First Washington Corporation

First Washington Corporation as of March 31, 2012

Portfolio Holdings for First Washington Corporation

First Washington Corporation holds 0 positions in its portfolio as reported in the March 2012 quarterly 13F filing

                {C}       {C}
                                    FORM 13F INFORMATION TABLE

Column 1                            COLUMN 2            COLUMN 3  COLUMN 4  COLUMN 5          COLUMN 6COLUMNCOLUMN 8
                                                                  VALUE     SHRS OR    SH/PRN INVESTME OTHERVOTING AUTHORITY
NAME OF ISSUER                      TITLE CLASS        CUSIP      (x$1000)  PRN AMT   PUT/CALLDISCRET. MANAGSOLE  SHARED   NONE
--------                            --------          --------    --------  -----     -----   -----   ----- ----- ----- -----
ABBOTT LABS                         COM               002824100           31       500        SOLE                              500
ABITIBIBOWATER INC                  COM NEW           003687209         1134     79400        SOLE                            79400
ALASKA AIR GROUP                    COM               011659109         2092     58400        SOLE                            58400
ALPHA NATURAL RESOURCES INC         COM                02076X102          15      1000        SOLE                             1000
ALTRIA GROUP                        COM               02209S103           62      2000        SOLE                             2000
AMAZON COM INC                      COM               023135106           48       235        SOLE                              235
AMERICAN ELEC PWR INC               COM               025537101            4       100        SOLE                              100
AMERIGON INC                        COM               03070L300         3361    207700        SOLE                           207700
AMGEN                               COM               031162100           48       700        SOLE                              700
ANHEUSER BUSCH INBEV SA/N           SPONSORED ADR     03524A108           15       200        SOLE                              200
APPLE                               COM               037833100        27859     46466        SOLE                            46466
ARCH COAL INC                       COM               039380100           13      1200        SOLE                             1200
AUTOMATIC DATAPROC                  COM               053015103          267      4830        SOLE                             4830
AVISTA CORP                         COM               05379B107         2638    103120        SOLE                           103120
BANK AMER CORP                      COM               060505104          254     26500        SOLE                            26500
BANNER CORP                         COM NEW           06652V208         3452    156706        SOLE                           156706
BE AEROSPACE INC                    COM               073302101         4331     93200        SOLE                            93200
BERKSHIRE HATHAWAY                  CL A              084670108         9386        77        SOLE                               77
BERKSHIRE HATHAWAY                  CL B              084670702         4943     60911        SOLE                            60911
BLUEPHOENIX SOLUTIONS LTD           SHS               M20157117          135     85025        SOLE                            85025
BOEING CO                           COM               097023105          316      4245        SOLE                             4245
C^J ENERGY SVCS INC                 COM                12467B304        1526     85770        SOLE                            85770
CME GROUP INC                       COM               12572Q105        10891     37643        SOLE                            37643
CAMERON INTERNATIONAL CORP          COM               13342B105         1278     24200        SOLE                            24200
CAPITAL SR LIVING                   COM               140475104         3782    409354        SOLE                           409354
CATERPILLAR INC                     COM               149123101           11       100        SOLE                              100
CEMEX SAB DE CV                     SPON ADR NEW      151290889            0         4        SOLE                                4
CERNER CORP                         COM               156782104           26       345        SOLE                              345
CHART INDS INC                      COM PAR $0.01     16115Q308         2204     30050        SOLE                            30050
CHEVRON CORP NEW                    COM               166764100           11       100        SOLE                              100
CHINAEDU CORP                       SPON ADR          16945L107         3695    502735        SOLE                           502735
CHINACAST EDU CORP                  COM               16946T109         1314    309900        SOLE                           309900
CISCO SYSTEMS                       COM               17275R102         1005     47500        SOLE                            47500
COCA COLA COMPANY                   COM               191216100          459      6200        SOLE                             6200
COLUMBIA BKG SYS INC                COM               197236102           14       600        SOLE                              600
COSTCO WHSL CORP                    COM               22160K105          361      3980        SOLE                             3980
CRAY INC                            COM NEW           225223304         1099    150200        SOLE                           150200
CREXUS INVT CORP                    COM               226553105            8       775        SOLE                              775
CURENCYSHARES                       EURO SHS          23130C108           13       100        SOLE                              100
DELAWARE INV MN MUN INC FD I        COM               24610V103          219     15400        SOLE                            15400
DISNEY WALT CO                      COM DISNEY        254687106           14       312        SOLE                              312
EATON VANCE CORP                    COM NON VTG       278265103         1054     36870        SOLE                            36870
EMAGIN CORP                         COM NEW           29076N206         2535    780000        SOLE                           780000
EMERITUS CORP                       COM               291005106         4332    245300        SOLE                           245300
EXXON MOBIL CORP                    COM               30231G102           98      1132        SOLE                             1132
F5 NETWORKS INC                     COM                315616102        1401     10380        SOLE                            10380
FIDELITY NATL INFORMATION SV        COM               31620M106           19       565        SOLE                              565
FLEXSTEEL INDS INC                  COM               339382103          230     12680        SOLE                            12680
FLOTEK INDS INC DEL                 COM               343389102         1286    107000        SOLE                           107000
FORD MTR CO DEL                     COM PAR $0.01     345370860         2965    237700        SOLE                           237700
FORTINET INC                        COM               34959E109         2397     86675        SOLE                            86675
FRANKLIN RESOURCES                  COM               354613101           40       324        SOLE                              324
GENTEX CORP                         COM                  371901109        15       600        SOLE                              600
GLAXOSMITHKLINE PLC                 SPON ADR          37733W105            2        37        SOLE                               37
GOLDMAN SACHS GROUP INC             COM               38141G104           41       330        SOLE                              330
GOOGLE                              CL A              38259P508         3551      5537        SOLE                             5537
HELMERICH & PAYNE INC               COM               423452101         1381     25600        SOLE                            25600
HEWLETT PACKARD CO                  COM               428236103          524     22000        SOLE                            22000
INTEL CORP                          COM               458140100         4090    145480        SOLE                           145480
INTERNATIONAL BUSINESS MA           COM               459200101          207       990        SOLE                              990
INTUITIVE SURGICAL                  COM NEW           46120E602          507       936        SOLE                              936
ISHARES INC                         MSCI CDA INX      464286509           71      2500        SOLE                             2500
ISHARES TR                          FTSE CHINA25 IDX  464287184          148      4050        SOLE                             4050
ISHARES TR                          S^P 500 INDEX     464287200            0      1500        SOLE                             1500
ISHARES TR                          MSCIEMERGMKT      464287234         1560     36330        SOLE                            36330
ISHARES TR                          MSCI EAFE         464287465         1321     24060        SOLE                            24060
ISHARES TR                          RUSSELL MCP VL    464287473          341      7076        SOLE                             7076
ISHARES TR                          BARCLYS 1-3YR CR  464288646          504      4800        SOLE                             4800
JAMES RIVER COAL CO                 COM NEW            470355207           8      1500        SOLE                             1500
JOHNSON & JOHNSON                   COM               478160104          124      1875        SOLE                             1875
KINDER MORGAN ENERGY PARTNER        UT LTD PARTNER    494550106           22       265        SOLE                              265
KROGER CO                           COM               501044101            4       148        SOLE                              148
LSI CORPORATION                     COM                502161102        2510    289200        SOLE                           289200
LENNAR CORP                         CL A              526057104         3055    112400        SOLE                           112400
LEVEL 3 COMMUNICATIONS INC          COM NEW            52729N308        3073    119422        SOLE                           119422
LIMELIGHT NETWORKS INC              COM               53261M104         3038    923360        SOLE                           923360
M & T BK CORP                       COM               55261F104          802      9230        SOLE                             9230
MDU RES GROUP INC                   COM               552690109            2       100        SOLE                              100
MAGICJACK VOCALTEC LTD              SHS               M6787E101           22      1000        SOLE                             1000
MARCHEX INC                         CL B              56624R108         1008    225936        SOLE                           225936
MASTERCARD INC                      CL A              57636Q104           65       155        SOLE                              155
MCDONALDS CORP                      COM               580135101          948      9664        SOLE                             9664
MEDTRONIC INC                       COM               585055106          188      4799        SOLE                             4799
MERCK & CO INC NEW                  COM               58933Y105           32       837        SOLE                              837
METLIFE INC                         COM               59156R108           16       422        SOLE                              422
MICROSOFT CORP                      COM               594918104         5542    171812        SOLE                           171812
MYR GROUP INC                       COM               55405W104         1893    105970        SOLE                           105970
NETWORK EQUI TECH                   COM               641208103          896    837100        SOLE                           837100
NIKE INC                            CL B              654106103         2272     20950        SOLE                            20950
NORDSTROM INC                       COM               655664100          544      9770        SOLE                             9770
NORTHWEST NATL GAS                  COM               667655104         4066     89550        SOLE                            89550
NUVEEN PERFORMANCE PLUS M           COM               67062P108          149      9600        SOLE                             9600
NUVEEN QUALITY PFDINC FD            COM               67072C105           46      5303        SOLE                             5303
NUVEEN INSD MUN OPPORTUNI           COM               670984103          490     33552        SOLE                            33552
NUVEEN PREMIER INSD MUN I           COM               670987106          178     11858        SOLE                            11858
OMEROS CORP                         COM               682143102          448     45100        SOLE                            45100
OCCIDENTAL PETE CORP DEL            COM               674599105           29       300        SOLE                              300
PACCAR INC                          COM               693718108         3792     80982        SOLE                            80982
PFIZER INC                          COM               717081103           36      1610        SOLE                             1610
PHILIP MORRIS INTL INC              COM               718172109           24       275        SOLE                              275
PONIARD PHARMACEUTICALS INC         COM PAR $0.02      732449400           0        65        SOLE                               65
PROCTER & GAMBLE CO                 COM               742718109          202      3000        SOLE                             3000
PROSHARES TR                        PSHS ULT S^P 500  74347R107          117      2000        SOLE                             2000
PURE BIOSCIENCE                     COM               74621T100           41    165400        SOLE                           165400
QUALCOMM INC                        COM               747525103          665      9775        SOLE                             9775
RED LION HOTELS CORP                COM               756764106         6943    845700        SOLE                           845700
REYNOLDS AMERN INC                  COM               761713106           70      1700        SOLE                             1700
SPDR TR                             UNIT SER 1        78462F103         1753     12450        SOLE                            12450
SEADRILL LIMITED                    SHS               G7945E105          609     16265        SOLE                            16265
SERVICESOURCE INTL LLC              COM                81763U100        1390     89800        SOLE                            89800
STARBUCKS CORP                      COM               855244109         2801     50115        SOLE                            50115
STATE STREET CORP                   COM               857477103          172      3791        SOLE                             3791
STATOIL ASA                         SPONSORED ADR     85771P102          320     11800        SOLE                            11800
TW TELECOM INC                      COM               87311L104         1771     79930        SOLE                            79930
UNITED PARCEL SERVICE INC           CL B              911312106            4        50        SOLE                               50
US BANCORP DEL                      COM               902973304         1895     59803        SOLE                            59803
VANGUARD SPECIALIZED PORTFOL        DIV APP ETF       921908844           17       290        SOLE                              290
VERIZON COMMUNICATIONS INC          COM               92343V104         2642     69100        SOLE                            69100
VISHAY INTERTECHNOLOGY IN           COM               928298108         1009     83000        SOLE                            83000
VOLTERRA SEMICONDUCTOR CORP         COM               928708106         1072     31150        SOLE                            31150
WEIGHT WATCHERS INTL INC NEW        COM               948626106           25       330        SOLE                              330
WILLIAMS PARTNERS L P               COM UNIT L P      96950F104           25       435        SOLE                              435
WISDOMTREE TRUST                    EMERG MKTS ETF    97717W315          193      3349        SOLE                             3349
WISDOMTREE TRUST                    DIV EX-FINL FD    97717W406           15       282        SOLE                              282
XCEL ENERGY                         COM               98389B100           62      2360        SOLE                             2360
ZILLOW                              CL A              98954A107         2328     65400        SOLE                            65400