0001483499-11-000005.txt : 20110505 0001483499-11-000005.hdr.sgml : 20110505 20110505165437 ACCESSION NUMBER: 0001483499-11-000005 CONFORMED SUBMISSION TYPE: 13F-HR PUBLIC DOCUMENT COUNT: 1 CONFORMED PERIOD OF REPORT: 20110331 FILED AS OF DATE: 20110505 DATE AS OF CHANGE: 20110505 EFFECTIVENESS DATE: 20110505 FILER: COMPANY DATA: COMPANY CONFORMED NAME: Banyan Partners, LLC CENTRAL INDEX KEY: 0001483499 IRS NUMBER: 421623695 STATE OF INCORPORATION: FL FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 13F-HR SEC ACT: 1934 Act SEC FILE NUMBER: 028-13832 FILM NUMBER: 11815395 BUSINESS ADDRESS: STREET 1: 5100 PGA BLVD., SUITE 305 CITY: PALM BEACH GARDENS STATE: FL ZIP: 33418 BUSINESS PHONE: 561-630-4600 MAIL ADDRESS: STREET 1: 5100 PGA BLVD., SUITE 305 CITY: PALM BEACH GARDENS STATE: FL ZIP: 33418 13F-HR 1 q12011.txt UNITED STATES SECURITIES AND EXCHANGE COMMISSION WASHINGTON, D.C. 20549 FORM 13F COVER PAGE Report for the Calendar Year or Quarter Ended: 3/31/2011 Check here if Amendment [ ]; Amendment Number: ____ This Amendment (Check only one.)[ ] is a restatement [ ] adds new holdings entries Institutional Investments Manager Filing this Report: Name: Banyan Partners, LLC Address: 11376 N Jog Road, Suite 101 Palm Beach Gardens, FL 33418 Form 13F File Number: 28-12731 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 form. Person Signing this Report on Behalf of Reporting Manager: Name: Milagros Kleiner Title: Chief Compliance Officer Phone: 561-630-4600 Signature, Place, and Date of Signing: Milagros Kleiner Palm Beach Gardens, FL 05/05/2011 Signature city/state date Report Type (Check Only One.): [X ] 13F HOLDINGS REPORT. (Check here if all holdings of this reporting manager are reported in this report.) [ ] 13F NOTICE. (Check here if no holdings reported are in this report, and all holdings are reported by other reporting manager(s).) [ ] 13F COMBINATION REPORT. (Check here if a portion of the holdings for this reporting manager are reported in this report and a portion are reported by other reporting manager(s).) FORM 13F SUMMARY PAGE Report Summary: Number of Other Included Managers: 0 Form 13F Information Table Entry Total: 168 Form 13F Information Table Value Total: 399 (thousands) List of Other Included Managers: Provide a numbered list of the name(s) and Form 13F file number(s) of all institutional investment managers with reject to which this report is filed, other than the manager filing this report. None VotingAuthority Title Value Shares/Sh/Put/ InvstmOther Name of Issuer of clas CUSIP (x$1000)Prn AmtPrnCall DscretMgr Sole ShareNone 3M Company com 88579Y101 6600 70591SH Sole 1732 68859 Abbott Laboratories com 002824100 966 19702SH Sole 16602 3100 Accenture, Inc. com G1151C101 3872 70454SH Sole 2245 68209 Advanced Viral Research Corp C com 007928104 0 390000SH Sole 0 390000 Aflac Inc Cm com 001055102 6939 131475SH Sole 12095 119380 Agrium Inc. com 008916108 3636 39410SH Sole 0 39410 Air Prod & Chemicals Inc com 009158106 1500 16636SH Sole 0 16636 Airgas Inc com 009363102 523 7875SH Sole 0 7875 Allegheny Technologies Inc com 01741R102 238 3521SH Sole 0 3521 Alliqua, Inc. com 019621101 4 25000SH Sole 0 25000 Altria Group Inc com 02209s103 1064 40892SH Sole 309 40583 America Movil S.A.B. De C.V AD com 02364W105 314 5400SH Sole 0 5400 American Electric Power Co com 025537101 287 8164SH Sole 0 8164 American Express Co com 258161090 321 7109SH Sole 0 7109 Anadarko Petroleum com 032511107 8211 100232SH Sole 0 100232 Apache Corp com 037411105 575 4392SH Sole 4112 280 Apple Inc com 037833100 5768 16550SH Sole 100 16450 Aura Systems, Inc. com 051526200 11 13514SH Sole 0 13514 B P Prudhoe Bay Rlty Tr com 055630107 1479 12340SH Sole 115 12225 Baidu Inc ADR com 056752108 5624 40810SH Sole 0 40810 Bank Of America Corp com 060505104 4433 332557SH Sole 8384 324173 Baxter International com 718131097 5847 108750SH Sole 0 108750 BHP Billiton Common Shares com 088606108 219 2285SH Sole 701 1584 Boeing Co com 097023105 5965 80679SH Sole 1200 79479 Bristol-Myers Squibb Co com 110122108 1895 71693SH Sole 95 71598 Brookfield Infrastructure Part com g16252101 240 10821SH Sole 0 10821 Bunge Limited com G16962105 7567 104618SH Sole 800 103818 Caterpillar Inc com 149123101 9379 84234SH Sole 200 84034 Celgene Corp com 151020104 8582 149047SH Sole 11460 137587 Cenovus Energy Inc Comnpv Isin com 15135u109 236 6000SH Sole 0 6000 Chevron Corp. com 166764100 506 4713SH Sole 1611 3102 Chubb Corp com 171232101 736 12000SH Sole 0 12000 Cisco Systems com 17275R102 422 24600SH Sole 0 24600 Citigroup Inc com 172967101 76011719716SH Sole 142180 1577536 Cliffs Natural Res Inc com 18683K101 1980 20145SH Sole 0 20145 Cme Group Inc com 12572Q105 789 2618SH Sole 0 2618 Coca Cola Company com 191216100 3390 51098SH Sole 1450 49648 Cognizant Tech com 192446102 3988 48983SH Sole 400 48583 Colgate-Palmolive Co com 194162103 2066 25584SH Sole 0 25584 Conocophillips com 20825C104 5450 68238SH Sole 1590 66648 Corning Inc com 219350105 4923 238624SH Sole 1002 237622 Corridor Resources Inccom Npv com 219919107 492 90000SH Sole 0 90000 Crown Holdings Inc com 228368106 3221 83500SH Sole 0 83500 Cummins Inc com 231021106 5085 46385SH Sole 0 46385 Deere & Co com 244199105 956 9864SH Sole 0 9864 Dendreon Corp com 24823q107 284 7600SH Sole 0 7600 Devon Energy Corporation New com 25179M103 1094 11917SH Sole 0 11917 Diageo Plc com 25243Q205 445 5840SH Sole 200 5640 Disney Walt Co Del com 254687106 1621 37615SH Sole 0 37615 Dow Chemical Company com 260543103 648 17175SH Sole 0 17175 Du Pont E I com 263534109 4130 75133SH Sole 725 74408 Dynamic Amern Corp com 267843209 0 10000SH Sole 0 10000 E M C Corp Mass com 268648102 5142 193615SH Sole 0 193615 Emerson Elec Co com 291011104 409 6992SH Sole 0 6992 Encore Energy Partnerslp Com U com 29257a106 209 8900SH Sole 0 8900 Energy Transfer Partnerslp Ut com 29273r109 280 5400SH Sole 0 5400 Enerplus Corp F com 292766102 1206 38087SH Sole 4037 34050 Enterprise Prd Prtnrs Lp com 293792107 1711 39732SH Sole 3232 36500 Eqt Corp com 26884l109 200 4000SH Sole 0 4000 Express Scripts Inc com 302182100 265 4769SH Sole 0 4769 Exxon Mobil Corporation com 30231G102 3053 36284SH Sole 1474 34810 F M C Corp New com 302491303 875 10300SH Sole 0 10300 Fedex Corporation com 31428X106 332 3550SH Sole 0 3550 Fluor Corp com 343412102 4249 57687SH Sole 500 57187 Ford Motor Co. com 345370860 4296 288100SH Sole 46250 241850 Freeport Mcmoran Copper com 35671D857 1340 24112SH Sole 1056 23056 Frontier Communications com 35906A108 1264 153721SH Sole 17371 136350 Futures Portfolio Fund L.P. C com 36199D999 915 136SH Sole 0 136 General Electric com 369604103 7690 383524SH Sole 9470 374054 Genesis Energy L P Unitl P Int com 371927104 280 9900SH Sole 0 9900 Genuine Parts Co com 372460105 241 4500SH Sole 0 4500 Gilead Sciences Inc com 375558103 484 11400SH Sole 0 11400 Google Inc Class A com 38259P508 476 811SH Sole 0 811 Greenhaven Continuos Commodix com 395258106 1111 31516SH Sole 846 30670 Halliburton Co Holdingco Frmly com 406216101 279 5600SH Sole 0 5600 Harley Davidson com 412822108 863 20300SH Sole 0 20300 Harman Intl Inds Inc com 413086109 3734 79755SH Sole 1600 78155 Hartford Financial Svs com 416515104 7449 276592SH Sole 0 276592 Hewlett-Packard Company com 428236103 312 7617SH Sole 0 7617 Home Depot Inc com 437076102 3125 84339SH Sole 980 83359 Honeywell International Inc Co com 438516106 546 9150SH Sole 0 9150 Intercontinentalexch Inc com 45865v100 531 4300SH Sole 0 4300 Intl Business Machines com 459200101 10018 61434SH Sole 20225 41209 Intl Game Technology com 459902102 1377 84810SH Sole 2830 81980 Intuitive Surgical Inc com 46120E602 440 1318SH Sole 0 1318 Ironwood Pharm, Inc. com 46333x108 570 40775SH Sole 0 40775 IShares Tr S&P Global Energy S com 464287341 285 6410SH Sole 0 6410 JDSU Uniphase com 46612J507 4231 203020SH Sole 1700 201320 Jefferies Group Inc New com 472319102 1021 40925SH Sole 0 40925 Johnson & Johnson com 478160104 2635 44469SH Sole 11244 33225 JP Morgan Chase & Co com 4662sh100 6718 145736SH Sole 0 145736 Kimberly-Clark Corp com 494368103 282 4320SH Sole 200 4120 Kinder Morgan Energy Lp Unit L com 494550106 1688 22784SH Sole 1038 21746 Lennar Corp Cl A com 526057104 1771 97761SH Sole 4311 93450 Linn Energy com 536020100 5094 130866SH Sole 500 130366 Magellan Midstream Partners Co com 559080106 317 5300SH Sole 0 5300 Magna Intl, Inc. com 559222401 7966 166270SH Sole 14172 152098 Market Vectors ETF Trust Agrib com 57060u605 588 10490SH Sole 0 10490 Markwest Energy Partnerslp com 570759100 291 6000SH Sole 0 6000 Marriott Intl Cl A com 571903202 916 25750SH Sole 900 24850 Medco Health Solutions com 58405U102 480 8546SH Sole 0 8546 Microsoft Corp com 594918104 845 33307SH Sole 645 32662 Monsanto Co. com 61166W101 1136 15726SH Sole 1050 14676 Monster Worldwide, Inc. com 611742107 2592 162995SH Sole 6460 156535 Morgan Stanley com 617446448 747 27335SH Sole 700 26635 Mosaic Company com 61945A107 3129 39729SH Sole 7004 32725 Navistar Intl Corp New com 63934e108 8033 115870SH Sole 1200 114670 New York Cmnty Bancorp com 649445103 1803 104472SH Sole 4117 100355 Newell Rubbermaid Inc com 651229106 447 23350SH Sole 1000 22350 Nike Inc Class B com 654106103 507 6700SH Sole 0 6700 Noble Group Ltd com G6542T119 342 201398SH Sole 0 201398 Nordic American Tankr com G65773106 1881 75747SH Sole 20012 55735 Nucor Corp com 670346105 702 15250SH Sole 14250 1000 Nyse Euronext com 629491101 528 15000SH Sole 0 15000 Och Ziff Capital com 67551U105 5420 332106SH Sole 10096 322010 Omnicom Group Inc com 681919106 2102 42847SH Sole 575 42272 Oneok Partners Lp com 68268N103 1285 15600SH Sole 0 15600 Oracle Corporation com 68389X105 3163 94592SH Sole 1100 93492 Overseas Shipholding Group com 690368105 1107 34455SH Sole 13513 20942 Parker Hannifin Corp com 701094104 260 2750SH Sole 0 2750 Peabody Energy Corp com 704549104 5169 71836SH Sole 1100 70736 Penn Virginia Res Ptnrs com 707884102 2232 80575SH Sole 300 80275 Pfizer Inc com 717081103 1139 56082SH Sole 439 55643 Philip Morris Intl Inc com 718172109 2209 33650SH Sole 607 33043 Plum Creek Timber Co Inc com 729251108 913 20935SH Sole 105 20830 Potash Corp com 73755L107 1316 22330SH Sole 0 22330 Powershs QQQ Trust Ser 1 com 73935A104 2463 42888SH Sole 0 42888 Praxair Inc com 74005P104 976 9608SH Sole 0 9608 Procter & Gamble com 742718109 2707 43941SH Sole 970 42971 ProShares Short 20+ Treasury com 74347x849 655 14790SH Sole 0 14790 Proshares Trust Ultrafinancial com 74347x633 734 10500SH Sole 0 10500 Proshares Ultra S&p500 Proshar com 74347r107 479 9000SH Sole 0 9000 Proshs Ultrashort Lehman Treas com 74347R297 1443 38550SH Sole 0 38550 Protective Life Corp com 743674103 239 9000SH Sole 0 9000 Qualcomm Inc com 747525103 5863 106930SH Sole 1661 105269 Redwood Trust Inc Reit com 758075402 950 61085SH Sole 1900 59185 Royal Dutch Petroleum ADR A com 780259206 478 6558SH Sole 735 5823 Saks Incorporated com 79377w108 3509 310275SH Sole 3000 307275 Schlumberger Ltd com 806857108 2968 31826SH Sole 150 31676 Seadrill Ltd com G7945E105 6765 187561SH Sole 2643 184918 Sector SPDR Engy Select Shares com 81369Y506 1520 19060SH Sole 31 19029 Sector SPDR Fincl Select Share com 81369Y605 526 32101SH Sole 0 32101 Sector SPDR Indl Select Shares com 81369y704 1068 28367SH Sole 0 28367 Sector SPDR Materials Fd Share com 81369y100 475 11875SH Sole 0 11875 Southwestern Energy Co com 845467109 372 8668SH Sole 0 8668 SPDR Barclays Capital Converti com 78464a359 3733 88543SH Sole 61175 27368 SPDR Gold Trust Spdr Gold Shar com 78463v107 1365 9760SH Sole 7160 2600 SPDR Tr S&P 500 ETF Trust com 78462F103 1239 9343SH Sole 0 9343 Starwood Hotels & Resorts com 85590A401 1007 17326SH Sole 700 16626 Syngenta Ag com 87160A100 4753 72930SH Sole 675 72255 T J X Cos Inc com 872540109 3193 64195SH Sole 800 63395 Target Corporation com 87612E106 1972 39430SH Sole 555 38875 Terex Corp com 880779103 7187 194020SH Sole 1745 192275 Teva Pharm Inds com 881624209 699 13937SH Sole 542 13395 Thermo Fisher Scientific com 883556102 938 16889SH Sole 0 16889 Toll Brothers Inc com 889478103 2459 124370SH Sole 1500 122870 Transocean Inc com h8817h100 9072 116382SH Sole 740 115642 TRW Automotive com 87264S106 6321 114760SH Sole 1150 113610 Tyco Intl Ltd New F com h89128104 2600 58068SH Sole 0 58068 United Technologies com 913017109 6143 72576SH Sole 1624 70952 Vanguard International Equity com 922042866 1378 24671SH Sole 24228 443 Vanguard Total Stock Market ET com 922908769 5605 81570SH Sole 393 81177 Verizon Communications com 92343V104 507 13148SH Sole 0 13148 Visa Inc Class A com 92826C839 3756 51015SH Sole 9249 41766 Wal-Mart Stores Inc com 931142103 1353 26000SH Sole 0 26000 Whirlpool Corp com 963320106 8566 100350SH Sole 9527 90823 Windstream Corp com 97381w104 335 25975SH Sole 2000 23975 Yum Brands Inc com 988498101 861 16766SH Sole 275 16491