Highlander Capital Management

Highlander Capital Management as of March 31, 2013

Portfolio Holdings for Highlander Capital Management

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

                Form 13F Information Table



        Name of Issuer          Title of Class    CUSIP         Value   SHRS  Investment Other Voting
                                                               (x1000)        Discretion Mngr  Authority
{S}
{C}                              {C}             {C}           {C}    {C}       {C}     {C}    {C}
1ST CONSTITUTIONBANCORP COM          Equities     31986N102         69  7,979.00 Sole    N/A    All
3M CO COM                            Equities     88579Y101        128  1,200.00 Sole    N/A    All
ABB LTD SPONSOREDADR                 Equities     000375204         28  1,250.00 Sole    N/A    All
ACCENTIABIOPHARMACEUTICALSINC        Equities     00430L103          0 16,874.00 Sole    N/A    All
ACCESS MIDSTREAMPARTNERS LP          Equities     00434L109         20    500.00 Sole    N/A    All
ADELPHIA RECOVERY TRVV SER           Equities     00685R870          0  2,600.00 Sole    N/A    All
ADOBE SYS INC COM                    Equities     00724F101         17    380.00 Sole    N/A    All
ADT CORP COM                         Equities     00101J106         12    250.00 Sole    N/A    All
AIR PRODS & CHEMSINC                 Equities     009158106         21    242.00 Sole    N/A    All
AIRGAS INC FIXEDRATE SR            Fixed Income   009363AG7         53 50,000.00 Sole    N/A    All
AKAMAI TECHNOLOGIESINC COM           Equities     00971T101          7    200.00 Sole    N/A    All
ALCATEL LUCENTSPON ADR               Equities     013904305          0    330.00 Sole    N/A    All
ALLIANCE BERNSTEINDISCOVERY        Mutual Funds   018914101         17   862.772 Sole    N/A    All
ALLIANT ENERGY CORPCOM               Equities     018802108         23    456.00 Sole    N/A    All
ALLIANT TECHSYSTEMSINC               Equities     018804104         29    396.00 Sole    N/A    All
ALLSCRIPTSHEALTHCARE                 Equities     01988P108         27  2,000.00 Sole    N/A    All
ALPINE GLOBALPREMIER PPTYS FDCOM     Equities     02083A103         99 11,929.00 Sole    N/A    All
ALTRIA GROUP INC COM                 Equities     02209S103        124  3,597.00 Sole    N/A    All
AMAZON COM INC                       Equities     023135106         40    150.00 Sole    N/A    All
AMEREN CORP COM                      Equities     023608102          5    150.00 Sole    N/A    All
AMERENENERGYGENERATING CO FIXED   Fixed Income    02360XAM9          7 10,000.00 Sole    N/A    All
AMERICA FIRST TAXEXEMPT INVS         Equities     02364V107        165 23,185.00 Sole    N/A    All
AMERICA MOVIL SAB DEC V              Equities     02364W105         49  2,350.00 Sole    N/A    All
AMERICAN CAP AGYCORP COM             Equities     02503X105         16    500.00 Sole    N/A    All
AMERICAN CAPITAL LTDCOM              Equities     02503Y103         12    798.00 Sole    N/A    All
AMERICAN EAGLEOUTFITTERS INC         Equities     02553E106        243 13,000.00 Sole    N/A    All
AMERICAN ELECTRICPOWER CO            Equities     025537101         12    250.00 Sole    N/A    All
AMERICAN EXPRESS CONT             Fixed Income    025816AX7          6  5,000.00 Sole    N/A    All
AMERICAN EXPRESS CRCORP MEDIUM     Fixed Income   0258M0CW7         45 45,000.00 Sole    N/A    All
AMERICAN EXPRESS CRCORP MEDIUM    Fixed Income    0258M0CY3        395385,000.00 Sole    N/A    All
AMERICAN EXPRESSCOMPANY              Equities     025816109         81  1,200.00 Sole    N/A    All
AMERICAN HOME MTGINVT CORP           Equities     02660R107          0  1,000.00 Sole    N/A    All
AMERICAN INTL GROUPINC               Equities     026874784         12    297.00 Sole    N/A    All
AMERICAN INTL GROUPINC WT            Equities     026874156          0     23.00 Sole    N/A    All
AMERICAN NATLBANKSHARES INC          Equities     027745108         11    500.00 Sole    N/A    All
AMERICAN RLTY CAPPPTYS INC COM       Equities     02917T104          7    500.00 Sole    N/A    All
AMERICAN TOWER REITCOM               Equities     03027X100         19    250.00 Sole    N/A    All
AMSOUTH BK N ABIRMINGHAM ALA      Fixed Income    032166AQ3         10 10,000.00 Sole    N/A    All
AMSOUTHBANCORPORATION SUBDEB      Fixed Income    032165AD4        108100,000.00 Sole    N/A    All
AMYRIS INC COM                       Equities     03236M101          6  2,000.00 Sole    N/A    All
ANADARKO PETE CORPCOM                Equities     032511107         87  1,000.00 Sole    N/A    All
ANHEUSER BUSCH INBEVSA NV            Equities     03524A108         70    700.00 Sole    N/A    All
ANNALY CAP MGMT INCCOM               Equities     035710409        225 14,150.00 Sole    N/A    All
ANNALY CAP MGMT INCPFD SER A         Equities     035710508         16    600.00 Sole    N/A    All
ANNALY CAP MGMT INCPFD SER D         Equities     035710805        336 13,220.00 Sole    N/A    All
ANWORTH MTG ASSETCORP COM            Equities     037347101         76 12,000.00 Sole    N/A    All
AOL INC COM                          Equities     00184X105          1     18.00 Sole    N/A    All
APOLLO INVT CORP COM                 Equities     03761U106         25  3,000.00 Sole    N/A    All
APOLLO RESIDENTIALMTG INC            Equities     03763V201        262 10,300.00 Sole    N/A    All
APPLE INC COM                        Equities     037833100        498  1,125.00 Sole    N/A    All
AQUA AMER INC COM                    Equities     03836W103         26    833.00 Sole    N/A    All
ARES CAP CORP COM                    Equities     04010L103          6    325.00 Sole    N/A    All
ARKADOS GROUP INCCOM                 Equities     040725103          1 25,515.00 Sole    N/A    All
ARMOUR RESIDENTIALREIT INC           Equities     042315101       1068163,500.00 Sole    N/A    All
ARMOUR RESIDENTIALREIT INC PFD       Equities     042315408        323 12,900.00 Sole    N/A    All
ARTISAN MID-CAPFUND                Mutual Funds   04314H303         31   755.276 Sole    N/A    All
ASHFORD HOSPITALITYTR INC PFD        Equities     044103208          6    250.00 Sole    N/A    All
ASSOCIATED BANC-CORPWIS DEPOSITA     Equities     045488202         11    400.00 Sole    N/A    All
ASTORIA FINL CORP                 Fixed Income    046265AF1         54 50,000.00 Sole    N/A    All
ASTORIA FINL CORPCOM                 Equities     046265104        281 28,500.00 Sole    N/A    All
AT^T INC COM                         Equities     00206R102        107  2,929.00 Sole    N/A    All
ATRICURE INC COM                     Equities     04963C209        353 44,600.00 Sole    N/A    All
AUTOMATIC DATAPROCESSING INC         Equities     053015103        169  2,600.00 Sole    N/A    All
AXA SASPONS ADR                      Equities     054536107          6    375.00 Sole    N/A    All
BAC CAP TR VIII6% GTD CAP            Equities     05518T209        102  4,000.00 Sole    N/A    All
BAKER HUGHES INC COM                 Equities     057224107          6  131.0771 Sole    N/A    All
BANCO SANTANDER                      Equities     05964H105          7    998.00 Sole    N/A    All
BANK AMER CORP COM                   Equities     060505104       1195 98,128.00 Sole    N/A    All
BANK AMER CORP6.2040% DEP            Equities     060505831         19    750.00 Sole    N/A    All
BANK AMER CORP8.2% DEP SH            Equities     060505765         13    500.00 Sole    N/A    All
BANK AMER CORPDEP SHS                Equities     060505559         77  3,000.00 Sole    N/A    All
BANK AMER CORPDEP SHS                Equities     060505583         42  1,750.00 Sole    N/A    All
BANK AMER CORPDEP SHS                Equities     060505815         79  3,250.00 Sole    N/A    All
BANK AMER CORPWTS RESTRICTED UST     Equities     060505146         80 14,000.00 Sole    N/A    All
BANK OF NEW YORKMELLON CORP COM      Equities     064058100       1543 55,143.00 Sole    N/A    All
BARCLAYS BK PLC                      Equities     06739H362         38  1,500.00 Sole    N/A    All
BARCLAYS BK PLC                      Equities     06739H776        209  8,200.00 Sole    N/A    All
BARCLAYS BK PLCCONTINGENT CAP     Fixed Income    06740L8C2         84 85,000.00 Sole    N/A    All
BARCLAYS BL PLCIPATH S^P 500         Equities     06740C188         41  2,000.00 Sole    N/A    All
BARNES & NOBLE INCCOM                Equities     067774109          3    200.00 Sole    N/A    All
BAXTER INTL INC COM                  Equities     071813109        276  3,800.00 Sole    N/A    All
BAYONNE N J SCH 4.400%            Fixed Income    072887XG2         16 15,000.00 Sole    N/A    All
BB & T CORP COM                      Equities     054937107        110  3,500.00 Sole    N/A    All
BCB BANCORP INC COM                  Equities     055298103         19  2,000.00 Sole    N/A    All
BE AEROSPACE INC COM                 Equities     073302101         84  1,400.00 Sole    N/A    All
BEAM INCCOM                          Equities     073730103         64  1,000.00 Sole    N/A    All
BECTON DICKINSON &CO;                 Equities     075887109         96  1,000.00 Sole    N/A    All
BERKELEY BROOKEFAYETTE ETC        Fixed Income    084112EL1         25 25,000.00 Sole    N/A    All
BERKSHIRE HATHAWAYINC DEL CL B       Equities     084670702       1912 18,350.00 Sole    N/A    All
BHP BILLITON LTDSPONSORED ADR        Equities     088606108         89  1,300.00 Sole    N/A    All
BIRCHCLIFF ENERGYLTD NEW             Equities     090697103          8  1,000.00 Sole    N/A    All
BLACKROCK DEBTSTRATEGIES FD          Equities     09255R103         18  4,000.00 Sole    N/A    All
BLACKROCK FLOATINGRATE               Equities     09255X100          9  535.2078 Sole    N/A    All
BLACKROCK GLOBALALLOCATION         Mutual Funds   09251T103         49 2,397.134 Sole    N/A    All
BLACKROCK INCOMEOPPTY TR INC         Equities     092475102          7    615.00 Sole    N/A    All
BLACKROCK LONG TERMMUN               Equities     09250B103         25  2,000.00 Sole    N/A    All
BLACKROCK MUN BD TRCOM               Equities     09249H104         16  1,000.00 Sole    N/A    All
BLACKROCK MUNI INTERDURATION         Equities     09253X102         16  1,000.00 Sole    N/A    All
BLACKROCK MUNIINCOME                 Equities     09250G102         16  1,000.00 Sole    N/A    All
BLACKROCK MUNIYIELDINVT              Equities     09254T100         15  1,000.00 Sole    N/A    All
BLACKROCK MUNIYIELDN J FD INC        Equities     09254Y109        193 11,650.00 Sole    N/A    All
BLACKROCK N J MUNINCOME TR SH        Equities     09248J101        121  7,400.00 Sole    N/A    All
BLACKROCK NATIONALMUNI FD          Mutual Funds   09253C876         43 3,881.633 Sole    N/A    All
BLACKROCK NEW JERSEYMUN BD TR        Equities     09249A109        147  9,000.00 Sole    N/A    All
BLACKROCK REAL ASSETEQUITY TR        Equities     09254B109         26 26,000.00 Sole    N/A    All
BLACKROCK U.S.OPPORTUNITIES FUND   Mutual Funds   091929760         42 1,031.991 Sole    N/A    All
BLACKSTONE GROUP L PCOM UNIT         Equities     09253U108        498 25,200.00 Sole    N/A    All
BOARDWALK PIPELINEPARTNERS LP        Equities     096627104        361 12,300.00 Sole    N/A    All
BORDENTOWN N J SEWAUTH REV        Fixed Income    099647FE4         22 20,000.00 Sole    N/A    All
BOSTON PRIVATE FINLHLDGS             Equities     101119105         69  7,000.00 Sole    N/A    All
BOSTON SCIENTIFICCORP NT          Fixed Income    101137AG2         29 25,000.00 Sole    N/A    All
BOULDER BRANDS INCCOM                Equities     101405108          9  1,000.00 Sole    N/A    All
BP PLC SPONS ADR                     Equities     055622104        546 12,900.00 Sole    N/A    All
BRANDYWINE REALTYTRUST SBI           Equities     105368203          6    400.00 Sole    N/A    All
BREITBURN ENERGYPARTNERS L P         Equities     106776107        116  5,800.00 Sole    N/A    All
BRIDGE BANCORP INCCOM                Equities     108035106         43  2,000.00 Sole    N/A    All
BRIGGS & STRATTONCORP COM            Equities     109043109          7  301.6893 Sole    N/A    All
BRISTOL MYERS SQUIBBCO COM           Equities     110122108        252  6,124.00 Sole    N/A    All
BROOKFIELD ASSETMGMT INC NT       Fixed Income    112585AB0         24 21,000.00 Sole    N/A    All
BROOKFIELD OFFICEPROPERTIES INC      Equities     112900105         17  1,000.00 Sole    N/A    All
BROOKFIELD TOTAL RTNFD INC COM       Equities     11283U108         40  1,596.00 Sole    N/A    All
BROOKLINE BANCORPINC DEL COM         Equities     11373M107         75  8,250.00 Sole    N/A    All
BRYN MAWR BK CORPCOM                 Equities     117665109         47  2,000.00 Sole    N/A    All
BUCKEYE PARTNERS L PUNIT LTD         Equities     118230101         37    600.00 Sole    N/A    All
C P POKPHAND LTDSPONS ADR NEW        Equities     125918201          1    500.00 Sole    N/A    All
CALGON CARBON CORPCOM                Equities     129603106        297 16,400.00 Sole    N/A    All
CALL 100 FIRSTNIAGARA FINL           Options      99QACJ4XN          1     10.00 Sole    N/A    All
CALLAWAY CNTY MONEIGHBORHOOD      Fixed Income    131159AX3          9  9,000.00 Sole    N/A    All
CAMDEN CNTY N J IMPTAUTH REV      Fixed Income    13281NJB9         27 25,000.00 Sole    N/A    All
CANADIAN APT PPTYSREAL ESTATE        Equities     134921105         22    900.00 Sole    N/A    All
CANADIAN NATL RY COCOM               Equities     136375102         57    570.00 Sole    N/A    All
CANADIAN NATURAL RESLTDISIN          Equities     136385101         45  1,400.00 Sole    N/A    All
CAPE BANCORP INC COM                 Equities     139209100        171 18,623.00 Sole    N/A    All
CAPITAL ONE FINLCORP COM             Equities     14040H105        632 11,500.00 Sole    N/A    All
CAPLEASE INCSER C CUM REDEEM PFD     Equities     140288408        131  5,000.00 Sole    N/A    All
CAPSTEAD MTG CORPCOM NO PAR          Equities     14067E506         67  5,250.00 Sole    N/A    All
CARLYLE GROUP L PCOM UNIT LTD        Equities     14309L102          8    250.00 Sole    N/A    All
CARRIAGE SVCS INCCOM                 Equities     143905107        161  7,562.00 Sole    N/A    All
CATERPILLAR INC COM                  Equities     149123101         43    500.00 Sole    N/A    All
CBS CORP CL B COM                    Equities     124857202          5    100.00 Sole    N/A    All
CEDAR REALTY TR COM(FORMERLY CED     Equities     150602209       1060173,411.00 Sole    N/A    All
CEDAR RLTY TR INCPFD STK SER B       Equities     150602407        568 22,600.00 Sole    N/A    All
CENOVUS ENERGY INCCOM                Equities     15135U109          5    175.00 Sole    N/A    All
CENTER BANCORP INCCOM                Equities     151408101        107  8,602.00 Sole    N/A    All
CF INDS HLDGS INCCOM                 Equities     125269100         19    100.00 Sole    N/A    All
CFS BANCORP INC COM                  Equities     12525D102         38  4,776.00 Sole    N/A    All
CHARLES RIVLABORATORIES INTLINC      Equities     159864107         15    350.00 Sole    N/A    All
CHESAPEAKE ENERGYCORP                Equities     165167107         57  2,800.00 Sole    N/A    All
CHESAPEAKE ENERGYCORP SR NT       Fixed Income    165167CH8        235225,000.00 Sole    N/A    All
CHESAPEAKE ENERGYCORP SR NT       Fixed Income    165167CD7        102 90,000.00 Sole    N/A    All
CHEUNG KONG HLDG LTDADRISIN          Equities     166744201          8    550.00 Sole    N/A    All
CHEVRON CORP NEW COM                 Equities     166764100         79  663.0199 Sole    N/A    All
CHICAGO BRIDGE &IRON; CO N VISIN      Equities     167250109         62  1,000.00 Sole    N/A    All
CHICOPEE BANCORP INCCOM              Equities     168565109         85  5,000.00 Sole    N/A    All
CHICOS FAS INC COM                   Equities     168615102          2    100.00 Sole    N/A    All
CHIMERA INVT CORPCOM                 Equities     16934Q109        523164,000.00 Sole    N/A    All
CHINA MOBILE LTDSPON ADR             Equities     16941M109         19    350.00 Sole    N/A    All
CHINA YUCHAI INTLLTD                 Equities     G21082105          3    200.00 Sole    N/A    All
CHUBB CORP                           Equities     171232101         44    500.00 Sole    N/A    All
CIMAREX ENERGY COCOM                 Equities     171798101         17    225.00 Sole    N/A    All
CINCINNATI BELL INCNEW COM           Equities     171871106          2    600.00 Sole    N/A    All
CINCINNATI BELL INCNEW DEPOSITAR     Equities     171871403          9    200.00 Sole    N/A    All
CINTAS CORP                          Equities     172908105        565 12,800.00 Sole    N/A    All
CISCO SYSTEMS INC                    Equities     17275R102        134  6,425.00 Sole    N/A    All
CITIGROUP CAP IXTR PFD SECS          Equities     173066200        245  9,600.00 Sole    N/A    All
CITIGROUP CAP VIICAP SEC 7.125%      Equities     17306N203         54  2,125.00 Sole    N/A    All
CITIGROUP CAP VIIICAP SECS 6.95%     Equities     17306R204        258 10,250.00 Sole    N/A    All
CITIGROUP CAP X CAPSECS-TRUPS        Equities     173064205        137  5,400.00 Sole    N/A    All
CITIGROUP CAP XI6% CAP SEC           Equities     17307Q205        160  6,325.00 Sole    N/A    All
CITIGROUP CAP XIVGTD ENHANCED        Equities     17309E200         10    400.00 Sole    N/A    All
CITIGROUP CAP XVENHANCED TR PFD      Equities     17310G202         10    400.00 Sole    N/A    All
CITIGROUP INC 8.125%DEP SHS          Equities     172967572          7    250.00 Sole    N/A    All
CITIGROUP INC WT EXP                 Equities     172967226         25 50,000.00 Sole    N/A    All
CITIGROUP INC WT EXPEXP 10/28/18     Equities     172967234          4 50,000.00 Sole    N/A    All
CITIGROUP INCCOM NEWISIN             Equities     172967424        894 20,210.00 Sole    N/A    All
CITIZENS FDG TR I7.5% ENHANCED       Equities     174687103        286 11,383.00 Sole    N/A    All
CITIZENS REP BANCORPINC COM NEW      Equities     174420307       1004 44,536.00 Sole    N/A    All
CLEAN ENERGY FUELSCORP COM           Equities     184499101         13  1,000.00 Sole    N/A    All
CLIFTON SVGS BANCORPINC COM          Equities     18712Q103         10    800.00 Sole    N/A    All
CLOROX COCOM                         Equities     189054109        1211,362.6289 Sole    N/A    All
COACH INC COM                        Equities     189754104         35    700.00 Sole    N/A    All
COCA COLA COMPANY                    Equities     191216100        721 17,830.00 Sole    N/A    All
COHEN & STEERS REIT& PFD INCOME      Equities     19247X100        187  9,900.00 Sole    N/A    All
COLGATE PALMOLIVE COCOM              Equities     194162103         86  727.3032 Sole    N/A    All
COLONY FINL INC COM                  Equities     19624R106        321 14,450.00 Sole    N/A    All
COLONY FINL INC CUMRED PERP PFD      Equities     19624R205       1059 39,350.00 Sole    N/A    All
COLTON CALIF UTILAUTH REV         Fixed Income    197052BA0         50 50,000.00 Sole    N/A    All
COLTON CALIF UTILAUTH REV         Fixed Income    197052AW3         25 25,000.00 Sole    N/A    All
COLUMBIA ACORN USAFUND CLASS A     Mutual Funds   197199508         17   561.718 Sole    N/A    All
COMCAST CORP CL A                    Equities     20030N101         18  428.8867 Sole    N/A    All
COMCAST CORP NEWCL A SPL             Equities     20030N200        375  9,475.00 Sole    N/A    All
COMERICA INCWT EXP 11/14/2018        Equities     200340115         93  9,000.00 Sole    N/A    All
CONOCOPHILLIPS COM                   Equities     20825C104         92  1,537.00 Sole    N/A    All
CONSOL ENERGY INCGTD SR NT        Fixed Income    20854PAH2         31 30,000.00 Sole    N/A    All
CONSTELLATION ENERGYGROUP INC        Equities     210387205          6    250.00 Sole    N/A    All
COPANO ENERGY L L CCOM UNITS         Equities     217202100         41  1,000.00 Sole    N/A    All
CORNING INC COM                      Equities     219350105          7  503.5573 Sole    N/A    All
COUNTRYWIDE CAP IVGTD TR PFD         Equities     22238E206        180  7,100.00 Sole    N/A    All
COUNTRYWIDE CAP VGTD CAP SECS        Equities     222388209        148  5,800.00 Sole    N/A    All
CREDIT SUISSE GROUPSPONSORED         Equities     225401108          9    325.00 Sole    N/A    All
CREDIT SUISSE HIGHYIELD BD FD        Equities     22544F103          5  1,500.00 Sole    N/A    All
CRIMSON WINE GROUPLTD COM            Equities     22662X100          1     60.00 Sole    N/A    All
CROCS INC COM                        Equities     227046109         15  1,000.00 Sole    N/A    All
CROSSROADS SYS INCCOM NEW            Equities     22765D209        153 68,500.00 Sole    N/A    All
CROWN HLDGS INCCOM                   Equities     228368106          4    100.00 Sole    N/A    All
CSX CORPORATION                      Equities     126408103         31  1,250.00 Sole    N/A    All
CVR PARTNERS LP COM                  Equities     126633106         61  2,455.00 Sole    N/A    All
CYS INVTS INC CUMREDEEMABLE PFD      Equities     12673A207        463 18,300.00 Sole    N/A    All
DADE CNTY FLA RESRECOVERY FAC     Fixed Income    23354NAS2         15 15,000.00 Sole    N/A    All
DAVIS NEW YORKVENTURE CLASS A      Mutual Funds   239080104         27   688.043 Sole    N/A    All
DEAN FOODS CO NEW SRNT            Fixed Income    242370AA2         55 50,000.00 Sole    N/A    All
DEERE & CO                           Equities     244199105        103  1,200.00 Sole    N/A    All
DELL INC COM                         Equities     24702R101         20  1,400.00 Sole    N/A    All
DENBURY RES INC COMNEW               Equities     247916208        131  7,000.00 Sole    N/A    All
DEVON ENERGY CORPNEW COM             Equities     25179M103         39    695.00 Sole    N/A    All
DIAGEO PLCSPONSORED ADR              Equities     25243Q205        648  5,150.00 Sole    N/A    All
DIAMOND FOODS INCCOM                 Equities     252603105          4    250.00 Sole    N/A    All
DIAMOND OFFSHOREDRILLING INC         Equities     25271C102         17    250.00 Sole    N/A    All
DIGITAL GENERATIONINC COM            Equities     25400B108          1    145.00 Sole    N/A    All
DIME CMNTYBANCSHARES INC COM         Equities     253922108        144 10,000.00 Sole    N/A    All
DISCOVER BKGREENWOOD DELCTF     Cash and Equivalen25469JVH9         97 95,000.00 Sole    N/A    All
DISCOVER FINL SVCSCOM INC            Equities     254709108          2     50.00 Sole    N/A    All
DISNEY WALT CODISNEY COM             Equities     254687106         44    775.00 Sole    N/A    All
DOLLAR GEN CORP NEWCOM               Equities     256677105        172  3,400.00 Sole    N/A    All
DONNELLEY & SONS COR R DEB        Fixed Income    257867AC5        137130,000.00 Sole    N/A    All
DOVER CORP COM                       Equities     260003108        332  4,550.00 Sole    N/A    All
DOVER N J SCH DIST . 4.000%        Fixed Income   260255DD3         26 25,000.00 Sole    N/A    All
DREYFUS CASH MNGT INVESTOR SH   Cash and Equivalen MMFDCMI          82 81,759.39 Sole    N/A    All
DREYFUS CASH MNGT INVESTOR SH   Cash and Equivalen MMFDCMM         311310,949.00 Sole    N/A    All
DREYFUS GOVT CASH MNGT INV SH   Cash and Equivalen MMFDGMM        33873,386,707. Sole    N/A    All
DREYFUS INS DEPOSIT PROGRAM I   Cash and Equivalen MMFDIDI        33803,379,855. Sole    N/A    All
DRYSHIPS INC COMSHS                  Equities     Y2109Q101          2  1,000.00 Sole    N/A    All
DTE ENERGY CO COM                    Equities     233331107         14    200.00 Sole    N/A    All
DU PONT E I DENEMOURS & CO COM       Equities     263534109         60  1,225.00 Sole    N/A    All
DUKE ENERGY CORP NEWCOM NEW          Equities     26441C204         21  291.6928 Sole    N/A    All
DWS STRATEGICHIGH YIELD TAXFREE    Mutual Funds   23337W501        18314,018.338 Sole    N/A    All
DYNEX CAP INC 8 50%PFD SER A         Equities     26817Q704        166  6,300.00 Sole    N/A    All
E ON SE SPONSOREDADRISIN             Equities     268780103          5    300.00 Sole    N/A    All
EASTERN CONN RESRECOVERY AUTH     Fixed Income    276318AN2         10 10,000.00 Sole    N/A    All
EASTERN CONN RESRECOVERY AUTH     Fixed Income    276318AB8          5  5,000.00 Sole    N/A    All
EASTERN VABANKSHARES INC COM         Equities     277196101         79 14,000.00 Sole    N/A    All
EATON VANCE FLOATINGRATE INCOME      Equities     278279104         53  3,000.00 Sole    N/A    All
EATON VANCE MUN BDFD COM             Equities     27827X101         12    853.00 Sole    N/A    All
EATON VANCE SRINCOME TR SH           Equities     27826S103         49  6,500.00 Sole    N/A    All
EATON VANCEFLOATING-RATEADVANTAG   Mutual Funds   277923645         17 1,498.832 Sole    N/A    All
EL PASO CORP SR NT144A 7.000%     Fixed Income    28336LBQ1         23 20,000.00 Sole    N/A    All
EL PASO NAT GAS CODEB 8.625%      Fixed Income    283695AZ7          7  5,000.00 Sole    N/A    All
EL PASO PIPELINEPARTNERS L P         Equities     283702108         18    400.00 Sole    N/A    All
ELI LILLY & COCOM                    Equities     532457108         20   357.389 Sole    N/A    All
EMC CORP COM                         Equities     268648102         80  3,350.00 Sole    N/A    All
ENBRIDGE ENERGYPARTNERS LP COM       Equities     29250R106         36  1,200.00 Sole    N/A    All
ENCANA CORP COMSHSISIN               Equities     292505104          3    175.00 Sole    N/A    All
ENER1 INC COM NEW"NO             Equities     29267A203          0    500.00 Sole    N/A    All
ENERGOLD DRILLINGCORP COM            Equities     29268A103          1    600.00 Sole    N/A    All
ENERGY TRANSFERPARTNERS L P          Equities     29273R109        350  6,900.00 Sole    N/A    All
ENERPLUS CORPCOMISIN                 Equities     292766102          1    100.00 Sole    N/A    All
ENTERPRISE PRODSPARTNERS L P         Equities     293792107        214  3,552.00 Sole    N/A    All
ETNA GREEN INDWTRWKS REV 5.000%   Fixed Income    297704AW8          5  5,000.00 Sole    N/A    All
EXTERRAN HLDGS INCCOM                Equities     30225X103          4    130.00 Sole    N/A    All
EXTERRAN PARTNERS LP COM UNITS       Equities     30225N105         88  3,350.00 Sole    N/A    All
EXXON MOBIL CORP COM                 Equities     30231G102        5285,857.8007 Sole    N/A    All
F N B CORP PA COM                    Equities     302520101         12  1,000.00 Sole    N/A    All
FACEBOOK INC CL A                    Equities     30303M102        231  9,050.00 Sole    N/A    All
FAIRMONT W VA WTRWKSREV 5.250%    Fixed Income    305459ES4         23 20,000.00 Sole    N/A    All
FAR EAST ENERGY CORPCOM              Equities     307325100          4 55,000.00 Sole    N/A    All
FEDERAL HOME LN MTGCORP PARTN     Fixed Income    31283HN27          0  5,000.00 Sole    N/A    All
FEDERAL HOME LN MTGCORP PARTN     Fixed Income    31292HKY9          0 15,000.00 Sole    N/A    All
FEDERAL HOME LN MTGCORP PARTN     Fixed Income    31283HN43          0  5,000.00 Sole    N/A    All
FEDERAL NATL MTGASSN PFD SER         Equities     313586737          3  1,000.00 Sole    N/A    All
FEDERATED CAPITAL RESERVES      Cash and Equivalen  MMFFCR        14311,430,560. Sole    N/A    All
FEDERATED GOVERNMENT RESERVES   Cash and Equivalen  MMFFGR         186186,251.74 Sole    N/A    All
FEDERATED GOVT OBLIG CAPITAL    Cash and Equivalen MMFGOFC         641640,540.02 Sole    N/A    All
FEDERATED GOVT OBLIG INSTL SH   Cash and Equivalen  MMFGOF        15811,580,685. Sole    N/A    All
FEDERATED NJ MUNI CASH SERIES   Cash and Equivalen MMFFNJC         182181,950.00 Sole    N/A    All
FEDERATED PRIME MGMT OBLIG CAP  Cash and Equivalen MMFPMOC        13221,322,272. Sole    N/A    All
FEDERATED PRIME MGMT OBLIG SVC  Cash and Equivalen MMFPMOS        23922,391,757. Sole    N/A    All
FEDERATED PRUDENTDOLLARBEAR        Mutual Funds   31420C712         15 1,258.389 Sole    N/A    All
FERNANDINA BEACH FLAUTIL          Fixed Income    315098AV5         15 15,000.00 Sole    N/A    All
FERRO CORP FIXED RTSR NT 7.875%   Fixed Income    315405AM2         46 44,000.00 Sole    N/A    All
FIDELITY HIGHINCOME FUND           Mutual Funds   316146406         36 3,802.281 Sole    N/A    All
FIDELITY NATLINFORMATION SVCS        Equities     31620M106         40  1,000.00 Sole    N/A    All
FIFTH THIRD BANCORPCOM               Equities     316773100         98  6,000.00 Sole    N/A    All
FIRST CASH FIN'LSVCS INC             Equities     31942D107         29    500.00 Sole    N/A    All
FIRST CONN BANCORPINC MD COM         Equities     319850103         15  1,000.00 Sole    N/A    All
FIRST EAGLE GLOBALFUND CLASS I     Mutual Funds   32008F606        106 2,074.574 Sole    N/A    All
FIRST HORIZON NATLCORP COM           Equities     320517105        178 16,700.00 Sole    N/A    All
FIRST MIDWESTBANCORP INC          Fixed Income    320867AA2        134129,000.00 Sole    N/A    All
FIRST MIDWESTBANCORP INC ILL.        Equities     320867104         40  3,000.00 Sole    N/A    All
FIRST NIAGARA FINLGROUP INC          Equities     33582V108        113 12,700.00 Sole    N/A    All
FIRST NIAGRA FINLGROUP INC           Equities     33582V207          9    300.00 Sole    N/A    All
FIRST OF LONG ISLANDCORP             Equities     320734106         82  2,753.00 Sole    N/A    All
FIRST PACTRUSTBANCORP INC            Equities     33589V309        765 30,000.00 Sole    N/A    All
FIRST PACTRUSTBANCORP INC COM        Equities     33589V101         31  2,750.00 Sole    N/A    All
FIRST SOUTHN BANCORPINC FLA          Equities     33644N102         30  5,000.00 Sole    N/A    All
FIRST TENN BK N AMEMPHIS TENN     Fixed Income    337158AD1         19 18,000.00 Sole    N/A    All
FIRST TENN BK N AMEMPHIS TENN      Fixed Income   337158AE9         55 50,000.00 Sole    N/A    All
FLORIDA ST MID-BAYBRIDGE AUTH     Fixed Income    342814CD0         56 50,000.00 Sole    N/A    All
FLORIDA STGOVERNMENTAL UTILAUTH   Fixed Income    34281PBG7         30 30,000.00 Sole    N/A    All
FLORIN CALIFRESOURCE CONSV         Fixed Income   343261FK4         25 25,000.00 Sole    N/A    All
FLUSHING FINL CORPCOM                Equities     343873105         34  2,000.00 Sole    N/A    All
FNMA GTD MTG PASSTHRU CTFSPOOL    Fixed Income    31384WA83          0 27,000.00 Sole    N/A    All
FNMA GTD MTG PASSTHRU CTFSPOOL    Fixed Income    31384WBF6          0 29,000.00 Sole    N/A    All
FNMA GTD MTG PASSTHRU CTFSPOOL    Fixed Income    31384WEM8          0 14,000.00 Sole    N/A    All
FNMA GTD MTG PASSTHRU CTFSPOOL    Fixed Income    31388KQC9          0 10,000.00 Sole    N/A    All
FNMA GTD MTG PASSTHRU CTFSPOOL    Fixed Income    31389AL50          0 20,000.00 Sole    N/A    All
FORD MOTOR CO DELCOM PAR             Equities     345370860          7    500.00 Sole    N/A    All
FOREST CITYENTERPRISES INC SRNT      Equities     345550404         51  2,000.00 Sole    N/A    All
FORTRESS INVT GROUPLLC DEL CL A      Equities     34958B106         13  2,000.00 Sole    N/A    All
FOSTER WHEELER AGCOM                 Equities     H27178104         51  2,250.00 Sole    N/A    All
FRANCE TELECOMSPONSORED ADR          Equities     35177Q105          9    900.00 Sole    N/A    All
FRANKLIN FEDERAL TAXFREE INCOME    Mutual Funds   353519101         19 1,535.843 Sole    N/A    All
FRANKLIN INCOMEFUND CLASS A        Mutual Funds   353496300         5322,791.592 Sole    N/A    All
FRANKLIN MUTUALFINANCIAL           Mutual Funds   354026106         13    852.60 Sole    N/A    All
FRANKLIN TEMPLETONLTD DURATION       Equities     35472T101         12    800.00 Sole    N/A    All
FREEHOLD N J REGLHIGH SCH DIST     Fixed Income   356478HY6         30 25,000.00 Sole    N/A    All
FREEPORT-MCMORANCOPPER & GOLD        Equities     35671D857        410 12,400.00 Sole    N/A    All
FRONTIERCOMMUNICATIONS               Equities     35906A108          0     36.00 Sole    N/A    All
FULTON FINL CORP PACOM               Equities     360271100         52  4,466.00 Sole    N/A    All
GANNETT COMPANY INC                  Equities     364730101         10    450.00 Sole    N/A    All
GAP INC FIXED RT NT 5.950%        Fixed Income    364760AK4         11 10,000.00 Sole    N/A    All
GDF SUEZSPON ADR                     Equities     36160B105          2     95.00 Sole    N/A    All
GENERAL DYNAMICSCORP COM             Equities     369550108         21    296.00 Sole    N/A    All
GENERAL ELECTRIC COCOM               Equities     369604103       1347 58,273.00 Sole    N/A    All
GENERAL MILLS INCCOM                 Equities     370334104         36   730.564 Sole    N/A    All
GENERAL MTRS ACCEPCORP            Fixed Income    37042GR57         25 25,000.00 Sole    N/A    All
GENERAL MTRS CO JRPFD CONV SER       Equities     37045V209          6    150.00 Sole    N/A    All
GENERAL MTRS CO WT                   Equities     37045V118          2     91.00 Sole    N/A    All
GENERAL MTRS CO WT                   Equities     37045V126          1     91.00 Sole    N/A    All
GENUINE PARTS CO                     Equities     372460105         23    300.00 Sole    N/A    All
GENWORTH FINL INC SRNT 6.515%     Fixed Income    37247DAK2         40 35,000.00 Sole    N/A    All
GENWORTH FINL INCCOM CL A            Equities     37247D106        525 52,475.00 Sole    N/A    All
GENWORTH FINL INCFIXED RT NT      Fixed Income    37247DAM8         12 10,000.00 Sole    N/A    All
GENWORTH FINL INCFIXED RT SR       Fixed Income   37247DAP1         18 15,000.00 Sole    N/A    All
GEORGETOWN BANCORPINC MD COM         Equities     372591107         69  5,000.00 Sole    N/A    All
GLAXOSMITHKLINE PLCSPONS ADR         Equities     37733W105          8    175.00 Sole    N/A    All
GLOBAL PARTNERS LP                   Equities     37946R109         90  2,500.00 Sole    N/A    All
GLOUCESTER CNTY N JIMPT AUTH       Fixed Income   37970MCX5         28 25,000.00 Sole    N/A    All
GMAC CAP TR I GTD TRPFD SECS SER     Equities     361860208         22    800.00 Sole    N/A    All
GMAC INC NTEXP 02/07/33              Equities     36186C400         14    550.00 Sole    N/A    All
GMAC INC PUB INCOMENT                Equities     36186C202          8    300.00 Sole    N/A    All
GMAC INC SR NTEXP 08/08/32           Equities     36186C301          8    300.00 Sole    N/A    All
GMAC INCEXP 12/16/44                 Equities     36186C509          8    300.00 Sole    N/A    All
GNMA GTD MTG PASSTHRU CTFSPOOL    Fixed Income    36204LKU4          1 50,000.00 Sole    N/A    All
GOLAR LNG PARTNERSLP COM UNIT        Equities     Y2745C102         13    400.00 Sole    N/A    All
GOLDMAN SACHS BK USANEW YORK    Cash and Equivalen38143A4E2        150150,000.00 Sole    N/A    All
GOLDMAN SACHS GROUPINC 6.20%         Equities     38144X500         32  1,250.00 Sole    N/A    All
GOLDMAN SACHS GROUPINC COM           Equities     38141G104         96    653.00 Sole    N/A    All
GOLDMAN SACHS GROUPINC DEP SHS       Equities     38144G804          5    200.00 Sole    N/A    All
GOLDMAN SACHS HIGHYIELD            Mutual Funds   38142Y625        378 39,712.00 Sole    N/A    All
GOLDMAN SACHS HIGHYIELD FUND       Mutual Funds   38141W679        10514,171.471 Sole    N/A    All
GOLDMAN SACHS MUNICIPAL INCOME     Mutual Funds   38141W828         55 3,432.021 Sole    N/A    All
GOLDMAN SACHS REALESTATE           Mutual Funds   38142V829         18 1,082.358 Sole    N/A    All
GOLDMAN SACHSEMERGING MARKETS      Mutual Funds   38143H803         88 6,655.955 Sole    N/A    All
GOLDMAN SACHSINTERNATIONAL         Mutual Funds   38143H589         12 1,762.755 Sole    N/A    All
GOODFIELD ILL ALTREV SOURCE       Fixed Income    382164AY7         15 15,000.00 Sole    N/A    All
GOODYEAR TIRE & RUBRCO COM           Equities     382550101         63  5,000.00 Sole    N/A    All
GOOGLE INC CL A                      Equities     38259P508         16     20.00 Sole    N/A    All
GRAPHON CORP COM                     Equities     388707101         72115,000.00 Sole    N/A    All
GREENWAY PARTNERSRALEIGH LLC          Others      392992145        675675,000.00 Sole    N/A    All
GUGGENHEIM MID CAPVALUE FUND       Mutual Funds   814219432         20 1,636.029 Sole    N/A    All
H & Q HEALTHCAREINVS SH BEN INT      Equities     404052102          5    265.00 Sole    N/A    All
HARLEY DAVIDSON INCCOM               Equities     412822108         11    200.00 Sole    N/A    All
HARRIS CNTY TEXCULTURAL ED FACS    Fixed Income   414008AQ5         11 10,000.00 Sole    N/A    All
HARRIS CNTY-HOUSTONTEX SPORTS     Fixed Income    413890AG9         15 15,000.00 Sole    N/A    All
HARRIS CNTY-HOUSTONTEX SPORTS      Fixed Income   413893BH0         20 20,000.00 Sole    N/A    All
HARTFORD FINL SVCSGROUP INC SR    Fixed Income    416515AV6         60 50,000.00 Sole    N/A    All
HARVEST NAT RES INCCOM               Equities     41754V103          1    200.00 Sole    N/A    All
HATTERAS FINL CORPCOM                Equities     41902R103         27  1,000.00 Sole    N/A    All
HATTERAS FINL CORPCUM                Equities     41902R400        570 22,600.00 Sole    N/A    All
HEALTH CARE REIT INCCOM              Equities     42217K106         34    500.00 Sole    N/A    All
HEARTLAND SELECTVALUE FUND         Mutual Funds   422352807         52  1,606.94 Sole    N/A    All
HEARTLAND VALUE FUND               Mutual Funds   422359109         14    321.15 Sole    N/A    All
HEARTLAND VALUEPLUS FUND           Mutual Funds   422352500         32   983.407 Sole    N/A    All
HEINEKEN N VSPONS ADR LEVEL 1        Equities     423012301        445 11,824.00 Sole    N/A    All
HEINZ H J COMPANY                    Equities     423074103         22  310.9977 Sole    N/A    All
HERCULES TECHNOLOGYGROWTH CAP        Equities     427096508          7    532.00 Sole    N/A    All
HESS CORP COM                        Equities     42809H107        290  4,050.00 Sole    N/A    All
HEWLETT PACKARD COCOM                Equities     428236103          2    100.00 Sole    N/A    All
HIGHLANDER BANKHOLDINGS LLC           Others      430LP0197        650650,000.00 Sole    N/A    All
HIGHLANDER REALESTATE PARTNERS        Others      430LP1104         25 25,000.00 Sole    N/A    All
HKT TRUST & HKT LTDSHARE STAPLED     Equities     Y3R29Z107          0     16.00 Sole    N/A    All
HOME DEPOT INC COM                   Equities     437076102        185  2,650.00 Sole    N/A    All
HOMEFED CORP COMPAR $.01             Equities     43739D307          1     27.00 Sole    N/A    All
HONEYWELL INTL INCCOMISIN            Equities     438516106         36  478.7713 Sole    N/A    All
HOSPIRA INC COM                      Equities     441060100        768 23,400.00 Sole    N/A    All
HOSPITALITY PPTYS TR7% SER C PFD     Equities     44106M508          7    263.00 Sole    N/A    All
HOST HOTELS &RESORTS; INC             Equities     44107P104         18  1,022.00 Sole    N/A    All
HOST HOTELS &RESORTS; L P SR       Fixed Income    44107TAK2         11 10,000.00 Sole    N/A    All
HOVNANIANENTERPRISES INC COMPFD      Equities     442487112         25  1,600.00 Sole    N/A    All
HOVNANIANENTERPRISES INCCL A         Equities     442487203         12  2,000.00 Sole    N/A    All
HSBC HLDGS PLC PERPSUB CAP SECS      Equities     404280802         20    700.00 Sole    N/A    All
HUDSON CITY BANCORPINC               Equities     443683107         14  1,639.00 Sole    N/A    All
HUNTINGTON PFD CAPINC                Equities     44667X208         14    500.00 Sole    N/A    All
HUNTINGTONBANCSHARES INC             Equities     446150104         15  2,000.00 Sole    N/A    All
IAMGOLD CORP COM                     Equities     450913108          1    105.00 Sole    N/A    All
ICG GROUP INC COM                    Equities     44928D108          0     25.00 Sole    N/A    All
ILLINOIS ST SALESTAX REV RFDG     Fixed Income    452226Q63         20 20,000.00 Sole    N/A    All
IMMUNOCELLULARTHERAPEUTICS           Equities     452536105         14  5,000.00 Sole    N/A    All
IMPERIAL CALIF CTFSPARTN          Fixed Income    452637EB3         15 15,000.00 Sole    N/A    All
INERGY L P UNIT LTDPARTNERSHIP I     Equities     456615103        125  6,100.00 Sole    N/A    All
ING GROEP N V  ADR                   Equities     456837103          6    875.00 Sole    N/A    All
ING GROEP NV 7.375%PERP HYBRID       Equities     456837707         86  3,400.00 Sole    N/A    All
INSURED MUNICIPALSINCOME TRUNIT       Others      45808V407          2     10.00 Sole    N/A    All
INTEL CORP COM                       Equities     458140100         83  3,801.00 Sole    N/A    All
INTERNATIONALBUSINESS MACHS          Equities     459200101        318  1,490.00 Sole    N/A    All
INTERPUBLIC GROUPCOS INC COM         Equities     460690100         21  1,600.00 Sole    N/A    All
INVESCO ASIAPACIFIC GROWTH         Mutual Funds   008882888          8   253.457 Sole    N/A    All
INVESCO CHARTERFUND                Mutual Funds   001413103         16   801.435 Sole    N/A    All
INVESCO DIVIDENDINCOME FUND        Mutual Funds   00142F535         30 1,691.295 Sole    N/A    All
INVESCO HIGH INCOMETR II COM         Equities     46131F101         17    932.00 Sole    N/A    All
INVESCO HIGH YIELDFUND CLASS A     Mutual Funds   00142C706         12 2,575.925 Sole    N/A    All
INVESCO MORTGAGECAPITAL INC PFD      Equities     46131B209        816 31,900.00 Sole    N/A    All
INVESCO MUN TR COM                   Equities     46131J103         90  6,392.00 Sole    N/A    All
INVESCO VALUE MUNINCOME TR COM       Equities     46132P108         46  2,840.00 Sole    N/A    All
INVESCOCONSTELLATION FUND          Mutual Funds   001413202         11   414.346 Sole    N/A    All
INVESCOSMALL CAP GROWTHFUND        Mutual Funds   00142J172         11   958.601 Sole    N/A    All
INVESTORS BANCORPINC COM             Equities     46146P102        227 12,065.00 Sole    N/A    All
INVESTORS REALESTATE TR PFD SER      Equities     461730301         90  3,400.00 Sole    N/A    All
ION GEOPHYSICAL CORPCOM              Equities     462044108        167 24,500.00 Sole    N/A    All
ISHARES GOLD TRISHARES               Equities     464285105          3    220.00 Sole    N/A    All
ISHARES INC MSCI CDAINDEX FD         Equities     464286509         29  1,000.00 Sole    N/A    All
ISHARES INC MSCIAUSTRALIA INDEX      Equities     464286103         14    500.00 Sole    N/A    All
ISHARES INC MSCIBRAZIL CAPPED        Equities     464286400         16    300.00 Sole    N/A    All
ISHARES INC MSCIJAPAN INDEX FD       Equities     464286848         21  1,900.00 Sole    N/A    All
ISHARES SILVER TRISHARES             Equities     46428Q109         19    700.00 Sole    N/A    All
ISHARES TR BARCLAYSTIPS BD FD        Equities     464287176         22    184.00 Sole    N/A    All
ISHARES TR DOW JONESUS HOME CON      Equities     464288752        108  4,500.00 Sole    N/A    All
ISHARES TR MSCIEMERGING MKTS         Equities     464287234         39    915.00 Sole    N/A    All
ISTAR FINL INC COM                   Equities     45031U101         10    925.00 Sole    N/A    All
ITRON INC COM                        Equities     465741106        302  6,500.00 Sole    N/A    All
J P MORGAN CHASE CAPX TR PFD         Equities     46623D200         45  1,750.00 Sole    N/A    All
J P MORGAN CHASECAP XII TR PFD       Equities     46626X203         77  3,000.00 Sole    N/A    All
JANUS CAP GROUP INCSR NT 6.119%   Fixed Income    47102XAC9         10 10,000.00 Sole    N/A    All
JC PENNEY CORP INC 7.650%         Fixed Income    708160BJ4        254265,000.00 Sole    N/A    All
JOHN HANCOCK LARGE-CAP EQUITY      Mutual Funds   41013P103         18   602.966 Sole    N/A    All
JOHNSON & JOHNSONCOM                 Equities     478160104        745  9,140.00 Sole    N/A    All
JOHNSON CTLS INC COM                 Equities     478366107         32    918.00 Sole    N/A    All
JP MORGAN CHASE &CO; COM              Equities     46625H100        357  7,520.00 Sole    N/A    All
JPMCHASE CAP XIV PFDCAP SEC SER      Equities     48122F207         32  1,250.00 Sole    N/A    All
JPMORGAN CHASE & COWARRANT           Equities     46634E114         43  3,000.00 Sole    N/A    All
JPMORGAN CHASE CAP6.35%              Equities     481228203         19    750.00 Sole    N/A    All
JTH HLDG INC CL A                    Equities     46637N103        441 27,948.00 Sole    N/A    All
KADANT INCCOM                        Equities     48282T104         63  2,500.00 Sole    N/A    All
KCAP FINL INC SR N                   Equities     48668E200        260 10,000.00 Sole    N/A    All
KEELEY SMALL CAPVALUE FUND CLASS   Mutual Funds   487300808         19   580.561 Sole    N/A    All
KELLOGG CO                           Equities     487836108         42    653.00 Sole    N/A    All
KEYCORP NEW COM                      Equities     493267108        349 35,000.00 Sole    N/A    All
KEYSTONE PA SCH DISTSER A 3.650%  Fixed Income    493562DC3         10 10,000.00 Sole    N/A    All
KIMBERLY CLARK CORP                  Equities     494368103         39    400.00 Sole    N/A    All
KIMCO REALTY CORP(MARYLAND)          Equities     49446R109         14  627.8935 Sole    N/A    All
KIMCO RLTY CORPFIXED RT 6.875%    Fixed Income    49446RAJ8         32 25,000.00 Sole    N/A    All
KINDER MORGAN ENERGYPARTNERS         Equities     494550106        2212,463.1173 Sole    N/A    All
KINDER MORGAN INC SRNT 5.150%     Fixed Income    494553AC4         53 50,000.00 Sole    N/A    All
KKR FINANCIAL HLDGSLLC COM           Equities     48248A306         54  4,900.00 Sole    N/A    All
KKR FINL HLDGS LLCPFD SER A LLC      Equities     48248A603        391 15,000.00 Sole    N/A    All
KOHLS CORP COM                       Equities     500255104          5    100.00 Sole    N/A    All
KOREA EQUITY FUNDINC                 Equities     50063B104         12  1,332.00 Sole    N/A    All
KRAFT FOODS GROUPINC COM             Equities     50076Q106         12  224.6604 Sole    N/A    All
L 3 COMMUNICATIONSHLDGS INC COM      Equities     502424104         24    299.00 Sole    N/A    All
LABORATORY CORP AMERHLDGS COM        Equities     50540R409        151  1,675.00 Sole    N/A    All
LAKELAND BANCORP INCCOM              Equities     511637100         838,456.3776 Sole    N/A    All
LAS VEGAS SANDS CORPCOM              Equities     517834107         56  1,000.00 Sole    N/A    All
LAZARD GROUP LLC FXDRT SR NT      Fixed Income    52107QAC9         11 10,000.00 Sole    N/A    All
LEGG MASON CAPITALMANAGEMENT       Mutual Funds   52470B107         11   899.281 Sole    N/A    All
LENAPE N J REGL HIGHSCH DIST      Fixed Income    525876TU2         43 40,000.00 Sole    N/A    All
LEUCADIA NATL CORPCOM                Equities     527288104         16    600.00 Sole    N/A    All
LEUCADIA NATL CORPSR NT           Fixed Income    527288AS3        158155,000.00 Sole    N/A    All
LEUCADIA NATL CORPSR NT 7.750%    Fixed Income    527288AH7        249244,000.00 Sole    N/A    All
LEUCADIA NATL CORPSR NT 8.125%    Fixed Income    527288BD5         11 10,000.00 Sole    N/A    All
LEXICONPHARMACEUTICALS INCCOM        Equities     528872104          1    300.00 Sole    N/A    All
LEXINGTON REALTY TR6.5% SER          Equities     529043309         25    500.00 Sole    N/A    All
LEXINGTON RLTY TRCOM                 Equities     529043101        604 51,213.00 Sole    N/A    All
LEXINGTON RLTY TRPFD 7.55% SER       Equities     529537201        286 11,400.00 Sole    N/A    All
LIBERTY BELL BKCHERRY HILL NJ CO     Equities     530233105          1    678.00 Sole    N/A    All
LIBERTY MEDIA CORPNEW SR NT       Fixed Income    530718AC9         80 80,000.00 Sole    N/A    All
LIMELIGHT NETWORKSINC COM            Equities     53261M104          6  3,000.00 Sole    N/A    All
LINCOLN NATL CORPIND                 Equities     534187109         88  2,700.00 Sole    N/A    All
LINKEDIN CORP CL A                   Equities     53578A108          9     50.00 Sole    N/A    All
LINN ENERGY LLCUNIT REPSTG           Equities     536020100        575 15,150.00 Sole    N/A    All
LIONS GATE ENTMTCORP COM NEW         Equities     535919203         12    500.00 Sole    N/A    All
LIQUID INSURED DEPOSITS         Cash and Equivalen  MMFRFI          96 95,800.54 Sole    N/A    All
LIQUIDITY SVCS INCCOM                Equities     53635B107        119  4,000.00 Sole    N/A    All
LOCKHEED MARTIN CORPCOM              Equities     539830109         63    650.00 Sole    N/A    All
LONGLEAF PARTNERSFUND              Mutual Funds   543069108        168  5,685.00 Sole    N/A    All
LONGLEAF PARTNERSINTERNATIONAL     Mutual Funds   543069405         21 1,424.783 Sole    N/A    All
LOWES COS INC COM                    Equities     548661107         36    950.00 Sole    N/A    All
LSI CORP COM                         Equities     502161102          0      4.00 Sole    N/A    All
LULULEMON ATHLETICAINC COM           Equities     550021109          2     25.00 Sole    N/A    All
M & I MARSHALL &ILSLEY; BK         Fixed Income    55259PAD8         82 75,000.00 Sole    N/A    All
M^T CAP TR IV 8.5%GTD ENHANCED       Equities     55292C203        206  8,000.00 Sole    N/A    All
MACK CALI RLTY CORPCOM               Equities     554489104         43  1,500.00 Sole    N/A    All
MAIDEN HOLDINGS LTD8.25%             Equities     G5753U120        186  7,000.00 Sole    N/A    All
MAIN STR CAP CORP SRNT               Equities     56035L302        600 24,000.00 Sole    N/A    All
MAINSTAY HIGH-YIELDCORPORATE       Mutual Funds   56062F772         34 5,443.946 Sole    N/A    All
MANAGED DURATIONINVT GRADE           Equities     56165R103          7    414.00 Sole    N/A    All
MARKEL CORP COM                      Equities     570535104         25     50.00 Sole    N/A    All
MARRIOTT INTL INCNEW CL A            Equities     571903202        204  4,826.00 Sole    N/A    All
MARRIOTT VACATIONSWORLDWIDE          Equities     57164Y107          1     30.00 Sole    N/A    All
MARSH & MCLENNANCOS INC COM          Equities     571748102         11    300.00 Sole    N/A    All
MATTHEWS ASIADIVIDEND FUND         Mutual Funds   577125107         73 4,730.721 Sole    N/A    All
MATTHEWS ASIAGROWTH FUND           Mutual Funds   577130867        228 11,650.00 Sole    N/A    All
MATTHEWS ASIASMALL COMPANIES       Mutual Funds   577125206         51 2,662.394 Sole    N/A    All
MATTHEWS CHINADIVIDEND FUND        Mutual Funds   577125305         21 1,706.163 Sole    N/A    All
MATTHEWS PACIFICTIGER FUND         Mutual Funds   577130107         12   468.024 Sole    N/A    All
MBIA INC                             Equities     55262C100         10  1,000.00 Sole    N/A    All
MCDERMOTT INT'L INC.                 Equities     580037109         71  6,500.00 Sole    N/A    All
MCDONALDS CORP                       Equities     580135101        604  6,059.00 Sole    N/A    All
MEDFORD TWP N J BRDED RFDG        Fixed Income    584323HG7         53 50,000.00 Sole    N/A    All
MEDIA BORO PA 5.350%              Fixed Income    58439EDC9         25 25,000.00 Sole    N/A    All
MEDTRONIC INC                        Equities     585055106        500 10,656.00 Sole    N/A    All
MELROSE PARK ILL WTRREV SER A     Fixed Income    585693AV6         10 10,000.00 Sole    N/A    All
MERCK & CO INC NEWCOM                Equities     58933Y105        144  3,257.00 Sole    N/A    All
MERIDIAN INTSTBANCORP COM            Equities     58964Q104        159  8,500.00 Sole    N/A    All
MERRILL LYNCH CAP                    Equities     590199204          6    250.00 Sole    N/A    All
MERRILL LYNCH CAP TR6.45%            Equities     59024T203        103  4,050.00 Sole    N/A    All
MERRILL LYNCH CAP TRIII 7.375% P     Equities     59025D207         70  2,700.00 Sole    N/A    All
MERRILL LYNCH PFDCAP TR III TR       Equities     59021F206         93  3,653.00 Sole    N/A    All
MERRILL LYNCH PFDCAP TR IV           Equities     59021G204         30  1,200.00 Sole    N/A    All
MERRILL LYNCH PFDCAP TR V            Equities     59021K205         391,517.6097 Sole    N/A    All
METLIFE INC COM                      Equities     59156R108         24    625.00 Sole    N/A    All
METLIFE INC PFDSER A FLTG            Equities     59156R504          6    250.00 Sole    N/A    All
METLIFE INC PFDSER B 6.50%           Equities     59156R603         56  2,200.00 Sole    N/A    All
MFA FINL INCCOM                      Equities     55272X102        265 28,400.00 Sole    N/A    All
MFS INTERMEDIATEINCOME TRUST         Equities     55273C107          3    400.00 Sole    N/A    All
MFS MULTIMARKETINCOME TRUST          Equities     552737108         15  2,000.00 Sole    N/A    All
MGIC INVESTMENTCORPORATION           Equities     552848103       1272257,000.00 Sole    N/A    All
MGIC INVT CORP WISSR NT 5.375%    Fixed Income    552848AA1         99100,000.00 Sole    N/A    All
MIAMI-DADE CNTY FLAEXPWY AUTH     Fixed Income    59334KBF4         10 10,000.00 Sole    N/A    All
MICROSOFT CORPCOM                    Equities     594918104        250  8,733.00 Sole    N/A    All
MIRAMAR FLA UTIL SYSREV IMPT      Fixed Income    604636BG4         10 10,000.00 Sole    N/A    All
MODESTO CALIF IRRDIST FING         Fixed Income   607769EJ1         25 25,000.00 Sole    N/A    All
MOHAWK INDS INC SRNT 6.375%       Fixed Income    608190AH7         44 39,000.00 Sole    N/A    All
MONDELEZ INTL INC CLA                Equities     609207105         822,681.5336 Sole    N/A    All
MONSANTO CO NEW COM                  Equities     61166W101         65    616.00 Sole    N/A    All
MONTCLAIR TWP N JSER A 4.625%     Fixed Income    612221A27         54 50,000.00 Sole    N/A    All
MONTPELIER RE HLDGSLTD PFD           Equities     G62185114        367 13,000.00 Sole    N/A    All
MORGAN STANLEY CAPTR V CAP SECS      Equities     617466206         10  419.7398 Sole    N/A    All
MORGAN STANLEYCOM NEW                Equities     617446448        136  6,200.00 Sole    N/A    All
MORGAN STANLEYDEP SHS                Equities     61747S504         40  1,750.00 Sole    N/A    All
MORGAN STANLEYEMERGING MKTS          Equities     617477104         17  1,000.00 Sole    N/A    All
MORGAN STANLEYEMERGING MRKS          Equities     61744H105          4    333.00 Sole    N/A    All
MORGAN STANLEYGLOBAL MED           Fixed Income   61747YCE3         54 50,000.00 Sole    N/A    All
MOSAIC CO NEW COM                    Equities     61945C103         54    900.00 Sole    N/A    All
MOTORS LIQ CO GUC TRCOM              Equities     62010U101          1     25.00 Sole    N/A    All
MRV COMMUNICATIONSINC COM NEW        Equities     553477407          0     45.00 Sole    N/A    All
MUNICIPAL MTGE &EQUITY; LLC           Equities     62624B101          0    440.00 Sole    N/A    All
MUTUAL GLOBALDISCOVERY CLASS A     Mutual Funds   628380859        196 6,401.789 Sole    N/A    All
MUTUAL GLOBALDISCOVERY CLASS C     Mutual Funds   628380842         35 1,168.501 Sole    N/A    All
MYLAN INC COM                        Equities     628530107        237  8,200.00 Sole    N/A    All
NAVISTAR INTL CORPNEW FIXED       Fixed Income    63934EAM0        317311,000.00 Sole    N/A    All
NCB FSBHILLSBORO OHIOCTF DEP    Cash and Equivalen628825FW6         26 25,000.00 Sole    N/A    All
NESTLE SASPONSORED ADR REPSTGREG     Equities     641069406        856 11,812.00 Sole    N/A    All
NEUBERGER BERMANHIGH YIELD           Equities     64128C106         25  1,731.00 Sole    N/A    All
NEUBERGER BERMANINTER MUN FD         Equities     64124P101         47  3,000.00 Sole    N/A    All
NEW HAMPSHIRE STBUSINESS FIN      Fixed Income    644684AR3         10 10,000.00 Sole    N/A    All
NEW HAMPSHIRE STBUSINESS FIN      Fixed Income    644684AF9         25 25,000.00 Sole    N/A    All
NEW JERSEY BLDG AUTHST BLDG REV   Fixed Income    645771TU0         21 20,000.00 Sole    N/A    All
NEW JERSEY ECONOMICDEV AUTH       Fixed Income    64577HPM7         73 70,000.00 Sole    N/A    All
NEW JERSEY ECONOMICDEV AUTH       Fixed Income    645918ZU0         59 50,000.00 Sole    N/A    All
NEW JERSEY ECONOMICDEV AUTH       Fixed Income    645918ZV8        119100,000.00 Sole    N/A    All
NEW JERSEY ENVIROMENINFRA         Fixed Income    645788MC1         20 20,000.00 Sole    N/A    All
NEW JERSEY ST EDLFACS AUTH REV    Fixed Income    64605L3F3         27 25,000.00 Sole    N/A    All
NEW JERSEY ST EDLFACS AUTH REV    Fixed Income    64605LJV1         15 15,000.00 Sole    N/A    All
NEW JERSEY ST EDLFACS AUTH REV    Fixed Income    646065LM2         48 45,000.00 Sole    N/A    All
NEW JERSEY ST EDLFACS AUTH REV    Fixed Income    646065ZS4         88 75,000.00 Sole    N/A    All
NEW JERSEY ST EDLFACS AUTH REV    Fixed Income    646065ZT2         86 75,000.00 Sole    N/A    All
NEW JERSEY ST TPKAUTH TPK REV     Fixed Income    646139VQ5         51 50,000.00 Sole    N/A    All
NEW JERSEY ST TPKAUTH TPK REV     Fixed Income    646139X75         28 25,000.00 Sole    N/A    All
NEW JERSEY ST TRANSNTR FD AUTH    Fixed Income    646136D40         55 50,000.00 Sole    N/A    All
NEW JERSEY ST TRANSNTR FD AUTH    Fixed Income    646136VU2         40 35,000.00 Sole    N/A    All
NEW JERSEY ST TRANSNTR FD AUTH    Fixed Income    646136YJ4         15 15,000.00 Sole    N/A    All
NEW JERSEY ST TRANSNTR FD AUTH    Fixed Income    646136YF2          5  5,000.00 Sole    N/A    All
NEW YORK CMNTYBANCORP INC COM        Equities     649445103        218 15,172.00 Sole    N/A    All
NEW YORK MTG TR INCCOM PAR           Equities     649604501        177 23,500.00 Sole    N/A    All
NEW YORK N Y CITYMUN WTR FIN      Fixed Income    64972GBU7         99100,000.00 Sole    N/A    All
NEW YORK TIMES CO CLA                Equities     650111107          1    100.00 Sole    N/A    All
NEWCASTLE INVT CORP8.5% SER C        Equities     65105M306         63  2,450.00 Sole    N/A    All
NEWCASTLE INVT CORPCOM               Equities     65105M108        472 42,250.00 Sole    N/A    All
NEWCASTLE INVT CORPNEW PFD           Equities     65105M405         13    500.00 Sole    N/A    All
NEWMONT MNG CORP COM                 Equities     651639106         40    954.00 Sole    N/A    All
NEWS CORP CL A                       Equities     65248E104         47  1,542.00 Sole    N/A    All
NEXTERA ENERGY INCCOM                Equities     65339F101         30    380.00 Sole    N/A    All
NICEVILLE FLA WTR &SWR; REV        Fixed Income    653692HG1         10 10,000.00 Sole    N/A    All
NICHOLAS FINL INC BCCOM NEW          Equities     65373J209        788 53,623.00 Sole    N/A    All
NII HLDGS INC CL BNEW                Equities     62913F201         87 20,000.00 Sole    N/A    All
NIKE INC CLASS B                     Equities     654106103         59  1,000.00 Sole    N/A    All
NOBLE ROMANS INC                     Equities     655107100         31 35,320.00 Sole    N/A    All
NOKIA CORPSPONSORED ADR              Equities     654902204          2    575.00 Sole    N/A    All
NORFOLK SOUTHERNCORP                 Equities     655844108         23    300.00 Sole    N/A    All
NORMURA HLDGS INCSPONSORED           Equities     65535H208          3    525.00 Sole    N/A    All
NORTH BERGEN TWP N JBRD ED        Fixed Income    65765NCD7         10 10,000.00 Sole    N/A    All
NORTHROP GRUMMANCORP COM             Equities     666807102         27    382.00 Sole    N/A    All
NORTHSTAR RLTY FINCORP 8.25%         Equities     66704R308         31  1,250.00 Sole    N/A    All
NORTHSTAR RLTY FINCORP PFD           Equities     66704R209         32  1,250.00 Sole    N/A    All
NOVARTIS AGSPONSORED ADR             Equities     66987V109         42    588.00 Sole    N/A    All
NOVO NORDISK A.S.ADR                 Equities     670100205        175  1,082.00 Sole    N/A    All
NUCOR CORP COM                       Equities     670346105         10    225.00 Sole    N/A    All
NUSTAR ENERGY LPUNIT COM             Equities     67058H102         37    700.00 Sole    N/A    All
NUVEEN NEW JERSEYPREMIUM INCOME      Equities     67101N106         25  1,600.00 Sole    N/A    All
NUVEEN PREM INCOMEMUN OPPTY          Equities     6706D8104         14  1,000.00 Sole    N/A    All
NUVEEN PREMIUMINCOME MUNI            Equities     67062T100         37  2,500.00 Sole    N/A    All
NUVEEN SELECTQUALITY MUNI FUND       Equities     670973106         20  1,300.00 Sole    N/A    All
NV ENERGY INC COM                    Equities     67073Y106          8    400.00 Sole    N/A    All
NXSTAGE MED INC COM                  Equities     67072V103        141 12,500.00 Sole    N/A    All
OAKTREE CAP GROUPLLC UNIT CL A       Equities     674001201         15    300.00 Sole    N/A    All
OCCIDENTAL PETE CORPCOM              Equities     674599105         10    125.00 Sole    N/A    All
OCEAN CNTY N J GENIMPT            Fixed Income    674735E84         25 25,000.00 Sole    N/A    All
OCEANEERING INTL INC                 Equities     675232102         20  300.8299 Sole    N/A    All
OCEANSIDE CALIF WTRREV            Fixed Income    675413CK2         10 10,000.00 Sole    N/A    All
OFFICIAL PMTS HLDGSINC COM           Equities     67623R106         19  3,345.00 Sole    N/A    All
OILTANKING PARTNERSL P               Equities     678049107         31    600.00 Sole    N/A    All
OLD LINE BANCSHARESINC COM           Equities     67984M100         25  2,000.00 Sole    N/A    All
OLD NATL BANCORPIND COM              Equities     680033107         55  4,000.00 Sole    N/A    All
OLD REP INTL CORP SRNT CON        Fixed Income    680223AH7        139125,000.00 Sole    N/A    All
OLD REPUBLIC INTLCORP                Equities     680223104         44  3,500.00 Sole    N/A    All
OMNIAMERICAN BANCORPINC COM          Equities     68216R107        177  7,000.00 Sole    N/A    All
ONE LIBERTY PPTYSINC COM             Equities     682406103        219 10,100.00 Sole    N/A    All
ONEOK PARTNERS L PSR NT 8.625%    Fixed Income    68268NAE3         40 30,000.00 Sole    N/A    All
ONEOK PARTNERS L PUNIT LTD           Equities     68268N103        195  3,400.00 Sole    N/A    All
OPPENHEIMER GLOBALSTRATEGIC        Mutual Funds   68380K102         10 2,208.467 Sole    N/A    All
ORACLE CORP COM                      Equities     68389X105         50  1,558.00 Sole    N/A    All
OSHKOSH CORPCOM                      Equities     688239201         21    500.00 Sole    N/A    All
OXFORD ALA WTRWKS &SWR; BRD        Fixed Income    691404HN0          5  5,000.00 Sole    N/A    All
OXFORD RESOURCEPARTNERS LP COM       Equities     691807101          3  1,200.00 Sole    N/A    All
OZH LLCLIMITED PARTNERSHIP            Others      692992126        850850,000.00 Sole    N/A    All
PALMDALE CALIF SCHDIST CTFS       Fixed Income    696736EE3         10 10,000.00 Sole    N/A    All
PALMDALE CALIF WTRDIST REV        Fixed Income    69674MBN0         10 10,000.00 Sole    N/A    All
PANDORA MEDIA INCCOM                 Equities     698354107         64  4,500.00 Sole    N/A    All
PARKER HANNIFIN CORPCOM              Equities     701094104        421  4,600.00 Sole    N/A    All
PATRIOT NATL BANCORPINC COM          Equities     70336F104         24 14,900.00 Sole    N/A    All
PAYCHEX INC COM                      Equities     704326107          7    200.00 Sole    N/A    All
PCCW LTDSHSISIN#HK0008011667         Equities     Y6802P120          0    400.00 Sole    N/A    All
PEABODY ENERGY CORPCOM               Equities     704549104        155  7,350.00 Sole    N/A    All
PEABODY ENERGY CORPGTD FIXED      Fixed Income    704549AH7         11 10,000.00 Sole    N/A    All
PEMBINA PIPELINECORP COM             Equities     706327103         13    425.00 Sole    N/A    All
PENN VA CORP GTDFIXED RT          Fixed Income    707882AC0        101101,000.00 Sole    N/A    All
PENNANTPARK INVTCORP COM             Equities     708062104         14  1,250.00 Sole    N/A    All
PENNANTPARK INVTCORP SR NT           Equities     708062302         88  3,500.00 Sole    N/A    All
PENNEY J C INC                       Equities     708160106         41  2,700.00 Sole    N/A    All
PENNEY J C INC DEB 7.950%         Fixed Income    708160BQ8         42 45,000.00 Sole    N/A    All
PENNSYLVANIA HSG FINAGY SINGLE    Fixed Income    708796SK4         21 20,000.00 Sole    N/A    All
PENNSYLVANIA REALESTATE INVT TR      Equities     709102107         91  4,700.00 Sole    N/A    All
PENTAIR LTDSHSISIN#CH0193880173      Equities     H6169Q108          6    119.00 Sole    N/A    All
PEOPLES UTD FINL INCCOM              Equities     712704105        161 12,000.00 Sole    N/A    All
PEPCO HLDGS INC COM                  Equities     713291102          6    300.00 Sole    N/A    All
PEPSICO INC COM                      Equities     713448108        778  9,840.00 Sole    N/A    All
PERSHING GOVERNMENT ACCOUNT     Cash and Equivalen  MMFPGR        12101,209,640. Sole    N/A    All
PETROLEO BRASILEIROSA                Equities     71654V408          9    525.00 Sole    N/A    All
PFIZER INC COM                       Equities     717081103        399 13,823.00 Sole    N/A    All
PHILIP MORRIS INTLINC COM            Equities     718172109        1691,823.2639 Sole    N/A    All
PHILLIPS 66 COM                      Equities     718546104         46    656.00 Sole    N/A    All
PIMCO INCOMESTRATEGY FD II COM       Equities     72201J104         46  3,978.00 Sole    N/A    All
PIMCO TOTAL RETURNCLASS A          Mutual Funds   693390445         13 1,182.908 Sole    N/A    All
PIONEER NAT RES COCOM                Equities     723787107         62    500.00 Sole    N/A    All
PIONEER NAT RES COFIXED RT NTS    Fixed Income    723787AJ6         32 25,000.00 Sole    N/A    All
PIONEER NAT RES COSR NT 5.875%    Fixed Income    723787AE7        136120,000.00 Sole    N/A    All
PIONEER NAT RES COSR NT 6.650%     Fixed Income   723787AG2          6  5,000.00 Sole    N/A    All
PIONEER NURSING HOMEHEALTH        Fixed Income    723814BN8         15 15,000.00 Sole    N/A    All
PIPER JAFFRAY COSCOM                 Equities     724078100          0     12.00 Sole    N/A    All
PLAINS ALL AMERICANPIPELINE L P      Equities     726503105         68  1,200.00 Sole    N/A    All
PLAINS ALL AMERNPIPELINE L P       Fixed Income   72650RAT9         61 50,000.00 Sole    N/A    All
PNC FINL SVCS GROUPINC COM           Equities     693475105        143  2,150.00 Sole    N/A    All
PNC FINL SVCS GROUPINC DEP SHS       Equities     693475881        128  5,050.00 Sole    N/A    All
PNC FINL SVCS GROUPINC WT            Equities     693475121        202 16,500.00 Sole    N/A    All
POPULAR CAP TR IGTD MONTHLY          Equities     73317W203        422 17,550.00 Sole    N/A    All
POPULAR CAP TR II6.125% GTD          Equities     73317H206        136  5,828.00 Sole    N/A    All
PORT AUTH N Y & N JONE HUNDRED    Fixed Income    73358TPZ8         54 50,000.00 Sole    N/A    All
PORT AUTH N Y & N JSPL OBLIG REV  Fixed Income    73358EEH3         58 50,000.00 Sole    N/A    All
PORT ST LUCIE FLASALES TAX REV    Fixed Income    73535RBP5         10 10,000.00 Sole    N/A    All
POST HLDGS INC COM                   Equities     737446104          4    100.00 Sole    N/A    All
PRAXAIR INC                          Equities     74005P104         17    152.00 Sole    N/A    All
PRIMECAP ODYSSEYGROWTH FUND        Mutual Funds   74160Q103         45 2,237.834 Sole    N/A    All
PROCTER & GAMBLE COCOM               Equities     742718109        359  4,654.00 Sole    N/A    All
PROSHARES TRULTRAPRO SHORT           Equities     74348A632        146  5,300.00 Sole    N/A    All
PROSPECT CAP CORPCOM                 Equities     74348T102        881 80,750.00 Sole    N/A    All
PROVIDENT FINL SVCSINC COM           Equities     74386T105        21013,734.530 Sole    N/A    All
PROVIDENT NEW YORKBANCORP COM        Equities     744028101         18  2,000.00 Sole    N/A    All
PRUDENTIAL FINL INCCOM               Equities     744320102         18    300.00 Sole    N/A    All
PRUDENTIAL JENNISONGROWTH FUND     Mutual Funds   74437E305          3   145.595 Sole    N/A    All
PUBLIC SVCENTERPRISE GROUP           Equities     744573106         451,318.4968 Sole    N/A    All
PUERTO RICO COMWLTHISSUES         Fixed Income    745144Z24         25 25,000.00 Sole    N/A    All
PUERTO RICO COMWLTHPUB IMPT       Fixed Income    745145HK1         20 20,000.00 Sole    N/A    All
PUERTO RICO COMWLTHPUB IMPT        Fixed Income   745145VB5         56 50,000.00 Sole    N/A    All
PUERTO RICO COMWLTHRFDG-PUB       Fixed Income    74514LA49         48 50,000.00 Sole    N/A    All
PUERTO RICO ELEC PWRAUTH PWR      Fixed Income    74526QEN8         56 55,000.00 Sole    N/A    All
PUERTO RICO PUB FINCORP           Fixed Income    745291SZ8         47 35,000.00 Sole    N/A    All
PUERTO RICO PUB FINCORP           Fixed Income    745291SX3         20 15,000.00 Sole    N/A    All
PUGET ENERGY INC NEWSR SECD       Fixed Income    745310AD4         34 30,000.00 Sole    N/A    All
PULASKI CNTY ARKSUBN SAN SWR      Fixed Income    745405BH2         10 10,000.00 Sole    N/A    All
PULTEGROUP INC COM                   Equities     745867101         10    500.00 Sole    N/A    All
PUTNAM NEW JERSEYTAX EXEMPT        Mutual Funds   746915107        148 15,094.00 Sole    N/A    All
PUTNAM PREMIERINCOME TRUST           Equities     746853100         15  2,699.00 Sole    N/A    All
PUTNAM TAX-EXEMPTINCOME FUND       Mutual Funds   746870104         28 3,128.397 Sole    N/A    All
QUALCOMM INC                         Equities     747525103        712 10,639.00 Sole    N/A    All
QUANTUM CORPDSSG COM                 Equities     747906204         19 15,200.00 Sole    N/A    All
QUEST DIAGNOSTICSINC COM             Equities     74834L100        224  3,975.00 Sole    N/A    All
QUESTCORPHARMACEUTICALS              Equities     74835Y101        325 10,000.00 Sole    N/A    All
R R DONNELLEY & SONSCO COM           Equities     257867101         96  8,000.00 Sole    N/A    All
RADIOSHACK CORP SRNT              Fixed Income    750438AE3         73100,000.00 Sole    N/A    All
REAVES UTIL INCOMEFD                 Equities     756158101         16  605.3133 Sole    N/A    All
REGIONS FINL CORPNEW COM             Equities     7591EP100        291 35,500.00 Sole    N/A    All
REGIONS FINL CORPNEW FIXED        Fixed Income    7591EPAH3         10 10,000.00 Sole    N/A    All
REGIONS FINL CORPNEW SR FIXED     Fixed Income    7591EPAF7         61 55,000.00 Sole    N/A    All
REPUBLIC SVCS INCCOM                 Equities     760759100       1285 38,925.00 Sole    N/A    All
RESEARCH IN MOTIONLTD COM            Equities     760975102         33  2,250.00 Sole    N/A    All
RIO TINTO PLCSPONSORED ADR           Equities     767204100         35    740.00 Sole    N/A    All
RIVIERA BEACH FLAUTIL SPL         Fixed Income    769595AQ2         20 20,000.00 Sole    N/A    All
ROCHE HLDGS LTDSPONSORED ADR         Equities     771195104         16    276.00 Sole    N/A    All
ROCKVILLE FINL INCNEW COM            Equities     774188106         40  3,050.00 Sole    N/A    All
ROCKWELL COLLINS INCDEL COM STK      Equities     774341101         31    497.00 Sole    N/A    All
ROSEVILLE CALIF NATGAS FING       Fixed Income    777863AT8         28 25,000.00 Sole    N/A    All
ROYAL DUTCH SHELLPLC SPONSORED       Equities     780259206        140  2,150.00 Sole    N/A    All
RUBIDOUX CALIF CMNTYSVCS DIST     Fixed Income    781145BA4         16 15,000.00 Sole    N/A    All
RUTGERS ST UNIV N JRFDG FGIC      Fixed Income    783186JW0         10 10,000.00 Sole    N/A    All
RUTGERS ST UNIV N JSER E FGIC     Fixed Income    783186LJ6          5  5,000.00 Sole    N/A    All
SAFEGUARD SCIENTIFICINC COM NEW      Equities     786449207          9    550.00 Sole    N/A    All
SAIC INCCOM                          Equities     78390X101          3    250.00 Sole    N/A    All
SAN BERNARDINO CALIFMUN WTR       Fixed Income    796760AQ9         10 10,000.00 Sole    N/A    All
SAN JOAQUIN HILLSCALIF TRANSNCO   Fixed Income    798111AH3         23 25,000.00 Sole    N/A    All
SANDRIDGE ENERGY INCCOM              Equities     80007P307         21  4,000.00 Sole    N/A    All
SAVANNAH MO COMBINEDWTRWKS        Fixed Income    805020CN2         50 50,000.00 Sole    N/A    All
SAVANNAH MO COMBINEDWTRWKS        Fixed Income    805020CV4         25 25,000.00 Sole    N/A    All
SCANA CORP NEW COM                   Equities     80589M102         41    800.00 Sole    N/A    All
SCHLUMBERGER LTD COM                 Equities     806857108        184  2,460.00 Sole    N/A    All
SCHWAB CHARLES CORPNEW COM           Equities     808513105         20  1,107.00 Sole    N/A    All
SCOTTS MIRACLE-GROCO GTD          Fixed Income    810186AH9        133125,000.00 Sole    N/A    All
SEACOAST BKG CORPFLA COM             Equities     811707306        351167,857.00 Sole    N/A    All
SEADRILL LIMTEDSHS                   Equities     G7945E105         11    300.00 Sole    N/A    All
SEALED AIR CORP NEWCOM               Equities     81211K100        767 31,796.00 Sole    N/A    All
SEARS ROEBUCK ACCEPCORP PFD          Equities     812404408         19  1,300.00 Sole    N/A    All
SEARS ROEBUCK ACCEPCORP PFD          Equities     812404507         35  2,250.00 Sole    N/A    All
SEI INST.MANAGED LARGE             Mutual Funds   783925662         40 1,435.213 Sole    N/A    All
SEI INST.MANAGED LARGE CAPVALUE    Mutual Funds   783925100         31 1,534.704 Sole    N/A    All
SEI INSTITUTIONALLYMANAGED         Mutual Funds   783925647          1   119.813 Sole    N/A    All
SEI INSTITUTIONALLYMANAGED CORE    Mutual Funds   783925506         39 3,362.543 Sole    N/A    All
SEI INTERNATIONALEMERGING          Mutual Funds   78411R851          1   105.006 Sole    N/A    All
SEI INTERNATIONALEMERGING          Mutual Funds   78411R703          3   250.806 Sole    N/A    All
SEI INTERNATIONALEQUITY FUND       Mutual Funds   78411R109         13 1,497.869 Sole    N/A    All
SEI INTERNATIONALFIXED-INCOME      Mutual Funds   78411R307         12  1,111.24 Sole    N/A    All
SEIINSTITUTIONALLYMANAGED          Mutual Funds   783925688          6   300.415 Sole    N/A    All
SEIINSTITUTIONALLYMANAGED          Mutual Funds   783925837          6   281.876 Sole    N/A    All
SEMPRA ENERGY COM                    Equities     816851109         53    665.00 Sole    N/A    All
SEQUOIA FUND                       Mutual Funds   817418106         91   489.283 Sole    N/A    All
SHORT TERM US GOVT IDS CLASS    Cash and Equivalen MMFOGVD         163163,294.28 Sole    N/A    All
SIEMENS A GSPONSORED ADR             Equities     826197501         27    250.00 Sole    N/A    All
SIGMA ALDRICH CORPCOM                Equities     826552101         17   215.068 Sole    N/A    All
SIMON PPTY GROUP INCNEW COM          Equities     828806109         63    395.00 Sole    N/A    All
SIMPLICITY BANCORPINC COM            Equities     828867101        105  7,000.00 Sole    N/A    All
SIT LARGE CAPGROWTH FUND           Mutual Funds   829797109         34   726.744 Sole    N/A    All
SLM CORP 6% SR NTMAT                 Equities     78442P304         86  3,500.00 Sole    N/A    All
SLM CORP EDNOTESEDNOTES 5.750%    Fixed Income    78490FRN1         91100,000.00 Sole    N/A    All
SLM CORP MEDIUM TERMNTS R 5.000   Fixed Income    78442FBG2         10 10,000.00 Sole    N/A    All
SMUCKER J M CO COMNEW                Equities     832696405         31  309.2524 Sole    N/A    All
SONAT INC DEB 7.000%              Fixed Income    835415AH3         31 30,000.00 Sole    N/A    All
SOUTH BRUNSWICK TWPN J BRD        Fixed Income    836802MC9         10 10,000.00 Sole    N/A    All
SOUTH JERSEY TRANSNAUTH N J       Fixed Income    838536EB2         28 25,000.00 Sole    N/A    All
SOUTH JERSEY TRANSNAUTH N J       Fixed Income    838536EQ9         28 25,000.00 Sole    N/A    All
SOUTH WESTERN SCHDIST PA YORK      Fixed Income   840659PH3         26 25,000.00 Sole    N/A    All
SOUTHERN CO COM                      Equities     842587107         10  220.7969 Sole    N/A    All
SOUTHWEST CAP TR II10.5% GTD         Equities     84480C205         13    500.00 Sole    N/A    All
SPDR GOLD TR GOLDSHS                 Equities     78463V107        111    720.00 Sole    N/A    All
SPECTRA ENERGY CORPCOM               Equities     847560109        598 19,455.00 Sole    N/A    All
ST LUCIE CNTY FLAWTR & SWR REV    Fixed Income    792090BK7         10 10,000.00 Sole    N/A    All
STAFFORD TWP N JRFDG 4.000%        Fixed Income   852529JP2         21 20,000.00 Sole    N/A    All
STARWOOD PPTY TR INCCOM              Equities     85571B105        998 35,950.00 Sole    N/A    All
STERIS CORP                          Equities     859152100          8    200.00 Sole    N/A    All
STEWARDSHIP FINLCORP COM             Equities     860326107          3    578.00 Sole    N/A    All
STOCKTON CALIF REVCTFS             Fixed Income   861407BJ2         20 20,000.00 Sole    N/A    All
STRAFFORD CNTY N H 5.000%         Fixed Income    852422BH6         20 20,000.00 Sole    N/A    All
STRYKER CORP                         Equities     863667101        620  9,500.00 Sole    N/A    All
SUBURBAN PROPANEPARTNERS L P         Equities     864482104         89  2,010.00 Sole    N/A    All
SUFFOLK BANCORP COM                  Equities     864739107        195 13,700.00 Sole    N/A    All
SUNTRUST BKS INC COM                 Equities     867914103        158  5,500.00 Sole    N/A    All
SUNTRUST BKS INCDEP SHS              Equities     867914509          2    100.00 Sole    N/A    All
SUSQUEHANNA BANKSHSINC PA            Equities     869099101         37  3,000.00 Sole    N/A    All
SUSSEX BANCORP COM                   Equities     869245100         25  3,338.00 Sole    N/A    All
SVB CAP IIGTD TR PFD SECS            Equities     86959H201         39  1,500.00 Sole    N/A    All
SYNGENTA AGSPON ADR                  Equities     87160A100         21    248.00 Sole    N/A    All
SYNOVUS FINL CORPCOM                 Equities     87161C105         83 30,000.00 Sole    N/A    All
SYNOVUS FINL CORPSUB NT 5.125%    Fixed Income    87161CAG0        697695,000.00 Sole    N/A    All
SYNOVUS FINL CORPTANGIBLE             Others      87161C204        541 22,200.00 Sole    N/A    All
SYSCO CORP                           Equities     871829107        355 10,089.00 Sole    N/A    All
T ROWE PRICE GROWTHSTOCK           Mutual Funds   741479109        212 5,208.616 Sole    N/A    All
T ROWE PRICECAPITAL                Mutual Funds   77954M105          3    121.00 Sole    N/A    All
TARGA RES PARTNERSLP COM UNIT        Equities     87611X105        313  6,800.00 Sole    N/A    All
TARGET CORP COM                      Equities     87612E106        238  3,480.00 Sole    N/A    All
TAX EXEMPT SECS TRUNIT SER            Others      876940131          1     10.00 Sole    N/A    All
TC PIPELINES LP UNITCOM LTD          Equities     87233Q108         39    800.00 Sole    N/A    All
TCF FINL CORP DELDEP SHS             Equities     872277207        257  9,500.00 Sole    N/A    All
TE CONNECTIVITY LTD                  Equities     H84989104          2     50.00 Sole    N/A    All
TEEKAY LNG PARTNERSL P               Equities     Y8564M105          4    100.00 Sole    N/A    All
TELEFONICA S A ADRSPONS ADR          Equities     879382208          5    384.00 Sole    N/A    All
TELEFONICA SAORD SH                  Equities     879382109          2    171.00 Sole    N/A    All
TELUS CORPCOM                        Equities     87971M103         14   204.026 Sole    N/A    All
TEMPLETON DRAGONFUND INC             Equities     88018T101         54  1,942.00 Sole    N/A    All
TEMPLETON EMERGINGMKTS INCOME        Equities     880192109          8    512.00 Sole    N/A    All
TEMPLETON GLOBALINCOME FUND INC      Equities     880198106         37  3,928.00 Sole    N/A    All
TERADATA CORP DELCOM                 Equities     88076W103          4     60.00 Sole    N/A    All
TEVA PHARMACEUTICALINDUSTRIES        Equities     881624209         14    354.00 Sole    N/A    All
TEXAS INSTRUMENTSINC                 Equities     882508104         51  1,450.00 Sole    N/A    All
TEXTRON INCCOM                       Equities     883203101         15    500.00 Sole    N/A    All
TFS FINL CORP COM                    Equities     87240R107         43  4,000.00 Sole    N/A    All
THE OAKMARK EQUITYAND INCOME       Mutual Funds   413838400        104 3,436.327 Sole    N/A    All
THE OAKMARK FUNDCLASS I            Mutual Funds   413838103        182  3,421.00 Sole    N/A    All
THERMO FISHERSCIENTIFIC INC          Equities     883556102         17  227.1189 Sole    N/A    All
THIRD AVENUE VALUEFUND             Mutual Funds   884116104        156  2,967.00 Sole    N/A    All
THL CR INC COM                       Equities     872438106        615 41,063.00 Sole    N/A    All
TIFFANY & COMPANY                    Equities     886547108        160  2,300.00 Sole    N/A    All
TIME WARNER CABLEINC COM             Equities     88732J207          5     50.00 Sole    N/A    All
TIME WARNER INC NEWCOM NEW           Equities     887317303         12    200.00 Sole    N/A    All
TJX COMPANIES INC(NEW)               Equities     872540109         94  2,000.00 Sole    N/A    All
TOTAL S ASPONSORED ADR               Equities     89151E109         66  1,375.00 Sole    N/A    All
TOYOTA MTR COSPON ADR                Equities     892331307         26    250.00 Sole    N/A    All
TRADE STRRESIDENTIAL INC COMNEW      Equities     89255N203          0     18.00 Sole    N/A    All
TRANSAMERICACAPITAL GROWTH         Mutual Funds   893958462         16   978.093 Sole    N/A    All
TRANSOCEAN LTDZUG NAMEN              Equities     H8817H100         31    602.00 Sole    N/A    All
TRAVELCENTERS AMERLLC SR             Equities     894174200         96  3,750.00 Sole    N/A    All
TREE COM INC COM                     Equities     894675107          0      8.00 Sole    N/A    All
TRUSTCO BK CORP N YCOM               Equities     898349105          8  1,500.00 Sole    N/A    All
TRUSTMARK CORP                       Equities     898402102         25  1,000.00 Sole    N/A    All
TWEEDY BROWNEGLOBAL VALUE FUND     Mutual Funds   901165100         30 1,202.043 Sole    N/A    All
TWO HBRS INVT CORPCOM                Equities     90187B101        801 63,525.00 Sole    N/A    All
TYCO INTL LTD                        Equities     H89128104         16    500.00 Sole    N/A    All
U.S.DOLLARS CURRENCY            Cash and EquivalenUSD999997       11001,100,301. Sole    N/A    All
UBS AGSHS NEWISIN#CH0024899483       Equities     H89231338          4    262.00 Sole    N/A    All
UMPQUA HLDGS CORPCOM                 Equities     904214103         17  1,315.00 Sole    N/A    All
UNILEVER NV NEW YORKSHS NEW          Equities     904784709         19    475.00 Sole    N/A    All
UNION PACIFIC CORPCOM                Equities     907818108         43    300.00 Sole    N/A    All
UNITED FINL BANCORPINC MD COM        Equities     91030T109         15  1,000.00 Sole    N/A    All
UNITED PARCEL SVCINC CL B            Equities     911312106        389  4,525.00 Sole    N/A    All
UNITED STATES TREASBDS TREAS       Fixed Income   912810FQ6         42 20,000.00 Sole    N/A    All
UNITED STATES TREASNTS 1.625%     Fixed Income    912828TY6         49 50,000.00 Sole    N/A    All
UNITED STATES TREASNTS 2.125%     Fixed Income    912828PM6        210200,000.00 Sole    N/A    All
UNITED STS NAT GASFD LP UNIT         Equities     912318201          1     62.00 Sole    N/A    All
UNITED STS STL CORPNEW COM           Equities     912909108         16    800.00 Sole    N/A    All
UNITED STS STL CORPNEW SR NT      Fixed Income    912909AG3         52 50,000.00 Sole    N/A    All
UNITED TECHNOLOGIESCORP COM          Equities     913017109         82    875.00 Sole    N/A    All
UNIVERSAL HEALTHRLTY INCOME          Equities     91359E105         29    500.00 Sole    N/A    All
UNIVERSITY MEDICINE& DENTISTRY    Fixed Income    914447CG0          5  5,000.00 Sole    N/A    All
UPLAND CALIF CMNTYREDEV AGY       Fixed Income    915355AN1         15 15,000.00 Sole    N/A    All
US BANCORP DELCOM                    Equities     902973304        193  5,700.00 Sole    N/A    All
USG CORP (NEW)COMMON STOCK           Equities     903293405        407 15,400.00 Sole    N/A    All
VALENCE TECHNOLOGYINC COM            Equities     918914102          0    200.00 Sole    N/A    All
VALLEY NATL BANCORPCOM               Equities     919794107        628 61,328.00 Sole    N/A    All
VALLEY NATL BANCORPWTS EXP 2015      Equities     919794123          1  2,555.00 Sole    N/A    All
VANGUARD FLORIDALONG               Mutual Funds   922033105         27 2,232.379 Sole    N/A    All
VANGUARD HIGH YIELDTAX             Mutual Funds   922907407        398 35,322.00 Sole    N/A    All
VANGUARD HIGHYIELD                 Mutual Funds   922031208        584 95,293.00 Sole    N/A    All
VANGUARD LONG-TERMTAX              Mutual Funds   922907308        15112,827.867 Sole    N/A    All
VANGUARD NAT RES LLCCOM UNIT         Equities     92205F106        151  5,300.00 Sole    N/A    All
VANGUARD NJLONG-TERMTAX            Mutual Funds   92204F206        206 16,799.00 Sole    N/A    All
VANGUARD SHORT-TERMTAX             Mutual Funds   922907100         76 4,759.892 Sole    N/A    All
VANGUARDLIMITED-TERMTAX            Mutual Funds   922907704         51 4,612.546 Sole    N/A    All
VERIZONCOMMUNICATIONS INCCOM         Equities     92343V104        125 2,549.179 Sole    N/A    All
VIACOM INC NEW CL B                  Equities     92553P201          6    100.00 Sole    N/A    All
VIEWPOINT FINL GROUPINC MD COM       Equities     92672A101        118  5,869.00 Sole    N/A    All
VISA INC COM CL A                    Equities     92826C839        127    750.00 Sole    N/A    All
VIVUS INC COM                        Equities     928551100         22  2,000.00 Sole    N/A    All
VMWARE INC CL ACOM                   Equities     928563402         87  1,100.00 Sole    N/A    All
VNB CAP TR I GTD TRORIGINATED        Equities     92856Q203        313 12,263.00 Sole    N/A    All
VODAFONE GROUP PLCSPON ADR           Equities     92857W209        357 12,576.00 Sole    N/A    All
VORNADO RLTY TR6.6250% SER           Equities     929042802         53  2,100.00 Sole    N/A    All
VULCAN MATLS CO NT 6.400%         Fixed Income    929160AF6        106 95,000.00 Sole    N/A    All
VULCAN MATLS CO NT 7.150%         Fixed Income    929160AG4         31 30,000.00 Sole    N/A    All
VULCAN MATLS CONOTES 7.000%        Fixed Income   929160AK5         45 40,000.00 Sole    N/A    All
WAL MART DE MEXICOSA DE CV           Equities     93114W107          9    273.00 Sole    N/A    All
WAL MART STORES INCCOM               Equities     931142103         58    780.00 Sole    N/A    All
WALLKILL VY REGLHIGH SCH DIST      Fixed Income   932638EA3         51 50,000.00 Sole    N/A    All
WARNER CHILCOTT PLCSHS A             Equities     G94368100         14  1,000.00 Sole    N/A    All
WASHINGTON FED INCCOM                Equities     938824109         35  2,000.00 Sole    N/A    All
WASTE MGMT INC DELCOM                Equities     94106L109        678 17,287.00 Sole    N/A    All
WEATHERFORD INTL LTD                 Equities     H27013103         16  1,300.00 Sole    N/A    All
WELLPOINT INC COM                    Equities     94973V107         56    842.00 Sole    N/A    All
WELLS FARGO & CO NEWDEP SHS          Equities     949746879         45  1,500.00 Sole    N/A    All
WELLS FARGO & CONEW COM              Equities     949746101        330  8,929.00 Sole    N/A    All
WESTERN ALLIANCEBANCORPORATION     Fixed Income   957638AB5        167150,000.00 Sole    N/A    All
WESTERN ASSET MTGCAP CORP COM        Equities     95790D105         17    750.00 Sole    N/A    All
WESTFIELD FINL INCNEW COM            Equities     96008P104        121 15,500.00 Sole    N/A    All
WESTPORT INNOVATIONSINC COM          Equities     960908309         18    600.00 Sole    N/A    All
WILDWOOD N J GENIMPT-WTR SWR       Fixed Income   968206PT3         11 10,000.00 Sole    N/A    All
WILLIAMS COS INC COM                 Equities     969457100        652 17,400.00 Sole    N/A    All
WILLIAMS COS INC NT 7.875%        Fixed Income    969457BG4         23 18,000.00 Sole    N/A    All
WILLIAMS COS INC NT 8.750%         Fixed Income   969457BM1          4  3,000.00 Sole    N/A    All
WILLIAMS PARTNERS LP COM UNIT        Equities     96950F104         52  1,000.00 Sole    N/A    All
WILLIS GROUP HLDGSPUBLIC LTD         Equities     G96666105        250  6,325.00 Sole    N/A    All
WILLIS NORTH AMERINC FIXED RATE    Fixed Income   970648AE1        119100,000.00 Sole    N/A    All
WILLIS NORTH AMERINC GTD          Fixed Income    970648AB7         43 40,000.00 Sole    N/A    All
WILLIS NORTH AMERINC GTD           Fixed Income   970648AD3         11 10,000.00 Sole    N/A    All
WILMINGTON TRUSTCORP WILMIN       Fixed Income    971807AC6         65 65,000.00 Sole    N/A    All
WINTHROP RLTY TR PFDSHS BEN INT      Equities     976391508       1268 45,800.00 Sole    N/A    All
WINTHROP RLTY TRSH BEN INT NEW       Equities     976391300        192 15,270.00 Sole    N/A    All
WINTHROP RLTY TRSR NT                Equities     976391607        478 18,375.00 Sole    N/A    All
WISCONSIN ENERGYCORP COM             Equities     976657106          9    200.00 Sole    N/A    All
WISDOMTREE TRAUSTRALIA & NEWZEA      Equities     97717W216          5    200.00 Sole    N/A    All
WISDOMTREE TRAUSTRALIA DIVIDENDF     Equities     97717W810         10    150.00 Sole    N/A    All
WORLD FUEL SVCS CORPCOM              Equities     981475106        451 11,350.00 Sole    N/A    All
WPX ENERGY INC COM                   Equities     98212B103         93  5,794.00 Sole    N/A    All
WRIGLEY WM JR CO SRNT 4.650%LB    Fixed Income    982526AB1        165155,000.00 Sole    N/A    All
XEROX CORPORATION                    Equities     984121103        215 25,000.00 Sole    N/A    All
YADKIN VY FINL CORPPERP PFDSER       Equities     984314203         97    100.00 Sole    N/A    All
YAHOO INC COM                        Equities     984332106         12    500.00 Sole    N/A    All
YUM BRANDS INC SR NT 6.250%       Fixed Income    988498AC5         48 40,000.00 Sole    N/A    All
YUM BRANDS INCCOM                    Equities     988498101        439  6,100.00 Sole    N/A    All
ZAIS FINL CORPCOM                    Equities     98886K108        295 14,285.00 Sole    N/A    All
ZIMMER HLDGS INC COM                 Equities     98956P102         63    842.00 Sole    N/A    All
ZIONS BANCORPDEPOSITARY SHS          Equities     989701503         93  3,600.00 Sole    N/A    All
ZIONS BANCORPORATIONDEP SHS          Equities     989701867         39  1,389.00 Sole    N/A    All
ZIONS BANCORPORATIONDEP SHS          Equities     98973A104         99  4,050.00 Sole    N/A    All
ZIONS BANCORPORATIONFIXED RT       Fixed Income   989701AX5        337310,000.00 Sole    N/A    All
ZIONS BANCORPORATIONSUB NT        Fixed Income    989701AJ6        142135,000.00 Sole    N/A    All
ZIONS BANCORPORATIONWT               Equities     989701115         32  6,500.00 Sole    N/A    All
ZIONS CAP TR BCAP SECS               Equities     989703202        457 17,700.00 Sole    N/A    All