Lau Associates as of March 31, 2013
Portfolio Holdings for Lau Associates
Lau Associates holds 0 positions in its portfolio as reported in the March 2013 quarterly 13F filing
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AT & T Inc COM 00206R102 1040 28349 SH SOLE 28349
Abbott Laboratories COM 002824100 289 8173 SH SOLE 8173
Abbvie Inc COM 00287Y109 333 8173 SH SOLE 8173
Accenture Ltd Cl A CL A G1150G111 4903 64545 SH SOLE 64545
Altria Group COM 02209S103 528 15350 SH SOLE 15350
American Express Co COM 025816109 823 12200 SH SOLE 12200
Apache Corp COM 037411105 255 3300 SH SOLE 3300
Apple Inc COM 037833100 6329 14298 SH SOLE 14298
Brinker Int'l Inc COM 109641100 301 8000 SH SOLE 8000
Bristol-Myers Squibb COM 110122108 530 12872 SH SOLE 12872
Central Fd Cda Ltd CL A 153501101 5285 272830 SH SOLE 272830
Cerner Inc COM 156782104 339 3575 SH SOLE 3575
Chevron Corp COM 166764100 1568 13194 SH SOLE 13194
Coach Inc COM 189754104 300 6000 SH SOLE 6000
Coca Cola Company COM 191216100 1281 31680 SH SOLE 31680
Commerce Bancshares Inc COM 200525103 1160 28411 SH SOLE 28411
ConocoPhillips COM 20825C104 5612 93380 SH SOLE 93380
Danaher Corp COM 235851102 2979 47926 SH SOLE 47926
Du Pont E I De Nemour & Co COM 263534109 5283 107470 SH SOLE 107470
EMC Corp COM 268648102 253 10600 SH SOLE 10600
ETFS Phys Swiss Gold GOLD ETF 26922Y105 23679 150379 SH SOLE 150379
Express Scripts Inc COM 302182100 859 14911 SH SOLE 14911
Exxon Mobil Corporation COM 30231G102 3669 40719 SH SOLE 40719
Fiserv Inc COM 337738108 547 6230 SH SOLE 6230
Freeport McMoran Copper COM 35671D857 511 15450 SH SOLE 15450
General Electric Company COM 369604103 2577 111468 SH SOLE 111468
Gilead Sciences Inc COM 375558103 998 20400 SH SOLE 20400
iShares Russ 1000 Gr Russell 1000 gr 464287614 883 12378 SH SOLE 12378
iShares Russ 1000 Val Russell 1000 val 464287598 546 6730 SH SOLE 6730
Idexx Labs Inc COM 45168D104 2366 25612 SH SOLE 25612
Intel Corp COM 458140100 3937 180285 SH SOLE 180285
Int'l Business Machines COM 459200101 3948 18507 SH SOLE 18507
JP Morgan Chase & Co COM 46625H100 545 11490 SH SOLE 11490
Johnson & Johnson COM 478160104 4710 57776 SH SOLE 57776
Johnson Controls Inc COM 478336107 221 6300 SH SOLE 6300
Lincoln National Corp COM 534187109 424 13000 SH SOLE 13000
Merck & Co COM 589331107 1085 24552 SH SOLE 24552
Microsoft Corp COM 594918104 732 25594 SH SOLE 25594
Nike Inc Cl B 654106103 472 8000 SH SOLE 8000
Novartis AG Spon Adr SPONSORED ADR 66987V106 319 4475 SH SOLE 4475
Oracle Corp COM 68389X105 1513 46791 SH SOLE 46791
PP^L Corp COM 69351T106 2371 75728 SH SOLE 75728
Pepsico Incorporated COM 713448108 5980 75594 SH SOLE 75594
Pfizer Inc COM 717081103 406 14060 SH SOLE 14060
Philip Morris Intl Inc COM 718172109 502 5411 SH SOLE 5411
Phillips 66 Inc COM 718546104 3478 49708 SH SOLE 49708
Procter & Gamble Co COM 742718109 2779 36062 SH SOLE 36062
Qualcomm Inc COM 747525103 529 7907 SH SOLE 7907
Royal Dutch Shell A SPONSORED ADR 780257804 481 7388 SH SOLE 7388
Schlumberger Ltd COM 806857108 888 11857 SH SOLE 11857
Sigma Aldrich Corp COM 826552101 233 3000 SH SOLE 3000
The Southern Company COM 842587107 384 8192 SH SOLE 8192
Sprint Nextel Corp COM 852061100 72 11600 SH SOLE 11600
Sprott Physical Gold Tr CLOSED END FD 85207H104 7686 568070 SH SOLE 568070
Stryker Corp COM 863667101 440 6750 SH SOLE 6750
Sysco Corp COM 871829107 1340 38087 SH SOLE 38087
Thor Industries Inc COM 885160101 1011 27488 SH SOLE 27488
3M Company COM 88579Y101 1656 15578 SH SOLE 15578
United Parcel Serv Inc COM 911312106 655 7624 SH SOLE 7624
United Technologies Corp COM 913071109 665 7122 SH SOLE 7122
Vanguard Div Apprec ETF Dividend ETF 921908844 226 3447 SH SOLE 3447
Verizon Communications COM 92343V104 457 9308 SH SOLE 9308
Vodafone Group Plc Adr SPONSORED ADR 92857W209 760 26753 SH SOLE 26753