4TYPE:	13F-HR PERIOD	03/31/2013 FILER CIK: 0001511144 SUBMISSION - CONTACT NAME	Oren Chaplin, Esq. PHONE 908-722-0700 Attached Documents Page (2) 	FORM 13F 	FORM 13F COVER PAGE Form 13F FORM 13F COVER PAGE Report for the Calendar Year or Quarter Ended: 03/31/2013 Check here if Amendment [ ]; Amendment Number: This Amendment (Check only one): [ ] is a restatement. [ ] adds new holdings entries. Institutional Investment Manager Filing this Report: Name: 	10-15 Associates, Inc. Address: 	168 Main Street 	 	Goshen, NY 10924 Form 13F File Number: The institutional investment manager filing this report and the person by whom it is signed hereby represent that the person signing the report is authorized to submit it, that all information contained herein is true, correct and complete, and that it is understood that all required items, statements, schedules, list, and tables, are considered integral parts of this form. Person Signing this Report on Behalf of Reporting Manager: Name: Deborah DeMatteo Title: Chief Compliance Officer Phone: 845-294-2080 Signature, Place, and Date of Signing: /s/ Deborah DeMatteo, Goshen, NY May 13, 2013 Report Type: [X] 13F HOLDINGS REPORT. [ ] 13F NOTICE. [ ] 13F COMBINATION REPORT. UNITED STATES SECURITIES AND EXCHANGE COMMISSION Washington, D.C. 20549 FORM 13F SUMMARY PAGE Report Summary: Number of Other Included Managers: Form 13F Information Table Entry Total: 346 Form 13F Information Table Value Total: 236,188,578.08 		Form 13 F Information Table FORM 13F INFORMATION TABLE COLUMN 1 COLUMN 2 COLUMN 3 COLUMN 4 COLUMN 5 COLUMN 6 COLUMN 7 COLUMN 8 NAME TITLE CUSIP VALUE SHRS OR-SH/ INVESTMEMT OTHER VOTING OF ISSUER OF CLASS	 (x1000) -PUT/PRN DISCRETION MAN. AUTHORITY 								 AMT-PRN-CALL SOLE/SHARED 						 or NONE ----------------------------------------------------------------------------------------------------------------------------- ALTEVA					COM	02153V102	45.10		4,902.37	SOLE	NONE	NONE STARZ			LIBRTY CAP COM A	85571Q102	0.04		2.00		SOLE	NONE	NONE AFLAC INC				COM	001055102	14.31		275.00		SOLE	NONE	NONE ALPS ETF TR			ALERIAN MLP	00162Q866	1,912.09	107,906.00	SOLE	NONE	NONE AMC NETWORKS INC			CL A	00164V103	2.47		39.00		SOLE	NONE	NONE AT&T INC				COM	00206R102	951.64		25,937.35	SOLE	NONE	NONE ABBVIE INC				COM	00287Y109	3,340.90	81,925.00	SOLE	NONE	NONE AEGON N V			NY REGISTRY SH	007924103	219.58		36,535.00	SOLE	NONE	NONE AFFYMETRIX INC				COM	00826T108	0.94		200.00		SOLE	NONE	NONE AGRIUM INC				COM	008916108	102.38		1,050.00	SOLE	NONE	NONE AIR PRODS & CHEMS INC			COM	009158106	1,411.48	16,201.55	SOLE	NONE	NONE ALCOA INC				COM	013817101	7.25		850.57		SOLE	NONE	NONE ALCATEL-LUCENT			SPONSORED ADR	013904305	4.24		3,190.00	SOLE	NONE	NONE ALLIANCE RES PARTNER L P	UT LTD PART	01877R108	10.51		165.00		SOLE	NONE	NONE ALPHA NATURAL RESOURCES INC		COM	02076X102	195.81		23,850.00	SOLE	NONE	NONE AMEREN CORP				COM	023608102	16.46		470.00		SOLE	NONE	NONE AMERICAN ELEC PWR INC			COM	025537101	4.86		100.00		SOLE	NONE	NONE AMERICAN EXPRESS CO			COM	025816109	70.54		1,045.65	SOLE	NONE	NONE AMERICAN INTL GROUP INC	 *W EXP 01/19/202	026874156	12.72		837.00		SOLE	NONE	NONE AMERICAN INTL GROUP INC			COM NEW	026874784	60.95		1,570.00	SOLE	NONE	NONE AMERICAN SUPERCONDUCTOR CORP		COM	030111108	18.56		6,950.00	SOLE	NONE	NONE AMERIPRISE FINL INC			COM	03076C106	5.28		71.65		SOLE	NONE	NONE AMGEN INC				COM	031162100	1,841.81	17,967.16	SOLE	NONE	NONE ANADARKO PETE CORP			COM	032511107	43.73		500.00		SOLE	NONE	NONE ANNALY CAP MGMT INC			COM	035710409	755.12		47,521.52	SOLE	NONE	NONE APPLE INC				COM	037833100	64.63		146.00		SOLE	NONE	NONE APPLIED MATLS INC			COM	038222105	8.09		600.00		SOLE	NONE	NONE AQUA AMERICA INC			COM	03836W103	939.02		29,867.10	SOLE	NONE	NONE ARCH COAL INC				COM	039380100	4,824.97	888,576.15	SOLE	NONE	NONE ARCELORMITTAL SA LUXEMBOURG	NY REGISTRY SH	03938L104	12.70		975.00		SOLE	NONE	NONE ARCHER DANIELS MIDLAND CO		COM	039483102	38.31		1,135.72	SOLE	NONE	NONE ATLAS PIPELINE PARTNERS LP	UNIT L P INT	049392103	34.58		1,000.00	SOLE	NONE	NONE AUTOMATIC DATA PROCESSING IN		COM	053015103	275.37		4,234.50	SOLE	NONE	NONE AUTONATION INC				COM	05329W102	65.63		1,500.00	SOLE	NONE	NONE AVON PRODS INC				COM	054303102	29.02		1,400.00	SOLE	NONE	NONE BP PLC				SPONSORED ADR	055622104	6.35		150.00		SOLE	NONE	NONE BALCHEM CORP				COM	057665200	0.67		15.35		SOLE	NONE	NONE BANK OF AMERICA CORPORATION		COM	060505104	278.99		22,905.74	SOLE	NONE	NONE BANK MONTREAL QUE			COM	063671101	4.60		73.00		SOLE	NONE	NONE BARCLAYS BANK PLC		ADS7.75%PFD S4	06739H511	32.70		1,275.00	SOLE	NONE	NONE BARRICK GOLD CORP			COM	067901108	4,727.52	160,800.00	SOLE	NONE	NONE BED BATH & BEYOND INC			COM	075896100	19.33		300.00		SOLE	NONE	NONE BERKSHIRE BANCORP INC DEL		COM NEW	084597202	1.25		150.00		SOLE	NONE	NONE BERKSHIRE HATHAWAY INC DEL	 CL B NEW	084670702	15.63		150.00		SOLE	NONE	NONE BHP BILLITON LTD		SPONSORED ADR	088606108	51.32		750.00		SOLE	NONE	NONE BLACKROCK INC				COM	09247X101	1,248.44	4,860.00	SOLE	NONE	NONE BLACKROCK CR ALLCTN INC TR		COM	092508100	48.10		3,436.00	SOLE	NONE	NONE BLACKROCK ENERGY & RES TR		COM	09250U101	9.05		350.00		SOLE	NONE	NONE BLACKROCK INTL GRWTH & INC T	COM BENE INTER	092524107	9.16		1,200.00	SOLE	NONE	NONE BLACKSTONE GROUP L P		COM UNIT LTD	09253U108	652.07		32,966.22	SOLE	NONE	NONE BLACKROCK REAL ASSET EQUITY		COM	09254B109	4.00		400.00		SOLE	NONE	NONE BLOOMIN BRANDS INC			COM	094235108	28.13		1,575.00	SOLE	NONE	NONE BOEING CO				COM	097023105	6,802.99	79,242.77	SOLE	NONE	NONE BOSTON BEER INC				CL A	100557107	55.87		350.00		SOLE	NONE	NONE BRISTOL MYERS SQUIBB CO			COM	110122108	157.55		3,825.00	SOLE	NONE	NONE BROADCOM CORP				CL A	111320107	115.12		3,319.48	SOLE	NONE	NONE CH ENERGY GROUP INC			COM	12541M102	29.43		450.00		SOLE	NONE	NONE CSX CORP				COM	126408103	7,391.17	300,087.91	SOLE	NONE	NONE CABLEVISION SYS CORP		CL A NY CABLVS	12686C109	2.38		159.00		SOLE	NONE	NONE CANADIAN PAC RY LTD			COM	13645T100	577.33		4,425.00	SOLE	NONE	NONE CATERPILLAR INC DEL			COM	149123101	965.01		11,095.92	SOLE	NONE	NONE CELGENE CORP				COM	151020104	11.59		100.00		SOLE	NONE	NONE CENTURYLINK INC				COM	156700106	23.56		670.63		SOLE	NONE	NONE CHESAPEAKE ENERGY CORP			COM	165167107	784.15		38,419.87	SOLE	NONE	NONE CHEVRON CORP NEW			COM	166764100	25.55		215.00		SOLE	NONE	NONE CHICOS FAS INC				COM	168615102	3.36		200.00		SOLE	NONE	NONE CINCINNATI FINL CORP			COM	172062101	50.31		1,065.39	SOLE	NONE	NONE CISCO SYS INC				COM	17275R102	720.64		34,488.70	SOLE	NONE	NONE CLEAN HARBORS INC			COM	184496107	2.90		50.00		SOLE	NONE	NONE CLOROX CO DEL				COM	189054109	667.85		7,543.82	SOLE	NONE	NONE COCA COLA CO				COM	191216100	134.51		3,326.07	SOLE	NONE	NONE COLGATE PALMOLIVE CO			COM	194162103	8.85		75.00		SOLE	NONE	NONE COMCAST CORP NEW			CL A	20030N101	339.19		8,079.76	SOLE	NONE	NONE COMMONWEALTH REIT		COM SH BEN INT	203233101	8.42		375.00		SOLE	NONE	NONE COMMUNITY HEALTH SYS INC NEW		COM	203668108	8.29		175.00		SOLE	NONE	NONE CONAGRA FOODS INC			COM	205887102	39.53		1,104.00	SOLE	NONE	NONE CONOCOPHILLIPS				COM	20825C104	7,764.98	129,201.07	SOLE	NONE	NONE CONSOLIDATED EDISON INC			COM	209115104	248.43		4,070.66	SOLE	NONE	NONE CORNING INC				COM	219350105	124.43		9,334.71	SOLE	NONE	NONE COSTCO WHSL CORP NEW			COM	22160K105	31.83		300.00		SOLE	NONE	NONE DEERE & CO				COM	244199105	1,673.76	19,466.84	SOLE	NONE	NONE DEUTSCHE BK AG LDN BRH		PS GOLD DS ETN	25154H756	328.49		67,175.00	SOLE	NONE	NONE DEVON ENERGY CORP NEW			COM	25179M103	8.46		150.00		SOLE	NONE	NONE DIAGEO P L C			SPON ADR NEW	25243Q205	38.51		306.00		SOLE	NONE	NONE DIGITALGLOBE INC			COM NEW	25389M877	9.89		342.00		SOLE	NONE	NONE DISNEY WALT CO			COM DISNEY	254687106	611.53		10,766.44	SOLE	NONE	NONE DISCOVERY COMMUNICATNS NEW	COM SER A	25470F104	0.16		2.00		SOLE	NONE	NONE DISCOVERY COMMUNICATNS NEW	COM SER C	25470F302	0.14		2.00		SOLE	NONE	NONE DOW CHEM CO				COM	260543103	28.30		888.72		SOLE	NONE	NONE DU PONT E I DE NEMOURS & CO		COM	263534109	6,666.58	135,609.83	SOLE	NONE	NONE DUCOMMUN INC DEL			COM	264147109	4.95		250.00		SOLE	NONE	NONE EGA EMERGING GLOBAL SHS TR EGS EMKTCONS ETF	268461779	20.61		775.00		SOLE	NONE	NONE E M C CORP MASS				COM	268648102	20.31		850.00		SOLE	NONE	NONE ETFS PLATINUM TR		SH BEN INT	26922V101	7.71		50.00		SOLE	NONE	NONE ETFS PALLADIUM TR		SH BEN INT	26923A106	22.34		295.00		SOLE	NONE	NONE EATON VANCE SR FLTNG RTE TR		COM	27828Q105	171.08		10,275.00	SOLE	NONE	NONE EATON VANCE TAX MNGD GBL DV		COM	27829F108	30.93		3,319.00	SOLE	NONE	NONE EBAY INC				COM	278642103	12.85		237.00		SOLE	NONE	NONE EDISON INTL				COM	281020107	11.63		231.17		SOLE	NONE	NONE EMERSON ELEC CO				COM	291011104	242.98		4,349.03	SOLE	NONE	NONE ENCANA CORP				COM	292505104	740.45		38,050.00	SOLE	NONE	NONE ENBRIDGE ENERGY PARTNERS L P		COM	29250R106	3,521.06	116,823.60	SOLE	NONE	NONE ENERGY TRANSFER PRTNRS L P	UNIT LTD PARTN	29273R109	20.53		405.00		SOLE	NONE	NONE ENTERGY CORP NEW			COM	29364G103	5.70		90.13		SOLE	NONE	NONE ENTERPRISE PRODS PARTNERS L		COM	293792107	4,930.21	81,775.00	SOLE	NONE	NONE EXELON CORP				COM	30161N101	9.38		271.91		SOLE	NONE	NONE EXXON MOBIL CORP			COM	30231G102	1,073.66	11,915.01	SOLE	NONE	NONE FACEBOOK INC				CL A	30303M102	101.30		3,960.00	SOLE	NONE	NONE FEDEX CORP				COM	31428X106	29.77		303.16		SOLE	NONE	NONE FINISH LINE INC				CL A	317923100	5.88		300.00		SOLE	NONE	NONE FIRST NIAGARA FINL GP INC		COM	33582V108	4.86		548.00		SOLE	NONE	NONE FIRST SOLAR INC				COM	336433107	11.59		430.00		SOLE	NONE	NONE FORD MTR CO DEL			COM PAR $0.01	345370860	93.81		7,134.20	SOLE	NONE	NONE FREEPORT-MCMORAN COPPER & GO		COM	35671D857	8.28		250.00		SOLE	NONE	NONE FRESH MKT INC				COM	35804H106	4.28		100.00		SOLE	NONE	NONE FRONTIER COMMUNICATIONS CORP		COM	35906A108	82.56		20,691.00	SOLE	NONE	NONE FUSION-IO INC				COM	36112J107	3.27		200.00		SOLE	NONE	NONE GANNETT INC				COM	364730101	38.80		1,774.00	SOLE	NONE	NONE GAP INC DEL				COM	364760108	13.31		376.00		SOLE	NONE	NONE GENERAL ELECTRIC CO			COM	369604103	9,788.10	423,360.89	SOLE	NONE	NONE GENERAL MLS INC				COM	370334104	199.79		4,051.66	SOLE	NONE	NONE GENERAL MTRS CO		 *W EXP 07/10/201	37045V118	1.28		69.00		SOLE	NONE	NONE GENERAL MTRS CO		 *W EXP 07/10/201	37045V126	0.81		69.00		SOLE	NONE	NONE GENUINE PARTS CO			COM	372460105	5.85		75.00		SOLE	NONE	NONE GENWORTH FINL INC		 COM CL A	37247D106	4.00		400.00		SOLE	NONE	NONE GLAXOSMITHKLINE PLC		SPONSORED ADR	37733W105	2.35		50.00		SOLE	NONE	NONE GOLDMAN SACHS GROUP INC			COM	38141G104	7.36		50.00		SOLE	NONE	NONE GOOGLE INC				CL A	38259P508	13.50		17.00		SOLE	NONE	NONE HSBC HLDGS PLC			SPON ADR NEW	404280406	91.48		1,715.00	SOLE	NONE	NONE HALLIBURTON CO				COM	406216101	28.29		700.00		SOLE	NONE	NONE HARLEY DAVIDSON INC			COM	412822108	14.66		275.00		SOLE	NONE	NONE HASBRO INC				COM	418056107	5.49		125.00		SOLE	NONE	NONE HEALTH CARE REIT INC			COM	42217K106	16.42		241.82		SOLE	NONE	NONE HEINZ H J CO				COM	423074103	527.16		7,294.33	SOLE	NONE	NONE HERSHEY CO				COM	427866108	596.90		6,819.43	SOLE	NONE	NONE HEWLETT PACKARD CO			COM	428236103	13.49		566.00		SOLE	NONE	NONE HOLLYFRONTIER CORP			COM	436106108	10.29		200.00		SOLE	NONE	NONE HONEYWELL INTL INC			COM	438516106	27.23		361.42		SOLE	NONE	NONE HUDSON CITY BANCORP			COM	443683107	902.93		104,505.97	SOLE	NONE	NONE HUGOTON RTY TR TEX		UNIT BEN INT	444717102	0.44		47.00		SOLE	NONE	NONE ILLINOIS TOOL WKS INC			COM	452308109	23.17		380.27		SOLE	NONE	NONE INDIA FD INC				COM	454089103	18.59		875.00		SOLE	NONE	NONE INERGY L P			UNIT LTD PTNR	456615103	22.43		1,098.00	SOLE	NONE	NONE INTEL CORP				COM	458140100	1,281.18	58,675.54	SOLE	NONE	NONE INTERNATIONAL BUSINESS MACHS		COM	459200101	28.80		135.00		SOLE	NONE	NONE INTL PAPER CO				COM	460146103	7,094.37	152,305.10	SOLE	NONE	NONE ISHARES INC			MSCI AUSTRALIA	464286103	202.67		7,495.08	SOLE	NONE	NONE ISHARES INC		MSCI BRAZIL CAPP	464286400	378.15		6,941.00	SOLE	NONE	NONE ISHARES INC			MSCI CDA INDEX	464286509	113.33		3,975.00	SOLE	NONE	NONE ISHARES INC			MSCI EMU INDEX	464286608	3.27		100.00		SOLE	NONE	NONE ISHARES TR			DJ SEL DIV INX	464287168	3,007.19	47,432.09	SOLE	NONE	NONE ISHARES TR			BARCLYS TIPS BD	464287176	21.83		180.00		SOLE	NONE	NONE ISHARES TR		 FTSE CHINA25 IDX	464287184	55.36		1,499.00	SOLE	NONE	NONE ISHARES TR			CORE S&P500 ETF	464287200	17.94		114.00		SOLE	NONE	NONE ISHARES TR		CORE TOTUSBD ETF	464287226	5.54		50.00		SOLE	NONE	NONE ISHARES TR			IBOXX INV CPBD	464287242	404.78		3,376.00	SOLE	NONE	NONE ISHARES TR			S&P500 GRW	464287309	16.48		200.00		SOLE	NONE	NONE ISHARES TR			S&P GBL FIN	464287333	602.61		12,425.00	SOLE	NONE	NONE ISHARES TR		CORE S&P MCP ETF	464287507	11.51		100.00		SOLE	NONE	NONE ISHARES TR			NASDQ BIO INDX	464287556	2,047.85	12,804.64	SOLE	NONE	NONE ISHARES TR			DJ US REAL EST	464287739	990.60		14,257.38	SOLE	NONE	NONE ISHARES TR			DJ US HEALTHCR	464287762	647.27		6,713.04	SOLE	NONE	NONE ISHARES TR			DJ US BAS MATL	464287838	10.54		150.00		SOLE	NONE	NONE ISHARES TR			S&P GTFIDX ETF	464288174	898.08		17,994.00	SOLE	NONE	NONE ISHARES TR			MSCI SMALL CAP	464288273	19.78		450.00		SOLE	NONE	NONE ISHARES TR			HIGH YLD CORP	464288513	90.58		960.00		SOLE	NONE	NONE ISHARES TR		MRTG PLS CAP IDX	464288539	7.04		450.00		SOLE	NONE	NONE ISHARES TR			US PFD STK IDX	464288687	124.56		3,074.00	SOLE	NONE	NONE ISHARES TR			DJ OIL EQUIP	464288844	583.76		10,173.66	SOLE	NONE	NONE ISHARES TR			DJ OIL&GAS EXP	464288851	12.83		175.00		SOLE	NONE	NONE JPMORGAN CHASE & CO			COM	46625H100	1,664.90	35,080.05	SOLE	NONE	NONE JOHNSON & JOHNSON			COM	478160104	9,263.13	113,616.20	SOLE	NONE	NONE JOHNSON CTLS INC			COM	478366107	5,212.60	148,634.14	SOLE	NONE	NONE JOY GLOBAL INC				COM	481165108	14.88		250.00		SOLE	NONE	NONE KBR INC					COM	48242W106	6.42		200.00		SOLE	NONE	NONE KELLOGG CO				COM	487836108	6.44		100.00		SOLE	NONE	NONE KEYCORP NEW				COM	493267108	2,988.97	300,097.64	SOLE	NONE	NONE KINDER MORGAN ENERGY PARTNER	UT LTD PARTNER	494550106	40.21		447.97		SOLE	NONE	NONE KINDER MORGAN INC DEL			COM	49456B101	4.84		125.00		SOLE	NONE	NONE KRAFT FOODS GROUP INC			COM	50076Q106	26.49		514.00		SOLE	NONE	NONE LSI CORPORATION				COM	502161102	0.41		61.00		SOLE	NONE	NONE LEGGETT & PLATT INC			COM	524660107	67.56		2,000.00	SOLE	NONE	NONE LEGG MASON INC				COM	524901105	14.82		461.06		SOLE	NONE	NONE LIBERTY GLOBAL INC		COM SER C	530555309	0.14		2.00		SOLE	NONE	NONE LIBERTY INTERACTIVE CORP	INT COM SER A	53071M104	0.26		12.00		SOLE	NONE	NONE LILLY ELI & CO				COM	532457108	15.77		277.62		SOLE	NONE	NONE LINN ENERGY LLC			UNIT LTD LIAB	536020100	8.43		222.00		SOLE	NONE	NONE MADISON SQUARE GARDEN CO		CL A	55826P100	2.25		39.00		SOLE	NONE	NONE MANNKIND CORP				COM	56400P201	4.32		1,275.00	SOLE	NONE	NONE MANULIFE FINL CORP			COM	56501R106	3.59		244.00		SOLE	NONE	NONE MARATHON OIL CORP			COM	565849106	6.74		200.00		SOLE	NONE	NONE MARATHON PETE CORP			COM	56585A102	8.96		100.00		SOLE	NONE	NONE MARKET VECTORS ETF TR		GOLD MINER ETF	57060U100	198.71		5,250.00	SOLE	NONE	NONE MARKET VECTORS ETF TR		AGRIBUS ETF	57060U605	1,355.81	25,038.00	SOLE	NONE	NONE MARKET VECTORS ETF TR		VIETNAM ETF	57060U761	2.04		100.00		SOLE	NONE	NONE MARKET VECTORS ETF TR		COAL ETF	57060U837	396.92		17,325.00	SOLE	NONE	NONE MARSH & MCLENNAN COS INC		COM	571748102	34.86		918.00		SOLE	NONE	NONE MARTHA STEWART LIVING OMNIME		CL A	573083102	2.67		1,013.00	SOLE	NONE	NONE MCDONALDS CORP				COM	580135101	63.92		641.19		SOLE	NONE	NONE MEDIFAST INC				COM	58470H101	2.29		100.00		SOLE	NONE	NONE MEDTRONIC INC				COM	585055106	29.24		622.60		SOLE	NONE	NONE METLIFE INC				COM	59156R108	13.27		349.00		SOLE	NONE	NONE MICROSOFT CORP				COM	594918104	1,620.71	56,658.20	SOLE	NONE	NONE MICROCHIP TECHNOLOGY INC		COM	595017104	492.72		13,400.00	SOLE	NONE	NONE MOLSON COORS BREWING CO			CL B	60871R209	12.23		250.00		SOLE	NONE	NONE MOLYCORP INC DEL			COM	608753109	1.30		250.00		SOLE	NONE	NONE MONDELEZ INTL INC			CL A	609207105	47.44		1,549.55	SOLE	NONE	NONE MONSANTO CO NEW				COM	61166W101	1.27		12.00		SOLE	NONE	NONE MOTOROLA SOLUTIONS INC			COM NEW	620076307	5.24		81.90		SOLE	NONE	NONE NCR CORP NEW				COM	62886E108	3.31		120.00		SOLE	NONE	NONE NRG ENERGY INC	COM 			NEW	629377508	0.03		1.00		SOLE	NONE	NONE NTS RLTY HLDGS LTD PARTNERSH	PARTSHIP UNITS	629422106	3.58		489.00		SOLE	NONE	NONE NYSE EURONEXT				COM	629491101	4.99		129.21		SOLE	NONE	NONE NATIONAL GRID PLC		SPON ADR NEW	636274300	5.80		100.00		SOLE	NONE	NONE NETAPP INC				COM	64110D104	3.42		100.00		SOLE	NONE	NONE NEWELL RUBBERMAID INC			COM	651229106	5.22		200.00		SOLE	NONE	NONE NEWMONT MINING CORP			COM	651639106	5,222.64	124,675.00	SOLE	NONE	NONE NEXTERA ENERGY INC			COM	65339F101	3,021.49	38,896.58	SOLE	NONE	NONE NIKE INC				CL B	654106103	23.60		400.00		SOLE	NONE	NONE NISOURCE INC				COM	65473P105	76.28		2,600.00	SOLE	NONE	NONE NOKIA CORP			SPONSORED ADR	654902204	2.36		719.00		SOLE	NONE	NONE NORFOLK SOUTHERN CORP			COM	655844108	464.57		6,027.17	SOLE	NONE	NONE NOVARTIS A G			SPONSORED ADR	66987V109	16.03		225.00		SOLE	NONE	NONE NUCOR CORP				COM	670346105	14.77		320.00		SOLE	NONE	NONE NUVEEN BUILD AMER BD OPPTNY		COM	67074Q102	11.06		500.00		SOLE	NONE	NONE ONCOLYTICS BIOTECH INC			COM	682310107	1.08		350.00		SOLE	NONE	NONE ORACLE CORP				COM	68389X105	24.25		750.00		SOLE	NONE	NONE ORION ENERGY SYSTEMS INC		COM	686275108	0.99		400.00		SOLE	NONE	NONE PNC FINL SVCS GROUP INC			COM	693475105	2,563.34	38,546.46	SOLE	NONE	NONE PACKAGING CORP AMER			COM	695156109	29.17		650.00		SOLE	NONE	NONE PALATIN TECHNOLOGIES INC	COM PAR $ .01	696077403	0.02		30.00		SOLE	NONE	NONE PEABODY ENERGY CORP			COM	704549104	528.74		24,999.33	SOLE	NONE	NONE PEMBINA PIPELINE CORP			COM	706327103	12.07		382.00		SOLE	NONE	NONE PENGROWTH ENERGY CORP			COM	70706P104	2,983.64	585,027.00	SOLE	NONE	NONE PENN WEST PETE LTD NEW			COM	707887105	528.70		49,136.00	SOLE	NONE	NONE PEPSICO INC				COM	713448108	7,570.30	95,693.32	SOLE	NONE	NONE PETROLEO BRASILEIRO SA PETRO	SPONSORED ADR	71654V408	14.08		850.00		SOLE	NONE	NONE PFIZER INC				COM	717081103	95.04		3,293.25	SOLE	NONE	NONE PHILIP MORRIS INTL INC			COM	718172109	75.19		811.00		SOLE	NONE	NONE PIONEER NAT RES CO			COM	723787107	18.64		150.00		SOLE	NONE	NONE PLUM CREEK TIMBER CO INC		COM	729251108	24.50		469.32		SOLE	NONE	NONE POTASH CORP SASK INC			COM	73755L107	1,351.18	34,425.00	SOLE	NONE	NONE POWERSHARES QQQ TRUST		UNIT SER 1	73935A104	2,199.32	31,888.04	SOLE	NONE	NONE POWERSHARES ETF TRUST		WNDRHLL CLN EN	73935X500	3.26		750.00		SOLE	NONE	NONE POWERSHARES ETF TRUST		WATER RESOURCE	73935X575	1,128.72	49,117.59	SOLE	NONE	NONE PROCTER & GAMBLE CO			COM	742718109	8,113.50	105,288.08	SOLE	NONE	NONE PROSHARES TR		PSHS SHRT S&P500	74347R503	6.14		200.00		SOLE	NONE	NONE PROSHARES TR			ULTRAPRO SH NEW	74348A665	29.79		900.00		SOLE	NONE	NONE PROVIDENT FINL SVCS INC			COM	74386T105	7.64		500.00		SOLE	NONE	NONE PROVIDENT NEW YORK BANCORP		COM	744028101	54.41		5,998.59	SOLE	NONE	NONE PRUDENTIAL FINL INC			COM	744320102	29.65		502.56		SOLE	NONE	NONE QUALCOMM INC				COM	747525103	73.86		1,103.35	SOLE	NONE	NONE RADIOSHACK CORP				COM	750438103	0.50		150.00		SOLE	NONE	NONE RAYTHEON CO				COM NEW	755111507	17.64		300.00		SOLE	NONE	NONE REAVES UTIL INCOME FD		COM SH BEN INT	756158101	27.12		1,024.00	SOLE	NONE	NONE RED HAT INC				COM	756577102	5.06		100.00		SOLE	NONE	NONE REGENERON PHARMACEUTICALS		COM	75886F107	77.62		440.00		SOLE	NONE	NONE RESEARCH IN MOTION LTD			COM	760975102	2.53		175.00		SOLE	NONE	NONE RITE AID CORP				COM	767754104	0.38		200.00		SOLE	NONE	NONE ROYAL BK SCOTLAND GROUP PLC	SP ADR PREF M	780097796	200.88		9,000.00	SOLE	NONE	NONE ROYAL DUTCH SHELL PLC		SPONS ADR A	780259206	6,431.49	98,703.00	SOLE	NONE	NONE RUTHS HOSPITALITY GROUP INC		COM	783332109	9.54		1,000.00	SOLE	NONE	NONE SAIC INC				COM	78390X101	20.89		1,541.92	SOLE	NONE	NONE SPDR S&P 500 ETF TR			TR UNIT	78462F103	130.04		830.02		SOLE	NONE	NONE SPDR GOLD TRUST			 GOLD SHS	78463V107	21.63		140.00		SOLE	NONE	NONE SPDR SERIES TRUST		S&P REGL BKG	78464A698	662.03		20,825.00	SOLE	NONE	NONE SPDR SERIES TRUST		S&P BK ETF	78464A797	18.18		675.00		SOLE	NONE	NONE SPDR DOW JONES INDL AVRG ETF	 UT SER 1	78467X109	3,920.51	26,978.44	SOLE	NONE	NONE ST JOE CO				COM	790148100	12.30		579.00		SOLE	NONE	NONE SAN JUAN BASIN RTY TR		UNIT BEN INT	798241105	2.94		194.00		SOLE	NONE	NONE SANOFI			RIGHT 12/31/2020	80105N113	0.36		201.00		SOLE	NONE	NONE SASOL LTD			SPONSORED ADR	803866300	39.91		900.00		SOLE	NONE	NONE SCANA CORP NEW				COM	80589M102	5.47		106.92		SOLE	NONE	NONE SCHEIN HENRY INC			COM	806407102	565.48		6,110.00	SOLE	NONE	NONE SCHLUMBERGER LTD			COM	806857108	7,528.52	100,527.65	SOLE	NONE	NONE SELECT SECTOR SPDR TR		SBI INT-FINL	81369Y605	2.28		125.00		SOLE	NONE	NONE SILVER WHEATON CORP			COM	828336107	6,192.41	197,525.00	SOLE	NONE	NONE SIRIUS XM RADIO INC			COM	82967N108	32.28		10,479.00	SOLE	NONE	NONE SMUCKER J M CO				COM NEW	832696405	188.68		1,902.74	SOLE	NONE	NONE SOUTHERN CO				COM	842587107	70.86		1,510.29	SOLE	NONE	NONE SPECTRA ENERGY CORP			COM	847560109	6,879.45	223,721.83	SOLE	NONE	NONE SPRINT NEXTEL CORP		COM SER 1	852061100	2.92		470.00		SOLE	NONE	NONE STAPLES INC				COM	855030102	0.12		9.00		SOLE	NONE	NONE STARBUCKS CORP				COM	855244109	11.39		200.00		SOLE	NONE	NONE STARRETT L S CO				CL A	855668109	3.09		280.00		SOLE	NONE	NONE SUBURBAN PROPANE PARTNERS L	UNIT LTD PARTN	864482104	16.47		370.00		SOLE	NONE	NONE SUN BANCORP INC				COM	86663B102	0.61		179.00		SOLE	NONE	NONE SUN LIFE FINL INC			COM	866796105	11.49		421.00		SOLE	NONE	NONE SUNCOR ENERGY INC NEW			COM	867224107	6.00		200.00		SOLE	NONE	NONE SUNCOKE ENERGY INC			COM	86722A103	4.16		255.00		SOLE	NONE	NONE SYSCO CORP				COM	871829107	9.43		268.18		SOLE	NONE	NONE TECO ENERGY INC				COM	872375100	7.13		400.00		SOLE	NONE	NONE TJX COS INC NEW				COM	872540109	9.35		200.00		SOLE	NONE	NONE TELEFONICA S A			SPONSORED ADR	879382208	1,120.99	82,975.00	SOLE	NONE	NONE TERADATA CORP DEL			COM	88076W103	7.02		120.00		SOLE	NONE	NONE TEXAS INSTRS INC			COM	882508104	94.49		2,663.07	SOLE	NONE	NONE TEXTRON INC				COM	883203101	43.05		1,444.25	SOLE	NONE	NONE THERMO FISHER SCIENTIFIC INC		COM	883556102	7.65		100.00		SOLE	NONE	NONE 3-D SYS CORP DEL			COM NEW	88554D205	3.39		105.00		SOLE	NONE	NONE TIME WARNER INC				COM NEW	887317303	23.45		407.00		SOLE	NONE	NONE TIME WARNER CABLE INC			COM	88732J207	10.37		108.00		SOLE	NONE	NONE TITAN INTL INC ILL			COM	88830M102	5.58		264.87		SOLE	NONE	NONE TORTOISE ENERGY CAP CORP		COM	89147U100	44.85		1,375.00	SOLE	NONE	NONE TOTAL S A			SPONSORED ADR	89151E109	11.66		243.00		SOLE	NONE	NONE TRANSCANADA CORP			COM	89353D107	947.17		19,778.00	SOLE	NONE	NONE UNITED PARCEL SERVICE INC		CL B	911312106	1,241.18	14,449.08	SOLE	NONE	NONE UNITED TECHNOLOGIES CORP		COM	913017109	1,006.83	10,776.29	SOLE	NONE	NONE UNITEDHEALTH GROUP INC			COM	91324P102	14.53		254.00		SOLE	NONE	NONE UNITIL CORP				COM	913259107	14.07		500.00		SOLE	NONE	NONE UNWIRED PLANET INC NEW			COM	91531F103	0.07		33.00		SOLE	NONE	NONE VALERO ENERGY CORP NEW			COM	91913Y100	30.25		665.00		SOLE	NONE	NONE VEECO INSTRS INC DEL			COM	922417100	2.11		55.00		SOLE	NONE	NONE VANGUARD INDEX FDS		MID CAP ETF	922908629	17.46		188.00		SOLE	NONE	NONE VANGUARD INDEX FDS		SMALL CP ETF	922908751	17.68		194.00		SOLE	NONE	NONE VEOLIA ENVIRONNEMENT		SPONSORED ADR	92334N103	308.61		24,300.00	SOLE	NONE	NONE VERENIUM CORP				COM NEW	92340P209	0.26		102.00		SOLE	NONE	NONE VERIZON COMMUNICATIONS INC		COM	92343V104	25,633.09	521,527.71	SOLE	NONE	NONE VERTEX PHARMACEUTICALS INC		COM	92532F100	5.50		100.00		SOLE	NONE	NONE VIACOM INC NEW				CL B	92553P201	15.37		250.00		SOLE	NONE	NONE VODAFONE GROUP PLC NEW		SPONS ADR NEW	92857W209	40.46		1,424.55	SOLE	NONE	NONE WALGREEN CO				COM	931422109	21.57		452.44		SOLE	NONE	NONE WASTE MGMT INC DEL			COM	94106L109	1,591.35	40,585.26	SOLE	NONE	NONE WEBMD HEALTH CORP			COM	94770V102	9.70		399.00		SOLE	NONE	NONE WELLPOINT INC				COM	94973V107	13.76		207.80		SOLE	NONE	NONE WELLS FARGO & CO NEW			COM	949746101	368.79		9,970.10	SOLE	NONE	NONE WESTERN UN CO				COM	959802109	2.42		160.83		SOLE	NONE	NONE WEYERHAEUSER CO				COM	962166104	6,907.21	220,115.14	SOLE	NONE	NONE WHIRLPOOL CORP				COM	963320106	2.37		20.00		SOLE	NONE	NONE WHOLE FOODS MKT INC			COM	966837106	50.67		584.13		SOLE	NONE	NONE WINDSTREAM CORP				COM	97381W104	27.35		3,449.00	SOLE	NONE	NONE WISCONSIN ENERGY CORP			COM	976657106	80.80		1,884.00	SOLE	NONE	NONE XEROX CORP				COM	984121103	4.51		524.00		SOLE	NONE	NONE YAHOO INC				COM	984332106	4.71		200.00		SOLE	NONE	NONE YELP INC				CL A	985817105	2.37		100.00		SOLE	NONE	NONE ZOLTEK COS INC				COM	98975W104	3.59		300.00		SOLE	NONE	NONE ZYNGA INC				CL A	98986T108	2.52		750.00		SOLE	NONE	NONE BUNGE LIMITED				COM	G16962105	47.99		650.00		SOLE	NONE	NONE CONSOLIDATED WATER CO INC		ORD	G23773107	16.29		1,645.00	SOLE	NONE	NONE NABORS INDUSTRIES LTD			SHS	G6359F103	3.24		200.00		SOLE	NONE	NONE NORDIC AMERICAN TANKERS LIMI		COM	G65773106	6.93		600.00		SOLE	NONE	NONE TEXTAINER GROUP HOLDINGS LTD		SHS	G8766E109	11.87		300.00		SOLE	NONE	NONE ADECOAGRO S A				COM	L00849106	3.08		400.00		SOLE	NONE	NONE COMPUGEN LTD				ORD	M25722105	2.54		500.00		SOLE	NONE	NONE EZCHIP SEMICONDUCTOR LIMITED		ORD	M4146Y108	4.83		200.00		SOLE	NONE	NONE NXP SEMICONDUCTORS N V			COM	N6596X109	6.06		200.00		SOLE	NONE	NONE ROYAL CARIBBEAN CRUISES LTD		COM	V7780T103	3.32		100.00		SOLE	NONE	NONE /TEXT /DOCUMENT /SUBMISSION