Welch Capital Partners

Welch Capital Partners as of Dec. 31, 2011

Portfolio Holdings for Welch Capital Partners

Welch Capital Partners holds 0 positions in its portfolio as reported in the December 2011 quarterly 13F filing

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                                                             FORM 13F INFORMATION TABLE
                                                      VALUE    SHARES    SH/  PUT/ INVSTMT OTHER           VOTING AUTHORITY
        NAME OF ISSUER        TITLE OF CLAS  CUSIP    (x1000)  PRN AMT   PRN  CALL DSCRETNMANAGERS  SOLE   SHARED NONE
Agilent Technologies          common stock 00846U101    10634     304450SH          SOLE             304450     0      0
Allscripts-Misys Healthcare   common stock 01988P108     1092      57638SH          SOLE              57638     0      0
American Express              common stock 025816109     9341     198020SH          SOLE             198020     0      0
Amerisourcebergen Corp        common stock 03073E105     1948      52390SH          SOLE              52390     0      0
Apple Inc                     common stock 037833100    12283      30328SH          SOLE              30328     0      0
Bank of America Corp          common stock 060505104      146      26244SH          SOLE              26244     0      0
Bank of New York Mellon       common stock 064058100       40       2000SH          SOLE               2000     0      0
Bunge Corp                    common stock G16962105       29        500SH          SOLE                500     0      0
CVS Corp                      common stock  126650100    8749     214550SH          SOLE             214550     0      0
Centurylink Inc               common stock  156700106    3768     101300SH          SOLE             101300     0      0
Check Point Software          common stock M22465104     7145     136000SH          SOLE             136000     0      0
Chevron Texaco Corp           common stock  166764100    4744      44587SH          SOLE              44587     0      0
Cigna Corp                    common stock  125509109      50       1180SH          SOLE               1180     0      0
Coca Cola                     common stock  191216100    6549      93595SH          SOLE              93595     0      0
Corning                       common stock  219350105       8        600SH          SOLE                600     0      0
Costco                        common stock 22160K105       91       1093SH          SOLE               1093     0      0
Cross Country                 common stock  227483104    1859     334937SH          SOLE             334937     0      0
Denbury Resources Inc         common stock  247916208      15       1000SH          SOLE               1000     0      0
DuPont                        common stock  263534109     175       3820SH          SOLE               3820     0      0
EMC Corp.                     common stock  268648102    8607     399580SH          SOLE             399580     0      0
Eaton Vance New York Municip  common stock 27827Y109      104       7434SH          SOLE               7434     0      0
Express Scripts Inc           common stock  302182100    6731     150620SH          SOLE             150620     0      0
Exxon Mobil                   common stock 30231G102      930      10970SH          SOLE              10970     0      0
Frontier Communications Corp  common stock 35906A108        0         96SH          SOLE                 96     0      0
Google Inc-Cl A               common stock 38259P508    11524      17841SH          SOLE              17841     0      0
Halliburton Co                common stock  406216101   12218     354040SH          SOLE             354040     0      0
Hcp Inc                       common stock 40414L109     3027      73070SH          SOLE              73070     0      0
Merck and Co.                 common stock  589331107     563      14927SH          SOLE              14927     0      0
Microsoft Corp                common stock  594918104    1206      46442SH          SOLE              46442     0      0
Monsanto Co.                  common stock 61166W101       32        460SH          SOLE                460     0      0
Newfield Exploration Co       common stock  651290108    5437     144100SH          SOLE             144100     0      0
News Corporation              common stock 65248E104     5243     293900SH          SOLE             293900     0      0
Occidental Petroleum Corp.    common stock  674599105   13593     145072SH          SOLE             145072     0      0
Omnicom Group                 common stock  681919106    4969     111460SH          SOLE             111460     0      0
Pfizer                        common stock  717081103     564      26046SH          SOLE              26046     0      0
Proctor & Gamble              common stock  742718109    4056      60800SH          SOLE              60800     0      0
Proshares Ultrashort S^P500   common stock 74347R883     5411     280500SH          SOLE             280500     0      0
Qualcomm                      common stock  747525103   12996     237580SH          SOLE             237580     0      0
Range Resources Corp          common stock 75281A109       62       1000SH          SOLE               1000     0      0
Sapient Corporation           common stock  803062108    5903     468518SH          SOLE             468518     0      0
Sealed Air Corp               common stock 81211K100     4733     275000SH          SOLE             275000     0      0
Teco Energy                   common stock  872375100    1446      75556SH          SOLE              75556     0      0
United Technologies           common stock  913017109     629       8608SH          SOLE               8608     0      0
UnitedHealth Group Inc.       common stock 91324P102    10195     201170SH          SOLE             201170     0      0
Verizon Communications        common stock 92343V104       16        400SH          SOLE                400     0      0
WR Berkley Corp               common stock 084423102    12202     354800SH          SOLE             354800     0      0
Wellpoint Health Networks     common stock 94973V107     7378     111370SH          SOLE             111370     0      0
Wells Fargo                   common stock  949740104       3         99SH          SOLE                 99     0      0
Western Union Co              common stock  959802109    7219     395350SH          SOLE             395350     0      0
HCA 6.3 10/01/12              Bond         404119AF6     1868    1836000PRN         SOLE            1836000     0      0
Rite Aid Corp 7/15/2016       Bond         767754BV5     2704    2545000PRN         SOLE            2545000     0      0