13F-HR 1 sept1013ftable.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 ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- -------- Alerian MLP COM 00162Q866 1345 87060 SH SOLE 87060 DCP Midstream Partners, LP COM 23311P100 1020 30450 SH SOLE 30450 Enbridge Energy Mgmt. COM 29250x103 1053 19081 SH SOLE 19081 Energy Transfer Equity LP COM 29273V100 925 24930 SH SOLE 24930 Enterprise GP Holdings LP COM 293716106 1858 31650 SH SOLE 31650 Inergy Holdings LP COM 45661Q107 552 18256 SH SOLE 18256 Kinder Morgan Mgmt COM 49455u100 1441 23920 SH SOLE 23920 Magellan Midstream Partners, L COM 559080106 1242 24136 SH SOLE 24136 Plains All American Pipeline L COM 726503105 1078 17138 SH SOLE 17138 Resource Capital COM 76120W302 575 90540 SH SOLE 90540 Teekay Offshore Partners, L.P. COM y8565j101 2281 98580 SH SOLE 98580 Abbott Laboratories COM 002824100 560 10720 SH SOLE 10720 Advance Auto Parts COM 00751Y106 1008 17170 SH SOLE 17170 Anheuser-Busch InBev NV COM b6399c107 865 14690 SH SOLE 14690 Apple Computer COM 037833100 2508 8840 SH SOLE 8840 Bancorp Inc COM 05969a105 222 33120 SH SOLE 33120 Barclays iPath MSCI India Inde COM 06739f291 772 10190 SH SOLE 10190 Cablevision Systems Corp. COM 12686c109 1550 59170 SH SOLE 59170 Cash America International, In COM 14754d100 414 11830 SH SOLE 11830 Coca Cola Co. COM 191216100 1987 33960 SH SOLE 33960 Colgate Palmolive COM 194162103 290 3776 SH SOLE 3776 Crown Holdings Inc . COM 228368106 1591 55520 SH SOLE 55520 Danone COM 23636t100 211 17620 SH SOLE 17620 Dollar Tree Inc. COM 256746108 255 5230 SH SOLE 5230 H. J. Heinz COM 423074103 511 10790 SH SOLE 10790 Itau Unibanco Holding S.A. COM 465562106 1109 45854 SH SOLE 45854 Kraft Foods COM 50075N104 1072 34740 SH SOLE 34740 McCormick & Co. COM 579780206 1529 36370 SH SOLE 36370 McDonald's Corp. COM 580135101 1355 18190 SH SOLE 18190 Merck COM 58933y105 227 6180 SH SOLE 6180 Nestle Spons ADR COM 641069406 2240 41795 SH SOLE 41795 Pepsico COM 713448108 1329 20000 SH SOLE 20000 Philip Morris COM 718172109 514 9180 SH SOLE 9180 Resource America COM 761195205 156 27439 SH SOLE 27439 SPDR Gold Shares COM 78463v107 2572 20110 SH SOLE 20110 Teva Pharmaceutical COM 881624209 335 6360 SH SOLE 6360 Time Warner Cable, Inc. COM 88732j207 1043 19320 SH SOLE 19320 Webster Financial Corp. COM 947890109 1310 74590 SH SOLE 74590 Xinhua China 25 Index Fund COM 464287184 335 7830 SH SOLE 7830 iShares MSCI Brazil Index Fund COM 464286400 539 7000 SH SOLE 7000 iShr MSCI Emerg Mkts ET COM 464287234 1516 33860 SH SOLE 33860 Resource Capital Corp. 76120W302 169 26667 SH SOLE 26667 The Bancorp.com, Inc. 05969a105 299 44743 SH SOLE 44743 Resource America warrants rexiwarra 515 229412 SH SOLE 229412