Christopher Mullarkey as of Dec. 31, 2012
Portfolio Holdings for Christopher Mullarkey
Christopher Mullarkey holds 0 positions in its portfolio as reported in the December 2012 quarterly 13F filing
{S}{C}{C} Markston International LLC FORM 13F December 31, 2012 Voting Authority -------------------------- Value Shares/ Sh/ Put/ Invstmt Other Name of Issuer Title of class CUSIP (x$1000) Prn Amt Prn Call Dscretn Managers Sole Shared None ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- -------- 3M COMPANY common stock 88579Y101 10725 115512 SH Sole 115512 ABBOTT LABORATORIES common stock 002824100 12176 185892 SH Sole 185892 ACCURIDE CORPORATION common stock 00439T206 102 31899 SH Sole 31899 ADOBE SYSTEMS, INC. common stock 00724F101 1720 45635 SH Sole 45635 ADT CORPORATION common stock 00101J106 4978 107068 SH Sole 107068 AES CORPORATION (THE) common stock 00130H105 5534 517174 SH Sole 517174 AETNA, INC. common stock 00817Y108 27520 594260 SH Sole 594260 AGL RESOURCES, INC. common stock 001204106 1902 47589 SH Sole 47589 ALKERMES, INC. common stock G01767105 1381 74580 SH Sole 74580 ALLSTATE CORPORATION common stock 020002101 10621 264409 SH Sole 264409 AMC NETWORKS INC. common stock 00164V103 293 5925 SH Sole 5925 AMERICAN EXPRESS CO. common stock 025816109 30510 530789 SH Sole 530789 AMERICAN INTERNATIONAL GROUP, common stock 026874784 3239 91750 SH Sole 91750 AMERIPRISE FINANCIAL, INC. common stock 03076C106 8016 127982 SH Sole 127982 ANADARKO PETROLEUM CORP. common stock 032511107 16758 225513 SH Sole 225513 AON CORPORATION common stock G0408V102 6957 125102 SH Sole 125102 APACHE CORPORATION common stock 037411105 11059 140882 SH Sole 140882 APPLE, INC. common stock 037833100 44899 84369 SH Sole 84369 ARCHER DANIELS MIDLAND CO. common stock 039483102 4766 174021 SH Sole 174021 AT^T, INC. common stock 00206R102 14822 439688 SH Sole 439688 AUTOMATIC DATA PROCESSING, INC common stock 053015103 9963 174999 SH Sole 174999 BAKER HUGHES INC. common stock 057224107 2650 64883 SH Sole 64883 BANK OF AMERICA CORPORATION common stock 060505104 6332 545388 SH Sole 545388 BANK OF NEW YORK MELLON CORPOR common stock 064058100 5658 220148 SH Sole 220148 BAXTER INTERNATIONAL, INC. common stock 071813109 10779 161708 SH Sole 161708 BERKSHIRE HATHAWAY, INC. CLASS common stock 084670702 3052 34024 SH Sole 34024 BOEING COMPANY common stock 097023105 23902 317170 SH Sole 317170 BOSTON SCIENTIFIC CORPORATION common stock 101137107 219 38205 SH Sole 38205 BP PLC SPONSORED ADR common stock 055622104 465 11155 SH Sole 11155 BUNGE LIMITED common stock G16962105 4717 64898 SH Sole 64898 CABLEVISION SYSTEMS CORP. CL A common stock 12686C109 8296 555279 SH Sole 555279 CARDINAL HEALTH INC. common stock 14149Y108 3714 90199 SH Sole 90199 CAREFUSION CORPORATION common stock 14170T101 1530 53521 SH Sole 53521 CATERPILLAR, INC. common stock 149123101 15224 169892 SH Sole 169892 CELADON GROUP, INC. common stock 150838100 2040 112874 SH Sole 112874 CELGENE CORPORATION common stock 151020104 6907 88021 SH Sole 88021 CF INDUSTRIES HOLDINGS, INC. common stock 125269100 746 3670 SH Sole 3670 CHESAPEAKE ENERGY CORPORATION common stock 165167107 4232 254604 SH Sole 254604 CHEVRON CORPORATION common stock 166764100 12632 116812 SH Sole 116812 CHUBB CORPORATION common stock 171232101 9277 123167 SH Sole 123167 CISCO SYSTEMS, INC. common stock 17275R102 1415 72010 SH Sole 72010 CITIGROUP, INC. common stock 172967424 3611 91270 SH Sole 91270 CME GROUP, INC. common stock 12572Q105 7742 152795 SH Sole 152795 CMS ENERGY CORPORATION common stock 125896100 219 9000 SH Sole 9000 COCA-COLA COMPANY (THE) common stock 191216100 23085 636838 SH Sole 636838 COINSTAR INC. common stock 19259P300 9010 173241 SH Sole 173241 COLGATE-PALMOLIVE COMPANY common stock 194162103 3564 34090 SH Sole 34090 COMCAST CORP CL A common stock 20030N101 9863 263986 SH Sole 263986 CONOCOPHILLIPS common stock 20825C104 13783 237686 SH Sole 237686 CORNING,INC. common stock 219350105 3388 268476 SH Sole 268476 COVANTA HOLDING CORPORATION common stock 22282E102 4801 260619 SH Sole 260619 COVIDIEN PLC common stock G2554F113 12115 209815 SH Sole 209815 CSX CORPORATION common stock 126408103 4722 239327 SH Sole 239327 CVS CAREMARK CORPORATION common stock 126650100 17853 369252 SH Sole 369252 DELL, INC. common stock 24702R101 4786 472034 SH Sole 472034 DEVON ENERGY CORP. common stock 25179M103 13944 267953 SH Sole 267953 DIRECTV GROUP INC. common stock 25490A309 2358 47000 SH Sole 47000 DISCOVER FINANCIAL SERVICES, I common stock 254709108 14484 375721 SH Sole 375721 DOMINION RESOURCES, INC. common stock 25746U109 4591 88626 SH Sole 88626 DUKE ENERGY CORP. NEW common stock 26441C204 26952 422440 SH Sole 422440 DUPONT(E.I.) DE NEMOURS & CO. common stock 263534109 23450 521352 SH Sole 521352 EBAY, INC. common stock 278642103 28912 566920 SH Sole 566920 ELECTRONIC ARTS, INC. common stock 285512109 502 34543 SH Sole 34543 EOG RESOURCES, INC. common stock 26875P101 12117 100311 SH Sole 100311 EXPRESS SCRIPTS, INC. common stock 302182100 4476 82880 SH Sole 82880 EXTERRAN HOLDINGS, INC. common stock 30225X103 1641 74843 SH Sole 74843 EXXON MOBIL CORPORATION common stock 30231G102 12116 139992 SH Sole 139992 GENCORP, INC. common stock 368682100 1658 181164 SH Sole 181164 GENERAL ELECTRIC COMPANY common stock 369604103 22300 1062407 SH Sole 1062407 GOLDMAN SACHS GROUP, INC. common stock 38141G104 9556 74913 SH Sole 74913 GOOGLE, INC. common stock 38259P508 24355 34430 SH Sole 34430 HCP, INC. common stock 40414L109 12145 268943 SH Sole 268943 HESS CORPORATION common stock 42809H107 7549 142548 SH Sole 142548 HOME DEPOT, INC. common stock 437076102 11615 187789 SH Sole 187789 HONEYWELL INTERNATIONAL, INC. common stock 438516106 5703 89852 SH Sole 89852 HOSPIRA, INC. common stock 441060100 4324 138407 SH Sole 138407 ICG GROUP, INC. common stock 44928D108 558 48859 SH Sole 48859 INFINERA CORPORATION common stock 45667G103 842 144851 SH Sole 144851 INTEL CORP. common stock 458140100 8124 393981 SH Sole 393981 INTERNATIONAL BUSINESS MACHINE common stock 459200101 20022 104525 SH Sole 104525 J.C. PENNEY COMPANY, INC. common stock 708160106 2330 118236 SH Sole 118236 JACOBS ENGINEERING GROUP, INC. common stock 469814107 7230 169837 SH Sole 169837 JEFFERIES GROUP, INC. common stock 472319102 4633 249475 SH Sole 249475 JOHNSON & JOHNSON common stock 478160104 8391 119700 SH Sole 119700 JOHNSON CONTROLS, INC. common stock 478366107 2180 71083 SH Sole 71083 JPMORGAN CHASE & COMPANY common stock 46625H100 14885 338529 SH Sole 338529 KEY ENERGY SERVICES, INC. common stock 492914106 1173 168725 SH Sole 168725 KRAFT FOOD GROUP, INC. common stock 50076Q106 1552 34123 SH Sole 34123 KROGER CO. common stock 501044101 538 20664 SH Sole 20664 LEGG MASON, INC. common stock 524901105 529 20550 SH Sole 20550 LEUCADIA NATIONAL CORPORATION common stock 527288104 1998 83996 SH Sole 83996 LIBERTY MEDIA CORPORATION CL A common stock 530322106 52663 453953 SH Sole 453953 LIBERTY MEDIA HOLDING CORP.-IN common stock 53071M104 14798 751932 SH Sole 751932 LIBERTY VENTURES - SER A common stock 53071M880 3427 50571 SH Sole 50571 LOWE'S COMPANIES, INC. common stock 548661107 18973 534139 SH Sole 534139 MADISON SQUARE GARDEN COMPANY common stock 55826P100 9885 222878 SH Sole 222878 MARATHON OIL CORPORATION common stock 565849106 10210 332999 SH Sole 332999 MARATHON PETROLEUM CORPORATION common stock 56585A102 20254 321498 SH Sole 321498 MARSH & MCLENNAN COMPANIES, IN common stock 571748102 7274 211032 SH Sole 211032 MCDONALD'S CORP. common stock 580135101 13685 155140 SH Sole 155140 MEADWESTVACO CORP. common stock 583334107 2585 81115 SH Sole 81115 MEDTRONIC INC. common stock 585055106 9724 237050 SH Sole 237050 MERCK & CO. INC. common stock 58933Y105 10551 257716 SH Sole 257716 METLIFE, INC. common stock 59156R108 10472 317922 SH Sole 317922 MICROSOFT CORPORATION common stock 594918104 21939 821380 SH Sole 821380 MONDELEZ INTERNATIONAL, INC. common stock 609207105 2606 102383 SH Sole 102383 MONSANTO COMPANY common stock 61166W101 28884 305163 SH Sole 305163 MOSAIC COMPANY (THE) common stock 61945C103 2291 40454 SH Sole 40454 NATIONAL FUEL GAS COMPANY common stock 636180101 5541 109302 SH Sole 109302 NORTHERN TRUST COMPANY common stock 665859104 840 16740 SH Sole 16740 NORTHROP GRUMMAN CORP. common stock 666807102 4632 68539 SH Sole 68539 ORACLE CORPORATION common stock 68389X105 4021 120668 SH Sole 120668 ORBITAL SCIENCES CORP. common stock 685564106 2460 178668 SH Sole 178668 PENTAIR, INC. common stock H6169Q108 2525 51377 SH Sole 51377 PEPSICO, INC. common stock 713448108 20779 303653 SH Sole 303653 PFIZER, INC. common stock 717081103 5257 209600 SH Sole 209600 PHILIP MORRIS INTERNATIONAL, I common stock 718172109 1865 22300 SH Sole 22300 PHILLIPS 66 common stock 718546104 6247 117643 SH Sole 117643 POPULAR, INC. common stock 733174106 962 46255 SH Sole 46255 PROCTER & GAMBLE COMPANY common stock 742718109 10907 160653 SH Sole 160653 RAYTHEON COMPANY common stock 755111507 4415 76700 SH Sole 76700 ROCKWELL AUTOMATION, INC. common stock 773903109 11835 140910 SH Sole 140910 SANDISK CORPORATION common stock 80004C101 5346 122891 SH Sole 122891 SCHLUMBERGER LIMITED common stock 806857108 9105 131392 SH Sole 131392 SIRIUS XM RADIO, INC. common stock 82967N108 1708 591100 SH Sole 591100 SPECTRA ENERGY CORPORATION common stock 847560109 19132 698767 SH Sole 698767 ST. JOE COMPANY common stock 790148100 2621 113567 SH Sole 113567 STARBUCKS CORPORATION common stock 855244109 1052 19620 SH Sole 19620 STARWOOD HOTELS & RESORTS common stock 85590A401 11286 196766 SH Sole 196766 STATE STREET CORP. common stock 857477103 22185 471922 SH Sole 471922 STEC, INC. common stock 784774101 779 158057 SH Sole 158057 SUNLINK HEALTH SYSTEMS, INC. common stock 86737U102 59 49768 SH Sole 49768 TARGET CORPORATION common stock 87612E106 4495 75973 SH Sole 75973 TE CONNECTIVITY LTD. common stock H84989104 12092 325764 SH Sole 325764 TEVA PHARMACEUTICAL INDUSTRIES common stock 881624209 3144 84198 SH Sole 84198 TEXAS INSTRUMENTS common stock 882508104 3386 109602 SH Sole 109602 TIME WARNER CABLE, INC. common stock 88732J207 1644 16913 SH Sole 16913 TIME WARNER, INC. common stock 887317303 8559 178949 SH Sole 178949 TRAVELERS COMPANIES, INC. common stock 89417E109 29456 410134 SH Sole 410134 TYCO INTERNATIONAL, LTD. common stock H89128104 6264 214138 SH Sole 214138 U.S. BANCORP common stock 902973304 15594 488230 SH Sole 488230 UDR, INC. common stock 902653104 13477 566717 SH Sole 566717 UNION PACIFIC CORPORATION common stock 907818108 11180 88927 SH Sole 88927 UNITED STATES STEEL CORPORATIO common stock 912909108 258 10800 SH Sole 10800 UNITED TECHNOLOGIES CORPORATIO common stock 913017109 3166 38600 SH Sole 38600 VALSPAR CORP. common stock 920355104 1855 29720 SH Sole 29720 VALUECLICK, INC. common stock 92046N102 1971 101558 SH Sole 101558 VERISIGN, INC. common stock 92343E102 15790 406742 SH Sole 406742 VERIZON COMMUNICATIONS common stock 92343V104 5542 128080 SH Sole 128080 W.R. BERKLEY CORPORATION common stock 084423102 9615 254759 SH Sole 254759 WAL-MART STORES, INC. common stock 931142103 16242 238048 SH Sole 238048 WALGREEN COMPANY common stock 931422109 10203 275669 SH Sole 275669 WALT DISNEY COMPANY common stock 254687106 3122 62708 SH Sole 62708 WASTE MANAGEMENT, INC. common stock 94106L109 2459 72883 SH Sole 72883 WEATHERFORD INTERNATIONAL, LTD common stock H27013103 1550 138487 SH Sole 138487 WELLS FARGO & COMPANY common stock 949746101 16146 472385 SH Sole 472385 WEYERHAEUSER COMPANY common stock 962166104 7001 251650 SH Sole 251650 WILLIAMS COMPANIES, INC. common stock 969457100 4579 139870 SH Sole 139870 WYNDHAM WORLDWIDE CORPORATION common stock 98310W108 298 5600 SH Sole 5600 XEROX CORP. common stock 984121103 557 81640 SH Sole 81640 YAHOO! INC. common stock 984332106 1214 61000 SH Sole 61000 REPORT SUMMARY 161 DATA RECORDS 1396632 0 OTHER MANAGERS ON WHOSE BEHALF REPORT IS FILED