WestEnd Capital Management

Westend Capital Management as of Dec. 31, 2012

Portfolio Holdings for Westend Capital Management

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

                TITLE OF		    	VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER	VOTING AUTHORITY
	NAME OF ISSUER		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}
AKAMAI TECH			COM		00971T101	2121	51850	SH	Sole			51850	0	0
APPLE INC			COM		037833100	1820	3420	SH	Sole			3420	0	0
BOEING CO			COM		097023105	1900	25210	SH	Sole			25210	0	0
CHANGYOU COM LTD 		ADS REP CL A	15911M107	1054	40000	SH	Sole			40000	0	0
CHINA LODGING GROUP		SPONSORED ADR	16949N109	242	14211	SH	Sole			14211	0	0
CHINA UNICOM (HONG KONG) LTD	SPONSORED ADR	16945R104	238	14600	SH	Sole			14600	0	0
COCA COLA CO			COM		191216100	257	7100	SH	Sole			7100	0	0
CONAGRA FOODS INC		COM		205887102	2679	90825	SH	Sole			90825	0	0
CONOCOPHILLIPS			COM		20825C104	637	10981	SH	Sole			10981	0	0
CVS CAREMARK CORPORATION	COM		126650100	1846	38185	SH	Sole			38185	0	0
DEMAND MEDIA INC		COM		24802N109	384	41333	SH	Sole			41333	0	0
DISNEY WALT CO			COM DISNEY	254687106	835	16765	SH	Sole			16765	0	0
DUNKIN BRANDS GROUP INC		COM		265504100	972	29280	SH	Sole			29280	0	0
EXXON MOBIL CORP		COM		30231G102	1242	14353	SH	Sole			14353	0	0
FREEPORT-MCMORAN COPPER  & GO	COM		35671D857	1620	47375	SH	Sole			47375	0	0
FUSION-IO INC			COM		36112J107	2564	111820	SH	Sole			111820	0	0
GENERAL ELECTRIC CO		COM		369604103	356	16972	SH	Sole			16972	0	0
GNC HOLDINGS INC 		COM CL A	36191G107	1911	57430	SH	Sole			57430	0	0
HOME INNS & HOTELS MGMT INC	SPON ADR	43713W107	1956	67682	SH	Sole			67682	0	0
INTREPID POTASH			COM		46121Y102	1124	52792	SH	Sole			52792	0	0
JOHNSON & JOHNSON		COM		478160104	494	7049	SH	Sole			7049	0	0
LINKEDIN CORPORATION		COM CL A	53578A108	1282	11167	SH	Sole			11167	0	0
MCDERMOTT INTL INC		COM		580037109	506	45889	SH	Sole			45889	0	0
MERCK & CO INC NEW		COM		58933Y105	214	5229	SH	Sole			5229	0	0
MONSANTO CO NEW			COM		61166W101	2743	28981	SH	Sole			28981	0	0
MOSAIC CO NEW			COM		61945C103	3574	63117	SH	Sole			63117	0	0
PERFUMANIA HLDGS INC		COM NEW		71376C100	3124	634900	SH	Sole			634900	0	0
PHILLIPS 66			COM		718546104	288	5415	SH	Sole			5415	0	0
POTASH CORP SASK INC		COM		73755L107	1026	25226	SH	Sole			25226	0	0
RALPH LAUREN CORP		CL A		751212101	370	2470	SH	Sole			2470	0	0
RICKS CABARET INTL INC		COM NEW		765641303	692	86045	SH	Sole			86045	0	0
SINA CORP			ORD		G81477104	4711	93815	SH	Sole			93815	0	0
SOHU COM INC			COM		83408W103	2160	45632	SH	Sole			45632	0	0
SOUFUN HLDGS LTD		ADR		836034108	7412	296490	SH	Sole			296490	0	0
SPLUNK INC			COM		848637104	2608	89879	SH	Sole			89879	0	0
TIVO INC			COM		888706108	1501	121900	SH	Sole			121900	0	0
VARIAN MED SYS INC		COM		92220P105	251	3580	SH	Sole			3580	0	0
VISA INC			COM CL A	92826C839	2046	13500	SH	Sole			13500	0	0
VMWARE INC			CL A COM	928563402	3603	38276	SH	Sole			38276	0	0
YANDEX N V			SHS CLASS A	N97284108	2010	93292	SH	Sole			93292	0	0