Hudson Valley Investment Advisors

Hudson Valley Investment Advisors as of March 31, 2013

Portfolio Holdings for Hudson Valley Investment Advisors

Hudson Valley Investment Advisors holds 0 positions in its portfolio as reported in the March 2013 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     1979    18618 SH	     SOLE	             13968        0   4650
ABBOTT LABORATORIES	       COM		002824100      826    23407 SH	     SOLE		      7044	  0  16363
ABBVIE INC		       COM		002874109      877    21507 SH	     SOLE		      5144	  0  16363
ADSOUTH PARTNERS INC	       COM		00737M200       10    10001 SH	     SOLE			 0	  0  10001
ACTAVIS INC		       COM		00507K103     2945    31975 SH	     SOLE			 0	  0	 0
ADT CORPORATION		       COM		00101J106      463     9476 SH	     SOLE		      9476	  0      0
ALICO INC		       COM		016230104      275     5952 SH	     SOLE		      5952	  0	 0
ALTEVA			       COM		02153V102      759    82576 SH	     SOLE		     82576	  0	 0
ALTRIA GROUP INC	       COM		02209S103     1065    30986 SH	     SOLE		     30856	  0    130
AMERICAN INTL GROUP INC	       COM		026874784      222     5720 SH	     SOLE		       220	  0   5500
AMGEN INC		       COM		031162100      527     5141 SH	     SOLE		      4341        0    800
APPLE COMPUTER INC	       COM		037833100      691     1563 SH	     SOLE		      1078        0    485
ASTRAZENECA PLC		       COM		046353108      313     6275 SH	     SOLE			 0	  0   6275
AT & T INC		       COM		00206R102     3671   100055 SH	     SOLE		     81064        0  18991
AUTO DATA PROCESSING	       COM		053015103     2208    33967 SH	     SOLE		     22467        0  11500
BALCHEM CORP		       COM		057665200      415     9460 SH	     SOLE		      7842	  0   1618
BANK AMERICA CORP	       COM		060505104     2280   187241 SH 	     SOLE		    186961        0    280
BANK OF NY MELLON CORP	       COM		064058100     1660    59325 SH	     SOLE		     59325        0      0
BERKSHIRE BANCP INC DEL	       COM		084597202     1136   136109 SH	     SOLE		    136109        0      0
BLACKROCK INC		       COM		09247X101      409     1594 SH	     SOLE		      1594        0      0
BOEING CO		       COM		097023105     2221    25871 SH	     SOLE		     25438        0    433
BOREAL WATER COLLECTION INC    COM		09971P100        1    35700 SH	     SOLE			 0	  0  35700
BRISTOL-MYERS SQUIBB CO	       COM		110122108     3451    83798 SH	     SOLE		     80848        0   2950
C V S CORP DEL		       COM		126650100     3568    64898 SH	     SOLE		     64398        0    500
CAPLEASE INC		       COM		140288101      347    54600 SH	     SOLE		     	 0	  0  54600
CARDINAL HEALTH INC	       COM		14149Y108     1439    34575 SH	     SOLE		     34575        0      0
CHEVRONTEXACO CORP	       COM		166764100     6273    52801 SH	     SOLE		     44264        0   8537
CHIMERA ENERGY CORP	       COM		16934U100        1    16600 SH	     SOLE			 0	  0  16600
CHINDEX INTERNATIONAL INC      COM		169467107      137    10000 SH	     SOLE		     	 0	  0  10000
CHUBB CORPORATION	       COM		171232101     2853    32605 SH	     SOLE		     32405        0    200
CISCO SYSTEMS INC	       COM		17275R102     2758   132014 SH       SOLE		    123443        0   8571
CITRIX SYSTEMS INC	       COM		177376100     2696    37375 SH	     SOLE		     37375        0      0
COCA COLA COMPANY	       COM		191216100      673    16655 SH	     SOLE		      4923	  0  11732
COLGATE-PALMOVILE CO	       COM		194162103      279     2369 SH	     SOLE		       775	  0   1594
COMMERCIAL METALS CO	       COM		201723103      927    58518 SH	     SOLE		     58518        0      0
CONAGRA FOODS INC	       COM		205887102      499    13950 SH	     SOLE		      3300	  0  10650
CONOCOPHILLIPS 		       COM		20825c104     3327    55373 SH	     SOLE		     45608	  0   9765
CONSOLIDATED ENDISON INC       COM		209115104      272     4469 SH	     SOLE		      2507	  0   1962
CORNING INC		       COM		219350105      830    62306 SH	     SOLE		     57741	  0   4565
COVIDIEN LTD		       COM		G2552X108     1211    17851 SH	     SOLE		     17851	  0	 0
DISCOVERY CORP ENTERPRISES INC COM		25466Y109        4    34000 SH	     SOLE		     34000	  0	 0
DISNEY WALT HOLDING CO	       COM		254687106      275     4857 SH	     SOLE		      3581	  0   1276
DOW CHEMICAL COMPANY	       COM		260543103     1297    40744 SH	     SOLE		     40644	  0    100
DU PONT E I DO NEMOUR	       COM		263534109      423     8610 SH       SOLE		      3335	  0   5275
DUKE ENERGY CORPORATION	       COM		26441C204      315     4346 SH	     SOLE		      1661	  0   2685
E M C CORP MASS		       COM		268648102      993    41581 SH	     SOLE		     41581        0      0
EMERSON ELECTRIC CO	       COM		291011104     3682    65919 SH	     SOLE		     57694        0   8225
ENERGEN CORPORATION	       COM		29265N108      228     4400 SH	     SOLE			 0	  0   4400
EQT CORPORATION		       COM		26884L109      369     5450 SH	     SOLE		         0	  0   5450
EXPRESS SCRIPTS A	       COM		30219G108     1720    29861 SH	     SOLE		     29861 	  0	 0
EXXON MOBIL CORPORATION	       COM		30231G102     7715    85619 SH	     SOLE		     57553        0  28066
GENERAL ELECTRIC COMPANY       COM		369604103     5756   248876 SH	     SOLE		    155935        0  93040
GOLDMAN SACHS GROUP INC	       COM		38141G104     1926    13090 SH	     SOLE		     13090        0      0
HALLIBURTON COMPANY	       COM		406216101     3326    82320 SH	     SOLE		     81920        0    400
HEINZ CO		       COM		423074103      563     7793 SH	     SOLE		       505	  0   7288
HOME DEPOT INC		       COM		437076102     5471    78413 SH	     SOLE		     74537        0   3876
HONEYWELL INTERNATIONAL	       COM		438516106      206     2735 SH	     SOLE		       630 	  0   2105
ILLINOIS TOOL WORKS INC	       COM		452308109      242     3975 SH	     SOLE		      2475	  0   1500
INTEL CORP		       COM		458140100     3585   164197 SH       SOLE		    150072        0  14125
INTL BUSINESS MACHINES	       COM		459200101     3567    16725 SH	     SOLE		      9184        0   7541
INTL FLAVOR & FRAGRANCES       COM		459506101      943    12300 SH	     SOLE		     12300        0      0
INTUITIVE SURGICAL INC	       COM		46120E602     6188    12600 SH	     SOLE		       100	  0  12500
ISHARES TR S^P US PFD	       COM		464288687      671    16575 SH	     SOLE		     16575	  0	 0
JEFFERSONVILLE BANCORP	       COM		47559A103      407    36342 SH	     SOLE		     36342        0      0
JOHNSON & JOHNSON	       COM		478160104     7484    91796 SH	     SOLE		     78712        0  13084
JP MORGAN CHASE & CO	       COM		46625H100     3227    67997 SH	     SOLE		     67997        0  10738
KINDER MORGAN ENERGY LP	       COM		494550106      465     5190 SH	     SOLE		      3390	  0   1800
KRAFT FOODS INC		       COM		50075N104     1296    25162 SH	     SOLE		     17219        0   7943
ELI LILLY & COMPANY	       COM		532457108      427     7527 SH	     SOLE		      3627	  0   3900
LOWES COMPANIES INC	       COM		548661107      321     8475 SH	     SOLE		      8275	  0    200
M & T BANK CORP		       COM		55261f104      204     1981 SH	     SOLE		      1981	  0      0
M D U RESOURCES GROUP INC      COM		552690109      321    12871 SH	     SOLE		     11946        0    925
MCDONALDS CORPORATION	       COM		580135101     1463    14677 SH	     SOLE		      8682        0   5995
MEDTRONIC INC		       COM		585055106     5954   126791 SH	     SOLE		      1391	  0 125400
MERCK & CO INC		       COM		58933Y105     2656    60105 SH	     SOLE		     48783        0  11322
METLIFE INC		       COM		59156R108      688    18119 SH	     SOLE	             18119        0      0
MICROSOFT CORP		       COM		594918104     3881   135678 SH       SOLE		    117048        0  18630
MONDELIZ INTL INC	       COM		609207105     1642    53650 SH	     SOLE		     44100	  0   9550
NABORS INDS INC		       COM		G6359F103      245    15150 SH	     SOLE		     15150        0      0
NEW YORK COMNTY BANCORP	       COM		649445103      151    10556 SH	     SOLE		     10356	  0    200
NEXTRA ENERGY INC.	       COM		302571104      418     5384 SH	     SOLE		      4594        0    790
NORFOLK SOUTHERN CORP	       COM		655844108      393     5102 SH	     SOLE		      4302	  0    800
NORTHROP GRUMMAN CORP	       COM		666807102      862    12290 SH	     SOLE                     7290        0   5000
NOVARTIS AG ADR		       COM		66987V109      480     6750 SH	     SOLE		         0	  0   6750
OCCIDENTAL PETE CORP	       COM		674599105      206     2631 SH	     SOLE		      2631	  0      0
ORACLE CORPORATION	       COM		68389X105     4299   132976 SH       SOLE		    131676        0   1300
ORANGE COUNTY BANCORP INC      COM		68417L107     4477   113784 SH	     SOLE			 0	  0 113784
PENTAIR INC		       COM		H6169Q108      230     4367 SH	     SOLE		      4367  	  0      0
PEPSICO INCORPORATED	       COM		713448108     4398    55604 SH	     SOLE		     42322        0  13282
PFIZER INCORPORATED	       COM		717081103     4307   149239 SH	     SOLE		    131326        0  17913
PHILIP MORRIS INTL INC	       COM		718172109      829     8952 SH	     SOLE		      8952	  0	 0
PHILLIPS 66		       COM		718546104     1867    26685 SH	     SOLE		     22699	  0   3986
PNC FINANCIAL SERVICES	       COM		693475105      803    12079 SH	     SOLE		     10129        0   1950
PPL CORPORATION		       COM		69351T106      505    16155 SH	     SOLE		     16155	  0      0
PRECISION CASTPARTS CORP       COM		740189105     1493     7875 SH	     SOLE		      7875        0      0
PROCTER & GAMBLE CO	       COM		742718109     4604    59754 SH	     SOLE		     43449        0  16305
PROVIDENT NEW YORK BANCORP     COM		744028101     6471   713486 SH	     SOLE	            692847        0  20639
QUALCOMM INC		       COM		747525103      806    12049 SH	     SOLE		      9849        0   2200
REPUBLIC SERVICES INC	       COM		760759100      410    12440 SH	     SOLE		     12440        0      0
RESMED INC		       COM 		761152107      417     9000 SH	     SOLE		         0        0   9000
ROYAL DUTCH SHELL SPON ADR     COM		780259206     1261    19361 SH	     SOLE		     16811        0   2500
RSTK INTERLINK US NETWORKS     COM	        45875T905        1    45000 SH 	     SOLE                    45000        0      0
SANOFI AVENTIS 	ADR	       COM		80105n105      245     4800 SH	     SOLE			50	  0   4750
SCHLUMBERGER LTD	       COM		806857108      234     3127 SH	     SOLE		      3052        0     75
SPECTRA ENERGY CORP	       COM		847560109      461    15024 SH	     SOLE		     13402	  0   1622
STREETRACKS GOLD TRUST	       COM		78463v107      357     2312 SH	     SOLE		      2312	  0	 0
SYSCO CORPORATION	       COM		871829107     1860    52910 SH	     SOLE		     52910        0      0
TEVA PHARM INDS LTD ADRF       COM		881624209      418    10536 SH	     SOLE		      4836        0   5700
THE CHARLES SCHWAB CORP	       COM		808513105      192    10881 SH	     SOLE		     10881        0      0
THE SOUTHERN COMPANY	       COM		842587107      222     4733 SH	     SOLE		      4733	  0	 0
THERMO ELECTRON CORP	       COM		883556102     3699    48365 SH	     SOLE		     47765        0    600
TIME WARNER INC		       COM		00184A105     1629    28274 SH	     SOLE		     28274        0      0
TORONTO DOMINION BK	       COM		891160509      207     2495 SH	     SOLE		       195	  0   2300
TOTAL S A ADR		       COM		89151e109      418     8720 SH	     SOLE		       220	  0   8500
TYCO INTL LTD NEW	       COM		902124106      629    19672 SH	     SOLE		     19672        0      0
UNITED TECHNOLOGIES CORP       COM		913017109      523     5606 SH	     SOLE		      2716        0   2890
VENTANA BIOTECH INC	       COM		92277F109        0    10000 SH       SOLE		     10000        0      0
VERIZON COMMUNICATIONS	       COM		92343V104     4610    93794 SH	     SOLE		     80668        0  13126
WAL-MART STORES INC	       COM		931142103     3955    52858 SH	     SOLE		     47378        0   5480
WELLS FARGO  & CO NEW	       COM		949746101     1924    52039 SH	     SOLE		     36384        0  15655
WENDYS CO		       COM		95058W100	69    12200 SH	     SOLE		         0	  0  12200
WESTMONT RESOURCES INC	       COM		96081P302        1   445350 SH	     SOLE			 0	  0 445350
ZALICUS INC		       COM		98887C105        7    11000 SH	     SOLE		     11000	  0	 0