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 Company COM 88579y101 2869 34211.3 SH Sole 34211.3 AFLAC, Inc. COM 001055102 4518 82535.8 SH Sole 82535.8 AT&T Corporation COM 00206r102 703 26931.3 SH Sole 26931.3 Abbott Laboratories COM 002824100 2729 51524.0 SH Sole 51524.0 Accenture LTD Cl A COM g1151c101 1073 25635.0 SH Sole 25635.0 Advanced Semiconductor Eng ADR COM 00756M404 140 30088.9 SH Sole 30088.9 Alliance Bankshares Corporatio COM 018535104 133 53072.0 SH Sole 53072.0 American Express Company COM 025816109 1154 27681.0 SH Sole 27681.0 Argon St., Inc. COM 040149106 72522 2723324.0 SH Sole 2723324.0 BP PLC ADR COM 055622104 951 16476.0 SH Sole 16476.0 Bank America Corporation COM 060505104 1079 59817.0 SH Sole 59817.0 Bed Bath & Beyond, Inc. COM 075896100 409 9265.0 SH Sole 9265.0 CVS Corporation DEL COM 126650100 2730 75356.0 SH Sole 75356.0 Caterpillar Inc. COM 149123101 325 5085.0 SH Sole 5085.0 China Networks International COM G21125102 8 15209.0 SH Sole 15209.0 Cisco Systems, Inc. COM 17275r102 3845 148875.7 SH Sole 148875.7 Clorox Company COM 189054109 1023 15920.0 SH Sole 15920.0 Coca Cola Co COM 191216100 1664 30093.0 SH Sole 30093.0 Colgate-Palmolive COM 194162103 3383 39422.0 SH Sole 39422.0 Corning, Inc. COM 219350105 1562 76641.0 SH Sole 76641.0 Danaher Corp. Del COM 235851102 262 3255.0 SH Sole 3255.0 Energizer Holdings, Inc. COM 29266r108 220 3530.0 SH Sole 3530.0 Equifax Inc. COM 294429105 602 16840.0 SH Sole 16840.0 Exxon-Mobil Corporation COM 30231G102 416 6153.0 SH Sole 6153.0 Fiserv, Inc. COM 337738108 1563 30568.0 SH Sole 30568.0 Flextronics International LTD COM y2573f102 1433 183440.0 SH Sole 183440.0 General Dynamics Corporation COM 369550108 1182 15170.0 SH Sole 15170.0 General Electric Company COM 369604103 2455 133941.6 SH Sole 133941.6 General Mills, Inc. COM 370334104 344 4815.0 SH Sole 4815.0 H.J. Heinz Company COM 423074103 915 19965.0 SH Sole 19965.0 Hewlett Packard Company COM 428236103 2708 50870.0 SH Sole 50870.0 Home Depot, Inc. COM 437076102 252 7792.0 SH Sole 7792.0 Honeywell International, Inc. COM 438516106 736 16345.0 SH Sole 16345.0 Intel Corporation COM 458140100 2933 130981.8 SH Sole 130981.8 International Business Machine COM 459200101 3713 28948.0 SH Sole 28948.0 J.P. Morgan Chase & Co. COM 46625H100 270 5985.0 SH Sole 5985.0 Jabil Circut, Inc. COM 466313103 1434 88135.0 SH Sole 88135.0 Johnson & Johnson COM 478160104 4244 64526.2 SH Sole 64526.2 Kellogg COM 487836108 449 8377.0 SH Sole 8377.0 Kimberly-Clark Corporation COM 494368103 635 10155.0 SH Sole 10155.0 Knight Transportation, Inc. COM 499064103 907 43753.5 SH Sole 43753.5 L-3 Communications Holdings, I COM 502424104 564 6090.0 SH Sole 6090.0 Lincoln Elec Holdings, Inc. COM 533900106 485 8800.0 SH Sole 8800.0 Lowes Companies, Inc. COM 548661107 664 27075.0 SH Sole 27075.0 Mako Surgical Corporation COM 560879108 393 29500.0 SH Sole 29500.0 McDonalds Corporation COM 580135101 409 6045.0 SH Sole 6045.0 Medtronic, Inc. COM 585055106 3579 78370.0 SH Sole 78370.0 Microsoft Corporation COM 594918104 1675 57446.8 SH Sole 57446.8 Nokia Corporation A COM 654902204 248 15885.0 SH Sole 15885.0 Northrop Grumman Corporation COM 666807102 256 3860.0 SH Sole 3860.0 O'Reilly Automotive, Inc. COM 686091109 1345 32080.0 SH Sole 32080.0 Oracle Corporation COM 68389x105 2194 86162.0 SH Sole 86162.0 Oshkosh Truck Corporation COM 688239201 1254 31070.0 SH Sole 31070.0 Patterson Companies COM 703395103 1276 41480.0 SH Sole 41480.0 Pepsico, Inc. COM 713448108 2502 37523.0 SH Sole 37523.0 Pfizer, Inc. COM 717081103 862 50488.0 SH Sole 50488.0 Phillip Morris International COM 718172109 445 8478.0 SH Sole 8478.0 Procter & Gamble COM 742718109 2847 44930.0 SH Sole 44930.0 Prudential Financial, Inc. COM 744320102 616 10055.0 SH Sole 10055.0 Quest Diagnostic, Inc. COM 74834l100 528 8938.0 SH Sole 8938.0 ReGen Biologics COM 75884M104 10 21852.0 SH Sole 21852.0 Rockwell Collins, Inc. COM 774341101 283 4500.0 SH Sole 4500.0 Sirius Satellite Radio, Inc. COM 82966U103 12 14645.0 SH Sole 14645.0 Staples, Inc. COM 855030102 1979 83499.0 SH Sole 83499.0 Stryker Corporation COM 863667101 3772 65422.7 SH Sole 65422.7 Sysco Corporation COM 871829107 1540 52018.0 SH Sole 52018.0 Target Corporation COM 87612e106 404 7596.0 SH Sole 7596.0 Technitrol, Inc. COM 878555101 833 155384.0 SH Sole 155384.0 United Parcel Service, Inc. COM 911312106 312 4870.0 SH Sole 4870.0 Wal-Mart Stores COM 931142103 2404 43326.0 SH Sole 43326.0 Walgreen Co. COM 931422109 1940 51403.0 SH Sole 51403.0 Wells Fargo & Company New COM 949740104 908 28958.0 SH Sole 28958.0 Willis Goup Holdings COM G96655108 326 10400.0 SH Sole 10400.0 Baclays Bank Commodity Index 06738c778 490 12110.0 SH Sole 12110.0 Consumer Discretionary Secto ( 81369y407 2264 68475.0 SH Sole 68475.0 Consumer Staples Sector (SPDR) 81369Y308 606 21575.0 SH Sole 21575.0 DJ Transportation Index (iShar 464287192 2915 36775.0 SH Sole 36775.0 DJ US Regional Banks Index Fun 464288778 1404 56703.0 SH Sole 56703.0 Energy Sector (SPDR) 81369Y506 503 8595.0 SH Sole 8595.0 FTSE China 25 Index (iShares) 464287184 1470 33965.0 SH Sole 33965.0 Financial Sector (SPDR) 81369y605 2048 127342.0 SH Sole 127342.0 Financials (ProShares Ultra) 74347R743 2435 352860.0 SH Sole 352860.0 Healthcare Sector (SPDR) 81369Y209 559 17290.0 SH Sole 17290.0 IShares Global Infrastructure 454090101 247 7110.0 SH Sole 7110.0 Industrials (ProShares Ultra) 74347R727 867 22760.0 SH Sole 22760.0 Industrials Sector (SPDR) 81369y704 2681 85269.0 SH Sole 85269.0 Internet HOLDRS 46059w102 452 7500.0 SH Sole 7500.0 KBW Insurance Index (SPDR) 78464a789 2270 54491.0 SH Sole 54491.0 MSCI BRIC Index Fund (iShares) 464286657 747 15705.0 SH Sole 15705.0 MSCI EAFE Index (iShares) 464287465 273 4785.0 SH Sole 4785.0 Materials Sector (SPDR) 81369y100 1934 56050.0 SH Sole 56050.0 Metals & Mining Sector (SPDR) 78464A755 890 15320.0 SH Sole 15320.0 MidCap 400 (ProShares Ultra) 74347R404 384 7635.0 SH Sole 7635.0 Nasdaq Biotechnology Index (iS 464287556 1677 18255.0 SH Sole 18255.0 Pharmaceutical HOLDRS 71712A206 206 3100.0 SH Sole 3100.0 QQQ (PowerShares) 73935a104 203 4210.0 SH Sole 4210.0 QQQ (ProShares Ultra) 74347r206 3127 47835.0 SH Sole 47835.0 Real Estate (ProShares Ultra) 74347R677 347 42280.0 SH Sole 42280.0 Regional Bank HOLDRS 75902e100 749 8500.3 SH Sole 8500.3 Russell 2000 Growth (ProShares 74347R487 454 12720.0 SH Sole 12720.0 Russell Microcap Index (iShare 464288869 1155 26730.0 SH Sole 26730.0 S&P 500 (ProShares Ultra) 74347r107 2579 60571.0 SH Sole 60571.0 S&P 500 (SPDR) 78462F103 415 3522.0 SH Sole 3522.0 S&P GSSI Semiconductor (iShare 464287523 370 7490.0 SH Sole 7490.0 S&P Homebuilders (SPDR) 78464a888 510 30055.0 SH Sole 30055.0 Semiconductor HOLDRS 816636203 855 30625.9 SH Sole 30625.9 Technology (ProShares Ultra) 74347R693 891 16420.0 SH Sole 16420.0 Technology Sector (SPDR) 81369y803 2264 98180.0 SH Sole 98180.0 Utilities Sector (SPDR) 81369Y886 1985 66010.0 SH Sole 66010.0 Vanguard Emerging Markets 922042858 2100 48645.0 SH Sole 48645.0 Vanguard Energy ETF 92204a306 433 5062.0 SH Sole 5062.0 Vanguard Mid-Cap Index 922908629 232 3525.0 SH Sole 3525.0 Vanguard REIT 922908553 1403 28594.0 SH Sole 28594.0 Water Resources Portfolio (Pow 73935x575 398 22675.0 SH Sole 22675.0 20+ Year Treasury (ProShares U 74347R297 1204 24610.0 SH Sole 24610.0 Wells Fargo PFD 0 12500 SH Sole 12500 American Century Equity Income 025076100 118 17379.950 SH Sole 17379.950 American Century Livestrong 20 02507F696 200 21286.660 SH Sole 21286.660 Fidelity Floating Rate 315916783 107 11084.172 SH Sole 11084.172 Gabelli Equity Income Fund 36239t202 311 16407.826 SH Sole 16407.826 Growth Fund of America - Class 399874882 1060 37960.753 SH Sole 37960.753 Growth Fund of America CL F 399874403 528 18521.447 SH Sole 18521.447 Janus Flexable Bond 471023606 288 27394.623 SH Sole 27394.623 Janus Orion Fund 471023648 178 16575.034 SH Sole 16575.034 Metlife Stable Value 000000000 415 28411.535 SH Sole 28411.535 Pimco Total Return Administrat 693390726 182 16786.231 SH Sole 16786.231 Principle High Yield Cl A 928965623 191 24042.782 SH Sole 24042.782 RS Global Natural Resources Fu 74972H705 689 22078.010 SH Sole 22078.010 Janus Aspen Balanced Portfolio 929 82949.0750 SH Sole 82949.0750 Janus Aspen Growth & Income 000000000 1180 87865.2300 SH Sole 87865.2300 Janus Aspen Series Growth & In 000000000 260 30444.8190 SH Sole 30444.8190 Pimco VIT Low Duration Portfol 000000000 181 14610.2210 SH Sole 14610.2210 Seligman Communication and Inf 193 15592.7790 SH Sole 15592.7790 AZL BlackRock Capital Apprecia 000000000 118 11432.3296 SH Sole 11432.3296 Allianz Index Annuity 000000000 11 10936.4300 SH Sole 10936.4300 Fixed Period Account 000000000 23 23214.4800 SH Sole 23214.4800 Maxim Money Market Fund 141 14201.9806 SH Sole 14201.9806 Fidelity VIP Equity Income 000000000 58 20373.1906 SH Sole 20373.1906 HTFD Capital Appreciation 000000000 87 13268.7690 SH Sole 13268.7690 Hartford Capital Appreciation 000000000 83 12823.7874 SH Sole 12823.7874