Strategic Point Investment Advisors as of March 31, 2012
Portfolio Holdings for Strategic Point Investment Advisors
Strategic Point Investment Advisors holds 0 positions in its portfolio as reported in the March 2012 quarterly 13F filing
Name of Issuer Title of Class CUSIP Number Total value Value X Shares or SH/P PUT/CALL Invest Other Voting 100's Principal Amount RN Disc Mngrs Authority {S} {C} {C} {C} {C} {C} {C} {C} {C} C> {C} {C} Ishares Barclay TIPS Bond fund Common Stock 464287176 " $578,485.00 " " 578 " " 4,917 " SH SOLE 4917 DIAMONDS TR UNIT SER 1 Common Stock 252787106 " $6,911,592.00 " " 6,911 " " 52,440 " SH SOLE 52440 Standard & Poor's Dep Receipt SPDR's Common Stock 78462F103 " $32,615,392.00 " " 32,615 " " 231,626 " SH SOLE 231626 SPDR S^P Divid ETF Common Stock 78464A763 " $33,505,311.00 " " 33,505 " " 591,548 " SH SOLE 591548 SPDR Gold Common Stock 78463V107 " $15,386,809.00 " " 15,386 " " 94,910 " SH SOLE 94910 SECTOR SPDR TECHNOLOGY Common Stock 81369Y803 " $32,126,368.00 " " 32,126 " " 1,065,197 " SH SOLE 1065197 Ishares S^P Global Healthcare Common Stock 464287325 " $8,677,135.00 " " 8,677 " " 144,258 " SH SOLE 144258 Ishares Russell 2000 Index Common Stock 464287655 " $500,586.00 " " 500 " " 6,045 " SH SOLE 6045 Select Sector Consumer Discretionary Common Stock 81369Y407 " $23,309,560.00 " " 23,309 " " 516,956 " SH SOLE 516956 PowerShares S^P500 High Beta Common Stock 73937B829 " $5,945,631.00 " " 5,945 " " 271,490 " SH SOLE 271490 " $159,556,869.00 "