Harbour Investment Management

Harbour Investment Management as of March 31, 2013

Portfolio Holdings for Harbour Investment Management

Harbour Investment Management holds 0 positions in its portfolio as reported in the March 2013 quarterly 13F filing

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FORM 13F INFORMATION TABLE

NAME OF			TITLE		CUSIP		VALUE	SHRS/	SH/  	PUT/	INVST	OTHER	VOTE AUTHORITY
ISSUER			OF CLASS			(X$1000)PRN AMT	PRN	CALL	DSCRTN	MNGRS	SOLE	SHRD	NONE

3M CO			COM		88579Y101	2748	25850	SH		SOLE		24575		1275
ABB Ltd			SPONS ADR	000375204	1250	54900	SH		SOLE		52500		2400
Abbott Laboratories	COM		002824100	1305	36941	SH		SOLE		35391		1550
Abbvie Inc		COM		00287Y109	1383	33921	SH		SOLE		32371		1550
Air Products & Chem	COM		009158106	1156	13080	SH		SOLE		12515		565
Allergan Inc		COM		018490102	1603	14360	SH		SOLE		13410		950
Apple Inc		COM		037833100	873	1973	SH		SOLE		1909		64
AT^T			COM		00206R102	255	6960	SH		SOLE		6960
Automatic Data		COM		053015103	3067	47170	SH		SOLE		44570		2600
Becton, Dickinson	COM		075887109	1376	14395	SH		SOLE		13895		500
Berkshire Hathaway B	COM		084670207	3505	33635	SH		SOLE		31985		1650
Blackrock Inc		COM		09247X101	1400	5450	SH		SOLE		5265		185
Boeing Company		COM		097023105	275	3200	SH		SOLE		3200
Canon Inc		COM		138006309	1560	42515	SH		SOLE		40165		2350
Cenovus Energy Inc	COM		15135U109	883	28480	SH		SOLE		27025		1455
Chevron	Corp		COM		166764100	868	7307	SH		SOLE		7007		300
Cisco Systems		COM		17275R102	1632	78082	SH		SOLE		73922		4160
Coca Cola		COM		191216100	3260	80625	SH		SOLE		76525		4100
Colgate-Palmolive	COM		194162103	948	8030	SH		SOLE		7650		380
ConocoPhillips		COM		20825c104	1324	22030	SH		SOLE		20550		1480
Consolidated Edison	COM		209115104	2942	48205	SH		SOLE		45605		2600
Costco Wholesale	COM		22160k105	3726	35115	SH		SOLE		33165		1950
Daktronics Inc		COM		234264109	393	37400	SH		SOLE		36700		700
Danaher Inc		COM		235851102	909	14630	SH		SOLE		14180		450
Deere & Co		COM		244199105	728	8470	SH		SOLE		7970		500
EMC Corp		COM		268648102	2042	85460	SH		SOLE		82160		3300
Emerson Electric	COM		291011104	1878	33615	SH		SOLE		32305		1310
Encana Corp		COM		292505104	614	31550	SH		SOLE		30020		1530
Expeditors Intl Wash	COM		302130109	864	24170	SH		SOLE		22880		1290
Exxon Mobil		COM		30231g102	2483	27560	SH		SOLE		26110		1450
General Electric	COM		369604103	1755	75896	SH		SOLE		69856		6040
GlaxoSmithKline PLC	SPONS ADR	37733w105	2097	44705	SH		SOLE		42225		2480
Harris Corp		COM		413875105	761	16420	SH		SOLE		15730		690
Heinz H J Co		COM		423074103	1471	20355	SH		SOLE		19505		850
Intel Corp		COM		458140100	2352	107725	SH		SOLE		102025		5700
IShares Inc		BARCLYS TIPS BD	464287176	1255	10350	SH		SOLE		10060		290
IShares Inc		MSCI AUSTRALIA	464286103	936	34625	SH		SOLE		33325		1300
IShares Inc		MSCI CDA INDEX	464286509	1186	41605	SH		SOLE		40030		1575
IShares Inc		MSCI GERMANY	464286806	1055	43125	SH		SOLE		40475		2650
IShares Inc		MSCI JAPAN	464286848	1872	173375	SH		SOLE		165375		8000
IShares Inc		MSCI SWITZERLD	464286749	2361	80400	SH		SOLE		76300		4100
IShares Tr		NASDQ BIO INDX	464287556	2765	17290	SH		SOLE		16040		1250
Johnson & Johnson	COM		478160104	3420	41943	SH		SOLE		39758		2185
Kimberly Clark		COM		494368103	2741	27975	SH		SOLE		26025		1950
Mattel			COM		577081102	738	16855	SH		SOLE		16230		625
Medtronic Inc		COM		585055106	1137	24218	SH		SOLE		22968		1250
Microsoft		COM		594918104	3890	135979	SH		SOLE		125189		10790
Molex Inc.		COM		608554101	638	21800	SH		SOLE		20475		1325
NextEra Energy		COM		65339F101	1381	17775	SH		SOLE		17075		700
Norfolk Southern Corp	COM		655844108	1752	22735	SH		SOLE		21285		1450
Novo-Nordisk A S	ADR		670100205	2968	18378	SH		SOLE		17178		1200
Occidental Pete		COM		674599105	1067	13620	SH		SOLE		13070		550
Paccar			COM		693718108	3407	67395	SH		SOLE		63695		3700
Pepsico			COM		713448108	2757	34845	SH		SOLE		33645		1200
Pfizer			COM		717081103	288	9964	SH		SOLE		9964
Phillips 66		COM		718546104	1638	23416	SH		SOLE		22116		1300
Plum Creek Timber	COM		729251108	1692	32411	SH		SOLE		30311		2100
Procter & Gamble	COM		742718109	2648	34358	SH		SOLE		32821		1537
Qualcomm		COM		747525103	586	8755	SH		SOLE		8175		580
RBC Bearings Inc	COM		75524B104	1672	33075	SH		SOLE		31800		1275
Royal Dutch Shell PLC	SPONS ADR A	780259206	1747	26810	SH		SOLE		25740		1070
SAP AG			SPONS ADR	803054204	1550	19250	SH		SOLE		18650		600
Schlumberger Ltd	COM		806857108	1429	19085	SH		SOLE		17805		1280
Select Sector SPDR TR	SBI MATERIALS	81369Y100	1887	48165	SH		SOLE		46590		1575
Snap On Inc		COM		833034101	2198	26580	SH		SOLE		25280		1300
Southern Co		COM		842587107	2123	45255	SH		SOLE		42955		2300
SPDR Gold Trust		GOLD SHS	78463V107	480	3105	SH		SOLE		3105
Starbucks Corp		COM		855244109	3880	68123	SH		SOLE		63753		4370
Statoil ASA		SPONS ADR	85771P102	642	26070	SH		SOLE		24370		1700
Steinway Musical Ins	COM		858495104	688	28650	SH		SOLE		27350		1300
Stryker Corp		COM		863667101	1814	27810	SH		SOLE		26380		1430
Total S A		SPONS ADR	89151E109	1107	23070	SH		SOLE		22065		1005
United Parcel Svc	COM		911312106	2638	30705	SH		SOLE		29480		1225
United Technologies	COM		913017109	2322	24850	SH		SOLE		23450		1400
Walgreen Company	COM		931422109	3701	77620	SH		SOLE		74245		3375
Walt Disney Co		COM		254687106	3255	57300	SH		SOLE		54900		2400
Washington Bkg Co	COM		937303105	191	13682	SH		SOLE		13682
Washington Federal	COM		938824109	1395	79736	SH		SOLE		73776		5960
Waste Mgmt Inc		COM		94106L109	1282	32685	SH		SOLE		31010		1675
Wells Fargo & Co	COM		949746101	919	24840	SH		SOLE		23815		1025