Middleton & Company

Middleton & Company as of Dec. 31, 2012

Portfolio Holdings for Middleton & Company

Middleton & Company holds 0 positions in its portfolio as reported in the December 2012 quarterly 13F filing

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							  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 CO				COM		88579Y101  462	   4975	    SH		SOLE		   4975		0	0
A T & T INC                     COM             00206R102  1106    32814    SH          SOLE               32814	0	0
A T & T INC                     COM             00206R102  30      900      SH          OTHER              0		0	900
ABBOTT LABS			COM		002824100  1815	   27707    SH		SOLE		   27707	0	0
ABBOTT LABS			COM		002824100  10	   150	    SH		OTHER		   0		0	150
ACCENTURE PLC IRELAND		SHS CLASS A	G1151C101  211	   3170	    SH		SOLE		   3170		0	0
AIR PRODS & CHEMS INC           COM             009158106  603     7179     SH          SOLE               7179		0	0
AIR PRODS & CHEMS INC           COM             009158106  18      220      SH          OTHER              0		0	220
AIRGAS INC			COM		009363102  317	   3470	    SH		SOLE		   3470		0	0
AMAZON COM INC			COM		023135106  3670	   14630    SH		SOLE		   14630	0	0
AMAZON COM INC			COM		023135106  1	   5	    SH		OTHER		   0		0	5
AMERICAN EXPRESS CO		COM		025816109  6656	   115791   SH		SOLE		   115791	0	0
AMERICAN EXPRESS CO		COM		025816109  3	   45	    SH		OTHER		   0		0	45
AMERICAN TOWER CORP		COM		03027X100  1391	   18008    SH		SOLE		   18008	0	0
APACHE CORP			COM		037411105  2678	   34118    SH		SOLE		   34118	0	0
APACHE CORP			COM		037411105  2	   20	    SH		OTHER		   0		0	20
APPLE INC			COM		037833100  12105   22746    SH		SOLE		   22746	0	0
APPLE INC			COM		037833100  3	   5	    SH		OTHER		   0		0	5
ASTEX PHARMACEUTICALS INC	COM		04624B103  181	   62310    SH		SOLE		   62310	0	0
AUTOMATIC DATA PROCESSING INC	COM		053015103  216	   3798	    SH		SOLE		   3798		0	0
BED BATH & BEYOND INC           COM             075896100  3801    67982    SH          SOLE               67982	0	0
BED BATH & BEYOND INC           COM             075896100  1       20       SH          OTHER              0		0	20
BERKSHIRE HATHAWAY INC DEL	CL A		084670108  402	   3	    SH		SOLE		   3		0	0
BERKSHIRE HATHAWAY INC DEL	CL B		084670702  217	   2420	    SH		SOLE		   2420		0	0
BHP BILLITON LTD		SPONSORED ADR	088606108  1071	   13651    SH		SOLE		   13651	0	0
BLACKROCK INC			COM		09247X101  343	   1660	    SH		SOLE		   1660		0	0
BORG WARNER INC			COM		099724106  4692	   65514    SH		SOLE		   65514	0	0
BORG WARNER INC			COM		099724106  1	   20	    SH		OTHER		   0		0	20
BOSTON PRIVATE FINL HLDGS INC	COM		101119105  150	   16615    SH		SOLE		   16615	0	0
C H ROBINSON WORLDWIDE INC	COM		12541W209  916	   14487    SH		SOLE		   14487	0	0
C H ROBINSON WORLDWIDE INC	COM		12541W209  13	   200	    SH		OTHER		   0		0	200
C R BARD INC			COM		067383109  577	   5905	    SH		SOLE		   5905		0	0
CERNER CORP			COM		156782104  2977	   38414    SH		SOLE		   38414	0	0
CERNER CORP			COM		156782104  1	   15	    SH		OTHER		   0		0	15
CHEVRON CORP			COM		166764100  8229	   76093    SH		SOLE		   76093	0	0
CHEVRON CORP			COM		166764100  35	   320	    SH		OTHER		   0		0	320
CHICAGO BRIDGE & IRON CO        N Y REGISTRY SH 167250109  502     10830    SH          SOLE               10830	0	0
CISCO SYS INC			COM		17275R102  301	   15300    SH		SOLE		   15300	0	0
CISCO SYS INC			COM		17275R102  15	   750	    SH		OTHER		   0		0	750
CITIGROUP INC			COM		172967424  4209	   106395   SH		SOLE		   106395	0	0
CITIGROUP INC			COM		172967424  1	   25	    SH		OTHER		   0		0	25
COCA COLA CO			COM		191216100  882	   24341    SH		SOLE		   24341	0	0
COLGATE PALMOLIVE CO		COM		194162103  3374	   32278    SH		SOLE		   32278	0	0
CORE LABORATORIES N V		COM		N22717107  2874	   26289    SH		SOLE		   26289	0	0
CORE LABORATORIES N V		COM		N22717107  2	   20	    SH		OTHER		   0		0	20
COSTCO WHSL CORP		COM		22160K105  5138	   52042    SH		SOLE		   52042	0	0
CVS CAREMARK CORP		COM		126650100  650	   13440    SH		SOLE		   13440	0	0
DANAHER CORP DEL		COM		235851102  8949	   160093   SH		SOLE		   160093	0	0
DANAHER CORP DEL		COM		235851102  25	   450	    SH		OTHER		   0		0	450
DARDEN RESTAURANTS INC		COM		237194105  3659	   81186    SH		SOLE		   81186	0	0
DARDEN RESTAURANTS INC		COM		237194105  25	   545	    SH		OTHER		   0		0	545
DEERE & CO                      COM             244199105  367     4245     SH          SOLE               4245		0	0
DEVON ENERGY CORP		COM		25179M103  427	   8208	    SH		SOLE		   8208		0	0
DOMINION RESOURCES INC VA	COM		25746U109  391	   7550	    SH		SOLE		   7550		0	0
DOVER CORP			COM		260003108  241	   3666	    SH		SOLE		   3666		0	0
DUKE ENERGY CORP		COM		26441C204  361	   5652	    SH		SOLE		   5652		0	0
DUNKIN BRANDS GROUP INC 	COM		265504100  1969	   59348    SH		SOLE		   59348	0	0
DUPONT E I NEMOURS & CO         COM             263534109  555     12348    SH          SOLE               12348	0	0
E M C CORP			COM		268648102  305     12071    SH		SOLE		   12071	0	0
EMERSON ELECTRIC CO		COM		291011104  258	   4869	    SH		SOLE		   4869		0	0
ENTERPRISE PRODS PARTNERS 	COM		293792107  513	   10235    SH		SOLE		   10235	0	0
EXPRESS SCRIPTS HLDG CO		COM		30219G108  6027	   111608   SH		SOLE		   111608	0	0
EXPRESS SCRIPTS HLDG CO		COM		30219G108  3	   50	    SH		OTHER		   0		0	50
EXXON MOBIL CORP		COM		30231G102  17201   198737   SH		SOLE		   198737	0	0
EXXON MOBIL CORP		COM		30231G102  2	   20	    SH		OTHER		   0		0	20
FACTSET RESH SYS INC 		COM		303075105  427	   4852	    SH		SOLE		   4852		0	0
FACTSET RESH SYS INC		COM		303075105  13	   150	    SH		OTHER		   0		0	150
FIRST REP BK SAN FRAN CALI	COM		33616C100  4580	   139720   SH		SOLE		   139720	0	0
FIRST REP BK SAN FRAN CALI	COM		33616C100  2	   55	    SH		OTHER		   0		0	55
FREEPORT MCMORAN COPPER^GOLD    COM             35671D857  1534    44864    SH          SOLE               44864	0	0
FREEPORT MCMORAN COPPER^GOLD    COM             35671D857  1       35       SH          OTHER              0		0	35
FRESH MKT INC			COM		35804H106  1997	   41525    SH          SOLE               41525	0	0
GENERAL ELECTRIC CO		COM		369604103  8336	   397162   SH		SOLE		   397162	0	0
GENERAL ELECTRIC CO		COM		369604103  68	   3235	    SH		OTHER		   0		0	3235
GOOGLE INC 			CL A		38259P508  5010	   7083	    SH		SOLE		   7083		0	0
GOOGLE INC 			CL A		38259P508  14	   20	    SH		OTHER		   0		0	20
HOME DEPOT INC			COM		437076102  445	   7195	    SH		SOLE		   7195		0	0
HONEYWELL INTL INC		COM		438516106  688	   10839    SH		SOLE		   10839	0	0
IBM				COM		459200101  1917	   10009    SH		SOLE		   10009	0	0
IHS INC 			CL A		451734107  5151	   53653    SH		SOLE		   53653	0	0
IHS INC				CL A		451734107  2	   25	    SH		OTHER		   0		0	25
ILLUMINA INC			COM		452327109  450	   8100	    SH		SOLE		   8100		0	0
INFORMATICA CORP		COM		45666Q102  1918	   63245    SH		SOLE		   63245	0	0
INFORMATICA CORP		COM		45666Q102  4	   120	    SH		OTHER		   0		0	120
INTEL CORP			COM		458140100  876	   42494    SH		SOLE		   42494	0	0
INTEL CORP			COM		458140100  23	   1100	    SH		OTHER		   0		0	1100
INTUIT INC			COM		461202103  5929	   99685    SH		SOLE		   99685	0	0
INTUIT INC			COM		461202103  2	   40	    SH		OTHER		   0		0	40
INTUITIVE SURGICAL INC 		COM		46120E602  1211	   2470	    SH		SOLE		   2470		0	0
ISHARES TR			CORE S^PMCP ETF 464287507  6087    59850    SH          SOLE               59850	0	0
ISHARES TR			CORE S^PSCP ETF 464287804  3927    50288    SH          SOLE               50288	0	0
ISHARES TR			FTSE CHINA25 IDX464287184  1117	   27625    SH		SOLE		   27625	0	0
ISHARES TR 			FTSE CHINA25 IDX464287184  24	   600	    SH		OTHER		   0		0	600
ISHARES TR 			MSCI CDA IDX	464286509  227	   8010	    SH		SOLE		   8010		0	0
ISHARES INC 			MSCI GERMAN	464286806  3960	   160318   SH		SOLE		   160318	0	0
ISHARES INC 			MSCI GERMAN	464286806  2	   100	    SH		OTHER		   0		0	100
ISHARES INC 			MSCI S KOREA	464286772  2589	   40865    SH		SOLE		   40865	0	0
ISHARES INC			MSCI S KOREA	464286772  3	   45	    SH		OTHER		   0		0	45
ISHARES TR			MSCI EMERG MKTS	464287234  9676	   218182   SH		SOLE		   218182	0	0
ISHARES TR 			MSCI EAFE IDX	464287465  3214	   56530    SH		SOLE		   56530	0	0
ISHARES TR 			RUSSELL 2000	464287655  402	   4765	    SH		SOLE		   4765		0	0
ISHARES TR 			RUSSELL MIDCAP	464287499  1018	   9000	    SH		SOLE		   9000		0	0
ISHARES TR 			RUSSELL1000GRW	464287614  448	   6840	    SH		SOLE		   6840		0	0
ISHARES TR 			RUSSELL1000VAL	464287598  224	   3075	    SH		SOLE               3075		0	0
ISHARES TR 			S^P LTN AM 40   464287390  3217    73390    SH          SOLE               73390	0	0
ISHARES TR			S^P LTN AM 40   464287390  2       50       SH          OTHER              0		0	50
JOHNSON & JOHNSON               COM             478160104  2500    35664    SH          SOLE               35664	0	0
JP MORGAN CHASE & CO            COM             46625H100  1556    35391    SH          SOLE               35391	0	0
JP MORGAN CHASE & CO            COM             46625H100  18      400      SH          OTHER              0		0	400
KINDER MORGAN INC DEL		COM		49456B101  1772	   50153    SH		SOLE               50153	0	0
KINDER MORGAN INC DEL		COM		49456B101  70	   1975	    SH		OTHER		   0		0	1975
KRAFT FOODS GROUP INC		COM		50076Q106  1149	   25263    SH		SOLE		   25263	0	0
KRAFT FOODS GROUP INC		COM		50076Q106  33	   725	    SH		OTHER		   0		0	725
MASTERCARD INC 			CL A		57636Q104  231     470	    SH		SOLE		   470		0	0
MEDTRONIC INC			COM             585055106  233	   5680	    SH		SOLE		   5680		0	0
MERCK & CO                      COM             58933Y105  230     5623     SH          SOLE               5623		0	0
MICROSOFT CORP			COM		594918104  656	   24545    SH		SOLE		   24545	0	0
MICROSOFT CORP			COM		594918104  21	   800	    SH		OTHER		   0		0	800
MONSANTO CO			COM		61166W101  256	   2700	    SH		SOLE		   2700		0	0
NETAPP INC			COM		64110D104  1025	   30560    SH		SOLE		   30560	0	0
NEXTERA ENERGY INC		COM		65339F101  277	   4000	    SH		SOLE		   4000		0	0
NIKE INC 			CL B		654106103  6021	   116680   SH		SOLE		   116680	0	0
NOBLE CORPORATION BAAR 		NAMEN -AKT	H5833N103  753	   21626    SH		SOLE		   21626	0	0
NORDSTROM INC			COM		655664100  349	   6525	    SH		SOLE		   6525		0	0
NORTHERN TR CORP		COM		665859104  347	   6926	    SH		SOLE		   6926		0	0
ORACLE CORP			COM		68389X105  211	   6334	    SH		SOLE		   6334		0	0
PAYCHEX INC			COM		704326107  885	   28460    SH		SOLE		   28460	0	0
PAYCHEX INC			COM		704326107  26	   825	    SH		OTHER		   0		0	825
PEPSICO INC			COM		713448108  4158	   60767    SH		SOLE		   60767	0	0
PEPSICO INC			COM		713448108  38	   550	    SH		OTHER		   0		0	550
PFIZER INC			COM		717081103  427	   17045    SH		SOLE		   17045	0	0
PLUM CREEK TIMBER CO INC	COM		729251108  1078	   24290    SH		SOLE		   24290	0	0
PNC FINL SVCS GROUP INC		COM		693475105  4743	   81334    SH		SOLE		   81334	0	0
PRAXAIR INC			COM		74005P104  4212	   38487    SH		SOLE		   38487	0	0
PRICE T ROWE GROUP INC		COM		74144T108  4724	   72545    SH		SOLE		   72545	0	0
PRICE T ROWE GROUP INC		COM		74144T108  1	   20	    SH		OTHER		   0		0	20
PROCTER & GAMBLE CO             COM             742718109  2662    39208    SH          SOLE               39208	0	0
PROCTER & GAMBLE CO             COM             742718109  20      300      SH          OTHER              0		0	300
QUALCOMM INC			COM		747525103  6114	   98829    SH		SOLE		   98829	0	0
QUALCOMM INC			COM		747525103  17	   275	    SH		OTHER		   0		0	275
ROCKWELL AUTOMATION INC		COM		773903109  225	   2675	    SH		SOLE		   2675		0	0
ROPER INDS INC NEW		COM		776696106  4743	   42549    SH		SOLE		   42549	0	0
ROPER INDS INC NEW		COM		776696106  2	   20	    SH		OTHER		   0		0	20
ROYAL DUTCH SHELL PLC 		SPONS ADR	780259206  1219	   17679    SH		SOLE		   17679	0	0
ROYAL DUTCH SHELL PLC		SPONS ADR	780259206  38	   550	    SH		OTHER		   0		0	550
SCHLUMBERGER LTD		COM		806857108  2022	   29177    SH		SOLE		   29177	0	0
SOUTHERN CO			COM		842587107  1705	   39835    SH		SOLE		   39835	0	0
SOUTHERN CO			COM		842587107  72	   1675	    SH		OTHER		   0		0	1675
SPDR GOLD TRUST 		GOLD SHS	78463V107  603	   3720	    SH		SOLE		   3720		0	0
SPDR INDEX SHS FDS 		ASIA PACIF ETF	78463X301  2012	   25962    SH		SOLE		   25962	0	0
SPDR INDEX SHS FDS		LATIN AMER ETF	78463X707  1509	   20305    SH		SOLE		   20305	0	0
SPDR INDEX SHS FDS		S^P CHINA ETF   78463X400  243     3275     SH          SOLE               3275		0	0
SPDR S^P MIDCAP 400 ETF TR      UTSER1 S^PDCRP	78467Y107  334	   1800	    SH		SOLE		   1800		0	0
SPDR S^P 500 ETF TR             TR UNIT         78462F103  1291    9065     SH          SOLE               9065		0	0
SPECTRA ENERGY CORP		COM		847560109  253	   9255	    SH		SOLE		   9255		0	0
STANLEY BLACK & DECKER INC      COM             854502101  4427    59850    SH          SOLE               59850	0	0
STARWOOD HOTELS & RESORTS WRLD  COM             85590A401  3841    66968    SH          SOLE               66968	0	0
STARWOOD HOTELS & RESORTS WRLD  COM             85590A401  2       35       SH          OTHER              0		0	35
STATE STREET CORP		COM		857477103  545	   11596    SH		SOLE		   11596	0	0
STRYKER CORP			COM		863667101  3693	   67365    SH		SOLE		   67365	0	0
STRYKER CORP			COM		863667101  2	   40	    SH		OTHER		   0		0	40
TARGET CORP			COM		87612E106  220	   3710	    SH		SOLE		   3710		0	0
TECO ENERGY INC			COM		872375100  184	   11000    SH		SOLE		   11000	0	0
TORONTO DOMINION BK ONT 	COM		891160509  312	   3700	    SH		SOLE		   3700		0	0
U S BANCORP DEL			COM		902973304  379	   11870    SH		SOLE		   11870	0	0
UNION PACIFIC CORP		COM		907818108  5603	   44567    SH		SOLE		   44567	0	0
UNION PACIFIC CORP		COM		907818108  3	   20	    SH		OTHER		   0		0	20
UNITED PARCEL SERVICE INC	CL B		911312106  3738	   50702    SH		SOLE		   50702	0	0
UNITED PARCEL SERVICE INC	CL B		911312106  14	   185	    SH		OTHER		   0		0	185
UNITED TECHNOLOGIES CORP	COM		913017109  7793	   95023    SH		SOLE		   95023	0	0
UNITED TECHNOLOGIES CORP	COM		913017109  20	   245	    SH		OTHER		   0		0	245
UNITED TECHNOLOGIES CORP 	UNIT 99/99/9999	913017117  680	   12200    SH		SOLE		   12200	0	0
VANGUARD INTL EQUITY INDEX	MSCI EMRMKT ETF	922042858  3614	   81165    SH		SOLE		   81165	0	0
VANGUARD INTL EQUITY INDEX	MSCI EMRMKT ETF	922042858  3	   75	    SH		OTHER		   0		0	75
VERIZON COMMUNICATIONS INC	COM		92343V104  958	   22129    SH		SOLE		   22129	0	0
VERIZON COMMUNICATIONS INC	COM		92343V104  85	   1975	    SH		OTHER		   0		0	1975
VISA INC COM			CL A		92826C839  6831	   45068    SH		SOLE		   45068	0	0
VISA INC COM			CL A		92826C839  24	   160	    SH		OTHER		   0		0	160
VODAFONE GROUP PLC		COM		92857W209  423	   16798    SH		SOLE		   16798	0	0
WATERS CORP			COM		941848103  4078	   46804    SH		SOLE		   46804	0	0
WATERS CORP			COM		941848103  1	   10	    SH		OTHER		   0		0	10
WEATHERFORD INTERNATIONAL LTD	COM		H27013103  222	   19850    SH		SOLE		   19850	0	0
WELLS FARGO & CO                COM             949746101  5328    155893   SH          SOLE               155893	0	0
WELLS FARGO & CO                COM             949746101  19      550      SH          OTHER              0		0	550
YUM BRANDS INC			COM		988498101  4640	   69880    SH		SOLE		   69880	0	0
YUM BRANDS INC			COM		988498101  2	   25	    SH		OTHER		   0		0	25