Longer Investments as of June 30, 2012
Portfolio Holdings for Longer Investments
Longer Investments holds 0 positions in its portfolio as reported in the June 2012 quarterly 13F filing
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FORM 13F INFORMATION TABLE
TITLE
VALUE
SHRS OR
SH/
PUT/
INVESTMENT
OTHER
VOTING AUTHORITY
NAME OF ISSUER
OF CLASS
CUSIP
(x $1000)
PRN AMT
PRN
CALL
DISCRETION
MANAGER
SOLE
SHARED
NONE
A T & T
COM
00206R102
2,551
63,135
SH
SOLE
63,135
American Electric Power Co., Inc.
COM
025537101
1,682
42,145
SH
SOLE
42,145
Applied Materials Inc.
COM
038222105
1,446
126,360
SH
SOLE
126,360
BCE, Inc.
COM
05534B760
2,486
60,340
SH
SOLE
60,340
Barclays BK PLC
IPTH S^P VIX
NEW
06740C261
152
10,000
SH
SOLE
10,000
Chevron Corp.
COM
166764100
3,358
31,833
SH
SOLE
31,833
Cisco Systems, Inc.
COM
17275R102
1,584
92,255
SH
SOLE
92,255
Guggenheim Multi-Asset Income
GUGG MULTI
ASSET
18383M506
7,894
372,195
SH
SOLE
372,195
Coca-Cola
COM
191216100
1,721
22,005
SH
SOLE
22,005
ConocoPhillips
COM
20825C104
2,938
52,570
SH
SOLE
52,570
Devon Energy Corp
COM
25179M103
1,643
28,340
SH
SOLE
28,340
Dow Chem Co
COM
260543103
2,179
69,165
SH
SOLE
69,165
Duke Energy Corporation
COM
26441C105
1,602
69,450
SH
SOLE
69,450
Eaton Corp.
COM
278058102
1,789
45,150
SH
SOLE
45,150
Emerson Electric Co.
COM
291011104
1,482
31,810
SH
SOLE
31,810
Freeport McMoran Copper & Gold
COM
35671D857
2,211
64,905
SH
SOLE
64,905
General Electric
COM
369604103
2,835
136,025
SH
SOLE
136,025
Intel Corp.
COM
458140100
3,075
115,400
SH
SOLE
115,400
International Business Machines
COM
459200101
1,903
9,730
SH
SOLE
9,730
iShares MSCI Japan
MSCI JAPAN
464286848
282
30,000
SH
SOLE
30,000
iShares DJ Select Dividend
DJ SEL DIV INX
464287168
8,632
153,620
SH
SOLE
153,620
iShares iBoxx Inv Grd Corp Bond
IBOXX INV CPBD
464287242
14,384
122,325
SH
SOLE
122,325
iShares Barclays 20+ Yr T-Bond
BARCLYS 20+ YR
464287432
3,086
24,645
SH
SOLE
24,645
iShares Barclays 7-10 Yr T-Bond
BARCLYS 7-10 YR
464287440
9,960
92,285
SH
SOLE
92,285
iShares S^P Europe 350 Index
S^P EURO PLUS
464287861
248
7,360
SH
SOLE
7,360
Johnson & Johnson
COM
478160104
2,380
35,225
SH
SOLE
35,225
Kimberly-Clark Corporation
COM
494368103
20,625
1,728
SH
SOLE
1,728
Kinder Morgan Energy Partners
UT LTD PARTNER
494550106
2,104
26,780
SH
SOLE
26,780
Lilly Eli & Co.
COM
532457108
2,109
49,155
SH
SOLE
49,155
Microsoft Corp.
COM
594918104
3,155
103,140
SH
SOLE
103,140
Molycorp Inc
COM
608753109
1,261
58,500
SH
SOLE
58,500
Northern Trust Corp
COM
665859104
1,921
41,735
SH
SOLE
41,735
NVIDIA Corp
COM
67066G104
1,256
90,910
SH
SOLE
90,910
Oracle Corp.
COM
68389X105
1,388
46,725
SH
SOLE
46,725
Pfizer Inc.
COM
717081103
2,391
103,940
SH
SOLE
103,940
Procter & Gamble Co.
COM
742718109
2,600
42,450
SH
SOLE
42,450
Proshares Tr
PSHS ULSHT
SP500
74347R883
156
10,000
SH
SOLE
10,000
Research in Motion
COM
760975902
794
107,460
SH
SOLE
107,460
Utilities Select Sector SPDR Fund
SBI INT-UTILS
81369Y886
2,862
77,385
SH
SOLE
77,385
Wal-Mart Stores Inc.
COM
931142103
3,406
48,853
SH
SOLE
48,853
Walgreen Co.
COM
931422109
1,783
60,290
SH
SOLE
60,290
Waste Mgmt Inc
COM
94106L109
1,667
49,920
SH
SOLE
49,920