Exchange Capital Management

Exchange Capital Management as of Dec. 31, 2012

Portfolio Holdings for Exchange Capital Management

Exchange Capital Management holds 0 positions in its portfolio as reported in the December 2012 quarterly 13F filing

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                                                               VALUE    SHARES  SH/PUT/INVSTMT OTHER     VOTING AUTHORITY
NAME OF ISSUER                       TITLE OF CLASS  CUSIP     (x$1000) PRN AMT PRNCALLDSCRETN MANAGERS SOLE   SHARED NONE
--------------------------           --------------  --------  -------- ------- ------ ------  -------- ----   ------ ----
AT^T Inc.                            COM             00206R102        29     865SH     SOLE                 865      0     0
Agrium Inc.                          COM             008916108      2914   29175SH     SOLE               28995      0   180
Alcatel-Lucent Spon ADR              SPON ADR        013904305         0      19SH     SOLE                  19      0     0
Altria Group Inc                     COM             02209S103        71    2261SH     SOLE                2261      0     0
AmazonCom                            COM             023135106        24      95SH     SOLE                  95      0     0
America Movil SAB de C.V. Spon ADR   SPON ADR L SHS  02364W105         6     251SH     SOLE                 251      0     0
American Express Co                  COM             025816109      2001   34813SH     SOLE               34583      0   230
American International Group         COM NEW         026874107         3      75SH     SOLE                   0      0    75
Amgen Inc                            COM             031162100      2785   32305SH     SOLE               32125      0   180
Annaly Mortgage Management Inc.      COM             035710409        16    1149SH     SOLE                 149      0  1000
Aol Inc.                             COM             00184X105         0       1SH     SOLE                   1      0     0
Apache Corp                          COM             037411105      2054   26161SH     SOLE               25941      0   220
Apple Inc.                           COM             037833100       309     580SH     SOLE                 558      0    22
Archer Daniels Midland Co            COM             039483102      2036   74330SH     SOLE               73700      0   630
Audience Inc.                        COM             05070J102         3     300SH     SOLE                 300      0     0
Automatic Data Processing            COM             053015103        23     400SH     SOLE                 400      0     0
BCE Inc                              COM NEW         05534B109         2      57SH     SOLE                  57      0     0
Bank of America Corp                 COM             060505104         2     200SH     SOLE                   0      0   200
Bank of Montreal USA                 COM             063671101         2      35SH     SOLE                  35      0     0
Berkshire Hathaway Cl B              CL B NEW ADDED  084670702      2320   25860SH     SOLE               25690      0   170
BlackRock, Inc.                      COM             09247x101      2538   12277SH     SOLE               12197      0    80
Bristol-Myers Squibb Co              COM             110122108        29     883SH     SOLE                 883      0     0
CMS Energy                           COM             125896100        58    2379SH     SOLE                2379      0     0
CVS Caremark Corp                    COM             126650100      2758   57041SH     SOLE               56601      0   440
Canadian National Railway            COM             136375102      3555   39058SH     SOLE               38798      0   260
Caterpillar Inc                      COM             149123101      2151   24000SH     SOLE               23840      0   160
Celgene Corporation                  COM             151020104         8     100SH     SOLE                 100      0     0
CenturyLink Inc.                     COM             156700106         3      68SH     SOLE                  68      0     0
Cerner Corp                          COM             156782104      2374   30625SH     SOLE               30425      0   200
Check Pt Software Tech               ORD             M22465104      2521   52920SH     SOLE               52560      0   360
Chevron Corp                         COM             166764100        64     589SH     SOLE                 589      0     0
Cisco Sys Inc                        COM             17275r102         2     100SH     SOLE                 100      0     0
Coca-Cola Co                         COM             191216100         7     200SH     SOLE                 200      0     0
Cognizant Technology Solutions Corp. CL A            192446102        24     320SH     SOLE                 320      0     0
Comcast Corp Cl A                    CL A            20030N101         2      48SH     SOLE                  48      0     0
Comerica Inc                         COM             200340107         0      10SH     SOLE                  10      0     0
Comverse Inc.                        COM ADDED       20585P105        18     600SH     SOLE                   0      0   600
Comverse Technology Inc              COM PAR $0.10   205862402        23    6000SH     SOLE                   0      0  6000
Constellation Brands Inc             CL A            21036P108        25     706SH     SOLE                 706      0     0
Consumer Staples SPDR                SBI CONS STPLS  81369Y308         3      80SH     SOLE                   0      0    80
Cushing Rty & Income Fd Com Sh Ben InCOM             23164R104        19    1000SH     SOLE                   0      0  1000
Deere & Co                           COM             244199105        30     350SH     SOLE                 350      0     0
Delta Air Lines Inc New              COM NEW         247361702        10     853SH     SOLE                   0      0   853
Diamond Offshore Drilling            COM             25271C102         2      35SH     SOLE                  35      0     0
Dominion Resources Company           COM             25746U109         3      49SH     SOLE                  49      0     0
Domino's Pizza                       COM             25754a201        13     300SH     SOLE                 300      0     0
Duffs & Phelps Global Util Inc       COM             26433C105         8     500SH     SOLE                   0      0   500
Ebay Inc                             COM             278642103      2688   52710SH     SOLE               52370      0   340
Eli Lilly And Co                     COM             532457108         3      64SH     SOLE                  64      0     0
Energy Select Sector SPDR            SBI INT-ENERGY  81369Y506      1270   17786SH     SOLE               17131      0   655
Enterprise Products Part.            COM             293792107         3      56SH     SOLE                  56      0     0
Equity Residential                   COM             29476L107        65    1141SH     SOLE                1141      0     0
Expeditors International of WashingtoCOM             302130109      2198   55565SH     SOLE               55135      0   430
Exxon Mobil Corp                     COM             30231G102      2728   31524SH     SOLE               31294      0   230
Financial Federal Corp               COM             33738C103        21    1000SH     SOLE                   0      0  1000
First Solar Inc                      COM             336433107         3     100SH     SOLE                 100      0     0
Firstenergy Corp                     COM             337932107         2      56SH     SOLE                  56      0     0
Ford Motor Co                        COM PAR $0.01   345370860      2186  168809SH     SOLE              167779      0  1030
Franklin Res Inc                     COM             354613101      1897   15090SH     SOLE               14980      0   110
Frontier Communications Corp         COM             35906A108         0      32SH     SOLE                  32      0     0
General Electric Co                  COM             369604103        42    1984SH     SOLE                1984      0     0
Google Inc.                          CL A            38259p508      2958    4181SH     SOLE                4151      0    30
Harris Corporation                   COM             413875105      2294   46855SH     SOLE               46555      0   300
Hatteras Financial Corporation       COM             41902R103        25    1000SH     SOLE                   0      0  1000
Health Care REIT Inc                 COM             42217K106         3      44SH     SOLE                  44      0     0
Health Care Select Sector SPDR       SBI HEALTHCARE  81369Y209      1050   26320SH     SOLE               25330      0   990
Heinz (HJ)                           COM             423074103         3      44SH     SOLE                  44      0     0
Hologic, Inc.                        COM             436440101        23    1137SH     SOLE                1137      0     0
IBM Corp                             COM             459200101       102     530SH     SOLE                 530      0     0
ING Infrastructure Industrials       COM             45685u100         7     400SH     SOLE                   0      0   400
Ilumina Inc.                         COM             452327109        11     200SH     SOLE                   0      0   200
Industrial Select Sector SPDR        SBI INT-INDS    81369Y704         8     200SH     SOLE                 200      0     0
Intel Corp                           COM             458140100         4     175SH     SOLE                 175      0     0
JM Smucker Co                        COM NEW         832696405        45     518SH     SOLE                 518      0     0
JP Morgan Chase & Co                 COM             46625H100      2180   49577SH     SOLE               49228      0   349
Johnson & Johnson                    COM             478160104      2720   38800SH     SOLE               38560      0   240
KT Corp SP Adr                       SPONSORED ADR   48268K101         7     408SH     SOLE                 408      0     0
Kinder Morgan Energy Partners LP     UT LTD PARTNER  494550106         3      34SH     SOLE                  34      0     0
Kinder Morgan Inc                    COM             49455P101         1      41SH     SOLE                  41      0     0
Kraft Foods Inc                      CL A            50075N104        36     794SH     SOLE                 794      0     0
LRR Energy LP                        COM             50214A004         4     225SH     SOLE                   0      0   225
LSI Logic Corp                       COM             502161102         0       4SH     SOLE                   4      0     0
Laboratory Corporation of America HolCOM NEW         50540r409      2271   26215SH     SOLE               26035      0   180
Lifevantage Corp.                    COM             53222k106         1     250SH     SOLE                 250      0     0
Lockheed Martin Corp                 COM             539830109         3      28SH     SOLE                  28      0     0
Lorillard Inc.                       COM             544147101         3      23SH     SOLE                  23      0     0
Lululemon Athletica                  COM             550021109         8     100SH     SOLE                 100      0     0
Masco Corp                           COM             574599106         7     400SH     SOLE                 400      0     0
Materials Select Sector SPDR         SBI MATERIALS   81369Y100         9     250SH     SOLE                 250      0     0
McDonalds Corp                       COM             580135101      2555   28967SH     SOLE               28787      0   180
Merck & Co., Inc.                    COM             58933Y105         3      67SH     SOLE                  67      0     0
Microchip Technology Inc             COM             595017104         2      74SH     SOLE                  74      0     0
Microsoft Corp                       COM             594918104      2062   77204SH     SOLE               76584      0   620
Mondelez International Inc.          COM ADDED       609207105        61    2384SH     SOLE                2384      0     0
National Oilwell Varco Inc.          COM             637071101      2192   32072SH     SOLE               31872      0   200
Occidental Petroleum Corp            COM             674599105        67     880SH     SOLE                 880      0     0
Oceaneering Intl Inc                 COM             675232102      3046   56625SH     SOLE               56225      0   400
Oracle Corp                          COM             68389X105      2639   79210SH     SOLE               78690      0   520
Patterson Companies Inc              COM             703395103      1762   51465SH     SOLE               51155      0   310
Pepsico Inc                          COM             713448108      2371   34643SH     SOLE               34443      0   200
Pfizer Inc                           COM             717081103        10     394SH     SOLE                 394      0     0
Philip Morris International Inc.     COM             718172109      2612   31231SH     SOLE               30981      0   250
Plains All Amer Pipeline LP          UNIT LTD PARTN  726503105         3      67SH     SOLE                  67      0     0
PowerShares Aero & Defense           AERSPC DEF PTF  73935x690        14     650SH     SOLE                 650      0     0
PowerShares DB Gold Double Short     PS GOLD DS ETN  25154h756         3     762SH     SOLE                 762      0     0
PowerShares Developed Markets LeadersDWA DEVEL MKTS  73936q108       347   17205SH     SOLE               16945      0   260
PowerShares Dynamic Lg Cap Gr PortfolDYNM LRG CP GR  73935x609      1750   92425SH     SOLE               89070      0  3355
PowerShares FTSE RAFI Developed Mkts DEV MKTS EX-US  73936t789       338    9265SH     SOLE                9015      0   250
Powershares DB Commodity Index       CMDTY IDX TRA   73935S105        18     647SH     SOLE                 307      0   340
Powershares Dynamic Large Cap Value  DYNM LRG CP VL  73935X708      1487   68040SH     SOLE               65520      0  2520
Procter & Gamble Co                  COM             742718109        41     600SH     SOLE                 600      0     0
Qualcomm Inc                         COM             747525103      3167   51190SH     SOLE               50800      0   390
Radisys Corp                         COM             750459109         1     300SH     SOLE                 300      0     0
Realnetworks Inc.                    COM NEW         75605L708         0       2SH     SOLE                   2      0     0
Resmed Inc                           COM             761152107         7     180SH     SOLE                 180      0     0
Royal Dutch Shell Cl B ADR           SPON ADR B      780259107         2      31SH     SOLE                  31      0     0
Royal Dutch Shell PLC-ADR A          SPONS ADR A     780259206         0       1SH     SOLE                   1      0     0
S^P 500 Dep Receipt                  UNIT SER 1      78462F103      2471   17354SH     SOLE               16589      0   765
SPDR DJ Wilshire Total Market        TOTAL MKT       78464A805       261    2457SH     SOLE                2392      0    65
SPDR DJIA Trust                      ETF UT SER 1    78467X109         2      14SH     SOLE                   0      0    14
SPDR MSCI ACWI EX-US                 MSCI ACWI EXUS  78463X848       536   16663SH     SOLE               15939      0   724
SPDR S^P Midcap 400 ETF Trus         ETF TR UTSER1 S^78467Y107      1178    6341SH     SOLE                6146      0   195
Sequenom Inc                         COM NEW         817337405         7    1500SH     SOLE                   0      0  1500
Sirius XM Radio Inc.                 COM             82967N108         1     430SH     SOLE                 430      0     0
Spectra Energy Corp                  COM             847560109      2297   83890SH     SOLE               83300      0   590
Stryker Corp                         COM             863667101        32     580SH     SOLE                 580      0     0
Sturm Ruger & Company                COM             864159108         7     150SH     SOLE                 150      0     0
Sunrise Assisted Living Inc          COM             86768K106         3     230SH     SOLE                 230      0     0
Sysco Corp                           COM             871829107      2300   72633SH     SOLE               72203      0   430
Technology Select Sector SPDR        SBI INT-TECH    81369Y803       520   18015SH     SOLE               17365      0   650
Teco Energy Corp                     COM             872375100         7     410SH     SOLE                 410      0     0
Telefonica Spain - Spon ADR          SPONSORED ADR   879382208      1173   86953SH     SOLE               86353      0   600
Teva Pharmaceutical Industries Ltd -ASPONSORED ADR   881624209      1902   50949SH     SOLE               50609      0   340
The Goldman Sachs Group, Inc         COM             38141g104         4      30SH     SOLE                  30      0     0
Time Warner Cable Inc.               COM             88732J207         0       4SH     SOLE                   4      0     0
Time Warner Inc                      COM             887317105         1      16SH     SOLE                  16      0     0
Tortoise Power and Energy            COM             89147X104        25    1006SH     SOLE                   0      0  1006
Tractor Supply Company               COM             892356106         7      75SH     SOLE                  75      0     0
Travelers Group                      COM             89417e109        61     846SH     SOLE                 846      0     0
Unilever N V - Spon ADR              SHS NEW         904784709         7     180SH     SOLE                 180      0     0
United Technologies Corp             COM             913017109      3112   37944SH     SOLE               37654      0   290
Unitedhealth Group Inc.              COM             91324P102      2504   46158SH     SOLE               45828      0   330
Utilities Select Sector SPDR         SBI INT-UTILS   81369Y886        10     280SH     SOLE                 280      0     0
Valero Energy Corp                   COM             91913Y100      2961   86785SH     SOLE               86145      0   640
Vanguard REIT ETF                    ETF             922908553        31     475SH     SOLE                 475      0     0
Vanguard Total Stock Market VIPERs   STK MRK VIPERS  922908769        73    1000SH     SOLE                1000      0     0
Verizon Communications Inc           COM             92343V104      3031   70040SH     SOLE               69560      0   480
Visa Inc.                            CL A            92826C839      3870   25532SH     SOLE               25332      0   200
Vodafone Group PLC -Spon ADR         SPONSORED ADR   92857W209         0       8SH     SOLE                   8      0     0
Walt Disney Co                       COM DISNEY      254687106      3066   61581SH     SOLE               61171      0   410
Wells Fargo Company                  COM             949746101      2248   65775SH     SOLE               65285      0   490
Williams Partners L.P.               COM UNIT L P    96950F104         2      45SH     SOLE                  45      0     0
Windstream Corporation               COM             97381W104         7     874SH     SOLE                 874      0     0
WisdomTree Emerging Mkts Small Cap DiEMG MKTS SMCAP  97717w281      1835   37115SH     SOLE               36885      0   230
WisdomTree India Earnings Fund       INDIA ERNGS FD  97717w422      1719   88750SH     SOLE               88180      0   570
iShares DJ US Telecommunications     DJ US TELECOMM  464287713       397   16350SH     SOLE               15830      0   520
iShares MSCI Brazil                  MSCI BRAZIL     464286400      1993   35623SH     SOLE               35253      0   370
iShares MSCI EAFE Index Fund         MSCI EAFE IDX   464287465       832   14636SH     SOLE               14316      0   320
iShares MSCI Emerging Markets Index  MSCI EMERG MKT  464287234      3543   79883SH     SOLE               78854      0  1029
iShares MSCI Japan Index Fund        MSCI JAPAN      464286848        21    2150SH     SOLE                2150      0     0
iShares MSCI Singapore               MSCI SINGAPORE  464286673      2221  162215SH     SOLE              161215      0  1000
iShares Morningstar Core Index       LRGE CORE INDX  464287127      2187   26663SH     SOLE               25798      0   865
iShares NASDAQ Biotechnology Index FuNASDQ BIO INDX  464287556         9      65SH     SOLE                  65      0     0
iShares Russell Midcap Index         RUSSELL MIDCAP  464287499        11      94SH     SOLE                  94      0     0
iShares S^P 100 Index Fund           S^P 100 IDX FD  464287101       694   10721SH     SOLE               10331      0   390
iShares S^P Global Infrastrucure IndxS^P GLO INFRAS  464288372       510   14285SH     SOLE               13815      0   470
iShares S^P Global Materials         S^P GLB MTRLS   464288695       493    7898SH     SOLE                7678      0   220
iShares S^P Midcap 400/ Growth       S^P MC 400 GRW  464287606       991    8662SH     SOLE                8332      0   330
iShares S^P Midcap 400/ Value        S^P MIDCP VALU  464287705        14     160SH     SOLE                 160      0     0
iShares S^P SM Cap 600 Index FD      S^P SMLCAP 600  464287804      3239   41473SH     SOLE               40835      0   638
iShares S^P Smallcap 600/Growth      S^P SMLCP GROW  464287887        17     200SH     SOLE                 200      0     0
iShares S^P Smallcap 600/Value       S^P SMLCP VALU  464287879        15     180SH     SOLE                 180      0     0
streetTRACKS Gold Trust              GOLD SHS        78463v107        18     110SH     SOLE                 110      0     0
Powershares Build America Bond PortfoETF             73937b407      1464   48408SH     SOLE               48018      0   390
SPDR Barclays Capital High Yield BondBRCLYS YLD ETF  78464a417      6175  151685SH     SOLE              149158      0  2527
Western Asset Global High Income FundCOM             95766J102        28    2022SH     SOLE                2022      0     0
iShares Barclays 3-7 Year Treasury BoBARCLYS 3-7 YR  464288661      1223    9925SH     SOLE                9872      0    53
iShares Barclays Agency Bond Fund    AGENCY BD FD    464288166       823    7267SH     SOLE                7207      0    60
iShares Barclays Intermediate Credit BARCLYS INTER CR464288638      2878   25856SH     SOLE               25631      0   225
iShares Barclays TIP Bond Fund       US TIPS BD FD   464287176      5496   45268SH     SOLE               44917      0   351
iShares Intermediate Gov't/Credit    BARCLYS INTER GV464288612       241    2145SH     SOLE                2115      0    30
iShares Investop Corporate Bond Fund IBOXX INV CPBD  464287242       121    1003SH     SOLE                1003      0     0
iShares Lehman Aggregate Bond Fund   AGG BND         464287226         4      35SH     SOLE                  35      0     0
iShares iBoxx $ High Yield Corporate HIGH YLD CORP   464288513        69     743SH     SOLE                 743      0     0
Blackrock Municipal Target  Term     TR COM SHS BEN I09257P105        12     500SH     SOLE                   0      0   500
SPDR Barclays Short Term Municipal BoMUNI            78464a425       112    4600SH     SOLE                4600      0     0
iShares S^P National AMT-Free Bond FuS^P NTL AMTFREE 464288414       161    1455SH     SOLE                1455      0     0