Paul A. Zappala

Paul A. Zappala as of June 30, 2012

Portfolio Holdings for Paul A. Zappala

Paul A. Zappala holds 79 positions in its portfolio as reported in the June 2012 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
Ishares Tr rusl 2000 va 14.9 $95k 173k 0.55
Vanguard Intl Equity Inde xmsci emr mkt 13.8 $89k 305k 0.29
Ishares Tr barclys 3-7 6.7 $43k 113k 0.38
Spdr S&p Midcap 400 Etf T rutser1 s^pdc 6.7 $43k 164k 0.26
Ishares Tr s^p mc 400 g 2.7 $18k 135k 0.13
Express Scripts Hldg 1.5 $9.5k 135k 0.07
3m 1.4 $9.2k 66k 0.14
Ishares Tr s^p 500 valu 1.4 $9.1k 91k 0.10
Parker Hannifin 1.4 $9.1k 17k 0.55
Ishares Tr s^p smlcp gr 1.4 $9.0k 31k 0.29
Kimberly Clark 1.4 $8.9k 59k 0.15
Mcdonalds 1.4 $8.8k 55k 0.16
Jpmorgan Chase & Co 1.4 $8.7k 124k 0.07
Juniper Networks 1.4 $8.7k 173k 0.05
Ishares Tr cohen^st rlt 1.3 $8.4k 210k 0.04
Microsoft 1.3 $8.2k 164k 0.05
Rydex Etf Trust gug s^p500 e 1.3 $8.2k 39k 0.21
Exxon Mobil 1.3 $8.2k 102k 0.08
Peabody Energy 1.3 $8.2k 117k 0.07
Apple 1.3 $8.1k 16k 0.52
C H Robinson Worldwide In c 1.3 $8.1k 90k 0.09
Baxter Intl 1.2 $8.0k 67k 0.12
Philip Morris Intl 1.2 $8.0k 18k 0.44
International Business Ma c 1.2 $7.9k 44k 0.18
Ishares Tr barcly usagg 1.2 $7.9k 44k 0.18
Cardinal Health 1.2 $7.8k 87k 0.09
Preformed Line Prods 1.2 $7.8k 49k 0.16
Rydex Etf Trust gug s^p500eq 1.1 $6.9k 63k 0.11
Ishares Tr s^p smlcap 6 1.0 $6.6k 165k 0.04
Coca Cola 1.0 $6.4k 106k 0.06
At&t 1.0 $6.2k 155k 0.04
Home Depot 1.0 $6.2k 78k 0.08
Norfolk Southern 1.0 $6.2k 56k 0.11
Select Sector Spdr Tr sbi int-inds 0.9 $6.0k 75k 0.08
Select Sector Spdr Tr sbi healthca 0.9 $5.8k 58k 0.10
American Express 0.8 $5.4k 107k 0.05
Abbott Labs 0.8 $5.3k 106k 0.05
Ishares Tr dj us tech s 0.8 $5.2k 47k 0.11
Google Inc cl a 0.8 $5.0k 9.2k 0.54
Select Sector Spdr Tr sbi int-ener 0.8 $5.0k 31k 0.16
Nike Inc cl b 0.8 $4.9k 49k 0.10
Vanguard Intl Equity Inde xmsci europe 0.8 $4.9k 55k 0.09
Powershares Etf Trust Ii dwa emrg mkt 0.8 $4.8k 241k 0.02
Ishares Tr s^p500 grw 0.7 $4.8k 119k 0.04
Ishares Inc msci utd kin 0.7 $4.4k 445k 0.01
Ishares Inc msci pac j i 0.7 $4.4k 219k 0.02
Procter & Gamble 0.7 $4.2k 105k 0.04
United Parcel Service Inc cl b 0.6 $4.1k 51k 0.08
Sherwin Williams 0.6 $4.0k 37k 0.11
Powershares Db Cmdty Idx tunit ben int 0.6 $4.0k 396k 0.01
Danaher Corp Del 0.6 $3.8k 94k 0.04
Powershs Db Us Dollar Ind edoll indx bu 0.6 $3.8k 126k 0.03
Ishares Inc msci german 0.5 $3.4k 172k 0.02
Spdr S&p 500 Etf Tr tr unit 0.5 $3.0k 7.7k 0.39
Select Sector Spdr Tr sbi cons dis 0.5 $2.9k 49k 0.06
Snap On 0.5 $2.9k 36k 0.08
Clorox Co Del 0.4 $2.8k 56k 0.05
E M C Corp Mass 0.4 $2.8k 280k 0.01
Ishares Inc msci cda ind 0.3 $2.2k 222k 0.01
Apache 0.3 $2.1k 53k 0.04
Air Prods & Chems 0.3 $2.0k 67k 0.03
Ishares Tr barclys 1-3y 0.3 $2.1k 26k 0.08
Select Sector Spdr Tr sbi cons stp 0.3 $1.9k 65k 0.03
Vanguard Scottsdale Fds mortg-back s 0.3 $1.9k 97k 0.02
Wells Fargo & Co 0.2 $1.5k 155k 0.01
Conagra Foods 0.2 $1.5k 146k 0.01
Equifax 0.2 $1.3k 134k 0.01
Automatic Data Processing 0.2 $1.2k 121k 0.01
General Electric 0.2 $1.1k 57k 0.02
Omni 0.2 $1.1k 106k 0.01
Ishares Tr barclys inte 0.1 $894.740000 45k 0.02
Vanguard Intl Equity Inde xftse smcap e 0.1 $820.910000 82k 0.01
Stryker 0.1 $667.970000 67k 0.01
Deere & Co 0.0 $0 62k 0.00
Franklin Res 0.0 $0 33k 0.00
Indexiq Etf Tr hedge mlti e 0.0 $0 171k 0.00
Ishares Inc msci emu ind 0.0 $0 155k 0.00
Powershares Global Etf Tr ufdm hg yld r 0.0 $0 69k 0.00
Schlumberger 0.0 $0 64k 0.00