0001054257-13-000004.txt : 20130814
0001054257-13-000004.hdr.sgml : 20130814
20130814111526
ACCESSION NUMBER: 0001054257-13-000004
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 2
CONFORMED PERIOD OF REPORT: 20130630
FILED AS OF DATE: 20130814
DATE AS OF CHANGE: 20130814
EFFECTIVENESS DATE: 20130814
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: ADIRONDACK TRUST CO
CENTRAL INDEX KEY: 0001054257
IRS NUMBER: 140458765
STATE OF INCORPORATION: NY
FISCAL YEAR END: 1231
FILING VALUES:
FORM TYPE: 13F-HR
SEC ACT: 1934 Act
SEC FILE NUMBER: 028-11929
FILM NUMBER: 131035865
BUSINESS ADDRESS:
STREET 1: 473 BROADWAY
CITY: SARATOGA SPRINGS
STATE: NY
ZIP: 12866
BUSINESS PHONE: 5185845844
MAIL ADDRESS:
STREET 1: 473 BROADWAY
CITY: SARATOGA SPRINGS
STATE: NY
ZIP: 12866
13F-HR
1
primary_doc.xml
13F-HR
LIVE
false
true
false
0001054257
XXXXXXXX
06-30-2013
06-30-2013
ADIRONDACK TRUST CO
473 BROADWAY
SARATOGA SPRINGS
NY
12866
13F HOLDINGS REPORT
028-11929
N
Christopher J Huskie
Operations Supervisor
518-584-5844
Christopher J Huskie
Saratoga Springs
NY
08-14-2013
0
398
1719619
false
INFORMATION TABLE
2
SGSE123A.xml
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MARVELL TECHNOLOGY GROUP LTDINFORMATION TECHNOLOGYG5876H1055460SHSOLE46000
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WEATHERFORD INTERNATIONAL LTD NEWENERGYH27013103473454SHSOLE345400
TRANSOCEAN LTDENERGYH8817H10014290SHSOLE29000
CHECK POINT SOFTWARE TECHONOLOGIES LTDINFORMATION TECHNOLOGYM2246510412250SHSOLE25000
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PAIN THERAPEUTICS, INC.HEALTHCARE69562K1000200SHSOLE20000
PEPCO HOLDINGS INC.ENERGY71329110219933SHSOLE93300
PEPSICO INCCONSUMER STAPLES713448108200324493SHSOLE24458035
PEPSICO INCCONSUMER STAPLES7134481083454220SHDFND186023600
PERKIN ELMER, INCINFORMATION TECHNOLOGY71404610911340SHSOLE34000
PETMED EXPRESS INC.HEALTHCARE7163821061100SHSOLE10000
PETSMART INC.CONSUMER DISCRETIONARY716768106460SHSOLE6000
PFIZER INCHEALTHCARE71708110335012486SHSOLE1248600
PFIZER INCHEALTHCARE7170811031696045SHDFND56004450
PHILIP MORRIS INTERNATIONAL W/ICONSUMER DISCRETIONARY71817210941470SHSOLE47000
PHILLIPS 66ENERGY7185461045669608SHSOLE960800
PHILLIPS 66ENERGY718546104821387SHDFND12351520
PIEDMONT NATURAL GAS COMPANYENERGY7201861058250SHSOLE25000
PIMCO CORPORATE INCOME FUNDMUTUAL FUND72200U1009500SHSOLE50000
PLAINS ALL AMERICAN PIPELINEENERGY726503105751350SHSOLE135000
POTASH CORPORATION OF SASKATCHEWAN INCMATERIALS73755L1072065410SHSOLE541000
POWERSHARES QQQEXCHANGE TRADED FUNDS73935A104225SHSOLE2500
ETF POWERSHARES CLEANTECH PORTFOLIOEXCHANGE TRADED FUNDS73935X2783100SHSOLE10000
ETF POWERSHARES GLOBAL CLEAN ENERGYEXCHANGE TRADED FUNDS73936T6152200SHSOLE20000
PRAXAIRMATERIALS74005P1042412091SHSOLE209100
PRAXAIRMATERIALS74005P1041991725SHDFND8259000
PRECISION CASTPARTS CORP.INDUSTRIALS740189105940SHSOLE4000
PROCTER & GAMBLE COCONSUMER STAPLES742718109270935191SHSOLE350810110
PROCTER & GAMBLE COCONSUMER STAPLES7427181096378280SHDFND303552450
PRUDENTIAL FINANCIAL INCFINANCIALS7443201029125SHSOLE12500
QUALCOMM INCINFORMATION TECHNOLOGY747525103122520057SHSOLE20027030
QUALCOMM INCINFORMATION TECHNOLOGY74752510358950SHDFND6652850
REGENCY ENERGY PARTNERS LPENERGY75885Y107582150SHSOLE215000
ROSS STORES INCCONSUMER DISCRETIONARY77829610332500SHSOLE50000
ROYAL DUTCH SHELL PLC ADRFOREIGN EQUITIES7802592067110SHSOLE11000
RYDER SYSTEMS INCINDUSTRIALS78354910818300SHSOLE30000
SPDR S & P 500 ETF TRUSTEXCHANGE TRADED FUNDS78462F103973660694SHSOLE6069400
SPDR S & P 500 ETF TRUSTEXCHANGE TRADED FUNDS78462F103152945SHDFND2407050
SPDR GOLD TRUSTEXCHANGE TRADED FUNDS78463V1078877447SHSOLE744700
SPDR GOLD TRUSTEXCHANGE TRADED FUNDS78463V107975SHDFND7500
S & P MIDCAP 400 DEPOSITORY RECEIPTS ETFEXCHANGE TRADED FUNDS78467Y107628129896SHSOLE29839057
S & P MIDCAP 400 DEPOSITORY RECEIPTS ETFEXCHANGE TRADED FUNDS78467Y107103490SHDFND3301600
SALESFORCE.COM, INC.INFORMATION TECHNOLOGY79466L302260SHSOLE6000
SANOFI-AVENTISHEALTHCARE80105N113035SHSOLE3500
SCHLUMBERGER LTDENERGY8068571084095710SHSOLE571000
HEALTH CARE SELECT SECTOR SPDR FUNDEXCHANGE TRADED FUNDS81369Y209741555SHSOLE155500
CONSUMER STAPLES SELECT SECTOR SPDR FUNDEXCHANGE TRADED FUNDS81369Y3084100SHSOLE10000
ENERGY SELECT SECTOR SPDR FUNDEXCHANGE TRADED FUNDS81369Y5061982526SHSOLE252600
FINANCIAL SELECT SECTOR SPDR FUNDEXCHANGE TRADED FUNDS81369Y6051165965SHSOLE596500
TECHNOLOGY SELECT SECT SPDREXCHANGE TRADED FUNDS81369Y803461500SHSOLE150000
AMEX UTILITIES SELECT INDEX SHS BEN INTEXCHANGE TRADED FUNDS81369Y88631815SHSOLE81500
SIMON PROPERTY GROUPFINANCIALS8288061091801137SHSOLE113700
SOUTHERN COUTILITIES84258710745310262SHSOLE1026200
SOUTHERN COUTILITIES8425871072144845SHDFND300018450
SOUTHERN COPPER CORPORATIONMATERIALS84265V105592122SHSOLE212200
SOUTHWEST GAS CORPENERGY8448951027150SHSOLE15000
SPECTRA ENERGY CORPORATIONENERGY84756010912340SHSOLE34000
STAPLES INCORPORATEDCONSUMER DISCRETIONARY855030102644050SHSOLE405000
STAPLES INCORPORATEDCONSUMER DISCRETIONARY855030102322000SHDFND200000
STARBUCKS CORPORATIONCONSUMER DISCRETIONARY855244109861310SHSOLE131000
STATE STREET CORP. COMFINANCIALS8574771038130SHSOLE13000
STMICROELECTRONICS NV SHS-NY REGISTRYINFORMATION TECHNOLOGY861012102111200SHDFND012000
STRYKER CORPHEALTHCARE8636671015448412SHSOLE8380032
STRYKER CORPHEALTHCARE86366710125380SHDFND03800
SUNESIS PHARMACEUTICALS, INCHEALTHCARE86732860151000SHSOLE100000
SYSCO CORPORATIONCONSUMER STAPLES87182910710290SHSOLE29000
TJX COS INC NEWCONSUMER DISCRETIONARY87254010921425SHSOLE42500
TARGET CORPCONSUMER DISCRETIONARY87612E1065147465SHSOLE7423042
TARGET CORPCONSUMER DISCRETIONARY87612E1061532225SHDFND99512300
TERADATA CORPORATIONINFORMATION TECHNOLOGY88076W1039172SHSOLE17200
TERRA INVENTIONS CORPINDUSTRIALS88103B10604SHSOLE400
TEVA PHARMACEUTICAL INDUSTRIES LTD. ADSHEALTHCARE88162420926668SHSOLE643025
TEXAS INSTRUMENTSINFORMATION TECHNOLOGY88250810415435SHSOLE43500
3M CO COMINDUSTRIALS88579Y1012332133SHSOLE213300
3M CO COMINDUSTRIALS88579Y1011461339SHDFND10003390
TIFFANY & COCONSUMER DISCRETIONARY886547108336SHSOLE3600
TORONTO-DOMINION BANK NEWFOREIGN EQUITIES89116050929363SHSOLE36300
TRANSCANADA CORPFOREIGN EQUITIES89353D1074100SHSOLE10000
TRAVELERS COS INCFINANCIALS89417E1092352938SHSOLE293800
TRUSTCO BK CORP N Y COMFINANCIALS898349105142570SHSOLE257000
TRUSTCO BK CORP N Y COMFINANCIALS898349105112000SHDFND020000
US BANCORP DEL COM NEWFINANCIALS9029733041443980SHSOLE398000
UNDER ARMOUR INCCONSUMER DISCRETIONARY90431110718300SHSOLE30000
UNILEVER PLCFOREIGN EQUITIES9047677045117SHSOLE11700
UNION PACIFIC CORPINDUSTRIALS907818108960SHSOLE6000
UNITED PARCEL SERVICEINDUSTRIALS91131210610110SHSOLE11000
UNITED TECHNOLOGIES CORPINDUSTRIALS913017109233725145SHSOLE25113032
UNITED TECHNOLOGIES CORPINDUSTRIALS9130171093153385SHDFND219511900
UNITED HEALTHCARE GROUP INCHEALTHCARE91324P10224360SHSOLE36000
ETF VANGUARD TOTAL BOND MARKETFIXED INCOME9219378356908526SHSOLE76760850
ETF VANGUARD MSCI EAFEEXCHANGE TRADED FUNDS921943858361016SHSOLE101600
VANGUARD TOTAL WORLD STOCK INDEX FUNDEXCHANGE TRADED FUNDS92204274241790SHSOLE79000
VANGUARD MSCI EMERGING MARKETS ETFEXCHANGE TRADED FUNDS922042858197150818SHSOLE507080110
VANGUARD MSCI EMERGING MARKETS ETFEXCHANGE TRADED FUNDS922042858471210SHDFND10851250
ETF VANGUARD S&P 500EXCHANGE TRADED FUNDS9229084134025480SHSOLE548000
VERIZON COMMUNICATIONS INCTELECOM. SERVICES92343V104175234796SHSOLE3479600
VERIZON COMMUNICATIONS INCTELECOM. SERVICES92343V1043466879SHDFND428025990
VISA INC - CLASS A SHARESFINANCIALS92826C8391475SHSOLE7500
VMWARE INCINFORMATION TECHNOLOGY9285634027100SHSOLE10000
WAL MART STORES INCCONSUMER STAPLES9311421035206982SHSOLE698200
WAL MART STORES INCCONSUMER STAPLES9311421031421900SHDFND15004000
WALGREEN COCONSUMER STAPLES9314221091142585SHSOLE258500
WALGREEN COCONSUMER STAPLES931422109831867SHDFND40014670
WALTER INVESTMENT MANAGEMENT CORPORATIONFINANCIALS93317W10222665SHSOLE66500
WASTE MANAGEMENT INC NEWINDUSTRIALS94106L10971817798SHSOLE1779800
WASTE MANAGEMENT INC NEWINDUSTRIALS94106L1091132805SHDFND158012250
WELLPOINT INC.HEALTHCARE94973V107780SHSOLE8000
WELLS FARGO & CO NEWFINANCIALS94974610130739SHSOLE73207
WELLS FARGO & CO NEWFINANCIALS94974610123550SHDFND05500
WESTERN GAS PARTNERS LPENERGY95825410441635SHSOLE63500
WISDOMTREE EMERGING MARKETS EQUITY INCOME FUNDEXCHANGE TRADED FUNDS97717W3151934000SHSOLE400000
WORLD FUEL SERVICES CORPORATIONINDUSTRIALS9814751062807015SHSOLE701500
WYNN RESORTS, LIMITEDCONSUMER DISCRETIONARY983134107650SHSOLE5000
YRC WORLDWIDE INCINDUSTRIALS98424960702SHSOLE200
YAHOO INCINFORMATION TECHNOLOGY9843321066250SHSOLE25000
YUM BRANDS INC.CONSUMER DISCRETIONARY98849810162900SHSOLE90000
YUM BRANDS INC.CONSUMER DISCRETIONARY98849810142600SHDFND06000
ZIMMER HOLDINGS INC.HEALTHCARE98956P1027100SHSOLE10000