Westover Capital Advisors

Westover Capital Advisors as of Dec. 31, 2011

Portfolio Holdings for Westover Capital Advisors

Westover Capital Advisors 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 CLASS		CUSIP		(X$1000)	PRN AMT	PRN	CALL	DSCRETN	MANAGERS	SOLE	SHARED	NONE
------------------------------			--------------		---------	--------	-------	---	----	-------	--------	------	------	------

APPLE INC					COM			037833100	2613		6451	SH		SOLE			0	0	6451
AMERISOURCEBERGEN CORP				COM			03073E105	1243		33412	SH		SOLE			0	0	33412
ABBOTT LABORATORIES				COM			002824100	2469		43913	SH		SOLE			0	0	43913
ISHARES BARCLAYS AGGREGATE			ETF			464287226	1125		10203	SH		SOLE			0	0	10203
APPLIED MATERIALS INC				COM			038222105	1064		99385	SH		SOLE			0	0	99385
BANK OF AMERICA CORP				COM			060505104	851		153118	SH		SOLE			0	0	153118
BLACKROCK INC					COM			09247X101	1551		8699	SH		SOLE			0	0	8699
VANGUARD SHORT-TERM BOND ETF			ETF			921937827	930		11506	SH		SOLE			0	0	11506
COLGATE-PALMOLIVE CO				COM			194162103	2125		22998	SH		SOLE			0	0	22998
CONOCOPHILLIPS					COM			20825C104	2833		38881	SH		SOLE			0	0	38881
ISHARES BARCLAYS 1-3 YEAR CR			ETF			464288646	2065		19815	SH		SOLE			0	0	19815
DU PONT (E.I.) DE NEMOURS			COM			263534109	2191		47850	SH		SOLE			0	0	47850
DIAGEO PLC-SPONSORED ADR			ADR			25243Q205	220		2516	SH		SOLE			0	0	2516
WISDOMTREE EM SMALL CAP				ETF			97717W281	1826		44171	SH		SOLE			0	0	44171
DIRECTV-CLASS A					COM CL A		25490A101	1253		29294	SH		SOLE			0	0	29294
ISHARES JP MORGAN EM BOND FD			ETF			464288281	4851		44198	SH		SOLE			0	0	44198
FORD MOTOR CO					COM			345370860	882		81938	SH		SOLE			0	0	81938
FEDEX CORP					COM			31428X106	1893		22673	SH		SOLE			0	0	22673
FEI COMPANY					COM			30241L109	1193		29244	SH		SOLE			0	0	29244
GENERAL DYNAMICS CORP				COM			369550108	1832		27589	SH		SOLE			0	0	27589
GENERAL ELECTRIC CO				COM			369604103	2547		142209	SH		SOLE			0	0	142209
SPDR GOLD TRUST					GOLD SHS		78463V107	7235		47603	SH		SOLE			0	0	47603
HALLIBURTON CO					COM			406216101	1400		40582	SH		SOLE			0	0	40582
HEALTH CARE REIT INC				COM			42217K106	2174		39859	SH		SOLE			0	0	39859
INTL BUSINESS MACHINES CORP			COM			459200101	721		3923	SH		SOLE			0	0	3923
INTEL CORP					COM			458140100	970		40005	SH		SOLE			0	0	40005
LOCKHEED MARTIN CORP				COM			539830109	688		8502	SH		SOLE			0	0	8502
LOWE'S COS INC					COM			548661107	609		23980	SH		SOLE			0	0	23980
ISHARES IBOXX INV GR CORP BD			ETF			464287242	1513		13297	SH		SOLE			0	0	13297
MCDONALD'S CORP					COM			580135101	346		3453	SH		SOLE			0	0	3453
MEDTRONIC INC					COM			585055106	1375		35947	SH		SOLE			0	0	35947
OPNET TECHNOLOGIES INC				COM			683757108	255		6963	SH		SOLE			0	0	6963
ORACLE CORP					COM			68389X105	1720		67060	SH		SOLE			0	0	67060
PEPSICO INC					COM			713448108	291		4381	SH		SOLE			0	0	4381
PROCTER & GAMBLE CO/THE				COM			742718109	718		10764	SH		SOLE			0	0	10764
PHILIP MORRIS INTERNATIONAL			COM			718172109	1617		20601	SH		SOLE			0	0	20601
RIO TINTO PLC-SPON ADR				ADR			767204100	1314		26869	SH		SOLE			0	0	26869
ISHARES BARCLAYS 1-3 YEAR TR			ETF			464287457	385		4551	SH		SOLE			0	0	4551
TELEFONICA SA-SPON ADR				ADR			879382208	1497		87089	SH		SOLE			0	0	87089
ISHARES BARCLAYS TIPS BOND			ETF			464287176	1620		13885	SH		SOLE			0	0	13885
TRACTOR SUPPLY COMPANY				COM			892356106	1709		24363	SH		SOLE			0	0	24363
UNITEDHEALTH GROUP INC				COM			91324P102	1141		22514	SH		SOLE			0	0	22514
UNION PACIFIC CORP				COM			907818108	2204		20804	SH		SOLE			0	0	20804
VF CORP						COM			918204108	657		5174	SH		SOLE			0	0	5174
VANGUARD MSCI EMERGING MARKE			ETF			922042858	1627		42582	SH		SOLE			0	0	42582
WAL-MART STORES INC				COM			931142103	2026		33909	SH		SOLE			0	0	33909
EXXON MOBIL CORP				COM			30231G102	1674		19753	SH		SOLE			0	0	19753
ZIMMER HOLDINGS INC				COM			98956P102	1646		30819	SH		SOLE			0	0	30819