Needelman Asset Mgmt

Needelman Asset Mgmt as of June 30, 2012

Portfolio Holdings for Needelman Asset Mgmt

Needelman Asset Mgmt holds 0 positions in its portfolio as reported in the June 2012 quarterly 13F filing

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                                                     MKT VAL TOTAL #         PUT/CALLINVSTMT  OTHER
NAME OF ISSUER                     CLASS   CUSIP NO  (x$1000 OF SHARE  SH            DSCRETN MANAGERS

ABBOTT LABORATORIES               COM     002824100     772   11,982 SH              DEFINED        0
AON PLC CLASS A                   COM     G0408V102     623   13,320 SH              DEFINED        0
AT^T INC                          COM     00206R102     717   20,112 SH              DEFINED        0
BERKSHIRE HATHAWAY INC CLASS B    COM     084670702     691    8,295 SH              DEFINED        0
BRISTOL-MYERS SQUIBB CO           COM     110122108     578   16,085 SH              DEFINED        0
CHEVRON CORP NEW                  COM     166764100     646    6,120 SH              DEFINED        0
CHUBB CORP                        COM     171232101     732   10,055 SH              DEFINED        0
DIAGEO PLC - SPONSORED ADR        COM     25243Q205     869    8,429 SH              DEFINED        0
DTE ENERGY CO                     COM     233331107     691   11,641 SH              DEFINED        0
EMERSON ELECTRIC COMPANY          COM     291011104     603   12,950 SH              DEFINED        0
ENERGY TRANSFER PARTNERS LP       COM     29273R109     563   12,750 SH              DEFINED        0
FLUOR CORP (NEW)                  COM     343412102     540   10,950 SH              DEFINED        0
GENERAL ELECTRIC COMPANY          COM     369604103     621   29,783 SH              DEFINED        0
HONEYWELL INTERNATIONAL INC       COM     438516106     731   13,095 SH              DEFINED        0
INTEL CORPORATION                 COM     458140100     852   31,972 SH              DEFINED        0
INTERNATIONAL BUSINESS MACHINE    COM     459200101     620    3,171 SH              DEFINED        0
JOHNSON & JOHNSON                 COM     478160104     853   12,628 SH              DEFINED        0
JPMORGAN CHASE & CO               COM     46625H100     590   16,503 SH              DEFINED        0
KIMBERLY CLARK                    COM     494368103     755    9,008 SH              DEFINED        0
KRAFT FOODS INC-A                 COM     50075N104     708   18,325 SH              DEFINED        0
MERCK & CO. INC.                  COM     58933Y105     528   12,642 SH              DEFINED        0
MICROSOFT CORP                    COM     594918104     560   18,292 SH              DEFINED        0
NESTLE SA SPNSRD ADR REP RG SH    COM     641069406     679   11,371 SH              DEFINED        0
PFIZER INC                        COM     717081103     669   29,079 SH              DEFINED        0
PROCTER AND GAMBLE COMPANY        COM     742718109     606    9,901 SH              DEFINED        0
PUBLIC SVC ENTERPRISE GRP INC     COM     744573106     489   15,050 SH              DEFINED        0
QUALCOMM INC                      COM     747525103     648   11,640 SH              DEFINED        0
SPDR TRUST UNIT SER 1             COM     78462F103     340    2,500 SH              DEFINED        0
SYSCO CORP                        COM     871829107     477   16,006 SH              DEFINED        0
TEVA PHARMACEUTICAL-SPONS ADR     COM     881624209     635   16,095 SH              DEFINED        0
UNITEDHEALTH GROUP INC            COM     91324P102     832   14,230 SH              DEFINED        0
VERIZON COMMUNICATIONS            COM     92343V104     764   17,184 SH              DEFINED        0
VODAFONE GROUP PLC SPONS ADR      COM     92857W209     779   27,650 SH              DEFINED        0
WELLPOINT INC                     COM     94973V107     567    8,890 SH              DEFINED        0
WELLS FARGO & CO (NEW)            COM     949746101     473   14,151 SH              DEFINED        0
YUM! BRANDS INC                   COM     988498101     810   12,570 SH              DEFINED        0