Greenwich Wealth Management

Greenwich Wealth Management as of March 31, 2012

Portfolio Holdings for Greenwich Wealth Management

Greenwich Wealth Management holds 0 positions in its portfolio as reported in the March 2012 quarterly 13F filing

                VALUE  SHARES/ SH/INVST  OT VOTING AUTHORITY
         NAME OF ISSUER          TITLE OF CLASS    CUSIP   (x$1000) PRN AMT PRNDSCRE MAN  SOLE  SHANONE
------------------------------   --------------- --------- ---------------- -----------------------------
{S}                              {C}                   {C} {C}     {C}      {C}{C}  {C} {C}     {C}{C}
ALCOA INC                        COM            013817101      1503      150SH SOLE N/A      150  0  0
AMERICA MOVIL SAB DE CV          SPON ADR L SHS 02364W105     12415      500SH SOLE N/A      500  0  0
AMERICAN TOWER CORP              CL A           029912201   1680.87   26.672SH SOLE N/A       27  0  0
AMPHENOL CORP NEW                CL A           032095101   1111.84   18.602SH SOLE N/A       19  0  0
APPLE INC                        COM            037833100   283.587    0.473SH SOLE N/A        0  0  0
APPLIED MATLS INC                COM            038222105    4276.1    343.6SH SOLE N/A      344  0  0
ARROW ELECTRS INC                COM            042735100   11331.9      270SH SOLE N/A      270  0  0
AVX Corp                         COM            002444107    159.12       12SH SOLE N/A       12  0  0
BAIDU INC. ADS                   SPON ADR REP A 056752108    291.54        2SH SOLE N/A        2  0  0
BANK OF AMERICA CORPORATION      COM            060505104   11002.6   1149.7SH SOLE N/A    1,150  0  0
BANK OF AMERICA CORPORATION      7.25%CNV PFD L 60505682    470.851    0.481SH SOLE N/A        0  0  0
BARD C R INC                     COM            067383109   338.116    3.425SH SOLE N/A        3  0  0
BEMIS CO. INC                    COM            081437105   330.165   10.225SH SOLE N/A       10  0  0
BLACKSTONE GROUP L P             COM UNIT LTD   09253U108   5579.67  350.042SH SOLE N/A      350  0  0
BOSTON SCIENTIFIC CORP           COM            101137107    64.584     10.8SH SOLE N/A       11  0  0
BP PLC                           SPONSORED ADR  055622104   6765.75   150.35SH SOLE N/A      150  0  0
CAPSTONE TURBINE CORP            COM            14067D102      10.2       10SH SOLE N/A       10  0  0
CENOVUS ENERGY INC               COM            15135U109     10782      300SH SOLE N/A      300  0  0
CHESAPEAKE ENERGY CORP           COM            165167107   3500.99    151.1SH SOLE N/A      151  0  0
CIGNA CORP                       COM            125509109      9850      200SH SOLE N/A      200  0  0
CISCO SYS INC                    COM            17275R102   9362.37  442.665SH SOLE N/A      443  0  0
CITIGROUP INC                    COM            172967101   9420.03   257.73SH SOLE N/A      258  0  0
COLDWATER CREEK INC              COM            193068103     19.72       17SH SOLE N/A       17  0  0
CONOCOPHILLIPS                   COM            20825C104   9007.19    118.5SH SOLE N/A      119  0  0
CORINTHIAN COLLEGES INC          COM            218868907   135.378     32.7SH SOLE N/A       33  0  0
COVENTRY HEALTH CARE INC         COM            222862104   8003.25      225SH SOLE N/A      225  0  0
COWEN GROUP INC NEW              CL A           223622101    1021.3  376.864SH SOLE N/A      377  0  0
CREDIT SUISSE GROUP              SPONSORED ADR  225401108   6072.63      213SH SOLE N/A      213  0  0
CYS INVESTMENTS INC.             COM            12673A108   255.896   19.549SH SOLE N/A       20  0  0
DENDREON CORP                    COM            24823Q107   132.655    12.45SH SOLE N/A       12  0  0
DEVON ENERGY CORP                COM            25179M103    4267.2       60SH SOLE N/A       60  0  0
DIAMOND OFFSHORE DRILLING IN     COM            25271C102   15379.2    230.4SH SOLE N/A      230  0  0
DOW CHEM CO                      COM            260543103   10398.9    300.2SH SOLE N/A      300  0  0
DRYSHIPS INC                     SHS            Y2109Q101     85.26     24.5SH SOLE N/A       25  0  0
DU PONT E I DE NEMOURS & CO      COM            263534109   7966.74    150.6SH SOLE N/A      151  0  0
EBAY INC                         COM            278642103    6900.3      187SH SOLE N/A      187  0  0
ENCANA CORP                      COM            292505104      5895      300SH SOLE N/A      300  0  0
ENDO PHARMACEUTICALS HLDGS I     COM            29264F205   11634.5    300.4SH SOLE N/A      300  0  0
ENSCO INTL INC                   COM            26874Q100     10735  202.815SH SOLE N/A      203  0  0
EXCO RESOURCES INC               COM            269279402   9706.32     1464SH SOLE N/A    1,464  0  0
EXELIS INC                       COM            30162A108   202.824     16.2SH SOLE N/A       16  0  0
FIRST SOLAR INC                  COM            336433107   209.543    8.365SH SOLE N/A        8  0  0
FLEXTRONICS INTL LTD             ORD            Y2573F102      7220     1000SH SOLE N/A    1,000  0  0
FORD MTR CO DEL                  COM PAR $0.01  345370860   314.931   25.245SH SOLE N/A       25  0  0
FRANKLIN RES INC                 COM            354613101   18604.5      150SH SOLE N/A      150  0  0
FREEPORT-MCMORAN COPPER & GO     COM            35671D857   38052.9  1000.34SH SOLE N/A    1,000  0  0
FRONTIER COMMUNICATIONS CORP     COM            35906A108    308.63   74.012SH SOLE N/A       74  0  0
GFI GROUP INC                    COM            361652209   884.728    235.3SH SOLE N/A      235  0  0
GILEAD SCIENCES INC              COM            375558103   887.688   18.168SH SOLE N/A       18  0  0
GLAXOSMITHKLINE PLC              SPONSORED ADR  37733W105   5685.61    126.6SH SOLE N/A      127  0  0
GOLDMAN SACHS GROUP INC          COM            38141G104   18663.6  150.065SH SOLE N/A      150  0  0
GOOGLE INC                       CL A           38259P508    3319.7    5.177SH SOLE N/A        5  0  0
GROUP 1 AUTOMOTIVE INC           COM            398905109   25725.9      458SH SOLE N/A      458  0  0
HEALTH NET INC                   COM            42222G108      7944      200SH SOLE N/A      200  0  0
HEWLETT PACKARD CO               COM            428236103   15155.9      636SH SOLE N/A      636  0  0
HOME DEPOT INC                   COM            437076102   15218.8    302.5SH SOLE N/A      303  0  0
HSN INC                          COM            404303109   897.508     23.6SH SOLE N/A       24  0  0
HUMANA INC                       COM            444859102   18865.9      204SH SOLE N/A      204  0  0
IAC INTERACTIVECORP              COM NEW        44919P300   2896.31       59SH SOLE N/A       59  0  0
ILLINOIS TOOL WKS INC            COM            452308109   329.868    5.775SH SOLE N/A        6  0  0
INGERSOLL-RAND COMPANY LTD       CL A           G4776G101     12405      300SH SOLE N/A      300  0  0
INTEL CORP                       COM            458140100   11771.8    418.7SH SOLE N/A      419  0  0
INTERACTIVE BROKERS GROUP IN     COM            45841N107   3475.48   204.44SH SOLE N/A      204  0  0
INTERNATIONAL BUSINESS MACHS     COM            459200101   14730.7     70.6SH SOLE N/A       71  0  0
INTERVAL LEISURE GROUP INC       COM            46113M108    410.64     23.6SH SOLE N/A       24  0  0
INVESTMENT TECHNOLOGY GRP NE     COM            46145F105   3045.02    254.6SH SOLE N/A      255  0  0
iShares S^P U.S. Preferred Stock US PFD STK IDX 464288687   1049.59   26.885SH SOLE N/A       27  0  0
ISHARES TR                       MSCI EMERG MKT 464287234   263.768    6.142SH SOLE N/A        6  0  0
ISHARES TR                       MSCI EAFE IDX  464287465    304.64     5.55SH SOLE N/A        6  0  0
ISHARES TR                       RUSSELL1000GRW 464287614   335.026     5.07SH SOLE N/A        5  0  0
ISHARES TR                       RUS200 IDX ETF 464289446    520.13    6.281SH SOLE N/A        6  0  0
ISTAR FINL INC                   COM            45031U101      2175      300SH SOLE N/A      300  0  0
JABIL CIRCUIT INC                COM            466313103   10550.4      420SH SOLE N/A      420  0  0
JDS UNIPHASE CORP                COM PAR $0.001 46612J507    2173.5      150SH SOLE N/A      150  0  0
JOHNSON & JOHNSON                COM            478160104   424.453    6.435SH SOLE N/A        6  0  0
JP MORGAN CHASE & CO             COM            46625H100   1009.08   21.946SH SOLE N/A       22  0  0
KNIGHT CAPITAL GROUP INC         CL A           499005106   8931.78      694SH SOLE N/A      694  0  0
LEGG MASON INC                   COM            524901105   12568.5      450SH SOLE N/A      450  0  0
MANITOWOC INC                    COM            563571908      2079      150SH SOLE N/A      150  0  0
MARATHON OIL CORP                COM            565849106      4336      100SH SOLE N/A      100  0  0
MARATHON OIL CORP                COM            565849106      6340      200SH SOLE N/A      200  0  0
MEDICIS PHARMACEUTICAL CORP      CL A NEW       584690309     11277      300SH SOLE N/A      300  0  0
MEMC ELECTR MATLS INC            COM            552715104      1805      500SH SOLE N/A      500  0  0
MERCK & CO INC                   COM            589331107   20435.3   532.17SH SOLE N/A      532  0  0
MICROSOFT CORP                   COM            594918104     19578  606.977SH SOLE N/A      607  0  0
MONSANTO CO NEW                  COM            61166W101   1010.32   12.667SH SOLE N/A       13  0  0
MORGAN STANLEY                   COM NEW        617446448   21861.3   1113.1SH SOLE N/A    1,113  0  0
NASDAQ OMX GROUP INC             COM            631103108      6475      250SH SOLE N/A      250  0  0
NATIONAL OILWELL VARCO INC       COM            637071101     22027  277.174SH SOLE N/A      277  0  0
NAVIDEA BIOPHARMACEUTICALS INC   COM            63937X103     76.26    23.25SH SOLE N/A       23  0  0
NOBLE CORPORATION                SHS            G65422100   13114.5      350SH SOLE N/A      350  0  0
NVIDIA CORP                      COM            67066G104    4618.5      300SH SOLE N/A      300  0  0
NYSE EURONEXT                    COM            629491101   4849.62    161.6SH SOLE N/A      162  0  0
OCH ZIFF CAP MGMT GROUP          CL A           67551U105      1392      150SH SOLE N/A      150  0  0
ORACLE CORP                      COM            68389X105   10080.6    345.7SH SOLE N/A      346  0  0
OSHKOSH CORP                     COM            688239201    5424.1    234.1SH SOLE N/A      234  0  0
PARKER HANNIFIN CORP             COM            701094104     16910      200SH SOLE N/A      200  0  0
PFIZER INC                       COM            717081103   9021.09   398.37SH SOLE N/A      398  0  0
PIPER JAFFRAY COS                COM            724078100   8576.96    322.2SH SOLE N/A      322  0  0
PLUM CREEK TIMBER CO INC         COM            729251108   46875.4   1127.9SH SOLE N/A    1,128  0  0
POPULAR INC                      COM            733174106   6150.51  3000.25SH SOLE N/A    3,000  0  0
POWERSHARES QQQ TRUST            UNIT SER 1     73935A104   817.625   12.104SH SOLE N/A       12  0  0
PROSHARES TR                     PSHS SHRT S^P5074347R503    272.67    7.625SH SOLE N/A        8  0  0
QUALCOMM INC                     COM            747525103   1833.33   26.937SH SOLE N/A       27  0  0
QUANTA SVCS INC                  COM            74762E102   1118.09   53.497SH SOLE N/A       53  0  0
RAYTHEON CO                      COM            755111507   419.601     7.95SH SOLE N/A        8  0  0
REGIONS FINANCIAL CORP NEW       COM            7591EP100      9885     1500SH SOLE N/A    1,500  0  0
ROWAN COS INC                    COM            779382100   12842.7      390SH SOLE N/A      390  0  0
SCHWAB CHARLES CORP NEW          COM            808513105   14168.8      986SH SOLE N/A      986  0  0
SKYWORKS SOLUTIONS INC           COM            83088M102      5530      200SH SOLE N/A      200  0  0
SPDR DOW JONES INDL AVRG ETF     UT SER 1       78467X109   1030.02    7.815SH SOLE N/A        8  0  0
SPDR TR                          UNIT SER 1     78462F103   1672.82    11.88SH SOLE N/A       12  0  0
STAPLES INC                      COM            855030102   212.575    13.13SH SOLE N/A       13  0  0
SUPERVALU INC                    COM            868536103   335.291    58.72SH SOLE N/A       59  0  0
SYNOVUS FINL CORP                COM            87161C105      9225     4500SH SOLE N/A    4,500  0  0
TASER INTL INC                   COM            87651B104    794.22      183SH SOLE N/A      183  0  0
TEREX CORP NEW                   COM            880779103      4500      200SH SOLE N/A      200  0  0
TESORO CORP                      COM            881609101   10738.7    400.1SH SOLE N/A      400  0  0
TOTAL S A                        SPONSORED ADR  89151E109   7683.34    150.3SH SOLE N/A      150  0  0
TRANSATLANTIC PETROLEUM LTD      SHS            G89982105      44.2       34SH SOLE N/A       34  0  0
TRANSOCEAN INC NEW               SHS            G90073100   13398.7  244.948SH SOLE N/A      245  0  0
TYCO INTL LTD BERMUDA            SHS            G9143X208     11236      200SH SOLE N/A      200  0  0
UBS AG                           SHS NEW        H89231338    5748.2      410SH SOLE N/A      410  0  0
UNITEDHEALTH GROUP INC           COM            91324P102   15144.6   256.95SH SOLE N/A      257  0  0
VALERO ENERGY CORP NEW           COM            91913Y100   14190.3   550.65SH SOLE N/A      551  0  0
Vanguard Short-Term Bond ETF     SHORT TRM BOND 921937827    410.77    5.075SH SOLE N/A        5  0  0
VANGUARD WORLD FDS               UTILITIES ETF  92204A876   714.722     9.55SH SOLE N/A       10  0  0
VERIZON COMMUNICATIONS INC       COM            92343V104   11560.8    302.4SH SOLE N/A      302  0  0
WESTERN DIGITAL CORP             COM            958102105   10347.5      250SH SOLE N/A      250  0  0
WISDOMTREE TRUST                 JAPANESE YEN F 97717W224   245.865    6.663SH SOLE N/A        7  0  0
WISDOMTREE TRUST                 INDIA ERNGS FD 97717W422   203.867   10.574SH SOLE N/A       11  0  0
XEROX CORP                       COM            984121103   105.782     13.1SH SOLE N/A       13  0  0
YAHOO INC                        COM            984332106      1522      100SH SOLE N/A      100  0  0