.087       291       YES                         NO
PROGRESS ENERGY CONTINGENT VALUE
  OBLIG                               COMMON EQUITY     743263aa3       0.075       300       YES                         NO
SANOFI CONTINGENT VALUE RTS
  EXP 12/31/20                        RIGHTS            80105n113       0.075        42       YES                         NO
AVIAT NETWORKS INC COM                COMMON EQUITY     05366y102       0.074        22       YES                         NO
WEBMD HEALTH CORP COM                 COMMON EQUITY     94770v102       0.073         3       YES                         NO
FNB UNITED CORP                       COMMON EQUITY     302519202       0.068         7       YES                         NO
AMR CORP                              COMMON EQUITY     001765106       0.058        14       YES                         NO
EACO CORP                             COMMON EQUITY     26824a205       0.057        22       YES                         NO
FANNIE MAE COM                        COMMON EQUITY     313586109       0.051       100       YES                         NO
LIFEPOINT HOSPITALS COM               COMMON EQUITY     53219l109       0.048         1       YES                         NO
LEHMAN BROS HLDGS D CAP TR IV
  PFD SER L  1                        PREFERRED EQUITY  52520b206       0.048       400       YES                         NO
STERLING CONSTRUCTION                 COMMON EQUITY     859241101       0.044         4       YES                         NO
PHOTOMEDEX INC COM PAR                COMMON EQUITY     719358301       0.032         2       YES                         NO
OI S A SPONSORED ADR                  COMMON EQUITY     670851104       0.027         8       YES                         NO
FINISAR CORP COM NEW                  COMMON EQUITY     31787A507       0.026         2       YES                         NO
PATRIOT COAL CORP COM                 COMMON EQUITY     70336t104       0.024       230       YES                         NO
ENTREMED INC COM NEW                  COMMON EQUITY     29382f202       0.018         9       YES                         NO
NEW ENERGY SYS GROUP COM              COMMON EQUITY     643847106       0.011        30       YES                         NO
FIRST NATL BANCSHARES INC S C COM     COMMON EQUITY     32111b104       0.009      1329       YES                         NO
AVAX TECHNOLOGIES INC COM             COMMON EQUITY     053495305       0.007       750       YES                         NO
ZEGARELLI GROUP INTL COM              COMMON EQUITY     989270103       0.005       400       YES                         NO
SYNTHEMED INC COM                     COMMON EQUITY     70319a106       0.003       167       YES                         NO
DIGITAL ANGEL CORP NEW                COMMON EQUITY     25383a200       0.002        35       YES                         NO
WELLS FARGO & CO NEW PFD DIVID
  EQUALIZATIO                         PREFERRED EQUITY  949746887       0.002         5       YES                         NO
STONE RESURCES LTD SHS                COMMON EQUITY     G85128109       0.001       167       YES                         NO
CITADEL BROADCASTING CORP             COMMON EQUITY     17285t106           0        16       YES                         NO
FINOVA GRP INC                        COMMON EQUITY     317928109           0       200       YES                         NO
FORTRESS INVT CORP COM                COMMON EQUITY     34956b207           0      1516       YES                         NO
ESCROW LEHMAN BROS HLDGS INC COM      COMMON EQUITY     524esc100           0        60       YES                         NO
ESC LEHMAN BROS HLDGS LKD NT S^P
  INDEX                               COMMON EQUITY     525esc414           0      5000       YES                         NO
TAYLOR COMPANIES                      COMMON EQUITY     876867102           0       100       YES                         NO
RSTK 3TEX INC SER C PFD STK           PREFERRED EQUITY  885995225           0     41667       YES                         NO
WELLS FARGO & CO DIVIDEND
  EQUAL 8% SER J                      PREFERRED EQUITY  kek746889           0    110800       YES                         NO
AIG WTS EX 1/13/13                    WARRANTS          acg874152           0    762793       YES                         NO
ADAL GROUP INC                        COMMON EQUITY     005473103           0        35       YES                         NO
AMBAC FINANCIAL GROUP INC             COMMON EQUITY     023139108           0         6       YES                         NO
AMERICAN HOME MTG INVT CORP           COMMON EQUITY     02660r107           0        29       YES                         NO
ESC CEF DWS RREEF REAL ESTATE
  FUND 11                             COMMON EQUITY     233esc987           0        19       YES                         NO
ENER1 INC                             COMMON EQUITY     29267a203           0       441       YES                         NO
IBSG INTL INC COM NEW                 COMMON EQUITY     449236207           0       120       YES                         NO
IFS INTL                              COMMON EQUITY     449515303           0      4000       YES                         NO
INFORMATION ARCHITECTS                COMMON EQUITY     45669r701           0         1       YES                         NO
INTERVISUAL BOOKS INC                 COMMON EQUITY     460918105           0      1200       YES                         NO
ESCROW MIRANT CORP COM NEW            COMMON EQUITY     604675991           0       640       YES                         NO
PAPERFREE MED SOLUTION COM            COMMON EQUITY     698830106           0        50       YES                         NO
SKYBRIDGE TECH GRP INC COM NEW        COMMON EQUITY     83082v504           0         1       YES                         NO
TAMIJA GOLD & DIAMOND COM             COMMON EQUITY     87509p107           0         1       YES                         NO
TELYNX INC CL A PAR 0.01              COMMON EQUITY     87972e308           0         2       YES                         NO
TOUCH AMER HLDGS INC                  COMMON EQUITY     891539108           0      2303       YES                         NO
YARC SYS INC                          COMMON EQUITY     984859108           0       500       YES                         NO
100,000THS FIRST HORIZON
  NATIONAL CORP                       COMMON EQUITY     DCA517101           0    031254       YES                         NO
100,000THS KINDER MORGAN MGMT LLC
  SHS                                 COMMON EQUITY     eke55u103           0    426565       YES                         NO
INNKEEPERS USA TR 8% PFD SER C
  CALLABLE 1/                         PREFERRED EQUITY  4576j0401           0       500       YES                         NO
RIO @62.50 JULY 2013                  OPTIONS           99qacl405       -0.01        -2       YES                         NO
HNR @12.50 JUN 2013                   OPTIONS           99qachba9      -0.025        -5       YES                         NO
DOW @36 SEP 2013                      OPTIONS           dow 130921      -0.12        -2       YES                         NO
QCOM @72.50 JULY 2013                 OPTIONS           99qaco0ej      -0.162        -2       YES                         NO
BK @30 JAN 2014                       OPTIONS           99qabluvt      -0.738        -6       YES                         NO
RRC @75 JUN 2013                      OPTIONS           99qachvbp       -1.56        -2       YES                         NO