Shamrock Asset Management

Shamrock Asset Management as of Dec. 31, 2012

Portfolio Holdings for Shamrock Asset Management

Shamrock Asset Management holds 0 positions in its portfolio as reported in the December 2012 quarterly 13F filing

                FORM 13F INFORMATION TABLE
                                                          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
----------------   --------------------    --------      ---------  --------- ------ -----   --------   ----------------------------
{S}                           {C}                   {C}         {C}        {C}     {C}   {C}     {C}     {C}      {C}   {C}   {C}
APPLE INC               COM		037833100		224	2029			Sole	None	Sole
ABBOTT LABORATO         COM		002824100		729	18657			Sole	None	Sole
JPMORGAN CHASE ALERIAN	COM		46625H365		323	12630			Sole	None	Sole
BROOKFIELD         	COM		G16252101		1,637	15565			Sole	None	Sole
POWERSHARES EXCHANGET	ETF		73936Q769		338	11890			Sole	None	Sole
DIAGEO ADR EACH REPR4   ADR		25243Q205		652	9175			Sole	None	Sole
MARKET VECTORS ETF  	ETF		57060U522		1,197	14665			Sole	None	Sole
ISHARES TRUST FLTG   	ETF             46429B655		1,419	4230			Sole	None	Sole
SPDR GOLD TR GOLD       ETF             78463V107		1,342	8250			Sole	None	Sole
GLAXOSMITHKLINE ADR 	ADR		37733W105		716	20360			Sole	None	Sole
MARKET VECTORS ETF  	ETF		57061R205		432	18950			Sole	None	Sole
SPDR SER TR BARCLAYSH	ETF		78464A417		3,092	14575			Sole	None	Sole
JPMORGAN CHASE & CO   	COM		46625H100		719	55975			Sole	None	Sole
NUVEEN PREM INCOME  	COM		67063W102		220	14300			Sole	None	Sole
NOVARTIS AG ADR		ADR             66987V109		645	17580			Sole	None	Sole
POWERSHARES GLOBAL  	Sov Debt	73936T573		2,187	20295			Sole	None	Sole
SPDR S^P 500 ETF   	ETF             78462F103		976	9327			Sole	None	Sole
AT^T INC           	COM             00206R102		1,097	15965			Sole	None	Sole
VANGUARD SCOTTSDALE FDS Corp		92206C870		6,170	24175			Sole	None	Sole
VANGUARD LONG TERM   	Corp Bond	92206C813		1,335	5674			Sole	None	Sole
VANGUARD SCOTTSDALE FDS Corp Bond	92206C409		609	8500			Sole	None	Sole
VERIZON                 COM             92343V104		737	37226			Sole	None	Sole
SEL SEC SPDR SHS BEN 	SBI		81369Y100		4,884	12929			Sole	None	Sole
SEC SPDR SHS BEN FIN    SBI		81369Y605		5,749	6713			Sole	None	Sole
SEC SPDR SHS BEN CON 	SBI		81369Y308		5,523	40625			Sole	None	Sole
SEC SECTOR SPDR HEALTH  SBI		81369Y209		5,541	1246			Sole	None	Sole
SEL SEC SPDR CONSUMER   SBI		81369Y407		5,684	21525			Sole	None	Sole
EXXON MOBIL CORP        COM		30231G102		2,924	40975			Sole	None	Sole
{S}{C}