Insight 2811 as of March 31, 2013
Portfolio Holdings for Insight 2811
Insight 2811 holds 0 positions in its portfolio as reported in the March 2013 quarterly 13F filing
TITLE VALU SHAR SH/ PUT/ INVEST OTHER VOTING AUTH. NAME OF ISSUER OF CLASS CUSIP (x1000) PRN AMT PRN CALL DISCRT MGRS SOLE SHARED NONE -------------------------------- ---------- --------- ------- ------- ---- ----- ------- ----- ----- ----- ---- {S} {C} {C} {C} {C} {C} {C} {C} 3 D Systems Corp COM 88554D205 458 14211 S SOLE 14211 8X8 Inc COM 282914100 382 55807 S SOLE 55807 Aegion Corp Com COM 00770F104 370 16000 S SOLE 16000 Agrium Inc COM 008916108 712 7303 S SOLE 7303 American Express Co COM 025816109 764 11327 S SOLE 11327 Apple Computer Inc COM 37833100 332 750 S SOLE 750 Arch Capital Group COM G0450A105 2204 41743 S SOLE 41743 Audiocodes LTD COM 10829658 323 85000 S SOLE 85000 Beam Inc Com COM 073730103 2410 37926 S SOLE 37926 Beazer Homes Inc COM 07556Q105 285 18000 S SOLE 18000 Berkshire Hathaway Cl A COM 84670108 4452 28 S SOLE 28 Berkshire Hathaway Inc- COM 84670207 448 5550 S SOLE 5550 Boardwalk Pipeline COM 096627104 617 20400 S SOLE 20400 Boeing Co COM 097023105 427 4975 S SOLE 4975 Brasil Foods COM 10552T107 893 40380 S SOLE 40380 Brookfield Infr Part Lp COM G16252101 549 14200 S SOLE 14200 Bunge LTD COM G16962105 756 10243 S SOLE 10243 Calamos Convertible Opp COM 128117108 169 13365 S SOLE 13365 Cerner Corp COM 156782104 928 9794 S SOLE 9794 Chesapeake Energy Corp COM 165167107 1616 80770 S SOLE 80770 Chevron Corp COM 166764100 758 6381 S SOLE 6381 Chicago Bridge & Iron COM 167250109 1149 18495 S SOLE 18495 Cisco Sys Inc Com COM 17275R102 482 23060 S SOLE 23060 Daily Journal Corp S C Com COM 233912104 528 5000 S SOLE 5000 Darling International COM 237266101 860 47893 S SOLE 47893 Dassault Systemes ADR COM 237545108 1188 10245 S SOLE 10245 Davita Inc COM 23918K108 1001 8437 S SOLE 8437 Deere & Co Com COM 244199105 716 8329 S SOLE 8329 Diageo PLC COM 25243Q205 822 6534 S SOLE 6534 Du Pont E I DeNemours & COM 263534109 580 11800 S SOLE 11800 Eaton Vance Limited COM 27828H105 3136 183397 S SOLE 183397 Ecolab COM 278865100 968 12068 S SOLE 12068 EGShares Emergimg COM 268461779 1275 49045 S SOLE 49045 EGShares Health Care COM 268461605 1402 60690 S SOLE 60690 EL PASO PIPELINE COM 283702108 390 9100 S SOLE 9100 Entegris COM 29362U104 316 32000 S SOLE 32000 Enterprise Products COM 293792107 1456 24000 S SOLE 24000 Exelon Corporation Com COM 30161N101 431 12500 S SOLE 12500 Exxon Mobil Corp Com COM 30231G102 996 11057 S SOLE 11057 Fortune Brands Home & COM 34964c106 1420 37926 S SOLE 37926 General Dynamics Corp COM 369550108 592 8400 S SOLE 8400 General Mills Inc COM 370334104 524 10630 S SOLE 10630 GP Strategies Corp COM 36225V104 370 15500 S SOLE 15500 Headwaters Inc COM 42210p102 380 34890 S SOLE 34890 Helmerich & Payne Inc COM 423452101 812 13375 S SOLE 13375 Hewlett-Packard Co COM 428236103 453 18986 S SOLE 18986 Intel Corp Com COM 458140100 680 31140 S SOLE 31140 Internap Network Services COM 45885A300 374 40000 S SOLE 40000 Intl Business Machines COM 459200101 1080 5062 S SOLE 5062 Invesco Van Kampen COM 46132R104 3101 230183 S SOLE 230183 IShares 1-3 Year Treasury COM 464287457 873 10336 S SOLE 10336 Magellan Midstream COM 559080106 610 11500 S SOLE 11500 Merck & Co Inc Com COM 58933Y105 347 7847 S SOLE 7847 Methode Electronics Inc COM 591520200 386 30000 S SOLE 30000 Microsoft Corp Com COM 594918104 603 21085 S SOLE 21085 Monsanto Co COM 61166W101 577 5458 S SOLE 5458 Navios Maritime Partners COM Y62267102 2996 206875 S SOLE 206875 Newmont Mining Corp COM 651639106 339 8081 S SOLE 8081 Nuance Communications COM 67020Y100 755 37415 S SOLE 37415 Omega Healthcare COM 681936100 2533 104846 S SOLE 104846 Pentair Ltd COM 083439173 603 11435 S SOLE 11435 Pepsico Inc Com COM 713448108 844 10670 S SOLE 10670 Permian Basin Royalty COM 714236106 2243 180125 S SOLE 180125 Pfizer Inc COM 717081103 966 33459 S SOLE 33459 Pimco 1-5 Year US Tips COM 72201R205 28085 517512 S SOLE 517512 Powershares Global COM 73935X195 3039 269163 S SOLE 269163 Procter & Gamble Co Com COM 742718109 680 8830 S SOLE 8830 Prologis Inc COM 74340W103 3211 104615 S SOLE 104615 Qualcom Inc COM 747525103 856 12783 S SOLE 12783 San Juan Basin Royalty Tr COM 798241105 155 10275 S SOLE 10275 Sanmina Corp COM 801056102 284 25000 S SOLE 25000 Sciclone Pharmaceuticals COM 80862K104 299 65000 S SOLE 65000 Seadrill LTD COM G7945E105 2795 89726 S SOLE 89726 Southern Co Com COM 842587107 466 9941 S SOLE 9941 Spectra Energy Corp COM 847560109 2594 83394 S SOLE 83394 Stratasys Ltd COM M85548101 252 3395 S SOLE 3395 Syngenta COM 87160A100 518 6182 S SOLE 6182 Tortoise Energy COM 89147L100 1197 24903 S SOLE 24903 Tractor Supply Company COM 892356106 853 8195 S SOLE 8195 Westport Innovations Inc COM 960908309 1300 44050 S SOLE 44050 Williams Cos Inc Com COM 969457100 982 26204 S SOLE 26204 Xylem Inc COM 98419M100 510 18492 S SOLE 18492 Yasheng Group COM 98508U104 136 259000 S SOLE 259000 IShares DJ US Home COM 464288752 842 35235 S SOLE 35235 IShares Lehman Treasury COM 464287176 1643 13547 S SOLE 13547 Ishares Msci Eafe Index COM 464287465 533 8600 S SOLE 8600 IShares Russell 1000 COM 464287614 18951 265526 S SOLE 265526 IShares Russell 1000 COM 464287598 1536 18924 S SOLE 18924 Ishares Russell 2000 COM 464287655 397 4220 S SOLE 4220 IShares Russell 2000 COM 464287648 1611 14963 S SOLE 14963 IShares Russell 2000 COM 464287630 1630 19443 S SOLE 19443 IShares Russell Midcap COM 464287481 19268 275765 S SOLE 275765 IShares Russell Midcap COM 464287473 1586 27822 S SOLE 27822 Johnson & Johnson Com COM 478160104 1023 12552 S SOLE 12552 JPMorgan Alerian MLP COM 46625H365 2738 60906 S SOLE 60906 Kinder Morgan Energy COM 494550106 371 4200 S SOLE 4200 Kinder Morgan Inc Com COM 494568101 957 55933 S SOLE 55933 KKR & Company LP Com COM 48248M102 662 31500 S SOLE 31500 Linn Energy Llc-Units COM 536020100 583 15100 S SOLE 15100