Hudson Valley Investment Advisors

Hudson Valley Investment Advisors as of Dec. 31, 2012

Portfolio Holdings for Hudson Valley Investment Advisors

Hudson Valley Investment Advisors holds 0 positions in its portfolio as reported in the December 2012 quarterly 13F filing

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   Form 13F Information Table
					                   VALUE   SHARES/  SH/ PUT/ INVSTMT    OTHER	       VOTING AUTHORITY
   NAME OF ISSUER	       TITLE OF CLASS	 CUSIP	  (x$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS       SOLE    SHARED    NONE

3M COMPANY		       COM		885794101     1728    18616 SH	     SOLE	             13966        0   4650
ABBOTT LABORATORIES	       COM		002824100     1542    23557 SH	     SOLE		      6894	  0  16663
ADSOUTH PARTNERS INC	       COM		00737M200       10    10001 SH	     SOLE			 0	  0  10001
ADT CORPORATION		       COM		00101J106      445     9587 SH	     SOLE		      9587	  0      0
ALICO INC		       COM		016230104      218     5952 SH	     SOLE		      5952	  0	 0
ALTRIA GROUP INC	       COM		02209S103      995    31656 SH	     SOLE		     31056	  0    600
AMGEN INC		       COM		031162100      443     5140 SH	     SOLE		      4340        0    800
APPLE COMPUTER INC	       COM		037833100      853     1003 SH	     SOLE		      1003        0    600
ASTRAZENECA PLC		       COM		046353108      292     6025 SH	     SOLE			 0	  0   6025
AT & T INC		       COM		00206R102     3307    98128 SH	     SOLE		     81010        0  17118
AUTO DATA PROCESSING	       COM		053015103     1939    34067 SH	     SOLE		     22467        0  11600
BALCHEM CORP		       COM		057665200      341     9360 SH	     SOLE		      7742	  0   1618
BANK AMERICA CORP	       COM		060505104     2158   185624 SH 	     SOLE		    185624        0    280
BANK OF NY MELLON CORP	       COM		064058100     1557    60600 SH	     SOLE		     60600        0      0
BERKSHIRE BANCP INC DEL	       COM		084597202     1116   136109 SH	     SOLE		    136109        0      0
BLACKROCK INC		       COM		09247X101      329     1594 SH	     SOLE		      1594        0      0
BOEING CO		       COM		097023105     1817    24121 SH	     SOLE		     23688        0    433
BRISTOL-MYERS SQUIBB CO	       COM		110122108     2716    83368 SH	     SOLE		     80418        0   2950
C V S CORP DEL		       COM		126650100     3193    66048 SH	     SOLE		     65548        0    500
CANNABIS SCIENCE INC	       COM		137648101        1    13300 SH	     SOLE		     13300	  0	 0
CAPLEASE INC		       COM		140288101      328    58600 SH	     SOLE		     58600	  0	 0
CARDINAL HEALTH INC	       COM		14149Y108     1428    34700 SH	     SOLE		     34700        0      0
CHEVRONTEXACO CORP	       COM		166764100     5680    52530 SH	     SOLE		     44739        0   7791
CHINDEX INTERNATIONAL INC      COM		169467107      107    10000 SH	     SOLE		     10000	  0	 0
CHUBB CORPORATION	       COM		171232101     2544    33783 SH	     SOLE		     33583        0    200
CISCO SYSTEMS INC	       COM		17275R102     2563   130464 SH       SOLE		    123943        0   6521
CITRIX SYSTEMS INC	       COM		177376100     2462    37525 SH	     SOLE		     37525        0      0
COCA COLA COMPANY	       COM		191216100      592    16355 SH	     SOLE		      4423	  0  11932
COLGATE-PALMOVILE CO	       COM		194162103      247     2369 SH	     SOLE		       775	  0   1594
COMMERCIAL METALS CO	       COM		201723103      869    58518 SH	     SOLE		     58518        0      0
CONAGRA FOODS INC	       COM		205887102      358    12150 SH	     SOLE		      3300	  0   8850
CONOCOPHILLIPS 		       COM		20825c104     3172    54700 SH	     SOLE		     45735	  0   8965
CONSOLIDATED ENDISON INC       COM		209115104      248     4469 SH	     SOLE		      2507	  0   1962
CORNING INC		       COM		219350105      782    62004 SH	     SOLE		     58839	  0   3165
COVIDIEN LTD		       COM		G2552X108     1033    17901 SH	     SOLE		     17901	  0	 0
DISCOVERY CORP ENTERPRISES INC COM		25466Y109        4    34000 SH	     SOLE		     34000	  0	 0
DISNEY WALT HOLDING CO	       COM		254687106      241     4857 SH	     SOLE		      3581	  0   1276
DOW CHEMICAL COMPANY	       COM		260543103     1313    40644 SH	     SOLE		     40644	  0	 0
DU PONT E I DO NEMOUR	       COM		263534109      331     7360 SH       SOLE		      2960	  0   4400
DUKE ENERGY CORPORATION	       COM		26441C204      244     3835 SH	     SOLE		      1400	  0   2435
E M C CORP MASS		       COM		268648102     1116    44131 SH	     SOLE		     43531        0    600
EMERSON ELECTRIC CO	       COM		291011104     3451    65168 SH	     SOLE		     57843        0   7325
EQT CORPORATION		       COM		26884L109      319     5450 SH	     SOLE		         0	  0   5450
EXPRESS SCRIPTS A	       COM		30219G108     1613    29880 SH	     SOLE		     29880 	  0	 0
EXXON MOBIL CORPORATION	       COM		30231G102     7295    58998 SH	     SOLE		     58998        0  25291
GENERAL ELECTRIC COMPANY       COM		369604103     5154   156508 SH	     SOLE		    156508        0  89041
GOLDMAN SACHS GROUP INC	       COM		38141G104     1678    13155 SH	     SOLE		     13155        0      0
HALLIBURTON COMPANY	       COM		406216101     2857    82370 SH	     SOLE		     81970        0    400
HEINZ CO		       COM		423074103      417     7238 SH	     SOLE		       200	  0   7038
HEMP INC		       COM		423703107        1    16500 SH	     SOLE		     16500	  0	 0
HOME DEPOT INC		       COM		437076102     4773    77184 SH	     SOLE		     76138        0   1046
INTEL CORP		       COM		458140100     3240   157129 SH       SOLE		    149129        0   8000
INTL BUSINESS MACHINES	       COM		459200101     2859    14926 SH	     SOLE		      9384        0   5542
INTL FLAVOR & FRAGRANCES       COM		459506101      855    12850 SH	     SOLE		     12850        0      0
INTUITIVE SURGICAL INC	       COM		46120E602     6231    12500 SH	     SOLE		         0	  0  12500
ISHARES TR S^P US PFD	       COM		464288687      608    15350 SH	     SOLE		     15350	  0	 0
JEFFERSONVILLE BANCORP	       COM		47559A103      399    36342 SH	     SOLE		     36342        0      0
JOHNSON & JOHNSON	       COM		478160104     6285    89668 SH	     SOLE		     79009        0  10659
JP MORGAN CHASE & CO	       COM		46625H100     2775    63130 SH	     SOLE		     56367        0   6763
KINDER MORGAN ENERGY LP	       COM		494550106      270     3390 SH	     SOLE		      3390	  0	 0
KRAFT FOODS INC		       COM		50075N104      891    19600 SH	     SOLE		     16791        0   2809
ELI LILLY & COMPANY	       COM		532457108      388     7875 SH	     SOLE		      3575	  0   4300
LOWES COMPANIES INC	       COM		548661107      293     8275 SH	     SOLE		      8275	  0	 0
M & T BANK CORP		       COM		55261f104      288     2931 SH	     SOLE		      2006	  0    925
M D U RESOURCES GROUP INC      COM		552690109      253    11946 SH	     SOLE		     11946        0      0
MCDONALDS CORPORATION	       COM		580135101     1243    14102 SH	     SOLE		      8557        0   5545
MEDTRONIC INC		       COM		585055106     5200   126791 SH	     SOLE		      1391	  0 125400
MERCK & CO INC		       COM		58933Y105     2213    54064 SH	     SOLE		     48492        0   5572
METLIFE INC		       COM		59156R108      600    18244 SH	     SOLE	             18244        0      0
MICROSOFT CORP		       COM		594918104     3496   130902 SH       SOLE		    117597        0  13305
MONDELIZ INTL INC	       COM		609207105     1369    53807 SH	     SOLE		     44257	  0   9550
NABORS INDS INC		       COM		G6359F103      250    17350 SH	     SOLE		     17350        0      0
NEW YORK COMNTY BANCORP	       COM		649445103      139    10671 SH	     SOLE		     10471	  0    200
NEXTRA ENERGY INC.	       COM		302571104      372     5382 SH	     SOLE		      4592        0    790
NORFOLK SOUTHERN CORP	       COM		655844108      375     4452 SH	     SOLE		      4302	  0    150
NORTHROP GRUMMAN CORP	       COM		666807102      492     7290 SH	     SOLE                     7290        0      0
NOVARTIS AG ADR		       COM		66987V109      459     7050 SH	     SOLE		         0	  0   7050
OCCIDENTAL PETE CORP	       COM		674599105      209     2731 SH	     SOLE		      2631	  0    100
ORACLE CORPORATION	       COM		68389X105     4439   133226 SH       SOLE		    131926        0   1300
ORANGE COUNTY BANCORP INC      COM		68417L107     4754   119753 SH	     SOLE			 0	  0 119753
PENTAIR INC		       COM		H6169Q108      216     4408 SH	     SOLE		      4408  	  0   4408
PEPSICO INCORPORATED	       COM		713448108     3859    56403 SH	     SOLE		     42771        0  13632
PFIZER INCORPORATED	       COM		717081103     3584   142940 SH	     SOLE		    131377        0  11563
PHILIP MORRIS INTL INC	       COM		718172109      980    11727 SH	     SOLE		     11727	  0	 0
PHILLIPS 66		       COM		718546104     1450    27320 SH	     SOLE		     23034	  0   4286
PNC FINANCIAL SERVICES	       COM		693475105      590    10129 SH	     SOLE		     10129        0      0
PPL CORPORATION		       COM		69351T106      462    16155 SH	     SOLE		     16155	  0      0
PRECISION CASTPARTS CORP       COM		740189105     1562     8250 SH	     SOLE		      8250        0      0
PROCTER & GAMBLE CO	       COM		742718109     4004    58979 SH	     SOLE		     43324        0  15655
PROVIDENT NEW YORK BANCORP     COM		744028101     6666   716049 SH	     SOLE	            695410        0  20639
QUALCOMM INC		       COM		747525103      707    11429 SH	     SOLE		      9229        0   2200
REPUBLIC SERVICES INC	       COM		760759100      380    12990 SH	     SOLE		     12990        0      0
RESMED INC		       COM 		761152107      400     9000 SH	     SOLE		         0        0   9000
ROYAL DUTCH SHELL SPON ADR     COM		780259206     1186    17211 SH	     SOLE		     16611        0    600
RSTK INTERLINK US NETWORKS     COM	        45875T905        1    45000 SH 	     SOLE                    45000        0      0
SCHLUMBERGER LTD	       COM		806857108      220     3187 SH	     SOLE		      3112        0     75
SPECTRA ENERGY CORP	       COM		847560109      411    15022 SH	     SOLE		     13400	  0   1622
STREETRACKS GOLD TRUST	       COM		78463v107      370     2287 SH	     SOLE		      2287	  0	 0
SYSCO CORPORATION	       COM		871829107     1675    52909 SH	     SOLE		     52909        0      0
TEVA PHARM INDS LTD ADRF       COM		881624209      399    10686 SH	     SOLE		      4986        0   5700
THE CHARLES SCHWAB CORP	       COM		808513105      164    11481 SH	     SOLE		     11481        0      0
THERMO ELECTRON CORP	       COM		883556102     3137    49190 SH	     SOLE		     48590        0    600
TIME WARNER INC		       COM		00184A105     1354    28324 SH	     SOLE		     28324        0      0
TYCO INTL LTD NEW	       COM		902124106      578    19772 SH	     SOLE		     19772        0      0
UNITED TECHNOLOGIES CORP       COM		913017109      437     5306 SH	     SOLE		      2716        0   2590
VENTANA BIOTECH INC	       COM		92277F109        0    10000 SH       SOLE		     10000        0      0
VERIZON COMMUNICATIONS	       COM		92343V104     3828    88470 SH	     SOLE		     80334        0   8136
WAL-MART STORES INC	       COM		931142103     3323    48703 SH	     SOLE		     47903        0    800
WARWICK VALLEY TELEPHONE CO    COM		936750108      870    83368 SH	     SOLE		     83368	  0      0
WATSON PHARMACEUTICALS	       COM		942683103     2790    32450 SH	     SOLE		     32450        0      0
WELLS FARGO  & CO NEW	       COM		949746101     1540    45068 SH	     SOLE		     36313        0   8755
WESTMONT RESOURCES INC	       COM		96081P302        1   445350 SH	     SOLE			 0	  0 445350
ZALICUS INC		       COM		98887C105        7    11000 SH	     SOLE		     11000	  0	 0