The Securities and Exchange Commission has not necessarily reviewed the information in this filing and has not determined if it is accurate and complete.
The reader should not assume that the information is accurate and complete.

UNITED STATES SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 13F

FORM 13F INFORMATION TABLE

OMB APPROVAL
OMB Number: 3235-0006
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COLUMN 1 COLUMN 2 COLUMN 3 COLUMN 4 COLUMN 5 COLUMN 6 COLUMN 7 COLUMN 8
VALUE SHRS OR SH/ PUT/ INVESTMENT OTHER VOTING AUTHORITY
NAME OF ISSUER TITLE OF CLASS CUSIP (x$1000) PRN AMT PRN CALL DISCRETION MANAGER SOLE SHARED NONE
3M Company COM 88579Y101 16,738 111,113 SH   SOLE   111,113 0 0
Abbott Laboratories COM 2824100 1,889 42,073 SH   SOLE   42,073 0 0
AbbVie Inc COM 00287Y109 2,491 42,055 SH   SOLE   42,055 0 0
Ace Limited SHS H0023R105 18,902 161,767 SH   SOLE   161,767 0 0
Agnico Eagle Mines COM 8474108 3,618 137,663 SH   SOLE   137,663 0 0
Air Products & Chemicals Inc COM 9158106 760 5,845 SH   SOLE   5,845 0 0
Akamai Technologies Inc COM 00971T101 13,039 247,740 SH   SOLE   247,740 0 0
Altria Group Inc COM 02209S103 428 7,356 SH   SOLE   7,356 0 0
Amazon.com, Inc. COM 23135106 2,695 3,987 SH   SOLE   3,987 0 0
American Express Co COM 25816109 1,277 18,356 SH   SOLE   18,356 0 0
American Tower Corp COM 03027X100 19,364 199,733 SH   SOLE   199,733 0 0
Ameriprise Financial Inc COM 03076C106 336 3,157 SH   SOLE   3,157 0 0
Amgen Incorporated COM 31162100 202 1,247 SH   SOLE   1,247 0 0
Amphenol Corp Cl A CL A 32095101 8,761 167,734 SH   SOLE   167,734 0 0
Apple Computer Inc COM 37833100 3,537 33,605 SH   SOLE   33,605 0 0
Aspen Technology Inc COM 45327103 8,498 225,064 SH   SOLE   225,064 0 0
Astrazeneca ADR SPONSORED ADR 46353108 2,139 63,000 SH   SOLE   63,000 0 0
AT&T Incorporated COM 00206R102 1,419 41,243 SH   SOLE   41,243 0 0
Automatic Data Processing Inc COM 53015103 8,740 103,158 SH   SOLE   103,158 0 0
Avery Dennison Corp COM 53611109 820 13,090 SH   SOLE   13,090 0 0
Bank of Nova Scotia COM 64149107 3,584 88,617 SH   SOLE   88,617 0 0
Bard C R Incorporated COM 67383109 273 1,442 SH   SOLE   1,442 0 0
Becton Dickinson & Co COM 75887109 566 3,676 SH   SOLE   3,676 0 0
Berkshire Hathaway Inc Del Cl A CL A 84670108 12,264 62 SH   SOLE   62 0 0
Berkshire Hathaway Inc Del Cl B CL B NEW 84670702 5,418 41,030 SH   SOLE   41,030 0 0
BGC Partners, Inc. Cl A A 05541T101 102 10,400 SH   SOLE   10,400 0 0
Blackrock Debt Strategies Fund COM 09255R103 38 11,406 SH   SOLE   11,406 0 0
BP Amoco PLC ADR SPONSORED ADR 55622104 701 22,428 SH   SOLE   22,428 0 0
Bristol Myers Squibb Co COM 110122108 2,645 38,444 SH   SOLE   38,444 0 0
Broadridge Financial Solutions COM 11133T103 296 5,500 SH   SOLE   5,500 0 0
Brown Forman Corp Cl B CL B 115637209 347 3,500 SH   SOLE   3,500 0 0
Brown-Forman Corp Cl A CL A 115637100 826 7,500 SH   SOLE   7,500 0 0
Calithera Biosciences, Inc. COM 13089P101 103 13,456 SH   SOLE   13,456 0 0
Care.com Inc COM 141633107 999 139,500 SH   SOLE   139,500 0 0
Carmax Incorporated COM 143130102 15,813 293,000 SH   SOLE   293,000 0 0
Caterpillar Incorporated COM 149123101 2,128 31,311 SH   SOLE   31,311 0 0
CBRE Group Inc CL A 12504L109 13,183 381,246 SH   SOLE   381,246 0 0
Celgene Corp COM 151020104 246 2,050 SH   SOLE   2,050 0 0
Central Fund Canada CL A 153501101 1,239 124,038 SH   SOLE   124,038 0 0
ChevronTexaco Corp COM 166764100 7,469 83,022 SH   SOLE   83,022 0 0
Chipotle Mexican Grill, Inc. COM 169656105 303 632 SH   SOLE   632 0 0
Chubb Corporation COM 171232101 3,519 26,531 SH   SOLE   26,531 0 0
Church & Dwight Co Inc COM 171340102 259 3,053 SH   SOLE   3,053 0 0
Cimarex Energy Co COM 171798101 4,516 50,527 SH   SOLE   50,527 0 0
Cisco Systems Inc COM 17275R102 863 31,773 SH   SOLE   31,773 0 0
Clean Harbors Inc COM 184496107 1,155 27,720 SH   SOLE   27,720 0 0
Clorox Company COM 189054109 204 1,608 SH   SOLE   1,608 0 0
Coca Cola Company COM 191216100 2,933 68,281 SH   SOLE   68,281 0 0
Cognizant Technology Solutions Corp Cl A CL A 192446102 2,361 39,344 SH   SOLE   39,344 0 0
Colgate Palmolive Co COM 194162103 11,589 173,960 SH   SOLE   173,960 0 0
Comcast Corp Cl A A 20030N101 1,031 18,271 SH   SOLE   18,271 0 0
ConocoPhillips COM 20825C104 403 8,641 SH   SOLE   8,641 0 0
Core Laboratories NV COM N22717107 11,099 102,070 SH   SOLE   102,070 0 0
Cullen Frost Bankers Inc COM 229899109 3,934 65,562 SH   SOLE   65,562 0 0
CVS/Caremark Corporation COM 126650100 15,203 155,495 SH   SOLE   155,495 0 0
Danaher Corporation COM 235851102 22,030 237,190 SH   SOLE   237,190 0 0
Darden Restaurants Inc COM 237194105 299 4,693 SH   SOLE   4,693 0 0
Deere & Company COM 244199105 1,205 15,805 SH   SOLE   15,805 0 0
Dentsply Intl Inc New COM 249030107 225 3,700 SH   SOLE   3,700 0 0
Diageo PLC Sponsored ADR SPON ADR NEW 25243Q205 216 1,976 SH   SOLE   1,976 0 0
Disney Walt Company COM DISNEY 254687106 607 5,779 SH   SOLE   5,779 0 0
Dominion Resources Inc COM 25746U109 238 3,518 SH   SOLE   3,518 0 0
Dow Chemical Company COM 260543103 1,498 29,100 SH   SOLE   29,100 0 0
Du Pont E I De Nemours COM 263534109 11,689 175,515 SH   SOLE   175,515 0 0
Ecolab Incorporated COM 278865100 15,777 137,931 SH   SOLE   137,931 0 0
Edwards Lifesciences Corp COM 28176E108 531 6,720 SH   SOLE   6,720 0 0
EGShares Emerging Markets Consumer ETF EGS EMKTCONS ETF 268461779 13,896 653,614 SH   SOLE   653,614 0 0
Emerson Electric Co COM 291011104 645 13,490 SH   SOLE   13,490 0 0
Enterprise Products Partners LP COM 293792107 537 21,000 SH   SOLE   21,000 0 0
Eversource Energy COM 30040W108 10,183 199,393 SH   SOLE   199,393 0 0
Express Scripts Holding Co. COM 30219G108 812 9,295 SH   SOLE   9,295 0 0
Exxon Mobil Corp COM 30231G102 19,236 246,768 SH   SOLE   246,768 0 0
First Republic Bank COM 33616C100 4,591 69,492 SH   SOLE   69,492 0 0
Fiserv Incorporated COM 337738108 767 8,391 SH   SOLE   8,391 0 0
FMC Technologies COM 30249U101 4,278 147,477 SH   SOLE   147,477 0 0
Gartner, Inc. COM 366651107 918 10,123 SH   SOLE   10,123 0 0
General Electric Co COM 369604103 36,050 1,157,300 SH   SOLE   1,157,300 0 0
General Mills Inc COM 370334104 1,195 20,717 SH   SOLE   20,717 0 0
Genuine Parts Co COM 372460105 320 3,729 SH   SOLE   3,729 0 0
Gilead Sciences Inc COM 375558103 26,099 257,920 SH   SOLE   257,920 0 0
Glaxo Smithkline PLC ADR SPONSORED ADR 37733W105 237 5,877 SH   SOLE   5,877 0 0
Goldcorp Inc COM 380956409 3,050 263,800 SH   SOLE   263,800 0 0
Grainger (W.W.) Inc COM 384802104 247 1,220 SH   SOLE   1,220 0 0
Halliburton Company COM 406216101 454 13,330 SH   SOLE   13,330 0 0
HCP Incorporated COM 40414L109 16,921 442,507 SH   SOLE   442,507 0 0
Henry Schein Incorporated COM 806407102 591 3,735 SH   SOLE   3,735 0 0
Hershey Foods Corp COM 427866108 1,295 14,506 SH   SOLE   14,506 0 0
Home Depot Inc COM 437076102 1,366 10,328 SH   SOLE   10,328 0 0
Idexx Laboratories Inc COM 45168D104 21,900 300,331 SH   SOLE   300,331 0 0
Illinois Tool Works Inc COM 452308109 1,458 15,735 SH   SOLE   15,735 0 0
Innocoll AG Sponsored ADR SPONSORED ADR 45780Q103 83 10,000 SH   SOLE   10,000 0 0
Intel Corporation COM 458140100 12,548 364,226 SH   SOLE   364,226 0 0
International Paper Co COM 460146103 305 8,077 SH   SOLE   8,077 0 0
Intl Business Machines Corp COM 459200101 2,076 15,084 SH   SOLE   15,084 0 0
Intuit, Inc. COM 461202103 2,106 21,820 SH   SOLE   21,820 0 0
Ishares Gold Trust ISHARES 464285105 1,399 136,791 SH   SOLE   136,791 0 0
Ishares MSCI BRIC Index Fund MSCI BRIC INDX 464286657 1,139 38,902 SH   SOLE   38,902 0 0
Ishares MSCI EAFE IX MSCI EAFE ETF 464287465 639 10,874 SH   SOLE   10,874 0 0
Ishares Russell 1000 Growth Index Fund 1000 GRW ETF 464287614 1,038 10,432 SH   SOLE   10,432 0 0
Ishares Russell 2000 Value Index Fund 2000 VAL ETF 464287630 563 6,121 SH   SOLE   6,121 0 0
Ishares S&P Smallcap 600 Index Fund CORE S&P SCP ETF 464287804 464 4,215 SH   SOLE   4,215 0 0
Ishares Tr Dow Jones Select Divd Index SELECT DIVID ETF 464287168 3,692 49,124 SH   SOLE   49,124 0 0
Ishares Tr Russell 3000 Value Index CORE US VAL ETF 464287663 2,295 18,018 SH   SOLE   18,018 0 0
Ishares Tr US Treas Infl Protected ETF TIPS BD ETF 464287176 276 2,519 SH   SOLE   2,519 0 0
Johnson & Johnson COM 478160104 20,996 204,397 SH   SOLE   204,397 0 0
JPMorgan Chase & Co COM 46625H100 876 13,263 SH   SOLE   13,263 0 0
Kansas City Southern COM NEW 485170302 1,120 15,000 SH   SOLE   15,000 0 0
Kimberly Clark Corp COM 494368103 279 2,194 SH   SOLE   2,194 0 0
Lilly Eli & Company COM 532457108 399 4,740 SH   SOLE   4,740 0 0
Marsh & McLennan Cos Inc COM 571748102 577 10,403 SH   SOLE   10,403 0 0
McCormick & Co Non Vtg Shs COM NON VTG 579780206 14,031 163,992 SH   SOLE   163,992 0 0
McDonalds Corp COM 580135101 371 3,141 SH   SOLE   3,141 0 0
Medtronic PLC SHS ADDED G5960L103 13,575 176,481 SH   SOLE   176,481 0 0
MercadoLibre Inc. COM 58733R102 1,996 17,461 SH   SOLE   17,461 0 0
Merck & Co Inc New COM 58933Y105 2,586 48,965 SH   SOLE   48,965 0 0
Microchip Technology Inc COM 595017104 1,333 28,640 SH   SOLE   28,640 0 0
Microsoft Corp COM 594918104 33,345 601,032 SH   SOLE   601,032 0 0
Mobileye N.V. ORD SHS N51488117 5,656 133,769 SH   SOLE   133,769 0 0
Moody's Corporation COM 615369105 702 7,000 SH   SOLE   7,000 0 0
National Fuel Gas Company COM 636180101 299 7,000 SH   SOLE   7,000 0 0
NeoGenomics, Inc. COM NEW 64049M209 102 13,000 SH   SOLE   13,000 0 0
Norfolk Southern Corp COM 655844108 299 3,530 SH   SOLE   3,530 0 0
Northern Trust Corp COM 665859104 705 9,779 SH   SOLE   9,779 0 0
Novartis AG Sponsored ADR SPONSORED ADR 66987V109 653 7,585 SH   SOLE   7,585 0 0
Novo-Nordisk A S ADR ADR 670100205 290 5,000 SH   SOLE   5,000 0 0
Nuveen Muni Value Fund COM 670928100 192 18,847 SH   SOLE   18,847 0 0
Occidental Petroleum Corp Com COM 674599105 209 3,095 SH   SOLE   3,095 0 0
OvaScience, Inc. COM 69014Q101 1,588 162,560 SH   SOLE   162,560 0 0
Paychex Incorporated COM 704326107 12,654 239,253 SH   SOLE   239,253 0 0
Pepsico Incorporated COM 713448108 6,602 66,070 SH   SOLE   66,070 0 0
Pfizer Incorporated COM 717081103 2,645 81,946 SH   SOLE   81,946 0 0
Philip Morris Intl Inc COM 718172109 710 8,078 SH   SOLE   8,078 0 0
Phillips 66 COM 718546104 363 4,441 SH   SOLE   4,441 0 0
PIMCO Dynamic Credit Income Fund COM SHS 72202D106 14,852 823,714 SH   SOLE   823,714 0 0
PIMCO Dynamic Income Fund SHS 72201Y101 1,625 59,411 SH   SOLE   59,411 0 0
PIMCO Enhanced Short Maturity ETF ENHAN SHRT MA AC 72201R833 12,060 119,869 SH   SOLE   119,869 0 0
Plum Creek Timber Co Inc COM 729251108 229 4,790 SH   SOLE   4,790 0 0
Portland General Electric Co COM NEW 736508847 8,504 233,824 SH   SOLE   233,824 0 0
Praxair Incorporated COM 74005P104 6,122 59,788 SH   SOLE   59,788 0 0
Procter & Gamble Co COM 742718109 13,346 168,069 SH   SOLE   168,069 0 0
Qualcomm Inc COM 747525103 10,675 213,556 SH   SOLE   213,556 0 0
Raytheon Co New COM NEW 755111507 561 4,507 SH   SOLE   4,507 0 0
Rio Tinto PLC ADR SPONSORED ADR 767204100 474 16,265 SH   SOLE   16,265 0 0
Rockwell Automation Inc. COM 773903109 236 2,300 SH   SOLE   2,300 0 0
Rofin-Sinar Technologies Inc COM 775043102 455 17,000 SH   SOLE   17,000 0 0
Royal Dutch Shell PLC ADR A SPONS ADR A 780259206 226 4,928 SH   SOLE   4,928 0 0
RPM International Inc Delaware COM 749685103 2,343 53,188 SH   SOLE   53,188 0 0
Schlumberger Limited COM 806857108 12,300 176,350 SH   SOLE   176,350 0 0
Sealed Air Corporation COM 81211K100 1,356 30,400 SH   SOLE   30,400 0 0
Simon Property Group COM 828806109 212 1,091 SH   SOLE   1,091 0 0
Snap-On Inc. COM 833034101 1,746 10,185 SH   SOLE   10,185 0 0
Solera Holdings Inc COM 83421A104 3,907 71,255 SH   SOLE   71,255 0 0
Southern Company COM 842587107 207 4,427 SH   SOLE   4,427 0 0
SPDR S & P 500 ETF Trust TR UNIT 78462F103 8,879 43,552 SH   SOLE   43,552 0 0
SPDR S&P Dividend ETF S&P DIVID ETF 78464A763 227 3,081 SH   SOLE   3,081 0 0
Stericycle Inc COM 858912108 10,590 87,809 SH   SOLE   87,809 0 0
Stryker Corporation COM 863667101 1,092 11,750 SH   SOLE   11,750 0 0
Sysco Incorporated COM 871829107 427 10,407 SH   SOLE   10,407 0 0
Target Incorporated COM 87612E106 901 12,404 SH   SOLE   12,404 0 0
TE Connectivity Ltd. REG SHS H84989104 6,508 100,722 SH   SOLE   100,722 0 0
Texas Instruments Inc COM 882508104 231 4,214 SH   SOLE   4,214 0 0
Thermo Fisher Scientific Inc COM 883556102 16,871 118,937 SH   SOLE   118,937 0 0
TJX Companies COM 872540109 12,013 169,415 SH   SOLE   169,415 0 0
Travelers Companies Inc COM 89417E109 1,064 9,429 SH   SOLE   9,429 0 0
UGI Corporation COM 902681105 19,084 565,277 SH   SOLE   565,277 0 0
Union Pacific Corp COM 907818108 4,809 61,492 SH   SOLE   61,492 0 0
United Parcel Service Inc Cl B CL B 911312106 17,422 181,042 SH   SOLE   181,042 0 0
United Technologies Corp COM 913017109 1,419 14,767 SH   SOLE   14,767 0 0
Unum Group COM 91529Y106 266 8,000 SH   SOLE   8,000 0 0
US Bancorp COM NEW 902973304 226 5,302 SH   SOLE   5,302 0 0
Valhi Incorporated COM 918905100 327 244,000 SH   SOLE   244,000 0 0
Valley National Bancorp COM 919794107 446 45,250 SH   SOLE   45,250 0 0
Vanguard Bond Index ETF TOTAL BND MRKT 921937835 3,856 47,746 SH   SOLE   47,746 0 0
Vanguard Emerging Markets Fund FTSE EMR MKT ETF 922042858 1,037 31,697 SH   SOLE   31,697 0 0
Vanguard Europe Fund FTSE EUROPE ETF 922042874 13,112 262,870 SH   SOLE   262,870 0 0
Vanguard Extended Market Index Fund EXTEND MKT ETF 922908652 859 10,254 SH   SOLE   10,254 0 0
Vanguard FTSE All-World Ex-US ETF ALLWRLD EX US 922042775 1,020 23,500 SH   SOLE   23,500 0 0
Vanguard Index Funds Mid Cap Value ETF MCAP VL IDXVIP 922908512 775 9,020 SH   SOLE   9,020 0 0
Vanguard Index Tr Total Stk Mkt Vipers TOTAL STK MKT 922908769 1,459 13,992 SH   SOLE   13,992 0 0
Vanguard Midcap ETF MID CAP ETF 922908629 379 3,153 SH   SOLE   3,153 0 0
Vanguard MSCI Europe Pacific Index Fund FTSE DEV MKT ETF 921943858 974 26,535 SH   SOLE   26,535 0 0
Vanguard Short Term Bond ETF SHORT TRM BOND 921937827 10,403 130,744 SH   SOLE   130,744 0 0
Vanguard Specialized REIT ETF REIT ETF 922908553 334 4,183 SH   SOLE   4,183 0 0
Vanguard Value Index Fund VALUE ETF 922908744 1,769 21,700 SH   SOLE   21,700 0 0
Vanguard Whitehall Fds High Div Yld HIGH DIV YLD 921946406 813 12,187 SH   SOLE   12,187 0 0
Verastem, Inc. COM 92337C104 504 270,739 SH   SOLE   270,739 0 0
VeriFone Systems Inc COM 92342Y109 4,032 143,914 SH   SOLE   143,914 0 0
Verizon Communications Inc COM 92343V104 6,704 145,046 SH   SOLE   145,046 0 0
Visa Corporation CL A 92826C839 25,279 325,970 SH   SOLE   325,970 0 0
Vodafone Group PLC Spon ADR New SPNSR ADR NO PAR 92857W308 7,532 233,477 SH   SOLE   233,477 0 0
Walgreens Boots Alliance Inc Com COM 931427108 25,662 301,357 SH   SOLE   301,357 0 0
Waste Management, Inc. COM 94106L109 573 10,740 SH   SOLE   10,740 0 0
Watsco Inc COM 942622200 17,541 149,756 SH   SOLE   149,756 0 0
Wellesley Bancorp. COM 949485106 475 25,000 SH   SOLE   25,000 0 0
Wells Fargo & Company COM 949746101 16,389 301,487 SH   SOLE   301,487 0 0
Welltower, Inc COM 95040Q104 243 3,570 SH   SOLE   3,570 0 0
Weyerhaeser Co. COM 962166104 210 7,000 SH   SOLE   7,000 0 0
WisdomTree Europe Hedged Equity Fund EUROPE HEDGED EQ 97717X701 372 6,906 SH   SOLE   6,906 0 0
Wisdomtree Intl Midcap Div Fund INTL MIDCAP DV 97717W778 15,136 272,720 SH   SOLE   272,720 0 0
Yandex NV Cl A CLASS A N97284108 5,541 352,500 SH   SOLE   352,500 0 0
Yum! Brands, Inc. COM 988498101 8,639 118,261 SH   SOLE   118,261 0 0
ZAIS Group Holdings COM 98887G106 419 45,200 SH   SOLE   45,200 0 0
Zimmer Holdings Inc COM 98956P102 711 6,935 SH   SOLE   6,935 0 0