Evensky & Katz

Evensky & Katz as of Dec. 31, 2012

Portfolio Holdings for Evensky & Katz

Evensky & Katz holds 0 positions in its portfolio as reported in the December 2012 quarterly 13F filing

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FORM 13F INFORMATION TABLE

    COLUMN 1                   COLUMN 2  COLUMN 3   COLUMN 4      COLUMN 5         COLUMN 6    COLUMN 7         COLUMN 8
                               TITLE OF              VALUE   SHRS OR SH/ PUT/     INVESTMENT   OTHER         VOTING   AUTHORITY
NAME OF ISSUER                  CLASS      CUSIP    (X$1000) PRN AMT PRN CALL     DISCRETION   MANAGERS        SOLE    SHARED NONE
--------------------------------------------------------------------------------------------------------------------------------
BARCLAYS 1-3 YR CREDIT BOND       A     464288646   11932     113127SH          SOLE        NONE           113127
DJ-UBS COMMODITY INDEX ETN        A     06738C778      47       1137SH          SOLE        NONE             1137
IPATH S^P 500 DYNAMIC VIX         A     06741L609   25786     560079SH          SOLE        NONE           560079
iSHARES MSCI EAFE                 A     464287465     793      13954SH          SOLE        NONE            13954
iSHARES MSCI EMERGING MKTS        A     464287234       2         48SH          SOLE        NONE               48
ISHARES MSCI EX-US		  A 	464288240       7        180SH          SOLE        NONE              180
iSHARES MSCI JAPAN                A     464286848       1        100SH          SOLE        NONE              100
iSHARES MSCI USA MIN VOLATILITY   A     46429B697    8833     304172SH          SOLE        NONE           304172
iSHARES S^P GLBL INDX             A     464287572       4         76SH          SOLE        NONE               76
iSHARES S^P MID VALUE             A     464287705   19533     221847SH          SOLE        NONE           221847
iSHARES S^P SM VALUE              A     464287879      45        568SH          SOLE        NONE              568
iSHARES TR DJ TOTAL MARKET        A     464287846      11        165SH          SOLE        NONE              165
iSHARES TR DJ US FINL             A     464287788       1         20SH          SOLE        NONE               20
iSHARES TR LEHMAN BD FD           A     464287226     285       2561SH          SOLE        NONE             2561
PIMCO ENHANCED SHORT MAT          A     72201R833   10095      99485SH          SOLE        NONE            99485
POWERSHARES S^P500 HIGH QUALITY   A     73935X682    9144     581706SH          SOLE        NONE           581706
POWERSHARES S^P500 LOW VOLATILITY A     73937B779    8681     313628SH          SOLE        NONE           313628
RUSSELL 1000 iSHARES              A     464287622     395       4991SH          SOLE        NONE             4991
RUSSELL 2000 iSHARES              A     464287655      85       1061SH          SOLE        NONE             1061
RUSSELL 2000 VALUE iSHARES        A     464287630     127       1692SH          SOLE        NONE             1692
RUSSELL 3000 iSHARES              A     464287689  100039    1204996SH          SOLE        NONE          1204996
RUSSELL MIDCAP VALUE iSHARES      A     464287473     384       7665SH          SOLE        NONE             7665
S^P 500 BARRA GROWTH iSHARES      A     464287309       7         95SH          SOLE        NONE               95
S^P 500 iSHARES                   A     464287200     407       2841SH          SOLE        NONE             2841
SCHWAB EMG MKT EQUITY ETF         A     808524706      61       2313SH          SOLE        NONE             2313
SCHWAB INTL EQUITY ETF            A     808524805     128       4752SH          SOLE        NONE             4752
SCHWAB INTL SMALL CAP ETF         A     808524888      43       1607SH          SOLE        NONE             1607
SCHWAB LG-CAP VALUE ETF           A     808524409      16        518SH          SOLE        NONE              518
SCHWAB US BROAD MKT ETF           A     808524102     315       9159SH          SOLE        NONE             9159
SCHWAB US SMALL-CAP ETF           A     808524607       7        209SH          SOLE        NONE              209
SPDR TRUST UNIT SR                A     78462F103      79        556SH          SOLE        NONE              556
VANGUARD DIV APPRECIATION         A     921908844      20        348SH          SOLE        NONE              348
VANGUARD IDX FDS GROWTH           A     922908736     433          6SH          SOLE        NONE                6
VANGUARD IDX FDS VALUE            A     922908744       2         45SH          SOLE        NONE               45
VANGUARD MEGA CAP 300 IDX         A     921910873    9288     190226SH          SOLE        NONE           190226
VANGUARD TOTAL BOND MKT           A     921937835    1852      22048SH          SOLE        NONE            22048
VANGUARD TOTAL STOCK MKT IDX      A     922908769    3092      42197SH          SOLE        NONE            42197

TOTAL                                              $211980 (x1000)