Insight 2811

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