| Category | Amount |
|---|---|
| N/A | 0 |
| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| CORPORATE BONDS & FIXED INCOME FUNDS - SEE SCHEDULE ATTACHED | 0 | 0 |
| BLACKROCK HIGH YIELD BOND - 13667.99 SHS | 106,747 | 107,977 |
| ISHARES BARCLAYS TIPS BOND FD - 694 SHS | 71,193 | 76,937 |
| JPM CORE BOND FD - SEL - 16878.388 SHS | 182,790 | 195,958 |
| JPM HIGH YIELD FD - SEL - 16268.75 SHS | 128,658 | 135,681 |
| JPM CORE PLUS BOND FD - SEL - 11786.602 SHS | 92,915 | 97,475 |
| JPM SHORT DURATION BOND FD - SEL - 18202.609 SHS | 192,755 | 200,411 |
| RIDGEWORTH FDS SEIX FLRT HI I - 12110.598 SHS | 109,359 | 109,116 |
| DREYFUS/LAUREL FDS TR PRM EMRGN MK I - 1861.537 SHS | 26,379 | 28,388 |
| JPM STR INC OPP FD- 4167.166 SHS | 41,835 | 49,964 |
| JPM INTL CURRENCY INCOME FD - 4591.368 SHS | 50,000 | 53,489 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| CORPORATE STOCK & EQUITY MUTUAL FUNDS-SEE SCHEDULE ATTACHED | 0 | 0 |
| ABBOTT LABS CO-80 SHS | 3,716 | 4,180 |
| ADOBE SYSTEMS INC - 60 SHS | 2,074 | 2,078 |
| AMAZON COM INC - 30 SHS | 3,158 | 5,901 |
| AMERICAN EXPRESS CO - 30 SHS | 1,271 | 1,548 |
| APACHE CORP - 25 SHS | 1,575 | 3,115 |
| APPLE INC. - 40 SHS | 5,672 | 13,913 |
| BB & T CORP - 60 SHS | 1,019 | 1,652 |
| BAKER HUGHES INC - 35 SHS | 1,719 | 2,588 |
| BECTON DICKINSON & CO - 20 SHS | 1,680 | 1,751 |
| CVS CAREMARK CORP - 111 SHS | 2,853 | 4,295 |
| CAMPBELL SOUP COMPANY - 50 SHS | 1,824 | 1,738 |
| CARDINAL HEALTH INC - 80 SHS | 2,059 | 3,634 |
| CELGENE CORPORATION - 50 SHS | 2,231 | 3,046 |
| CISCO SYSTEMS INC - 157 SHS | 3,275 | 2,638 |
| CITRIX SYSTEMS INC - 20 SHS | 1,374 | 1,752 |
| COLGATE PALMOLIVE CO - 30 SHS | 2,357 | 2,626 |
| WALT DISNEY CO - 120 SHS | 1,954 | 4,996 |
| E I DU PONT DE NEMOURS & CO - 160 SHS | 5,865 | 8,528 |
| E M C CORP MASS - 100 SHS | 2,042 | 2,847 |
| EMERSON ELECTRIC CO - 20 SHS | 1,082 | 1,091 |
| FIFTH THIRD BANCORP - 100 SHS | 1,437 | 1,306 |
| FREEPORT-MCMORAN COPPER & GOLD INC CL B - 110 SHS | 1,768 | 5,680 |
| GENERAL ELECTRIC CO - 125 SHS | 1,913 | 2,455 |
| GENERAL MILLS INC - 65 SHS | 1,835 | 2,585 |
| HUMANA INC - 32 SHS | 2,352 | 2,577 |
| JOHNSON & JOHNSON - 80 SHS | 4,970 | 5,383 |
| JOHNSON CONTROLS INC - 180 SHS | 3,329 | 7,128 |
| KELLOGG CO - 25 SHS | 1,216 | 1,425 |
| LAM RESEARCH CORP - 50 SHS | 2,587 | 2,350 |
| LENNAR CORP - 55 SHS | 875 | 1,044 |
| LOWES COMPANIES INC - 105 SHS | 2,431 | 2,535 |
| MICROSOFT CORP - 404 SHS | 10,394 | 10,104 |
| MORGAN STANLEY - 51 SHS | 1,176 | 1,232 |
| NIKE INC B - 35 SHS | 2,090 | 2,956 |
| NORFOLK SOUTHERN CORP - 130 SHS | 5,141 | 9,530 |
| OCCIDENTAL PETROLEUM CORP - 65 SHS | 4,968 | 7,010 |
| ORACLE CORP - 180 SHS | 3,930 | 6,160 |
| PACCAR INC - 95 SHS | 3,065 | 4,750 |
| PEPSICO INC - 70 SHS | 4,078 | 4,978 |
| PFIZER INC - 370 SHS | 5,068 | 7,937 |
| PROCTER & GAMBLE CO - 100 SHS | 5,268 | 6,700 |
| QUALCOMM INC - 94 SHS | 3,411 | 5,507 |
| SANDISK CORP - 35 SHS | 1,506 | 1,663 |
| SCHLUMBERGER LTD - 90 SHS | 7,528 | 7,715 |
| SPRINT NEXTEL CORP - 440 SHS | 1,779 | 2,574 |
| STAPLES INC - 105 SHS | 2,030 | 1,766 |
| STATE STREET CORP - 40 SHS | 1,638 | 1,831 |
| UNITED TECHNOLOGIES CORP - 85 SHS | 4,582 | 7,460 |
| WILLIAMS COMPANIES INC - 60 SHS | 1,861 | 1,883 |
| XILINX CORP - 110 SHS | 3,181 | 3,925 |
| COGNIZANT TECHNOLOGY SOLUTIONS CORP CL A - 45 SHS | 2,214 | 3,422 |
| SEMPRA ENERGY - 25 SHS | 1,307 | 1,379 |
| WELLS FARGO & CO - 230 SHS | 4,027 | 6,525 |
| BANK OF AMERICA CORP - 433 SHS | 8,250 | 5,088 |
| CONSTELLATION ENERGY GROUP INC - 40 SHS | 1,332 | 1,487 |
| GOLDMAN SACHS GROUP INC - 35 SHS | 2,854 | 4,926 |
| DEVON ENERGY CORP - 35 SHS | 2,306 | 2,942 |
| EOG RESOURCES INC - 45 SHS | 3,248 | 4,911 |
| HONEYWELL INTL INC - 80 SHS | 3,264 | 4,764 |
| UNITEDHEALTH GROUP INC - 40 SHS | 1,503 | 1,958 |
| ISHARES S&P MIDCAP 400 INDEX FD - 286 SHS | 19,659 | 28,620 |
| VERIZON COMMUNICATIONS INC - 161 SHS | 4,247 | 5,946 |
| COACH INC - 50 SHS | 1,690 | 3,183 |
| FLUOR CORP - 30 SHS | 2,147 | 2,068 |
| GLOBAL PAYMENTS INC - 30 SHS | 1,465 | 1,559 |
| US BANCORP DEL - 105 SHS | 1,652 | 2,688 |
| DODGE & COX INTL STOCK - 310.046 SHS | 9,921 | 11,652 |
| ADVANCED AUTO PARTS INC - 35 SHS | 1,053 | 2,174 |
| 3M CO - 40 SHS | 3,510 | 3,775 |
| YUM BRANDS INC - 95 SHS | 3,262 | 5,255 |
| ARTISAN INTL VALUE FUND - INV - 2866.18 SHS | 69,173 | 82,775 |
| CENTERPOINT ENERGY INC - 125 SHS | 1,999 | 2,416 |
| COMCAST CORP CL A - 75 SHS | 1,274 | 1,893 |
| CARNIVAL CORPORATION - 70 SHS | 2,533 | 2,717 |
| ARBITRAGE FUNDS - I CL I - 3865.697 SHS | 50,486 | 50,138 |
| JPM LARGE CAP GROWTH FD - SEL - 2433.438 SHS | 54,679 | 54,314 |
| JPM US REAL ESTATE FD - SEL - 3433.801 SHS | 40,645 | 60,263 |
| JPM INTREPID VALUE FD - SEL - 2202.149 SHS | 54,679 | 54,789 |
| JPM MARKET EXPANSION INDEX FD - SEL - 4813.572 SHS | 32,107 | 56,896 |
| VANGUARD MSCI EMERGING MARKETS ETF - 1764 SHS | 77,073 | 86,630 |
| VANGUARD MSCI EUROPE ETF - 995 SHS | 55,191 | 54,397 |
| AT&T INC - 85 SHS | 3,254 | 2,683 |
| CAMERON INTERNATIONAL CORPORATION - 40 SHS | 2,215 | 1,906 |
| T ROWE PRICE OVERSEAS STOCK FUND - 9273.406 SHS | 80,864 | 83,832 |
| CME GROUP INC CLASS A COMMON STOCK - 7 SHS | 2,055 | 2,000 |
| EATON VANCE MUT FDS TR GLOBAL MACRO - I - 4929.478 SHS | 51,168 | 50,379 |
| INVESCO LTD - 55 SHS | 1,063 | 1,357 |
| GATEWAY FUND - Y - 1006.869 SHS | 26,078 | 27,075 |
| SPDR GOLD TRUST - 250 SHS | 23,724 | 37,410 |
| ACE LTD NEW - 45 SHS | 2,303 | 3,097 |
| TYCO INTERNATIONAL LTD - 70 SHS | 2,589 | 3,455 |
| TIME WARNER INC NEW - 266 SHS | 6,404 | 9,690 |
| MERCK AND CO INC - 225 SHS | 7,392 | 8,269 |
| GS CONT BUFF EQ NOTE SPX 08/25/11 - 45000 SHS | 44,438 | 54,474 |
| HIGHBRIDGE DYNAMIC COMM STRG FD -SEL - 3738.581 SHS | 54,749 | 76,828 |
| NEXTERA ENERGY INC - 40 SHS | 1,991 | 2,318 |
| BNP BREN ASIA BASKET 08/22/11 - 25000 SHS | 24,750 | 29,061 |
| GS GOLD CPN NOTE 10/07/11 - 20000 SHS | 19,800 | 22,408 |
| SG BREN EAFE 10/19/11 - 25000 SHS | 24,750 | 26,183 |
| DB BREN ASIA BASKET 11/2/11 25000 SHS | 24,750 | 26,855 |
| MATTHEWS PACIFIC TIGER INSTL FUND - 1187.609 SHS | 22,476 | 28,693 |
| SG REN SPX 2/8/12 - 40000 SHS | 39,600 | 41,924 |
| CS BREN EAFE 2/29/12 - 25000 SHS | 24,750 | 24,725 |
| TE CONNECTIVITY LTD - 30 SHS | 1,033 | 1,105 |
| COVIDIEN PLC NEW - 45 SHS | 1,640 | 2,475 |
| CS BREN EAFE 05/02/12 - 25000 SHS | 24,750 | 25,438 |
| CITIGROUP INC NEW - 114 SHS | 4,646 | 4,691 |
| BNP CONT BUFF EQ SPX 05/23/12 - 40000 SHS | 39,600 | 39,769 |
| BROADCOM CORP CL A - 35 SHS | 1,393 | 1,259 |
| JUNIPER NETWORKS INC - 105 SHS | 1,986 | 3,844 |
| EXXON MOBIL CORP - 100 SHS | 1,416 | 8,347 |
| METLIFE INC - 85 SHS | 2,804 | 3,749 |
| DENDREON CORP - 45 SHS | 1,584 | 1,908 |
| MARVELL TECHNOLOGY GROUP LTD - 100 SHS | 2,028 | 1,624 |
| PRUDENTIAL FINANCIAL INC - 55 SHS | 1,849 | 3,508 |
| CONOCOPHILLIPS - 75 SHS | 3,517 | 5,492 |
| BIOGEN IDEC INC - 30 SHS | 1,546 | 2,842 |
| VERIFONE SYSTEMS, INC. - 20 SHS | 1,043 | 963 |
| BAIDU INC SPONS ADR - 20 SHS | 1,841 | 2,714 |
| TD AMERITRADE HOLDING CORPORATION - 55 SHS | 861 | 1,185 |
| MASTERCARD INC - CLASS A - 10 SHS | 1,828 | 2,871 |
| GENERAL MOTORS CO - 80 SHS | 2,743 | 2,545 |
| Category/ Item | Listed at Cost or FMV | Book Value | End of Year Fair Market Value |
|---|---|---|---|
| OTHER ALTERNATIVE INVESTMENTS - SEE SCHEDULE ATTACHED | AT COST | 107 | 107 |
| Description | Amount |
|---|---|
| MUTUAL FUND INCOME TIMING DIFFERENCES | 7 |
| Description | Revenue And Expenses Per Books | Net Investment Income | Adjusted Net Income |
|---|---|---|---|
| FEDERAL EXCISE TAX REFUND | 150 | 0 | 150 |
| Description | Amount |
|---|---|
| NONTAXABLE DIVIDEND DISTRIBUTION | 1,597 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| ESTIMATED EXCISE TAX PAID - CURRENT YEAR | 725 | 0 | 0 | |
| UNRELATED BUSINESS INCOME TAX | 137 | 0 | 0 | |
| FOREIGN TAX PAID | 380 | 380 | 0 |