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Proc-Type: 2001,MIC-CLEAR
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<SEC-DOCUMENT>0000908195-10-000001.txt : 20100211
<SEC-HEADER>0000908195-10-000001.hdr.sgml : 20100211
<ACCEPTANCE-DATETIME>20100211134727
ACCESSION NUMBER:		0000908195-10-000001
CONFORMED SUBMISSION TYPE:	13F-HR
PUBLIC DOCUMENT COUNT:		1
CONFORMED PERIOD OF REPORT:	20091231
FILED AS OF DATE:		20100211
DATE AS OF CHANGE:		20100211
EFFECTIVENESS DATE:		20100211

FILER:

	COMPANY DATA:	
		COMPANY CONFORMED NAME:			SHUFRO ROSE & CO LLC
		CENTRAL INDEX KEY:			0000908195
		IRS NUMBER:				135390713
		STATE OF INCORPORATION:			NY
		FISCAL YEAR END:			1231

	FILING VALUES:
		FORM TYPE:		13F-HR
		SEC ACT:		1934 Act
		SEC FILE NUMBER:	028-04541
		FILM NUMBER:		10590838

	BUSINESS ADDRESS:	
		STREET 1:		745 FIFTH AVENUE
		STREET 2:		26TH FLOOR
		CITY:			NEW YORK
		STATE:			NY
		ZIP:			10151-2600
		BUSINESS PHONE:		2127545100

	MAIL ADDRESS:	
		STREET 1:		745 FIFTH AVENUE
		STREET 2:		26TH FLOOR
		CITY:			NEW YORK
		STATE:			NY
		ZIP:			10151-2600

	FORMER COMPANY:	
		FORMER CONFORMED NAME:	SHUFRO ROSE EHRMAN
		DATE OF NAME CHANGE:	19930624
</SEC-HEADER>
<DOCUMENT>
<TYPE>13F-HR
<SEQUENCE>1
<FILENAME>shufrorose12312009.txt
<TEXT>
UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C.  20549


FORM 13F

FORM 13F COVER PAGE


Report for the Calendar Year or Quarter Ended: December 31, 2009


Check here if Amendment (); Amendment Number:
This Amendment (Check only one):			( )	is a restatement.
						(X)	adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name:		Shufro Rose & Co, LLC
Address:	745 Fifth Avenue
		26th Floor
		New York, NY  10151

13F File Number:28-792

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:		Steven J. Glass
Title:		Managing Director
Phone:		212-754-5100
Signature, Place, and Date of Signing:

	Steven J. Glass		New York, NY		February 11, 2010

Report Type (Check only one):

(X)	13F HOLDINGS REPORT
(   )	13F NOTICE
(   )	13F COMBINATION REPORT

I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE ACT OF 1934.


                             FORM 13F SUMMARY PAGE
                              AS OF DATE: 12/31/09
                         RUN DATE: 2/11/10  12:00 P.M.


REPORT SUMMARY:

NUMBER OF OTHER INCLUDED MANAGERS:        0

FORM 13F INFORMATION TABLE ENTRY TOTAL:   234

FORM 13F INFORMATION TABLE VALUE TOTAL:   $640,133,680.98



LIST OF OTHER INCLUDED MANAGERS:

NO.   13F FILE NUMBER      NAME


<TABLE>
<C>                                              <C>
                                                       Shufro, Rose & CO LLC                                       Page:       1
                                                    Form 13F Information Table
                                                      As of Date: 12/31/2009
- - Voting Authority -             Title
   Name of Issuer               of Class  - CUSIP -     Value       Shares/   SH/ Put/ Invstmt/  Oth        Voting Authority
Shared          None                                  (X $1000)     Prn Amt   Prn Call Dscretn  Mgrs      Sole   Shared     None
BLACKROCK MUNIHOLDINGS NY INSD FUND       09255C106         147       11,171  SH        SOLE                   0    0        11,171
BLACKROCK MUNIYIELD NY INSD FD FUND       09255E102         259       22,000  SH        SOLE                   0    0        22,000
VAN KAMPEN TR FOR INVESTMENT   FUND       920929106         286       20,680  SH        SOLE                   0    0        20,680
VAN KAMPEN TR FOR INVESTMENT   FUND       920931102         164       11,573  SH        SOLE                   0    0        11,573
WESTERN ASSET MUN PARTNERS FD  FUND       95766P108         225       16,900  SH        SOLE                   0    0        16,900
NETWORK EQP CV  7.25%  5-15-14 CONV BND   641208AA1       2,977    3,346,000  PRN       SOLE                   0    0     3,346,000
ROYAL BANK SCOTLAND 6.40% PFD  PFD        780097796         704       67,100  SH        SOLE                   0    0        67,100
BLACKROCK FLT RT STRATEGIES FD FUND       09255X100         919       64,600  SH        SOLE                   0    0        64,600
DREYFUS HIGH YIELD STRATEGIES  FUND       26200S101          56       15,000  SH        SOLE                   0    0        15,000
DWS MULTI MKT INCOME TR        FUND       23338L108         359       41,800  SH        SOLE                   0    0        41,800
EATON VANCE LTD DURATION INC   FUND       27828H105         696       46,751  SH        SOLE                   0    0        46,751
1ST TR / 4 CORNERS SR FLOAT FD FUND       33733U108         274       23,100  SH        SOLE                   0    0        23,100
NUVEEN (JTP) QLTY PFD INC FUND FUND       67071S101         116       17,800  SH        SOLE                   0    0        17,800
NUVEEN (JHP) QLTY PFD INC FD 3 FUND       67072W101         138       19,850  SH        SOLE                   0    0        19,850
NUVEEN MULTI-STRATEGY INCOME & FUND       67073B106          74       10,000  SH        SOLE                   0    0        10,000
NUVEEN MULTI-STRATEGY INC AND  FUND       67073D102         125       16,300  SH        SOLE                   0    0        16,300
PIMCO FLOATING RATE INCOME FD  FUND       72201H108         203       18,000  SH        SOLE                   0    0        18,000
PUTNAM PREMIER INCOME TRUST    FUND       746853100         109       17,920  SH        SOLE                   0    0        17,920
COHEN & STEERS REIT & UTIL FND FUND       19247Y108         217       20,500  SH        SOLE                   0    0        20,500
WESTERN ASSET GLBL PTNS INC FD FUND       95766G108         209       18,200  SH        SOLE                   0    0        18,200
AUDIOCODES LTD ORD             COM        M15342104          25       10,000  SH        SOLE                   0    0        10,000
ACUSPHERE INC                  COM        00511R870           1       16,000  SH        SOLE                   0    0        16,000
ADAPTEC                        COM        00651F108         334       99,800  SH        SOLE                   0    0        99,800
AGILYSYS                       COM        00847J105       7,915      869,850  SH        SOLE                   0    0       869,850
AGRIUM INC                     COM        008916108      10,869      176,735  SH        SOLE                   0    0       176,735
AMERICAN EAGLE OUTFITTERS      COM        02553E106         393       23,200  SH        SOLE                   0    0        23,200
AMERICAN EXPRESS               COM        025816109       1,502       37,090  SH        SOLE                   0    0        37,090
AMERICAN SOFTWARE              COM        029683109         153       25,550  SH        SOLE                   0    0        25,550
AMGEN INC                      COM        031162100         213        3,775  SH        SOLE                   0    0         3,775
APPLE COMPUTER                 COM        037833100         217        1,030  SH        SOLE                   0    0         1,030
APPLIED MATERIALS              COM        038222105       1,784      127,982  SH        SOLE                   0    0       127,982
AT&T INC                       COM        00206R102       1,098       39,182  SH        SOLE                   0    0        39,182
ATLANTIC AMERICAN CORP         COM        048209100         104       81,800  SH        SOLE                   0    0        81,800
AUTOMATIC DATA PROCESSING      COM        053015103       4,434      103,550  SH        SOLE                   0    0       103,550
AVX                            COM        002444107       8,717      688,040  SH        SOLE                   0    0       688,040
BAFFINLAND IRON MINES          COM        056620107           4       10,000  SH        SOLE                   0    0        10,000
BANK OF AMERICA                COM        060505104       1,404       93,285  SH        SOLE                   0    0        93,285
BANK OF NEW YORK MELLON        COM        064058100         669       23,928  SH        SOLE                   0    0        23,928
BAR HARBOR BANKSHARES          COM        066849100       5,985      218,050  SH        SOLE                   0    0       218,050
BERKSHIRE BANCORP              COM        084597202         450       75,070  SH        SOLE                   0    0        75,070
BERKSHIRE HATHAWAY A SHARES    COM        084670108         992           10  SH        SOLE                   0    0            10
BERKSHIRE HATHAWAY B SHARES    COM        084670207       6,437        1,959  SH        SOLE                   0    0         1,959
BIODELIVERY SCIENCES INTL      COM        09060J106         196       49,900  SH        SOLE                   0    0        49,900
BNCCORP INC                    COM        055936108          21       11,500  SH        SOLE                   0    0        11,500
BOSTON PRIVATE FINANCIAL HLDGS COM        101119105          91       15,900  SH        SOLE                   0    0        15,900
BP PLC                         COM        055622104       1,366       23,565  SH        SOLE                   0    0        23,565
BRESLER & REINER               COM        107336109          22       12,600  SH        SOLE                   0    0        12,600
BRISTOL-MYERS SQUIBB           COM        110122108         509       20,194  SH        SOLE                   0    0        20,194
BROOKS AUTOMATION              COM        114340102         370       43,200  SH        SOLE                   0    0        43,200
BROWN SHOE COMPANY             COM        115736100       2,579      261,300  SH        SOLE                   0    0       261,300
CABELA'S INC                   COM        126804301       1,144       80,240  SH        SOLE                   0    0        80,240
                                                      Shufro, Rose & CO LLC                                       Page:       2
                                                    Form 13F Information Table
                                                      As of Date: 12/31/2009
- - Voting Authority -             Title
   Name of Issuer               of Class  - CUSIP -     Value       Shares/   SH/ Put/ Invstmt/  Oth        Voting Authority
Shared          None                                  (X $1000)     Prn Amt   Prn Call Dscretn  Mgrs      Sole   Shared     None
CALAMP CORP                    COM        128126109          56       16,300  SH        SOLE                   0    0        16,300
CARNIVAL CRUISE LINES          COM        143658300         362       11,450  SH        SOLE                   0    0        11,450
CARRIAGE SERVICES              COM        143905107         199       50,750  SH        SOLE                   0    0        50,750
CBS CLASS B                    COM        124857202         147       10,500  SH        SOLE                   0    0        10,500
CENTRUE FINANCIAL              COM        15643B106          38       14,300  SH        SOLE                   0    0        14,300
CHESAPEAKE ENERGY              COM        165167107         715       27,650  SH        SOLE                   0    0        27,650
CHEVRON CORP                   COM        166764100       3,117       40,493  SH        SOLE                   0    0        40,493
CHICOS FAS                     COM        168615102      10,690      760,925  SH        SOLE                   0    0       760,925
CIMAREX ENERGY                 COM        171798101         274        5,183  SH        SOLE                   0    0         5,183
CISCO SYSTEMS                  COM        17275R102         667       27,896  SH        SOLE                   0    0        27,896
CITADEL BROADCASTING           COM        17285T106           0       12,317  SH        SOLE                   0    0        12,317
CITIGROUP                      COM        172967101         657      198,554  SH        SOLE                   0    0       198,554
COCA-COLA                      COM        191216100         222        3,910  SH        SOLE                   0    0         3,910
COMCAST NEW CLASS A            COM        20030N101         310       18,415  SH        SOLE                   0    0        18,415
COMMERCIAL METALS              COM        201723103         757       48,400  SH        SOLE                   0    0        48,400
CONOCOPHILLIPS                 COM        20825C104         544       10,663  SH        SOLE                   0    0        10,663
COOLBRANDS INTERNATIONAL       COM        21639P307         172      153,500  SH        SOLE                   0    0       153,500
CORNING                        COM        219350105         424       21,983  SH        SOLE                   0    0        21,983
COSTCO WHOLESALE               COM        22160K105         520        8,800  SH        SOLE                   0    0         8,800
CVS CAREMARK                   COM        126650100       1,857       57,655  SH        SOLE                   0    0        57,655
DELL INC                       COM        24702R101         294       20,475  SH        SOLE                   0    0        20,475
DISNEY WALT                    COM        254687106       5,269      163,406  SH        SOLE                   0    0       163,406
DONEGAL GROUP                  COM        257701201         413       26,630  SH        SOLE                   0    0        26,630
DOT HILL SYSTEMS               COM        25848T109         106       56,150  SH        SOLE                   0    0        56,150
DOVER CORP                     COM        260003108       8,281      199,020  SH        SOLE                   0    0       199,020
D R HORTON                     COM        23331A109         231       21,255  SH        SOLE                   0    0        21,255
DRUGSTORE.COM                  COM        262241102          65       21,200  SH        SOLE                   0    0        21,200
DUPONT                         COM        263534109      12,198      362,307  SH        SOLE                   0    0       362,307
EAGLE MATERIALS                COM        26969P108       1,524       58,520  SH        SOLE                   0    0        58,520
EL PASO CORPORATION            COM        28336L109         273       27,800  SH        SOLE                   0    0        27,800
EMERSON ELECTRIC               COM        291011104         230        5,400  SH        SOLE                   0    0         5,400
ENERGY TRANSFER PARTNERS       COM        29273R109         219        4,890  SH        SOLE                   0    0         4,890
ENER1 INC                      COM        29267A203         214       33,875  SH        SOLE                   0    0        33,875
ENZO BIOCHEM                   COM        294100102         152       28,369  SH        SOLE                   0    0        28,369
ETHAN ALLEN INTERIORS          COM        297602104       4,396      327,615  SH        SOLE                   0    0       327,615
EUROPEAN EQUITY FUND           COM        298768102       2,130      303,075  SH        SOLE                   0    0       303,075
EXCAPSA SOFTWARE               COM        30066E107           0       38,000  SH        SOLE                   0    0        38,000
EXELON CORP                    COM        30161N101      25,000      511,570  SH        SOLE                   0    0       511,570
EXXON MOBIL                    COM        30231G102      19,994      293,223  SH        SOLE                   0    0       293,223
FIRST BANK OF DELAWARE         COM        319307104         147      118,307  SH        SOLE                   0    0       118,307
FIRST CITIZENS BANCORP SC      COM        319460101       1,867        4,611  SH        SOLE                   0    0         4,611
FIRST NATIONAL BANK ALASKA     COM        32112J106       3,691        2,140  SH        SOLE                   0    0         2,140
FLEXIINTERNATIONAL SOFTWARE    COM        338923105          11       75,000  SH        SOLE                   0    0        75,000
FLEXTRONICS INTERNATIONAL LTD  COM        Y2573F102       8,072    1,104,377  SH        SOLE                   0    0     1,104,377
FORD MOTOR CO                  COM        345370860         132       13,202  SH        SOLE                   0    0        13,202
FREIGHTCAR AMERICA             COM        357023100       7,511      378,780  SH        SOLE                   0    0       378,780
FRIEDMAN INDUSTRIES            COM        358435105         664      114,000  SH        SOLE                   0    0       114,000
FULL METAL MINERALS            COM        35968C109           1       10,000  SH        SOLE                   0    0        10,000
GAMESTOP CLASS A               COM        36467W109       1,568       71,508  SH        SOLE                   0    0        71,508
GARMIN LTD                     COM        G37260109         241        7,880  SH        SOLE                   0    0         7,880
GENERAL ELECTRIC               COM        369604103      24,628    1,627,767  SH        SOLE                   0    0     1,627,767
                                                      Shufro, Rose & CO LLC                                       Page:       3
                                                    Form 13F Information Table
                                                      As of Date: 12/31/2009
- - Voting Authority -             Title
   Name of Issuer               of Class  - CUSIP -     Value       Shares/   SH/ Put/ Invstmt/  Oth        Voting Authority
Shared          None                                  (X $1000)     Prn Amt   Prn Call Dscretn  Mgrs      Sole   Shared     None
GERON CORP                     COM        374163103         589      106,200  SH        SOLE                   0    0       106,200
GREATER CHINA FUND             COM        39167B102       1,071       77,009  SH        SOLE                   0    0        77,009
GUARANTY BANCORP               COM        40075T102          41       31,200  SH        SOLE                   0    0        31,200
HARDINGE INC                   COM        412324303         211       38,400  SH        SOLE                   0    0        38,400
HARRIS & HARRIS GROUP          COM        413833104       2,864      626,900  SH        SOLE                   0    0       626,900
HARRY WINSTON DIAMOND          COM        41587B100         118       12,500  SH        SOLE                   0    0        12,500
HCC INSURANCE HOLDINGS         COM        404132102       1,647       58,910  SH        SOLE                   0    0        58,910
HEALTH FITNESS CORPORATION     COM        42217V201       1,248      162,400  SH        SOLE                   0    0       162,400
OPKO HEALTH INC                COM        68375N103          18       10,000  SH        SOLE                   0    0        10,000
HECLA MINING                   COM        422704106          64       10,500  SH        SOLE                   0    0        10,500
HEWLETT PACKARD                COM        428236103      16,372      317,844  SH        SOLE                   0    0       317,844
HOME DEPOT                     COM        437076102       1,189       41,118  SH        SOLE                   0    0        41,118
HUDSON HOLDING                 COM        443793104          24       87,000  SH        SOLE                   0    0        87,000
ILLINOIS TOOL WORKS            COM        452308109       7,703      160,525  SH        SOLE                   0    0       160,525
IMMUCELL CORP NEW              COM        452525306          37       10,000  SH        SOLE                   0    0        10,000
INFOSONICS CORP                COM        456784107          28       27,500  SH        SOLE                   0    0        27,500
INTEL                          COM        458140100      23,143    1,134,499  SH        SOLE                   0    0     1,134,499
INTL BUSINESS MACHINES         COM        459200101       1,820       13,905  SH        SOLE                   0    0        13,905
INTL COAL GROUP                COM        45928H106         843      218,595  SH        SOLE                   0    0       218,595
INTL FRONTIER RESOURCES        COM        459976106           1       25,000  SH        SOLE                   0    0        25,000
INTL PAPER                     COM        460146103      19,750      737,496  SH        SOLE                   0    0       737,496
INTL RECTIFIER                 COM        460254105       9,670      437,165  SH        SOLE                   0    0       437,165
ISTA PHARMACEUTICALS           COM        45031X204          68       15,000  SH        SOLE                   0    0        15,000
JACOBS ENGINEERING GROUP       COM        469814107       8,833      234,865  SH        SOLE                   0    0       234,865
JAPAN EQUITY FUND              COM        471057109       4,934      941,701  SH        SOLE                   0    0       941,701
JAPAN SMALLER CAP FUND         COM        47109U104       3,473      474,550  SH        SOLE                   0    0       474,550
JETBLUE AIRWAYS                COM        477143101          87       16,000  SH        SOLE                   0    0        16,000
JOHNSON & JOHNSON              COM        478160104      20,778      322,601  SH        SOLE                   0    0       322,601
JOY GLOBAL                     COM        481165108         655       12,700  SH        SOLE                   0    0        12,700
KADANT                         COM        48282T104       8,296      519,830  SH        SOLE                   0    0       519,830
KELLY SERVICES CL A            COM        488152208       7,430      622,800  SH        SOLE                   0    0       622,800
KEMET CORP                     COM        488360108         567      476,700  SH        SOLE                   0    0       476,700
KIMBERLY-CLARK                 COM        494368103       1,372       21,550  SH        SOLE                   0    0        21,550
KRATOS DEFENSE & SEC SOLUTIONS COM        50077B207       1,843      174,750  SH        SOLE                   0    0       174,750
KREISLER MANUFACTURING         COM        500773106          47       10,500  SH        SOLE                   0    0        10,500
LAKELAND INDUSTRIES            COM        511795106       2,195      274,497  SH        SOLE                   0    0       274,497
LEGEND INTERNATIONAL HOLDINGS  COM        52467C100          28       20,000  SH        SOLE                   0    0        20,000
LEGG MASON                     COM        524901105         292        9,700  SH        SOLE                   0    0         9,700
LEXINGTON PROPERTY TRUST       COM        529043101         166       27,325  SH        SOLE                   0    0        27,325
LIBERTY MEDIA HLDG INTRACTVE A COM        53071M104         208       19,250  SH        SOLE                   0    0        19,250
LSI CORPORATION                COM        502161102         164       27,410  SH        SOLE                   0    0        27,410
LTX CREDENCE                   COM        502403108          29       16,701  SH        SOLE                   0    0        16,701
M & T BANK CORP                COM        55261F104       1,638       24,500  SH        SOLE                   0    0        24,500
MARTEK BIOSCIENCES             COM        572901106         614       32,450  SH        SOLE                   0    0        32,450
MCCORMICK SCHMICKS SEAFOOD RES COM        579793100         343       49,300  SH        SOLE                   0    0        49,300
MEADOWBROOK INSURANCE GROUP    COM        58319P108         368       49,800  SH        SOLE                   0    0        49,800
MEDTRONIC                      COM        585055106       9,787      222,546  SH        SOLE                   0    0       222,546
MERCK & CO INC                 COM        58933Y105         771       21,125  SH        SOLE                   0    0        21,125
MEREDITH CORP                  COM        589433101       9,192      297,990  SH        SOLE                   0    0       297,990
MERITOR SAVINGS BANK           COM        590007100       1,286      473,000  SH        SOLE                   0    0       473,000
METLIFE                        COM        59156R108       8,239      233,070  SH        SOLE                   0    0       233,070
                                                      Shufro, Rose & CO LLC                                       Page:       4
                                                    Form 13F Information Table
                                                      As of Date: 12/31/2009
- - Voting Authority -             Title
   Name of Issuer               of Class  - CUSIP -     Value       Shares/   SH/ Put/ Invstmt/  Oth        Voting Authority
Shared          None                                  (X $1000)     Prn Amt   Prn Call Dscretn  Mgrs      Sole   Shared     None
MFS INTERMED INCOME TRUST      COM        55273C107         119       17,900  SH        SOLE                   0    0        17,900
MICROSOFT                      COM        594918104         638       20,947  SH        SOLE                   0    0        20,947
MOBILE MINI                    COM        60740F105       6,748      478,980  SH        SOLE                   0    0       478,980
MONMOUTH REAL ESTATE INVT CORP COM        609720107         225       30,350  SH        SOLE                   0    0        30,350
JPMORGAN CHASE & CO            COM        46625H100      14,558      349,384  SH        SOLE                   0    0       349,384
MUELLER WATER PRODUCTS         COM        624758108         286       55,000  SH        SOLE                   0    0        55,000
MYLAN INC                      COM        628530107         205       11,130  SH        SOLE                   0    0        11,130
NAM TAI ELECTRONICS            COM        629865205          64       12,300  SH        SOLE                   0    0        12,300
NANOPHASE TECHNOLOGIES         COM        630079101          16       19,300  SH        SOLE                   0    0        19,300
NATIONAL WESTERN LIFE INSUR    COM        638522102       9,070       52,245  SH        SOLE                   0    0        52,245
NAVARRE CORP                   COM        639208107          50       24,000  SH        SOLE                   0    0        24,000
NAVIOS MARITIME                COM        Y62196103         144       23,900  SH        SOLE                   0    0        23,900
NESTLE SA ADR                  COM        641069406         422        8,708  SH        SOLE                   0    0         8,708
NEWCASTLE INVESTMENT           COM        65105M108          28       13,500  SH        SOLE                   0    0        13,500
NEWPORT CORP                   COM        651824104       6,786      738,475  SH        SOLE                   0    0       738,475
OFFICE DEPOT                   COM        676220106         627       97,300  SH        SOLE                   0    0        97,300
OLD REPUBLIC                   COM        680223104         727       72,500  SH        SOLE                   0    0        72,500
OMEGA PROTEIN                  COM        68210P107         661      151,700  SH        SOLE                   0    0       151,700
ON ASSIGNMENT                  COM        682159108          89       12,500  SH        SOLE                   0    0        12,500
ONE BEACON INSURANCE LTD       COM        G67742109       2,106      152,850  SH        SOLE                   0    0       152,850
OPNEXT INC                     COM        68375V105          36       19,400  SH        SOLE                   0    0        19,400
PACIFIC ASIA PETROLEUM         COM        693864100         326       70,000  SH        SOLE                   0    0        70,000
PAMRAPO BANCORP                COM        697738102         236       30,100  SH        SOLE                   0    0        30,100
PDL BIOPHARMA                  COM        69329Y104         102       15,000  SH        SOLE                   0    0        15,000
PENN VIRGINIA GP HOLDINGS      COM        70788P105         905       54,300  SH        SOLE                   0    0        54,300
PEPSICO INC                    COM        713448108       1,236       20,337  SH        SOLE                   0    0        20,337
PETROLEUM DEVELOPMENT          COM        716578109       1,165       64,000  SH        SOLE                   0    0        64,000
PFIZER INC                     COM        717081103      10,554      580,211  SH        SOLE                   0    0       580,211
PHILIPS ELECTRONICS            COM        500472303         314       10,684  SH        SOLE                   0    0        10,684
POWERSHARES QQQ TRUST SERIES 1 COM        73935A104         289        6,305  SH        SOLE                   0    0         6,305
PRIMEENERGY CORP               COM        74158E104       1,037       28,500  SH        SOLE                   0    0        28,500
PROCTER & GAMBLE               COM        742718109         277        4,575  SH        SOLE                   0    0         4,575
PROSPECT CAPITAL               COM        74348T102       1,570      133,000  SH        SOLE                   0    0       133,000
QUALCOMM                       COM        747525103       1,031       22,300  SH        SOLE                   0    0        22,300
RAMCO GERSHENSON PROPERTIES TR COM        751452202         436       45,800  SH        SOLE                   0    0        45,800
REGAL-BELOIT                   COM        758750103       3,537       68,100  SH        SOLE                   0    0        68,100
ROCKWELL AUTOMATION            COM        773903109      13,921      296,337  SH        SOLE                   0    0       296,337
ROYAL DUTCH SHELL PLC ADR A    COM        780259206         355        5,910  SH        SOLE                   0    0         5,910
ST JOE CO                      COM        790148100         242        8,390  SH        SOLE                   0    0         8,390
SAKS INC                       COM        79377W108       1,420      216,571  SH        SOLE                   0    0       216,571
SALISBURY BANCORP              COM        795226109       1,604       73,750  SH        SOLE                   0    0        73,750
SANOFI AVENTIS                 COM        80105N105         424       10,800  SH        SOLE                   0    0        10,800
SCHEIN (HENRY)                 COM        806407102         820       15,600  SH        SOLE                   0    0        15,600
SCHLUMBERGER LTD               COM        806857108         215        3,310  SH        SOLE                   0    0         3,310
SCHMITT INDUSTRIES             COM        806870200         770      220,000  SH        SOLE                   0    0       220,000
SEABOARD CORP                  COM        811543107         215          160  SH        SOLE                   0    0           160
SE FINANCIAL                   COM        78412R108         192       38,595  SH        SOLE                   0    0        38,595
SENECA FOODS NEW               COM        817070501         909       38,100  SH        SOLE                   0    0        38,100
SILICON STORAGE TECHNOLOGY     COM        827057100          43       17,000  SH        SOLE                   0    0        17,000
SIMPSON MANUFACTURING          COM        829073105       8,560      318,345  SH        SOLE                   0    0       318,345
SONOCO PRODUCTS                COM        835495102      16,913      578,235  SH        SOLE                   0    0       578,235
                                                      Shufro, Rose & CO LLC                                       Page:       5
                                                    Form 13F Information Table
                                                      As of Date: 12/31/2009
- - Voting Authority -             Title
   Name of Issuer               of Class  - CUSIP -     Value       Shares/   SH/ Put/ Invstmt/  Oth        Voting Authority
Shared          None                                  (X $1000)     Prn Amt   Prn Call Dscretn  Mgrs      Sole   Shared     None
SONOSITE                       COM        83568G104       1,232       52,175  SH        SOLE                   0    0        52,175
STRATTEC SECURITY              COM        863111100       3,590      194,055  SH        SOLE                   0    0       194,055
SUPERIOR INDUSTRIES INTL       COM        868168105       2,864      187,250  SH        SOLE                   0    0       187,250
SWISS HELVETIA FUND            COM        870875101       6,505      559,822  SH        SOLE                   0    0       559,822
SYMMETRICOM INC                COM        871543104         582      112,000  SH        SOLE                   0    0       112,000
SYNERON MEDICAL                COM        M87245102         127       12,200  SH        SOLE                   0    0        12,200
SYSCO CORP                     COM        871829107         312       11,190  SH        SOLE                   0    0        11,190
TARGET CORP                    COM        87612E106         777       16,064  SH        SOLE                   0    0        16,064
TELLABS                        COM        879664100         258       45,475  SH        SOLE                   0    0        45,475
TEMPLETON DRAGON FD            COM        88018T101         945       34,700  SH        SOLE                   0    0        34,700
TERADYNE                       COM        880770102       1,633      152,240  SH        SOLE                   0    0       152,240
THERMO FISHER SCIENTIFIC       COM        883556102      10,130      212,425  SH        SOLE                   0    0       212,425
TIME WARNER CABLE              COM        88732J207         389        9,406  SH        SOLE                   0    0         9,406
TIME WARNER                    COM        887317303       1,065       36,572  SH        SOLE                   0    0        36,572
TRINITY INDUSTRIES             COM        896522109         317       18,200  SH        SOLE                   0    0        18,200
UNITED CAPITAL                 COM        909912107         365       15,350  SH        SOLE                   0    0        15,350
UNITED PARCEL SERVICE          COM        911312106      14,152      246,691  SH        SOLE                   0    0       246,691
US GYPSUM                      COM        903293405       4,343      309,130  SH        SOLE                   0    0       309,130
VALENCE TECH                   COM        918914102          19       21,000  SH        SOLE                   0    0        21,000
VERIZON COMMUNICATIONS         COM        92343V104       1,000       30,207  SH        SOLE                   0    0        30,207
VISHAY INTERTECHNOLOGY         COM        928298108          96       11,500  SH        SOLE                   0    0        11,500
VITESSE SEMICONDUCTOR          COM        928497106          74      293,900  SH        SOLE                   0    0       293,900
VODAFONE GROUP PLC NEW         COM        92857W209         490       21,226  SH        SOLE                   0    0        21,226
WABASH NATIONAL                COM        929566107       1,574      833,000  SH        SOLE                   0    0       833,000
WAL-MART STORES                COM        931142103      18,871      353,073  SH        SOLE                   0    0       353,073
WARWICK VALLEY TELEPHONE       COM        936750108         161       12,400  SH        SOLE                   0    0        12,400
WASHINGTON POST                COM        939640108       2,252        5,125  SH        SOLE                   0    0         5,125
WESTLAKE CHEMICAL              COM        960413102      11,280      452,475  SH        SOLE                   0    0       452,475
WHIRLPOOL CORP                 COM        963320106       9,774      121,176  SH        SOLE                   0    0       121,176
3M COMPANY                     COM        88579Y101      30,006      362,972  SH        SOLE                   0    0       362,972
Line Count:   234
</TABLE>
</TEXT>
</DOCUMENT>
</SEC-DOCUMENT>
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