13F-HR <SEQUENCE>1 <FILENAME>ais13f033113.txt UNITED STATES SECURITIES AND EXCHANGE COMMISSION WASHINGTON D.C. 20549 FORM 13F FORM 13F COVER PAGE Report for the Calendar Year or Quarter Ended: March 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: Argi Investment Services, LLC Address: 1914 Stanley Gault Parkway Louisville, KY 40223 13F File Number: 028-14480 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, lists, and tables, are considered integral parts of this submission. Person Signing this Report on Behalf of Reporting Manager: Name:	Jan Peebles Title:	Director of Compliance Phone:	502-753-0609 Signature,	Place,		and Date of Signing: Jan Peebles 	Louisville, KY	May 15, 2013 Report Type (Check only one.): [X]13F HOLDINGS REPORT. [ ] 13F NOTICE. [ ] 13F COMBINATION REPORT. List of Other Mangers Reporting for this Manager: NONE FORM 13F SUMMARY PAGE Report Summary: Number of Other Included Managers:	0 Form 13F Information Table Entry Total:	128 Form 13F Information Table Value Total:	$485,822 List of Other Included Managers:	NONE No. 13F File Number FORM 13F INFORMATION TABLE 				 VALUE SHRS OR SH/ PUT/ INVEST OTHER VOTING AUTHORITY NAME OF ISSUER TITLE OF CLASS CUSIP (X$1000) PRN AMT PRN CALL DSCRETN MGRS SOLE SHARED NONE 		 Abbott Labs	COM	002824100	910 25761.15	 SH	 SOLE	 0	 0 25761.15 Abbvie Inc.	COM	00287Y109	571 14088.85	 SH	 SOLE	 0	 0 14088.85 Alliance Bernstein Inc.	00142J362	274 33487	 SH	 SOLE	 0 0 33487 Altria Group	COM	02209S103 494 14353.45 SH	 SOLE	 0 0 14353.45 ALPS Trust Aler. MLP	00162Q866	628 35450	 SH	 SOLE	 0	 0 35450 Am. Elect. Pwr	COM	025537101	120 2470.1586 SH	 SOLE	 0	 0 2470.1586 Apache Corp.	COM	037411105	313 4059.792 SH	 SOLE	 0 0 4059.792 Apple Inc	COM	037833100 994 2246 SH SOLE	 0	 0 2246 Applied Mater.	COM	038222105	452 33526.56 SH	 SOLE	 0 0 33526.56 Archer Daniels	COM	039483102	432 12816.672 SH	 SOLE	 0 0 12816.672 AT&T Inc.	COM	00206R102 417 11376.466 SH 	 SOLE 0 0 11376.466 Bunge Ltd.	COM	G16962105	437 5194.245	 SH	 SOLE	 0 0 5194.245 Caterpillar	COM	149123101	611 7022.74 SH SOLE 0 0 7022.74 CF Industries	COM	125269100	405 2128	 SH	 SOLE	 0	 0 2128 Chevron		COM	166764100 1061 8932.227	 SH	 SOLE	 0	 0 8932.227 Chubb Corp.	COM	171232101	448 5122	 SH	 SOLE	 0	 0 5122 Cincinnati Fin. COM	172062101	390 8267	 SH	 SOLE	 0 0 8267 Cisco Systems	COM	17275R102 343 16427.081	 SH	 SOLE	 0 0 16427.081 Coca Cola Co	COM	191216100 529 13069.77 SH SOLE	 0	 0 13069.77 Community Bk.IN	COM	203599105	190 11751	 SH	 SOLE	 0	 0 11751 Conoco Phillips	COM	20825C104	586 9763.336 SH	 SOLE	 0	 0 9763.336 Corning Inc.	COM	219350105	353 26491.756	 SH	 SOLE	 0	 0 26491.756 Disney Co.	COM	254687106	355 6258	 SH	 SOLE	 0	 0 6258 Du Pont		COM	263534109	369 7507.61	 SH	 SOLE	 0	 0 7507.61 Entergy Corp.	COM	29364G103	340 5382.176	 SH	 SOLE	 0	 0 5382.176 Exxon Mobil 	COM	30231F102 1649 18298.32 SH SOLE	 0 0 18298.32 Ford Motor	COM	345370860	794 60360.427	 SH	 SOLE	 0	 0 60360.427 Freeport McMor.	COM	35671D857	415 12548.827	 SH	 SOLE	 0	 0 12548.827 General Dyn	COM	369550108	413 5857.835 SH	 SOLE	 0 0 5857.835 GE		COM	369604103 11364 491511.22 SH SOLE	 0 0 491511.22 Greenhaven Commodity	395258106 12404 439537 SH SOLE 0 0 439537 Gugg. S&P 500 Equal	78355W106 1960 32856.762 SH SOLE 0 0 32856.762 Gugg. Russell MDCP	78355@577 23444 591120.619	 SH	 SOLE	 0	 0 591120.619 Halliburton	COM	406216101 494 12212.392	 SH	 SOLE	 0	 0 12212.392 Hess Corp.	COM	42809H107	441 6151.576	 SH	 SOLE	 0	 0 6151.576 Hewlett Packard	COM	428236103	383 16085.804	 SH	 SOLE	 0	 0 16085.804 Humana Inc.	COM	444859102	753 10890.43	 SH	 SOLE	 0	 0 10890.43 Intel Corp.	COM	458140100	537 24592.01	 SH	 SOLE	 0	 0 24592.01 IBM		COM	459200101 1328 6225 SH SOLE	 0 0 6225 iShares MSCI CDA IDX	464286509	348 12218.15	 SH	 SOLE	 0	 0 12218.15 iShares MSCI UK		464286699 10424 570539	 SH	 SOLE	 0	 0 570539 iShares MSCI Germany	464286806 9036 369277	 SH	 SOLE	 0	 0 369277 iShares Barclys 1-3Yr	464288646 4967 47062.64 SH SOLE	 0 0 47062.64 iShares S&P 500 Value	464287408	272 3681	 SH	 SOLE	 0	 0 3681 iShares Barcl 20+ TRY	464287432 565 4799.3 SH SOLE	 0 0 4799.3 iShares Barclys MBS 	464288588 38802 359476.659	 SH	 SOLE	 0	 0 359476.659 iShares Barc Sh Treas	464288679 816 7406 SH SOLE	 0 0 7406 iShares Barclys Tips1	464287176 44830 369675.448 SH SOLE	 0 0 369675.448 iShares IBOXX & INV	464287242 31564 263256.291 SH	 SOLE	 0	 0 263256.291 iShares S&P 500 Grwth	464287309	228 2764	 SH	 SOLE	 0	 0 2764 iShares Barclys 1-3Yr	464287457 634 7510 SH SOLE	 0 0 7510 iShares Core S&P 500	464287200 30002 190658.79 SH SOLE 0 0 190658.79 iShares S&P MDCP 400	464287507 4117 35777 SH SOLE	 0 0 35777 iShares S&P Smallcap	464287804 1559 17909.88 SH	 SOLE	 0	 0 17909.88 iShares Core US Bond	464287226 921 8319.323 SH SOLE	 0 0 8319.323 iShares S&P MDCP 400	464287606	205 1597	 SH	 SOLE	 0	 0 1597 iShares DJ US RealEst	464287739 499 7184 SH SOLE	 0 0 7184 iShares DJ US Energy	464287796	262 5815	 SH	 SOLE	 0	 0 5815 iShares MSCI EAFE IDX	464287465 903 15315 SH SOLE	 0 0 15315 iShares MSCI Emerg 	464287234 2744 64407.9 SH SOLE	 0 0 64407.9 iShares S&P MC 400 VL	464287705 326 3227 SH SOLE	 0 0 3227 ishares MSCI ALL CTRY	464288182	561 9500	 SH	 SOLE	 0	 0 9500 iShares S&P Asia 50 	464288430	462 9951.909	 SH	 SOLE	 0	 0 9951.909 iShares Nat'l MuniBD	464288414	516 4682	 SH	 SOLE	 0	 0 4682 iShares IBOXX HI YLD	464288513 1853 19644.89	 SH	 SOLE	 0	 0 19644.89 iShares S&P SMLCP 	464287887 1202 12801.78 SH SOLE	 0 0 12801.78 iShares MSCI Growth	464288885	780 12323	 SH	 SOLE	 0	 0 12323 iShares S&P SMLCP VL	464288879 16934 188299.005 SH SOLE	 0 0 188299.005 iShares US PFD Stock	464288687 678 16724.545 SH SOLE 0 0 16724.545 Johnson & John.	COM	478160104 396 4856.38 SH SOLE 0 0 4856.38 JP Morgan Chase COM	46625H100	646 13618	 SH	 SOLE	 0	 0 13618 Kraft Foods Grp COM	50076Q106	276 5354	 SH	 SOLE	 0	 0 5354 Lockheed Martin	COM	539830109	536 5544.194	 SH	 SOLE	 0	 0 5554.194 Marathon Petro.	COM	56585A102	406 4352	 SH	 SOLE 0 0 4532 MKTVEC Intermed. Muni	57060U845 341 14572	 SH SOLE	 0 0 14572 MKTVEC Short Muni Idx	57060U803 750 42105 SH SOLE	 0 0 42105 McDonalds Corp	COM	580135101	343 3441.84	 SH	 SOLE	 0	 0 3441.84 Microsoft Corp. COM	594918104 698 24417.8619 SH SOLE 0 0 24417.8619 Merck & Co.	COM	589331107	452 10211.83	 SH	 SOLE	 0	 0 10211.83 Mondelez Intl Class A	609207105	318 10401	 SH	 SOLE	 0	 0 10401 Nextera Energy	COM	65339F101	259 3337.69	 SH	 SOLE	 0	 0 3337.69 Northrop Grum.	COM	666807102	450 6411.015	 SH	 SOLE	 0	 0 6411.015 Occidental PetroCOM	674599105	380 4853	 SH	 SOLE	 0	 0 4853 Oracle Corp.	COM	68389X105	371 11476	 SH	 SOLE	 0 0 11476 Peabody Energy	COM	704549104	248 11733.148	 SH	 SOLE	 0	 0 11733.148 Pepsico Inc	COM	713448108 336 4252 	 SH SOLE	 0 0 4252 Pfizer Inc.	COM	717081103	408 14140.86	 SH	 SOLE	 0	 0 14140.86 Philip Morris	COM	718172109 947 10217.31	 SH	 SOLE	 0 0 10217.31 Phillips 66 	COM	718546104	583 8336.799	 SH	 SOLE	 0	 0 8336.799 Powershares DB Cmdty	73935S105 2271 83141 SH SOLE	 0 0 83141 Powershares Pref. 	73936T565	410 27551	 SH	 SOLE	 0	 0 27551 Powershares Emerg. 	73936T573 13162 441982.456 SH	 SOLE	 0 	 0 441982.456 Powershares US 1500	73935X567	365 4688.403 SH	 SOLE	 0	 0 4688.403 Powershares Muni Bd	73936T474 301 11866 SH SOLE	 0 0 11866 Proctor Gamble	COM	742718109 4202 54731.4008 SH SOLE	 0 0 54731.4008 Qualcomm Inc.	COM	747525103	437 6532	 SH	 SOLE	 0	 0 6532 Raytheon Co.	COM	755111507	397 6753	 SH	 SOLE	 0	 0 6753 Schwab US REIT ETF	808524847	236 7220	 SH	 SOLE	 0	 0 7220 SPDR High Yld		78464A417 15927 387413.632 SH SOLE	 0 0 387413.632 SPDR Global RE 	78463X749 24732 558026.673 SH SOLE 0 0 558026.673 SPDR Gold Trust		78463v107 358 2320	 SH	 SOLE	 0 0 2320 The Mosaic Co.	COM	61945C103	390 6550.127	 SH	 SOLE	 0	 0 6550.127 Thermo Fischer	COM	883556102	256 3350	 SH	 SOLE	 0	 0 3350 Travelers Companies	89417E109	305 3620	 SH	 SOLE	 0	 0 3620 UPS Class B	COM	911312106 875 10186 SH SOLE 0 0 10186 US Bancorp	COM	902973304	352 10364.26	 SH	 SOLE	 0	 0 10364.26 US Commodity Idx	92826C839	318 5576	 SH	 SOLE	 0	 0 5576 Vanguard Cons. Staples	92204A207 13966 138645.511 SH	 SOLE	 0	 0 138645.511 Vanguard Intl Equity	922042775 6902 148887.692 SH SOLE	 0 0 148887.692 Vanguard MSCI Emg Mkt	922042858 22962 535308.831 SH SOLE	 0 0 535308.831 Vanguard MSCI Pacific	922042866 18876 325280.92 SH SOLE	 0 0 325280.92 Vanguard MSCI SCAPGrwth	922908595 15034 150460.508 SH SOLE	 0 0 150460.508 Vanguard REIT ETF	922908553 2599 36846.598 SH SOLE	 0 0 36846.598 Vanguard Growth MSCI	922908736	220 2832	 SH	 SOLE	 0	 0 2832 Vanguard Short Bond	921937827 229 2830	 SH	 SOLE	 0 0 2830 Vanguard SCAP Value	922908611 1892 23027.952 SH SOLE	 0 0 23027.952 Vanguard Total BD Mkt	921937835 1384 16550	 SH SOLE	 0 0 16550 Vanguard Stk Mkt ETF	922908769 30671 378845.142 SH SOLE	 0 0 378845.142 Vanguard Utilities	92204A876 13979 164944.364 SH	 SOLE	 0 0 164944.364 Verizon Comm.	COm	92343V104	304 6175.04	 SH	 SOLE	 0	 0 6175.04 Visa Inc.	COM	92826C839	280 1650	 SH	 SOLE	 0	 0 1650 Wal-Mart Stores	COM	931142103 255 3409.1285	 SH	 SOLE	 0	 0 3409.1285 Western Asset Clym	931142103	236 17782.10	 SH	 SOLE	 0	 0 17782.10 Western Digital	COM	958102105	416 8263	 SH	 SOLE	 0	 0 8263 WisdomTree Div. Fund	97717W406 2305 37189.443 SH SOLE 0 0 37189.443 Widsdom Tree Emerg. 	97717W315	285 5168 SH SOLE 0 0 5168 xerox Corp. 	COM	984121103	395 45917.115	 SH	 SOLE	 0	 0 45917.115 YUM! Brands Inc	COM	988498101 2783 38690.931 SH SOLE	 0 0 38690.931