13F-HR 1 inftable.txt FORM 13F INFORMATION TABLE VALUE SHARES/ SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY NAME OF ISSUER TITLE OF CLASS CUSIP (x$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- -------- 3M Co. COM 88579y101 651 7794 SH SOLE 7194 600 AFLAC Inc. COM 001055102 581 10695 SH SOLE 10695 AT&T, Inc. COM 00206r102 1166 45131 SH SOLE 43771 1360 Abbott Laboratories COM 002824100 3000 56955 SH SOLE 55680 1275 Adobe Systems Inc. COM 00724F101 2547 72006 SH SOLE 69331 2675 Affiliated Managers Group, Inc COM 008252108 2242 28375 SH SOLE 27400 975 AllianceBernstein Holding LP COM 01881g106 290 9450 SH SOLE 9450 American National Ins. Co. COM 028591105 531 4675 SH SOLE 4575 100 Amgen Inc. COM 031162100 205 3426 SH SOLE 3426 Anadarko Petroleum Corp. COM 032511107 410 5623 SH SOLE 5423 200 Apple Computer COM 037833100 347 1477 SH SOLE 1477 Automatic Data Processing COM 053015103 2937 66035 SH SOLE 64535 1500 BHP Billiton Ltd Adr COM 088606108 964 12002 SH SOLE 11727 275 BP Amoco PLC-Spons ADR COM 055622104 440 7713 SH SOLE 7363 350 Bank of America Corp. COM 060505104 2241 125552 SH SOLE 125552 Bank of Granite Corp. COM 062401104 19 15751 SH SOLE 15751 Becton Dickinson & Co. COM 075887109 3238 41125 SH SOLE 39425 1700 Berkshire Hathaway Inc. Cl A COM 084670108 365 3 SH SOLE 3 Berkshire Hathaway Inc. Cl B COM 084670702 209 2570 SH SOLE 2570 CNX Gas Corporation COM 12618h309 1534 40325 SH SOLE 39125 1200 Cabot Microelectronics Corp COM 12709p103 1920 50750 SH SOLE 49075 1675 Cameron Int'l Corp COM 13342b105 1705 39791 SH SOLE 38716 1075 Cerner Corporation COM 156782104 212 2500 SH SOLE 2500 ChevronTexaco Corporation COM 166764100 3657 48228 SH SOLE 47189 1039 Cisco Systems Inc. COM 17275r102 1650 63407 SH SOLE 62357 1050 Coca-Cola Co. COM 191216100 687 12497 SH SOLE 11497 1000 Colgate-Palmolive Co. COM 194162103 279 3273 SH SOLE 3273 ConocoPhillips COM 20825C104 1221 23859 SH SOLE 23034 825 Diageo PLC Spon ADR COM 25243q205 436 6460 SH SOLE 6210 250 Du Pont, E. I. COM 263534109 421 11298 SH SOLE 11048 250 Emdeon, Inc. COM 29084t104 1127 68250 SH SOLE 64850 3400 Emerson Electric Co COM 291011104 3549 70499 SH SOLE 68849 1650 Enbridge Energy Partners, L.P. COM 29250r106 1327 26250 SH SOLE 26125 125 Exelon Corporation COM 30161n101 219 4998 SH SOLE 4998 Exxon Mobil Corp. COM 30231G102 6412 95728 SH SOLE 94028 1700 Fifth Third Bancorp COM 316773100 1624 119800 SH SOLE 114650 5150 Ford Motor Co. COM 345370860 127 10114 SH SOLE 10114 Frontier Communications Corp COM 35906a108 136 18300 SH SOLE 17400 900 General Electric Company COM 369604103 4419 242813 SH SOLE 239238 3575 Hanover Insurance Group Inc. COM 410867105 1454 33350 SH SOLE 32375 975 Health Care REIT, Inc. COM 42217k106 203 4483 SH SOLE 4483 Hospira Inc. COM 441060100 2999 52943 SH SOLE 51343 1600 HouseRaising, Inc. COM 44183w106 0 10000 SH SOLE 10000 Huntington Bancshares, Inc. COM 446150104 82 15168 SH SOLE 15168 ITT Industries, Inc. COM 450911102 2692 50215 SH SOLE 48390 1825 Illinois Tool Works COM 452308109 278 5880 SH SOLE 5580 300 Intel Corporation COM 458140100 271 12150 SH SOLE 12150 International Business Machine COM 459200101 3494 27246 SH SOLE 26347 899 J.P. Morgan Chase COM 46625h100 556 12423 SH SOLE 12423 Johnson & Johnson COM 478160104 4484 68780 SH SOLE 67115 1665 Kelly Services Cl A COM 488152208 833 50000 SH SOLE 50000 KeyCorp COM 493267108 179 23150 SH SOLE 22900 250 Kimberly-Clark Corp. COM 494368103 354 5628 SH SOLE 5628 Kinder Morgan Energy Partners COM 494550106 769 11750 SH SOLE 11750 Lance, Inc. COM 514606102 263 11375 SH SOLE 10525 850 Liberty Property Trust COM 531172104 3003 88488 SH SOLE 86463 2025 Magellan Midstream Partners, L COM 559080106 1376 28940 SH SOLE 28940 Merck & Co. COM 58933Y105 428 11451 SH SOLE 11451 Microsoft Corp. COM 594918104 3639 124245 SH SOLE 120570 3675 Nestle SA Spon ADR COM 641069406 2896 56443 SH SOLE 54693 1750 Newfield Exploration Company COM 651290108 2048 39340 SH SOLE 38115 1225 Omnicom Group COM 681919106 2199 56670 SH SOLE 54720 1950 PPL Corporation COM 69351T106 1772 63953 SH SOLE 62503 1450 Pardee Resources Company, Inc. COM 699437109 736 4000 SH SOLE 4000 PepsiCo Inc. COM 713448108 3677 55575 SH SOLE 54288 1287 Pfizer, Inc. COM 717081103 455 26539 SH SOLE 26539 Plains All Amer Pipeline LP COM 726503105 797 14000 SH SOLE 13650 350 Procter & Gamble COM 742718109 6271 99109 SH SOLE 96884 2225 Schlumberger Ltd COM 806857108 622 9805 SH SOLE 9305 500 Southern Company COM 842587107 497 14992 SH SOLE 14542 450 State Street Corporation COM 857477103 605 13400 SH SOLE 12200 1200 Sun Communities Inc. COM 866674104 369 14625 SH SOLE 14625 Susquehanna Bancshares, Inc. COM 869099101 2238 228127 SH SOLE 221377 6750 Sysco Corp. COM 871829107 561 19010 SH SOLE 18610 400 TJX Companies Inc. COM 872540109 2784 65471 SH SOLE 63621 1850 Union Pacific Corp. COM 907818108 1044 14243 SH SOLE 14243 United Technologies COM 913017109 2480 33691 SH SOLE 32566 1125 VIVUS, Inc. COM 928551100 262 30000 SH SOLE 30000 Verizon Communications COM 92343v104 583 18789 SH SOLE 18789 Weatherford Int'l Ltd. COM H27013103 1200 75693 SH SOLE 72743 2950 NFJ Dividend, Interest & Prem XTMF 65337h109 916 57900.000SH SOLE 57900.000 iShares Russell 1000 Growth In XTMF 464287614 208 4000.000 SH SOLE 4000.000 iShares Russell 1000 Value Ind XTMF 464287598 305 5000.000 SH SOLE 5000.000 iShares Russell 2000 Index Fun XTMF 464287655 251 3700.000 SH SOLE 3700.000 iShares Russell Midcap Index F XTMF 464287499 358 4011.000 SH SOLE 4011.000 iShares S&P 500 Index Fund XTMF 464287200 588 5015.000 SH SOLE 5015.000 iShares S&P SmallCap 600 Index XTMF 464287804 365 6147.000 SH SOLE 5097.000 1050.000 Vanguard Emerging Markets XTIF 922042858 284 6747.000 SH SOLE 6747.000 iShares MSCI EAFE Index Fund XTIF 464287465 610 10900.000SH SOLE 10700.000 200.000 Vanguard Short-Term Bond Fund XTMI 921937827 370 4630.000 SH SOLE 4630.000 iShares Barclays US TIPS Fund XTMI 464287176 208 2000.000 SH SOLE 2000.000