South Street Advisors

South Street Advisors as of March 31, 2013

Portfolio Holdings for South Street Advisors

South Street Advisors holds 0 positions in its portfolio as reported in the March 2013 quarterly 13F filing

                NAME OF ISSUER                 CLASS              CUSIP      (x$1000)   PRN AMT     PUT/CALL   DISCRETION  MANAGERS     SOLE
- - - -------------------------------------------------------------------------------------------------------

{S}                              {C}           {C}            {C}        {C}         {C} {C} {C}  {C}

3-D Systems Corp.          COM             88554D205   363     11,260     SH SOLE N/A  SOLE
Abbvie Inc.    	     COM              00287Y109    1,313  32,200    SH SOLE N/A  SOLE
Actavis Inc.                    COM              00507K103  7,668   83,250     SH SOLE N/A  SOLE
Amer Elec Power Co.      COM              025537101    338  6,970      SH SOLE N/A  SOLE
American Express           COM              025816109   5,585 82,200    SH SOLE N/A  SOLE
Amphenol Corp. Cl A      COM             032095101  6,399   85,725     SH SOLE N/A  SOLE
Apple Inc.                       COM              037833100  4,648    10,501     SH SOLE N/A  SOLE
CF Industries Hd Inc       COM             125269100       4,494 23,610      SH SOLE N/A  SOLE
Chevron Corp  	   COM             166764100  7,175  60,390          SH SOLE N/A  SOLE
Cinemark Holding       COM             17243V102    1,366    46,400         SH SOLE N/A  SOLE
Coca-Cola Co                COM             191216100    258    6,400         SH SOLE N/A  SOLE
Comcast Corp New Cl A  COM           20030N1010    251    6,000       SH SOLE N/A  SOLE
Conocophillips             COM             20825C104    1,222    20,340         SH SOLE N/A  SOLE
Costco Corp                   COM             22160K105   269    2,540         SH SOLE N/A  SOLE
Covidien Plc                   COM            G2554F113   4,773    70,370         SH SOLE N/A  SOLE
CVS Carmark  Corp.     COM             126650100  6,695  121,750         SH SOLE N/A  SOLE
DirectTV Group Inc.       COM             25490A101  6,221  109,943        SH SOLE N/A  SOLE
Eaton                             COM             E00B8KQN82  7,930  129,477      SH SOLE N/A  SOLE
EBAY		  COM             278642103   672   12,400            SH SOLE N/A  SOLE
EMC Corp                    COM             268648102   6,409   268,275         SH SOLE N/A  SOLE
Exxon Mobil Corp         COM             30231G102    1,012   11,231           SH SOLE N/A  SOLE
F5 Networks Inc.          COM             315616102     3,087   34,660          SH SOLE N/A  SOLE
Flowserve                     COM             34354P1057 6,518   38,870         SH SOLE N/A  SOLE
Fortinet Inc.                  COM             34959E109  5,046  213,100        SH SOLE N/A  SOLE
IAC Interactive Corp.       COM             44919P508  5,415  121,210        SH SOLE N/A  SOLE
JM Smuckers Co.           COM            832696405  2,874   28,984          SH SOLE N/A  SOLE
Liberty Global Inc Ser A  COM           530555101    269   3,676            SH SOLE N/A  SOLE
Liberty Media Interactive  COM          53071M104    209   9,800            SH SOLE N/A  SOLE
Lily Eli & Co.                 COM          532457108   1,359   23,940            SH SOLE N/A  SOLE
Masco Corp                 COM             574599106   313 15,500          SH SOLE N/A  SOLE
McDonalds Corp.         COM             580135101   2,292    23,000           SH SOLE N/A  SOLE
Microsoft                     COM             594918104   220    7,704           SH SOLE N/A  SOLE
Monster Beverage Corp COM           611740101 4,182  87,600          SH SOLE N/A  SOLE
Nestle S A   SPONSORED   ADR      641069406    585   8,075          SH SOLE N/A  SOLE
News Corp Cl B                COM        65248E203    215   7,000          SH SOLE N/A  SOLE
Nisource Inc                COM               65473P105  344   11,750        SH SOLE N/A  SOLE
Novartis AG              ADR                   66987V109    423 5,950          SH SOLE N/A  SOLE
Occidental Petroleum   COM               674599105    242    3,100         SH SOLE N/A  SOLE
Ralph Lauren Corp        COM              751212101  7,156   42,270      SH SOLE N/A  SOLE
Raymond James Fin Inc   COM            754730109  6,522  141,490     SH SOLE N/A  SOLE
Rosetta Resources           COM            777779307 3,369   70,809     SH SOLE N/A  SOLE
SalesForce.Com Inc.      COM             79466L302  4,395   24,580     SH SOLE N/A  SOLE
Shire Pharmaceuticals ADR SPONSORED  82481R106 559  6,120   SH SOLE N/A  SOLE
Grp PLC
Snap-ON Inc              COM               833034101  4,301    52,010        SH SOLE N/A  SOLE
Snyders-Lance Inc        COM             833551104   298    11,800          SH SOLE N/A  SOLE
The Macerich Company  COM	     554382101   7,090   110,130         SH SOLE N/A  SOLE
TJX                      COM                     872540109   7,647  163,580        SH SOLE N/A  SOLE
Vanguard NY Insd  Mutal FD              92204H103     338   28,826         SH SOLE N/A  SOLE
Viacom Inc. Cl B         COM              92553P201   6,816  110,872        SH SOLE N/A  SOLE
Walgreen                    COM              931422109  257         5,400         SH  SOLE N/A SOLE
Well Fargo & Co.            COM           949746101   4,678   126,490      SH SOLE N/A  SOLE
Whirlpool Corp.            COM           963320106   3,832  32,355        SH SOLE N/A  SOLE
Wisconsin Energy Corp    COM           976657106   7,179 167,390        SH SOLE N/A  SOLE
   53                                                    173,115