| Identifier | Return Reference | Explanation |
|---|---|---|
| Part VII-B, Line 1A4 The Foundation paid the sum of 61,250 in Trustee fees to the Trustees. These fees relate to the management of the investments and grants paid to qualifying charitable organizations. It is believed that the fees were necessary for the exempt purposes of the Foundation and were reasonable in amount for the services rendered. Accordingly, the payment of the fees is an excepted transaction within the meaning of IRC Sec. 4941D2E and Treas. Reg. Sec. 53.4941D-3C. |
| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| Balances beginning of year corp bonds | ||
| Intl Lease Fin 4.95% 02/01/2011 | 14,908 | 15,000 |
| Natl City Sr Note 4.00% 02/01/2011 | 24,140 | 25,031 |
| Allied Waste North Am Sr 5.75% 02/15/2011 | 10,013 | 10,047 |
| Genworth Fin Sr 5.65% 06/15/2012 | 18,579 | 20,853 |
| Fed Realty Inv Tr Nt 6.00% 07/15/2012 | 9,833 | 10,612 |
| Key Bank Med Term 5.70% 08/15/2012 | 9,777 | 10,576 |
| Marshall Ilsley Sub Med Term 5.25% 09/04/2012 | 24,570 | 25,763 |
| Amer Internatl Grp Glbl Sr Nt 4.25% 05/15/2013 | 4,131 | 5,174 |
| Duke Realty Ltd Pship Sr 6.25% 05/15/2013 | 19,363 | 21,491 |
| United Dom Rlty Tr Med Term 6.05% 06/01/2013 | 9,487 | 10,658 |
| Alcoa Nt 6.00% 07/15/2013 | 19,970 | 22,008 |
| Dow Chem Co Internotes 5.90% 08/15/2013 | 10,000 | 10,020 |
| Dow Chem Co 7.60% 05/15/2014 | 10,071 | 11,534 |
| Genworth Fin Nt 5.75% 06/15/2014 | 14,873 | 15,548 |
| Citigrp Sub Nt 5.00% 09/15/2014 | 9,486 | 10,345 |
| Gen Elec Cap Med Term 4.75% 09/15/2014 | 19,940 | 21,385 |
| Constell En Nt 4.55% 06/15/2015 | 17,846 | 20,748 |
| Bank America Nt 4.75% 08/01/2015 | 14,567 | 15,439 |
| Bank America Nt 5.35% 09/15/2015 | 10,000 | 10,269 |
| Prologis Nt 5.63% 11/15/2015 | 9,408 | 10,494 |
| Home Depot Sr Nt 5.40% 03/01/2016 | 14,794 | 16,809 |
| Horace Mann Educators Corp Sr Nt 6.85% 04/15/2016 | 14,973 | 15,969 |
| Goldman Sachs Grp Med Term 6.00% 05/15/2016 | 10,000 | 10,444 |
| Marriott Internatl Nt H 6.20% 06/15/2016 | 19,382 | 21,867 |
| Brandywine Op Pship LP Guar Nt 5.70% 05/01/2017 | 9,831 | 9,975 |
| Unitrin Inc Sr Nt 6.00% 05/15/2017 | 14,910 | 14,820 |
| HSBC Fin Internts 6.00% 12/15/2017 | 10,000 | 10,028 |
| AMB Prop Gtd Nt 4.00% 01/15/2018 | 12,449 | 12,342 |
| Amerenen Gen Co Sr Nt 7.00% 04/15/2018 | 18,833 | 19,715 |
| Dow Chem Sr Nt 5.70% 05/15/2018 | 9,807 | 10,817 |
| Genworth Fin Sr Nt 6.52% 05/22/2018 | 9,982 | 10,163 |
| Alcoa Inc Nt 6.75% 07/15/2018 | 9,550 | 10,896 |
| Marshall Ilsley Sub Minotes 5.50% 07/15/2018 | 10,852 | 10,443 |
| Hartford Fin Serv Sr Nt 6.00% 01/15/2019 | 9,105 | 10,422 |
| Gen El Cap Internts 5.50% 07/15/2019 | 16,241 | 15,938 |
| Bk of America Internts 5.30% 05/15/2020 | 9,855 | 9,495 |
| Gen El Cap Internts 5.00% 10/15/2021 | 9,977 | 9,776 |
| Morgan Stan Dean Wittr Discv Med Term 5.00% 06/11/2025 | 10,190 | 9,930 |
| Tenneco Packaging Deb 7.95% 12/15/2025 | 9,136 | 8,754 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| Balances beginning of year stocks | ||
| 1000 shares of Natl City Cap Gtd Tr II Pfd | 17,604 | 24,980 |
| 1000 shares of KeyCorp Cap IX Enh Tr Pfd | 15,920 | 24,000 |
| 1000 shares of Duke Realty Corp Repstg 1/10th Pfd | 17,136 | 22,400 |
| 975 shares of Accenture PLC Ireland | 41,015 | 47,278 |
| 1900 shares of Arrow Elec | 48,399 | 65,075 |
| 2175 shares of Associated Banc Corp | 27,502 | 32,951 |
| 3550 shares of Boston Scientific | 70,536 | 26,873 |
| 3350 shares of Cambrex Corp | 47,060 | 17,320 |
| 3000 shares of Cisco Sys | 66,829 | 60,690 |
| 800 shares of Cytec Indus | 29,633 | 42,448 |
| 4200 shares of General Elec Co | 91,001 | 76,818 |
| 1400 shares of Hanesbrands Inc | 35,070 | 35,560 |
| 2725 shares of Intel Corp | 50,839 | 57,307 |
| 5400 shares of Interpublic Grp | 41,025 | 57,348 |
| 725 shares of Johnson Johnson | 44,522 | 44,841 |
| 3450 shares of Journal Communications | 46,032 | 17,422 |
| 825 shares of Kohls Corp | 37,621 | 44,831 |
| 2200 shares of Kraft Foods A | 65,979 | 69,322 |
| 1400 shares of Ladish Inc | 10,500 | 68,068 |
| 1500 shares of Medtronic | 66,487 | 55,635 |
| 1900 shares of Microsoft Corp | 44,435 | 53,029 |
| 2225 shares of Molex Inc A | 39,761 | 41,986 |
| 1500 shares of Owens Ill Inc | 40,950 | 46,050 |
| 850 shares of Procter Gamble Co | 42,142 | 54,681 |
| 825 shares of Range Resources | 30,855 | 37,109 |
| 3150 shares of Schwab Charles | 54,048 | 53,896 |
| 2075 shares of Sealed Air Corp | 52,365 | 52,809 |
| 550 shares of 3M Co | 39,113 | 47,465 |
| 1241 shares of Time Warner | 40,848 | 39,923 |
| 600 shares of United Parcel Serv B | 38,092 | 43,548 |
| 2200 shares of US Bancorp | 49,269 | 59,334 |
| 1900 shares of Wells Fargo Co | 49,982 | 58,881 |
| 1233 shares of ABB Ltd | 24,854 | 27,681 |
| 350 shares of Abbott Lab | 17,493 | 16,768 |
| 247 shares of American Tower A | 12,839 | 12,755 |
| 250 shares of Anadarko Petro | 8,885 | 19,040 |
| 290 shares of Anheuser Busch | 16,732 | 16,556 |
| 380 shares of Autodesk | 12,536 | 14,516 |
| 507 shares of Boeing | 33,018 | 33,087 |
| 232 shares of Chubb Corp | 11,568 | 13,836 |
| 605 shares of Dr Pepper Snapple Grp | 22,028 | 21,272 |
| 1619 shares of E M C Corp | 23,592 | 37,075 |
| 135 shares of Ensco PLC | 5,674 | 7,206 |
| 425 shares of Exelon Corp | 17,765 | 17,697 |
| 678 shares of Exxon Mobil | 46,799 | 49,575 |
| 1360 shares of Ford Motor Co | 14,263 | 22,834 |
| 1897 shares of General Elec | 26,531 | 34,696 |
| 99 shares of Google Inc | 52,160 | 58,803 |
| 903 shares of Halliburton Co | 21,218 | 36,869 |
| 377 shares of Ingersoll Rand PLC | 15,769 | 17,753 |
| 545 shares of Invesco Ltd | 10,147 | 13,113 |
| 973 shares of JPMorgan Chase | 38,705 | 41,275 |
| 305 shares of Johnson Johnson | 18,430 | 18,864 |
| 840 shares of Johnson Controls | 23,797 | 32,088 |
| 780 shares of Kraft Foods A | 23,262 | 24,578 |
| 1673 shares of Lowes Co | 36,569 | 41,959 |
| 790 shares of Macys Inc | 18,027 | 19,987 |
| 451 shares of Medtronic | 16,190 | 16,728 |
| 747 shares of Merck Co | 28,095 | 26,922 |
| 700 shares of Metlife | 27,465 | 31,108 |
| 1415 shares of Microsoft | 33,071 | 39,493 |
| 214 shares of Monsanto Co | 11,467 | 14,903 |
| 885 shares of Morgan Stanley | 25,387 | 24,081 |
| 290 shares of Nestle S A | 14,084 | 17,058 |
| 536 shares of Nucor | 19,477 | 23,487 |
| 1261 shares of Oracle Corp | 24,218 | 39,469 |
| 252 shares of Paccar | 12,853 | 14,450 |
| 515 shares of Paychex | 15,927 | 15,919 |
| 2405 shares of Pfizer | 38,072 | 42,112 |
| 927 shares of Qualcomm | 34,898 | 45,877 |
| 350 shares of Raytheon Co | 16,904 | 16,219 |
| 623 shares of Schlumberger | 38,503 | 52,020 |
| 1915 shares of Schwab Charles | 30,849 | 32,766 |
| 1280 shares of Southwest Airlines | 12,618 | 16,614 |
| 1240 shares of Staples | 27,295 | 28,235 |
| 290 shares of Travelers Co | 14,925 | 16,156 |
| 561 shares of Target Co | 21,662 | 33,733 |
| 511 shares of Toll Brothers | 8,613 | 9,709 |
| 573 shares of United Parcel Serv B | 29,209 | 41,588 |
| 265 shares of Waste Management | 8,651 | 9,770 |
| 715 shares of Western Union | 11,590 | 13,278 |
| 705 shares of Abaxis | 18,583 | 18,929 |
| 1220 shares of Allscripts Healthcare Solutions | 24,474 | 23,509 |
| 1365 shares of Angiodynamics Inc | 27,919 | 20,980 |
| 495 shares of Ansys | 21,303 | 25,775 |
| 1180 shares of Beacon Roofing Supply | 18,745 | 21,087 |
| 690 shares of Bio Reference Labs | 10,329 | 15,304 |
| 395 shares of Cabot Microelectronics | 11,635 | 16,373 |
| 226 shares of Capella Education | 17,659 | 15,047 |
| 415 shares of Cass Info Sys | 14,890 | 15,745 |
| 2280 shares of Cepheid Inc | 21,723 | 51,870 |
| 910 shares of Cheesecake Factory | 22,250 | 27,901 |
| 645 shares of Chemed | 29,545 | 40,964 |
| 250 shares of Concur Tech | 6,522 | 12,982 |
| 427 shares of Constant Contact | 9,943 | 13,233 |
| 265 shares of Costar Group | 13,727 | 15,253 |
| 820 shares of Dealertrack Holdings | 15,270 | 16,457 |
| 1910 shares of Digi Internatl | 23,771 | 21,201 |
| 425 shares of Dynamex | 11,722 | 10,523 |
| 960 shares of Echelon Corp | 6,465 | 9,782 |
| 402 shares of Echo Global Logistics | 4,216 | 4,840 |
| 461 shares of Enernoc | 15,745 | 11,023 |
| 425 shares of Faro Tech | 15,043 | 13,957 |
| 555 shares of Forrester Research | 14,096 | 19,586 |
| 440 shares of Forward Air | 13,367 | 12,487 |
| 1620 shares of Gentex | 26,339 | 47,887 |
| 767 shares of Grand Canyon Education | 16,901 | 15,026 |
| 920 shares of Guidance Software | 8,777 | 6,615 |
| 1760 shares of Innerworkings | 18,470 | 11,528 |
| 455 shares of IPC The Hospitalist Co | 8,711 | 17,749 |
| 1270 shares of LKQ Corp | 14,544 | 28,854 |
| 1250 shares of Landec Corp | 13,452 | 7,475 |
| 367 shares of Maximus | 10,638 | 24,068 |
| 480 shares of Mednax | 16,424 | 32,299 |
| 380 shares of Medtox Scientific | 6,499 | 4,978 |
| 555 shares of Mobile Mini | 12,375 | 10,928 |
| 715 shares of Napco Security Tech | 3,635 | 1,258 |
| 1030 shares of National Instru | 27,272 | 38,769 |
| 805 shares of Neogen Corp | 6,593 | 33,029 |
| 398 shares of Portfolio Recovery Assoc | 16,168 | 29,930 |
| 635 shares of Power Integrations | 11,598 | 25,502 |
| 202 shares of Quality Systems | 12,035 | 14,104 |
| 1160 shares of Resources Connection | 28,768 | 21,564 |
| 845 shares of Ritchie Brothers Auctioneers | 17,723 | 19,477 |
| 2278 shares of Rollins | 21,975 | 44,991 |
| 1410 shares of Semtech Corp | 23,096 | 31,922 |
| 447 shares of Stratasys | 6,096 | 14,590 |
| 310 shares of Techne Corp | 11,588 | 20,358 |
| 445 shares of Telvent Git S A | 14,491 | 11,757 |
| 800 shares of Ultimate Software Grp | 17,764 | 38,904 |
| 795 shares of United Natural Foods | 20,221 | 29,161 |
| 380 shares of Universal Technical Institute | 11,579 | 8,368 |
| 160 shares of Usana Health Sciences | 5,701 | 6,952 |
| 675 shares of Verint Systems | 22,060 | 21,398 |
| Category/ Item | Listed at Cost or FMV | Book Value | End of Year Fair Market Value |
|---|---|---|---|
| Col Fds Series Master Internal Eq | 91,555 | 88,007 | |
| Franklin Global Tr Glbl Real Est Fd | 11,198 | 15,713 | |
| Mut Ser Fd Glbl Disc Fd | 109,449 | 118,934 | |
| SunAmerica Style Slct Ser Foc Multi Asset | 96,506 | 108,537 | |
| Templeton Glbl Op Tr | 49,155 | 44,213 | |
| Templeton Glbl Smaller Cos Fd | 51,001 | 65,948 | |
| Putnam Div Inc SBI A | 76,941 | 74,635 | |
| VIctory Port Fd For Inc | 11,534 | 11,545 | |
| Oppenhiemer Intl Div Fd A | 182,567 | 200,889 | |
| Franklin Inc Fd A | 355,589 | 397,310 | |
| DWS Port Fltg Rate Plus | 25,093 | 25,146 | |
| Franklin Strategic Inc Fd A | 67,745 | 71,557 | |
| Loomis Sayles Fds II Strategic Inc Fd | 89,083 | 87,917 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| von Briesen Roper, s.c. | 37,008 | 3,701 | 33,307 |
| Description | Beginning of Year - Book Value | End of Year - Book Value | End of Year - Fair Market Value |
|---|---|---|---|
| Receivable--dividends reportable current year received next year | 3,350 | 3,894 | 3,894 |
| Description | Amount |
|---|---|
| Adjustment to basis of FHLMC | 641 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Delivery charges | 10 | 1 | 9 | |
| Postage | 31 | 3 | 28 | |
| Association of Small Foundationsmembership | 495 | 50 | 445 | |
| it Interactive LLCwebsite | 420 | 42 | 378 | |
| Donors Forum of WI2010 and 2011 | 1,250 | 125 | 1,125 | |
| Quarry School website design | 631 | 63 | 568 | |
| Miscellaneous expenses | 160 |
| Description | Revenue And Expenses Per Books | Net Investment Income | Adjusted Net Income |
|---|---|---|---|
| Universal Technologies dist fr prior yr | 50,000 | ||
| Baird--non-dividend distributions | 783 | ||
| Baird--non-reportable div and interest | 3 | ||
| Promissory Note income | 15,679 | 15,679 |
| Borrower's Name | Relationship to Insider | Original Amount of Loan | Balance Due | Date of Note | Maturity Date | Repayment Terms | Interest Rate | Security Provided by Borrower | Purpose of Loan | Description of Lender Consideration | Consideration FMV |
|---|---|---|---|---|---|---|---|---|---|---|---|
| Universal Tech of WI Stock Purch (ESOP) | 2,352,000 | 290,090 | 2002-12 | 2011-12 | Ten equal installments annually | 5.0000000000 % | Stock purchase agree | Note plus downpayment of 270,000 | 290,090 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Robert W. Baird--Investment management | 36,463 | 36,463 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| State and Fed Taxes net of refund | 3,061 | 0 | 0 | 0 |
| Foreign taxes on dividends | 753 | 753 | 0 | 0 |