Westover Capital Advisors

Westover Capital Advisors as of March 31, 2013

Portfolio Holdings for Westover Capital Advisors

Westover Capital Advisors holds 0 positions in its portfolio as reported in the March 2013 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	3287		7426	SH		SOLE			0	0	7426
ABBVIE INC					COM			00287Y109	2457		60238	SH		SOLE			0	0	60238
AMERISOURCEBERGEN CORP				COM			03073E105	1649		32060	SH		SOLE			0	0	32060
ABBOTT LABORATORIES				COM			002824100	1835		51964	SH		SOLE			0	0	51964
AFLAC INC					COM			001055102	1048		20151	SH		SOLE			0	0	20151
ISHARES CORE TOTAL US BOND M			ETF			464287226	927		8373	SH		SOLE			0	0	8373
APPLIED MATERIALS INC				COM			038222105	2499		185387	SH		SOLE			0	0	185387
AMERICAN TOWER CORP				COM			03027X100	757		9838	SH		SOLE			0	0	9838
BAXTER INTERNATIONAL INC			COM			071813109	658		9052	SH		SOLE			0	0	9052
BLACKROCK INC					COM			09247X101	1977		7697	SH		SOLE			0	0	7697
VANGUARD SHORT-TERM BOND ETF			ETF			921937827	798		9851	SH		SOLE			0	0	9851
BRISTOL-MYERS SQUIBB CO				COM			110122108	412		10000	SH		SOLE			0	0	10000
CACI INTERNATIONAL INC -CL A			CL A			127190304	358		6182	SH		SOLE			0	0	6182
CATERPILLAR INC					COM			149123101	2546		29273	SH		SOLE			0	0	29273
COLGATE-PALMOLIVE CO				COM			194162103	2548		21591	SH		SOLE			0	0	21591
CONOCOPHILLIPS					COM			20825C104	2781		46279	SH		SOLE			0	0	46279
COVIDIEN PLC					SHS			G2554F113	263		3877	SH		SOLE			0	0	3877
ISHARES BARCLAYS 1-3 YEAR CR			ETF			464288646	3075		29136	SH		SOLE			0	0	29136
CSX CORP					COM			126408103	474		19249	SH		SOLE			0	0	19249
DIAGEO PLC-SPONSORED ADR			ADR			25243Q205	419		3329	SH		SOLE			0	0	3329
WISDOMTREE EM SMALL CAP				ETF			97717W281	2768		53660	SH		SOLE			0	0	53660
ISHARES JP MORGAN EM BOND FD			ETF			464288281	5803		49335	SH		SOLE			0	0	49335
EASTMAN CHEMICAL CO				COM			277432100	263		3766	SH		SOLE			0	0	3766
EQT CORP					COM			26884L109	325		4802	SH		SOLE			0	0	4802
ENTERGY CORP					COM			29364G103	314		4960	SH		SOLE			0	0	4960
FORD MOTOR CO					COM			345370860	1528		116164	SH		SOLE			0	0	116164
FEDEX CORP					COM			31428X106	2452		24971	SH		SOLE			0	0	24971
GENERAL ELECTRIC CO				COM			369604103	3442		148877	SH		SOLE			0	0	148877
SPDR GOLD TRUST	GOLD 				SHS			78463V107	3808		24652	SH		SOLE			0	0	24652
GOODYEAR TIRE & RUBBER CO			COM			382550101	477		37837	SH		SOLE			0	0	37837
HALLIBURTON CO					COM			406216101	2343		57991	SH		SOLE			0	0	57991
HEALTH CARE REIT INC				COM			42217K106	3245		47780	SH		SOLE			0	0	47780
HARRIS CORP					COM			413875105	337		7280	SH		SOLE			0	0	7280
INTL BUSINESS MACHINES CORP			COM			459200101	785		3682	SH		SOLE			0	0	3682
INTEL CORP					COM			458140100	874		40036	SH		SOLE			0	0	40036
INTERPUBLIC GROUP OF COS INC			COM			460690100	558		42825	SH		SOLE			0	0	42825
JOHNSON CONTROLS INC				COM			478366107	2929		83530	SH		SOLE			0	0	83530
JOHNSON & JOHNSON				COM			478160104	357		4380	SH		SOLE			0	0	4380
JPMORGAN CHASE & CO				COM			46625H100	2689		56655	SH		SOLE			0	0	56655
KROGER CO					COM			501044101	1404		42378	SH		SOLE			0	0	42378
ISHARES IBOXX INV GR CORP BD			ETF			464287242	1773		14791	SH		SOLE			0	0	14791
MCDONALD'S CORP					COM			580135101	393		3940	SH		SOLE			0	0	3940
ALTRIA GROUP INC				COM			02209S103	308		8969	SH		SOLE			0	0	8969
MERCK & CO. INC.				COM			58933Y105	307		6953	SH		SOLE			0	0	6953
MICROSOFT CORP					COM			594918104	335		11718	SH		SOLE			0	0	11718
NATIONAL OILWELL VARCO INC			COM			637071101	953		13469	SH		SOLE			0	0	13469
ORACLE CORP					COM			68389X105	2188		67665	SH		SOLE			0	0	67665
PEPSICO INC					COM			713448108	588		7432	SH		SOLE			0	0	7432
PHILIP MORRIS INTERNATIONAL			COM			718172109	1783		19227	SH		SOLE			0	0	19227
PPL CORPORATION					COM			69351T106	382		12188	SH		SOLE			0	0	12188
QUALCOMM INC					COM			747525103	921		13764	SH		SOLE			0	0	13764
RIO TINTO PLC-SPON ADR				ADR			767204100	2132		45290	SH		SOLE			0	0	45290
ISHARES BARCLAYS 1-3 YEAR TR			ETF			464287457	365		4317	SH		SOLE			0	0	4317
STAPLES INC					COM			855030102	140		10447	SH		SOLE			0	0	10447
TEREX CORP					COM			880779103	414		12027	SH		SOLE			0	0	12027
ISHARES BARCLAYS TIPS BOND			ETF			464287176	2144		17680	SH		SOLE			0	0	17680
THERMO FISHER SCIENTIFIC INC			COM			883556102	2783		36378	SH		SOLE			0	0	36378
TOTAL SA-SPON ADR				ADR			89151E109	577		12029	SH		SOLE			0	0	12029
TRACTOR SUPPLY COMPANY				COM			892356106	1879		18046	SH		SOLE			0	0	18046
UNITEDHEALTH GROUP INC				COM			91324P102	1518		26533	SH		SOLE			0	0	26533
UNION PACIFIC CORP				COM			907818108	2757		19358	SH		SOLE			0	0	19358
VF CORP						COM			918204108	1459		8696	SH		SOLE			0	0	8696
VODAFONE GROUP PLC-SP ADR			ADR			92857W209	782		27522	SH		SOLE			0	0	27522
VANGUARD FTSE EMERGING MARKE			ETF			922042858	2217		51693	SH		SOLE			0	0	51693
WAL-MART STORES INC				COM			931142103	2382		31827	SH		SOLE			0	0	31827
EXXON MOBIL CORP				COM			30231G102	995		11041	SH		SOLE			0	0	11041