Newman Dignan & Sheerar

Newman Dignan & Sheerar as of Dec. 31, 2012

Portfolio Holdings for Newman Dignan & Sheerar

Newman Dignan & Sheerar holds 0 positions in its portfolio as reported in the December 2012 quarterly 13F filing

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FORM 13F INFORMATION TABLE

    COLUMN 1                      COLUMN 2   COLUMN 3     COLUMN 4     COLUMN 5         COLUMN 6       COLUMN 7     COLUMN 8
                                  TITLE OF                  VALUE     SHRS OR SH/ PUT/  INVESTMENT      OTHER   VOTING AUTHORITY
NAME OF ISSUER                     CLASS      CUSIP      (X$1000)     PRN AMT PRN CALL  DISCRETION     MANAGERS  SOLE  SHARED NONE
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ABBOTT LABS			COMMON	    002824100	   738 	    11281SH		SOLE			11281
AMGEN				COMMON      031162100	   218 	     2530SH		SOLE			 2530
ANALOG DEVICES INC		COMMON	    032654105	   279 	     6650SH		SOLE			 6650
APACHE				COMMON	    037411105	 1,051 	    13394SH		SOLE			13394
APPLE COMPUTER INC		COMMON	    037833100	 2,438	     4581SH		SOLE			 4581
AUTOMATICE DATE PROCESSING	COMMON	    053015103	   620 	    10895SH		SOLE			10895
BMC SOFTWARE			COMMON	    055921100	   490 	    12370SH		SOLE			12370
BANK OF AMERICA			COMMON	    060505104	   673 	    57968SH		SOLE			57968
BERKSHIRE HATHAWAY CL B		COMMON	    084670702	   944 	    10535SH	        SOLE			10535
BHP BILLITON LTD         	ADR	    088606108	   490 	     6260SH		SOLE			 6260
BRISTOL MYERS SQUIBB		COMMON	    110122108	 1,546	    47429SH	        SOLE			47429
CVS CAREMARK			COMMON	    126650100	 1,389	    28737SH		SOLE			28737
CARLISLE COMPANIES INC        	COMMON	    142339100	   247 	     4200SH		SOLE			 4200
CENTURYLINK			COMMON	    156700106	   261 	     6679SH		SOLE			 6679
CHEVRON TEXACO CORP		COMMON	    166764100	 1,993	    18433SH		SOLE			18433
CITIGROUP INC.			COMMON	    172967424	   229 	     5797SH		SOLE			 5797
COCA COLA			COMMON	    191216100	   820 	    22609SH		SOLE			22609
COLGATE PALMOLIVE CO		COMMON	    194162103	   448 	     4290SH		SOLE			 4290
CORNING INC			COMMON	    219350105	   395 	    31296SH		SOLE			31296
CUMMINS INC			COMMON	    231021106	   434 	     4007SH		SOLE			 4007
DEERE & COMPANY			COMMON	    244199105	 1,163	    13457SH		SOLE			13457
WALT DISNEY CO			COMMON	    254687106	   841 	    16891SH		SOLE			16891
DU PONT E I DE NEMOURS        	COMMON	    263534109	   554 	    12318SH		SOLE			12318
EMC CORP                      	COMMON	    268648102	   735 	    29053SH		SOLE			29053
EMERSON ELECTRIC            	COMMON	    291011104	   983 	    18559SH		SOLE			18559
FISERV INC                 	COMMON	    337738108	   316 	     3995SH		SOLE			 3995
FLUOR CORP			COMMON	    343412102	   204 	     3475SH		SOLE			 3475
FORD MOTOR CORP			COMMON	    345370860	   137 	    10587SH		SOLE			10587
GALENA BIOPHARMA INC         	COMMON	    363256108	    15 	    10000SH		SOLE		        10000
GENERAL ELECTRIC              	COMMON	    369604103	 3,305	   157448SH		SOLE		       157448
H S B C HLDGS  6.2% PFD     	PREFERRED   404280604	   468 	    18700SH		SOLE			18700
HARMAN INTL INDS Inc          	COMMON	    413086109	   876 	    19615SH		SOLE			19615
HASBRO INC                    	COMMON	    418056107	   525 	    14631SH		SOLE			14631
HOME DEPOT                  	COMMON	    437073102	   365 	     5902SH		SOLE			 5902
ILLINOIS TOOL WORKS		COMMON	    452308109	   767 	    12619SH		SOLE			12619
INTEL CORP			COMMON	    458140100	 1,446	    70130SH		SOLE			70139
IBM				COMMON	    459200101	   512 	     2670SH		SOLE			 2670
BARCLAYS TIP ISHARES       	ETF	    464287176	   443 	     3647SH		SOLE			 3647
ISHARES MSCI EMRG MKT FD     	ETF	    464287234	   360       8109SH		SOLE			 8109
ISHARES INV GRADE CORP BD	ETF   	    464287242	   458 	     3782SH		SOLE			 3782
ISHARES S^P 500 BARRA GR FD	ETF	    464287309	   681 	     8987SH		SOLE			 8987
ISHARES S^P 500 BARRA VALUE FD	ETF	    464287408	   435       6550SH		SOLE			 6550
ISHARES S^P MIDCAP 400 INDEX 	ETF	    464287507	 1,966	    19328SH		SOLE			19328
ISHARES S^P SMALLCAP 600 INDEX	ETF	    464287804	 1,864 	    23871SH		SOLE			23871
JOHNSON & JOHNSON		COMMON	    478160104	 2,870	    40938SH		SOLE			40938
LOWES COMPANIES			COMMON	    548661107	   359 	    10097SH		SOLE			10097
MCDONALDS CORP			COMMON	    580135101	 1,374	    15571SH		SOLE			15571
MICROSOFT INC			COMMON	    594918104	 1,861	     4930SH		SOLE			 4930
MYLAN LABS INC			COMMON	    628530107	   216 	     7870SH		SOLE			 7870
PPG INDS INC                  	COMMON	    693506107	   224 	     1658SH		SOLE			 1658
PEPSICO				COMMON	    713448108	 2,151	    31435SH		SOLE			31435
PFIZER INC			COMMON	    717081103	   494 	    19688SH		SOLE			19688
PHILIP MORRIS INTL INC        	COMMON	    718172109	   389 	     4650SH		SOLE			 4650
PLUM CREEK TIMBER            	COMMON	    729251108	   304 	     6862SH		SOLE			 6862
PROCTER & Gamble Inc          	COMMON	    742718109	 2,229 	    32835SH		SOLE			32835
RAYTHEON CORP Cl B            	COMMON	    755111507	   227 	     3950SH		SOLE			 3950
SCHLUMBER LTD              	COMMON	    806857108	   761 	    10986SH		SOLE			10986
SCHWAB DOW JONES US LARGE CAP 	ETF	    808524201	   270 	     7967SH		SOLE			 7967
SCHWAB DOW JONES US LARGE GR	ETF	    808524300	 3,236	    94726SH		SOLE			94726
SCHWAB DOW JONES US LARGE VALUE	ETF	    808524409	 3,516	   110452SH		SOLE		       110452
SCHWAB DOW JONES US MID-CAP   	ETF	    808524508	   520 	    18664SH		SOLE			18664
SCHWAN DOW JONES US SM-CAP ETF	ETF	    808524607	 2,329	    61096SH		SOLE			61096
SCHWAB FTSE EMERGING MKT ETF  	ETF	    808524706	 1,099	    41627SH		SOLE			41627
SCHWAB DOW JONES US DIV EQ ETF	ETF	    808524797	 2,299	    81115SH		SOLE			81115
SSCHWAB US TIPS ETF            	ETF	    808524870	   991 	    17005SH		SOLE			17005
STATE STREET BOSTON CORP	COMMON	    857477103	   577 	    12275SH		SOLE			12275
SYSCO INC			COMMON	    871829107	   403      12718SH		SOLE			12718
TEMPLETON GLOBAL INCOME FD   	COMMON	    880198106	   304 	    32225SH		SOLE			32225
THERMO ELECTRON INC		COMMON	    883556102	   666 	    10435SH		SOLE			10435
TORONTO DOMINION BANK		COMMON	    891160509	   230 	     2725SH		SOLE			 2725
U S BANCORP			COMMON	    902973304	   860 	    26915SH		SOLE			26915
UNION PACIFIC CORP		COMMON	    907818108	   267 	     2127SH		SOLE			 2127
UNITED TECHNOLOGIES CP        	COMMON	    913017109	   674 	     8215SH		SOLE			 8215
VANGUARD INTLEQTY INDEX    	ETF	    922042775	 1,724 	    37691SH		SOLE			37691
VANGUARD EMERGING MARKET	ETF	    922042858	 1,393 	    31274SH		SOLE			31274
VANGUARD REIT			ETF	    922908553	   368 	     5595SH		SOLE			 5595
VANGUARD GROWTH			ETF	    922908736	   868 	    12200SH		SOLE			12200
VANGUARD AVALUE			ETF	    922908744	 1,660	    28228SH		SOLE			28228
WELLS FARGO & CO INC		COMMON	    949746101	   933 	    27301SH		SOLE			27301
TRAVELERS INC			COMMON	    89717E109	   293 	     4085SH		SOLE			 4085
ALERIAN MLP ETF               	ETF	    00162Q866	   338 	    21200SH		SOLE			21200
AT & T CORP			COMMON	    00206R102	   947 	    28094SH		SOLE			28094
CAPITAL ONE FINANCIAL CP    	COMMON	    14040H105	   671 	    11575SH		SOLE			11575
CHINA MOBILE H K ADR          	ADR	    16941M109	   367 	     6250SH		SOLE			 6250
CISCO SYSTEMS			COMMON	    17275R102	   988 	    50271SH		SOLE			50271
CONOCO PHILLIPS			COMMON	    20825C104	   572       9863SH		SOLE			 9863
DIAGEO PLC                    	ADR	    25243Q205	   268 	     2302SH		SOLE			 2302
DIRECTV                       	COMMON	    25490A309	   432 	     8615SH		SOLE			 8615
DOMINION RES INC VA           	COMMON	    25746U109	   399 	     7697SH		SOLE			 7697
EXXON-MOBIL			COMMON	    30231G102	 2,844	    32856SH		SOLE			32856
FREEPORT MCMORAN CP & GLD      	COMMON	    35671D857	   289 	     8445SH		SOLE			 8445
GOOGLE INC           		COMMON	    38259P508	   586 	      829SH		SOLE			  829
GOVERNMENT PROPERTY INCOME TR	COMMON	    38376A103	   984 	    41070SH		SOLE			41070
HEALTH CARE REIT INC          	REIT	    42217K106	   264 	     4300SH		SOLE			 4300
ISHARES SILVER TRUST     	ETF	    46428Q109	   225 	     7675SH		SOLE			 7675
J P MORGAN CHASE       		COMMON	    46625H100	 1,161	    26397SH		SOLE			26397
LAB CO OF AMERICA            	COMMON	    50540R409	   615 	     7096SH		SOLE			 7096
MERCK & CO INC               	COMMON	    58933Y105	 1,393	    34020SH		SOLE			34020
METLIFE INC			COMMON	    59156R108	   568      17240SH		SOLE			17240
MOLSON COORS BREWING Cl B     	COMMON	    60871R209	   550 	    12865SH		SOLE			12865
NOVARTIS  A G                 	ADR	    66987V109	   416 	     6569SH		SOLE			 6569
NVIDIA CORP			COMMON	    67066G104	   357 	    29145SH		SOLE			29145
ORACLE SYSTEMS			COMMON	    68389X105	 1,100	    33028SH		SOLE			33028
PPL CORP			COMMON	    69351T106	 1,217 	    42523SH		SOLE			42523
POWERSHARES FINANCIAL PFD      	ETF	    73935X229	   634 	    34707SH		SOLE			34707
BIOTECH/GENOME POWESHARES IND	ETF	    73935X856	   815 	    35670SH		SOLE			35670
POWERSHARES PREFERRED      	ETF	    73936T565	   442 	    30077SH		SOLE			30077
POWHERSHARES S^P 500 LOW VOL	ETF	    73937B779	   316 	    11432SH		SOLE			11432
Rydex S^P 500 EQ WGT       	ETF	    78355W106	   442 	     8283SH		SOLE			 8283
S^P 500 SPDR                	ETF	    78462F103	   545 	     3825SH		SOLE			 3825
SPDR GOLD SHARES              	ETF	    78463V107	 2,023	    12487SH		SOLE			12487
SPDR DJ WILSHIRE GLOBAL REAL E	ETF	    78463X749	   331 	     7851SH		SOLE			 7851
SPDR S^P DIVIDEND ETF         	ETF	    78464A763	 2,738	    47083SH		SOLE			47083
SPDR S^P BIOTECH ETF          	ETF	    78464A870	   438 	     4988SH		SOLE			 4988
S^P 400 MID-CAP SPDR          	ETF	    78467Y107	   282 	     1516SH		SOLE			 1516
TESCO PLC ADR                 	ADR	    88157K101	   173 	    10410SH		SOLE			10410
3M COMPANY			COMMON	    88579Y101	   618 	     6660SH		SOLE			 6660
VANGUARD CONSUMER STAPLES	COMMON	    92204A207	   358 	     4075SH		SOLE			 4075
VANGUARD UTILITIES		COMMON	    92204A876	   391       5195SH		SOLE			 5195
VERIZON COMMUNICATIONS		COMMON	    92343V104	 1,673 	    38672SH		SOLE			38672
WISDOMTREE EMERG MKTS SMCAP DI	COMMON	    97717W281	 1,353 	    27371SH		SOLE			27371
AON CORP			COMMON	    G0408V102	   374 	     6717SH		SOLE			 6717
COVIDIEN LTD			COMMON	    G2554F113	 1,562 	    27046SH		SOLE			27046
NABORS INDUSTRIES		COMMON	    G6359F103	   403 	    27895SH		SOLE			27895
TYCO INTL			COMMON	    H89128104	   246 	     8400SH		SOLE			 8400
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