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Last update 5/18/2012 1:27 PM          
  APM Portfolio 951,241  
APM YTD Return 1.97% Today's Change -6,443  
  Today's % Change -0.68%  
NASDAQ YTD 5.23%   APM vs NASDAQ today -0.01%    
Ticker Name Price as of 05-18-12 Shares Value %Portfolio Average Cost
0017658669 PFD AMR Corp 11.00 1,400 15,400 1.6% 15.98
801 Golden Meditech Holdings Ltd 0.11 289,533 30,941 3.3% 0.28
904 China Green Holdings Ltd/Bermuda 0.23 22,500 5,157 0.5% 0.23
ALGT Allegiant Travel Co 62.10 250 15,525 1.6% 45.27
APWR A-Power Energy Generation Systems Ltd 0.28 6,600 1,848 0.2% 9.75
BDX Becton Dickinson and Co 74.18 500 37,091 3.9% 69.18
BIJ Bijou Brigitte AG 78.85 185 14,587 1.5% 102.75
BLK BlackRock Inc 171.72 228 39,152 4.1% 170.76
BRK/B Berkshire Hathaway Inc 78.97 670 52,910 5.6% 66.02
CERAMICB Internacional de Ceramica SAB de CV 1.43 19,800 28,304 3.0% 0.49
CERAMICD Internacional de Ceramica SAB de CV 1.38 19,400 26,855 2.8% 0.49
CFFN Capitol Federal Financial Inc 11.79 1,300 15,327 1.6% 9.27
CO China Cord Blood Corp 2.81 6,250 17,531 1.8% 5.20
DEO Diageo PLC 94.53 430 40,648 4.3% 83.90
EGOV NIC Inc 10.69 4,600 49,174 5.2% 9.94
ELRN Elron Electronic Industries Ltd 3.96 1,100 4,358 0.5% 9.05
GOOG Google Inc 615.95 60 36,957 3.9% 494.93
GSM Globe Specialty Metals Inc 11.83 2,000 23,660 2.5% 16.31
JOY Joy Global Inc 60.81 500 30,405 3.2% 55.87
KKR KKR & Co LP 11.29 2,000 22,580 2.4% 11.36
KSU Kansas City Southern 65.45 802 52,486 5.5% 33.33
MT ArcelorMittal 14.43 3,750 54,113 5.7% 13.35
PAYX Paychex Inc 29.53 1,213 35,812 3.8% 28.22
PNK Pinnacle Entertainment Inc 9.83 1,950 19,169 2.0% 10.84
PXP Plains Exploration & Production Co 35.95 400 14,380 1.5% 35.03
SAVE Spirit Airlines Inc 20.39 1,550 31,605 3.3% 13.34
TINY Harris & Harris Group Inc 3.31 2,700 8,937 0.9% 4.62
TPZ Tortoise Power and Energy Infrastructure Fund Inc 23.58 1,186 27,957 2.9% 22.52
TYY Tortoise Energy Capital Corp 24.87 700 17,409 1.8% 25.07
V Visa Inc 113.58 400 45,432 4.8% 88.34
VT Vanguard Total World Stock Index Fund ETF 43.40 670 29,078 3.1% 46.60
  Cash 106,453 11.2% 0.00
      APM Portfolio 951,241 100.0%  
  Golden Meditech Holdings Ltd 0.11 3,365,000 359,606 27.1%  
  Cash in DA Fund 14,516  
      Total APM 1,310,847    


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