| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| GILLMAN & SHAPIRO,CPA'S | 2,415 | 1,208 | 0 | 1,207 |
| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 20000 Wells Fargo & Co 3% 12/9/2011 | ||
| 325 Vanguard Short Term Corp Bd Fd | 24,750 | 25,158 |
| 2384.74 Templeton Income Tr Global Bd Fd | 30,000 | 32,337 |
| 600 Repsol Int'l Capital Ltd 7.45% | 15,278 | 15,408 |
| 400 Repsol Int'l Capital Ltd 7.45% | ||
| 25000 Pfizer Inc 4.45% 3/15/2012 | ||
| 20000 Pepsiamericas Inc 4.375% 2/15/2014 | 20,020 | 21,646 |
| 20000 Novartis Capital Corp 4.125% | 20,280 | 21,359 |
| 300 Ishares Barclays Tips Bond Fund | 29,904 | 32,256 |
| 20000 Hewlett Packard CO 6.125 % | 20,111 | 22,665 |
| 50000 General Electric Cap Corp 4.25% | ||
| 10204.08 Franklin Hi Income Tr Adv | 20,000 | 20,510 |
| 300 FPL Group Cap Inc 6.6% | ||
| 700 Nextera Energy Cap Hldgs Inc 6.6% | 16,800 | 17,927 |
| 20000 Duke University 4.2% 4/1/2014 | 20,256 | 21,567 |
| 20000 Duke Energy Corp 6.3% 2/1/2014 | 20,335 | 22,293 |
| 20000 Conocophillips 4.75% 2/1/2014 | 20,180 | 21,741 |
| 25000 Coca Cola Co 3.625% 3/15/2014 | ||
| 20000 CME Group Inc 5.75% 2/15/2014 | 20,214 | 22,161 |
| 25000 Chevron Corp 3.45% 3/3/2012 | 25,187 | 25,804 |
| 25000 Chevron Corp 3.95% 3/3/2014 | 25,116 | 26,709 |
| 10000 Bank of America Corp Nt 3.125% | ||
| 25000 American Int'l Group Inc3.65% | 25,164 | 25,463 |
| 20000 Aflac Inc 8.5% 5/15/2019 | 20,800 | 24,769 |
| 4195.83 Federal National Mortgage 6.5% | 4,206 | 4,719 |
| 174.72 Federal National Mortgage 6.5% | ||
| SCHEDULE ATTACHED |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 700 Weatherford International Ltd | ||
| 200 Visa Inc | 10,402 | 14,076 |
| 300 VF Corp | 15,564 | 25,854 |
| 1500 Vanguard Emerging Markets | 60,939 | 72,225 |
| 300 United Technologies Corp | 9,152 | 23,616 |
| 200 Transocean Ltd | ||
| 400 Thermo Fisher Scientific Inc | 13,119 | 22,144 |
| 200 Spdr Gold Trust | 13,908 | 27,744 |
| 600 Sector Spdr Trust | ||
| 200 Schlumberger Ltd | 4,914 | 16,700 |
| 100 Schlumberger Ltd | ||
| 50 Salesforce.Com Inc | 4,883 | 6,600 |
| 350 Roche Holdings Ltd Adr | 10,988 | 12,828 |
| 250 Polycom Inc | ||
| 250 Philip Morris International Inc | 8,542 | 14,633 |
| 200 Petroleo Brasilero SA Petrobas Spon | ||
| 700 Packaging Corp Amer | ||
| 1000 Nuance Communications Inc | 14,656 | 18,180 |
| 200 Nike Inc | 13,082 | 17,084 |
| 300 National Oilwell Varco Inc | 7,256 | 20,175 |
| 300 Monsato Co New | ||
| 400 Microchip Technology Inc | 10,265 | 13,684 |
| 200 Merck & Co | 7,378 | 7,208 |
| 400 Mead Johnson Nutrition Co | 17,790 | 24,900 |
| 200 McDonalds Corp | 14,681 | 15,352 |
| 500 JP Morgan Chase Cap | 16,503 | 21,210 |
| 200 Joy Global Inc | ||
| 400 Itau Unibanco Holding SA Adr | 8,580 | 9,604 |
| 800 Ishares MSCI Emerging Mkt Index Fd | ||
| 500 Ishares MSCI Australia Index | 11,387 | 12,720 |
| 250 International Business Machine Corp | 13,395 | 36,690 |
| 50 International Business Machine Corp | ||
| 700 Indutrivarden AB Ser C Fr | 9,347 | 12,304 |
| 900 Hyundai Motor Co | 15,132 | 23,796 |
| 2000 Hengan International Group Co | 9,253 | 17,253 |
| 200 Halliburton Co | 6,213 | 8,166 |
| 450 Gilead Sciences | ||
| 300 General Mills Inc | ||
| 200 General Dynamics Corp | ||
| 200 Emerson Electric Co | 9,256 | 11,434 |
| 900 EMC Corp | 16,055 | 20,610 |
| 3567.804 Eaton Vance Small Cap Fd | 45,000 | 53,089 |
| 400 Directv Group Inc | ||
| 150 Cummins Inc | 11,757 | 16,502 |
| 200 Conocphillips | 10,098 | 13,620 |
| 800 Cisco Systems Inc | 18,156 | 16,184 |
| 200 China Life Insd Co | ||
| 100 Chevron Corp | 7,877 | 9,125 |
| 350 Celgene Corp | ||
| 200 Caterpillar Inc | 12,978 | 18,732 |
| 350 BHP Limited Spon Adr | 6,153 | 32,522 |
| 200 Bershire Hathaway | 13,740 | 16,022 |
| 150 Berkshire Hathaway | ||
| 850 Banco Santander Brasil | 11,212 | 11,560 |
| 100 Baidu.Com Adr | 9,847 | 9,653 |
| 350 Avago Technologies Ltd | ||
| 100 Apple Inc | 21,822 | 32,256 |
| 250 Altria Group Inc | 3,749 | 6,155 |
| 400 Aflac Inc | 19,372 | 22,572 |
| 1000 Activision Blizzard Inc | ||
| Cash Mgmt Reserve Money Mkt | 100,461 | 100,461 |
| SCHEDULE ATTACHED |
| Category/ Item | Listed at Cost or FMV | Book Value | End of Year Fair Market Value |
|---|---|---|---|
| OID ON US TSY NOTES INFLATION INDEX | AT COST | 3,766 | 3,766 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| GUTTER CHAVES JOSEPHER ET AL | 1,254 | 627 | 0 | 627 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Other | 75 | 75 | ||
| Dividend Investment Expenses | 287 | 287 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Foreign Tax on Dividends | 369 | 369 | ||
| Excise Tax paid during year | 1,265 | 1,265 |