| Name | Date Acquired | How Acquired | Date Sold | Purchaser Name | Gross Sales Price | Basis | Basis Method | Sales Expenses | Total (net) | Accumulated Depreciation |
|---|---|---|---|---|---|---|---|---|---|---|
| Publicly Traded Securities | 2008-04 | Purchased | 2010-11 | 100,000 | 100,000 | |||||
| Publicly Traded Securities | 2009-04 | Purchased | 2010-12 | 8,498 | 5,718 | 2,780 | ||||
| Publicly Traded Securities | 2006-01 | Purchased | 2010-12 | 26,055 | 10,056 | 15,999 | ||||
| Publicly Traded Securities | 2006-01 | Purchased | 2010-12 | 25,156 | 13,926 | 11,230 | ||||
| Publicly Traded Securities | 2006-01 | Purchased | 2010-08 | 233 | -233 | |||||
| Publicly Traded Securities | 2006-01 | Purchased | 2010-12 | 5,598 | 2,961 | 2,637 | ||||
| Publicly Traded Securities | 2007-07 | Purchased | 2010-12 | 302,881 | 300,000 | 2,881 | ||||
| Publicly Traded Securities | 2006-01 | Purchased | 2010-12 | 3,375 | 43,801 | -40,426 | ||||
| Publicly Traded Securities | 2006-01 | Purchased | 2010-12 | 15,791 | 8,549 | 7,242 | ||||
| Publicly Traded Securities | 2006-01 | Purchased | 2010-07 | 2 | -2 | |||||
| Publicly Traded Securities | 2006-06 | Purchased | 3,907 | 2,930 | 977 | |||||
| Publicly Traded Securities | 2009-06 | Purchased | 2010-03 | 1,193 | 927 | 266 | ||||
| Publicly Traded Securities | 2009-06 | Purchased | 2010-03 | 419 | 339 | 80 | ||||
| Publicly Traded Securities | 2009-06 | Purchased | 2010-03 | 561 | 457 | 104 | ||||
| Publicly Traded Securities | 2009-06 | Purchased | 2010-03 | 63 | 51 | 12 | ||||
| Publicly Traded Securities | 2009-06 | Purchased | 2010-03 | 605 | 475 | 130 | ||||
| Publicly Traded Securities | 2009-06 | Purchased | 2010-03 | 3,912 | 2,989 | 923 | ||||
| Publicly Traded Securities | 2009-06 | Purchased | 2010-03 | 9,709 | 7,890 | 1,819 | ||||
| Publicly Traded Securities | 2009-06 | Purchased | 2010-03 | 11,575 | 9,688 | 1,887 |
| Identifier | Return Reference | Explanation |
|---|---|---|
| Page 2 Line 10 b&c column B | 1030 SH AT&T 38,547 575 SH ABBOTT 27,418 219 SH AIR PROD 13,450 885 SH APPLIED MAT 15,803 752 SH BAXTER 28,376 478 SH CBS 5,718 869 SH CISCO 16,642 708 SH COCA COLA 31,609 670 SH COLGATE 35,287 1417 SH CON CO PHIL 35,872 263 SH DOW CHEM 13,285 1417 SH EMERSON 32,994 1210 SH EXXON 48,147 18 SH FAIRPOINT 233 262 SH FORTUNE BRD 21,716 1320 SH GEN ELEC 48,453 1342 SH HEALTH CARE 33,421 427 SH HUBBELL B 19,610 220 SH IBM 18,853 1700 SH JPMORGAN 40,778 442 SH J & J 29,357 587 SH JOHNSON CNTL 11,588 1227 SH KRAFT 40,460 490 SH MEDTRONIC 26,403 1307 SH MICROSOFT 34,263 1470 SH NAT'L CITY 44,282 650 SH PFIZER 18,088 718 SH RPM INTNL 13,383 530 SH REALTY INC 10,634 263 SH SHERWIN WILL 12,126 1556 SH S JERSEY 18,721 1160 SH SUN COMM 42,945 1120 SH TARGET 35,463 167 SH TYCO INTN'L 11,905 875 SH VERIZON 45,867 475 SH VIACOM 8,655 400 SH WESTERN UNION 7,445 167 SH TYCO ELECTRON 8,918 11400.843LORD ABBETT 187,672 7067.793 SELIGMAN 103,467 5784.086 CAP WLD GWTH256,848 TOTAL 1,494,702 | |
| Page 2 line 10 b&c column B Cont' | BANK OF AMERICA 25,000 GMAC NOTES 534,011 BANK HAPOALIM 92,000 MERRILL LYNCH 334,000 FED HOME LOAN 332,236 GOLDMAN SACHS BK 100,000 FOREST CITY SR NOTE 10,006 LEHMAN BROS BANK 100,000 TOTAL 1,527,253 | |
| Explanation for Gimble Foundation Beneficiaries | PART XV LINE 3 MARCH 6,2010 SHELBY LITTLE LEAGUE $ 785.00 MARCH 6,2010 JOY OF LIVING MINISTRIES $ 1500.00 MARCH 6,2010 RAEMELTON THER EQUESTRIAN $ 3000.00 MARCH 6,2010 KIDS CONNECTION OF OHIO $ 2000.00 MARCH 6,2010 AUBURN ELEMENTARY SCHOOL $ 1500.00 MAY 25, 2010 DEWALD COMMUNITY CENTER $ 15025.00 MAY 25, 2010 AMER FEDERATION OF MUSICIANS $ 5000.00 MAY 25, 2010 RICHLAND CTY HISTORICAL SOC $ 4250.00 MAY 25, 2010 SHELBY CHRISTIAN OUTREACH $ 1500.00 MAY 25, 2010 YOUNG MARINES OF RICHLAND CTY $ 750.00 MAY 25, 2010 FRIENDLY HOUSE $ 1500.00 MAY 25, 2010 U-CAN $ 1500.00 MAY 25, 2010 AUBURN ELEMENTARY SCHOOL $ 1500.00 MAY 25, 2010 AUBURN ELEMENTARY SCHOOL $ 1300.00 | |
| Gimbel Foundation Beneficiaries | AUGUST 30,2010 DOMESTIC VIOLENCE SHELTER $ 3000.00 AUGUST 30,2010 NAMI RC $ 3500.00 AUGUST 30,2010 DAYSPRING ASSISTED LIVING $ 5892.00 AUGUST 30,2010 OSU EXTENSION-RICHLAND CTY $ 1500.00 AUGUST 30,2010 SHELBY BABE RUTH BASEBALL $ 826.00 AUGUST 30,2010 AUBURN ELEMENTARY SCHOOL $ 1000.00 AUGUST 30,2010 CULLIVER READING CENTER $ 1000.00 AUGUST 30,2010 NCSC-SCHOLARSHIP FUND $ 10000.00 AUGUST 30,2010 NCSC-NECESSITIES FUND $ 2000.00 NOVEMBER 4,2010 HUMANE SOCIETY RICHLAND CTY $ 1000.00 NOVEMBER 4,2010 THE STORE $ 2300.00 NOVEMBER 4,2010 TOY TIME $ 2549.00 NOVEMBER 4,2010 E.M.P.A.C. $ 1000.00 NOVEMBER 4,2010 HABITAT FOR HUMANITY RI CTY $ 2000.00 NOVEMBER 4,2010 MANSFIELD SR HIGH BAND UNIFORMS$ 500.00 NOVEMBER 4,2010 SHELBY CITY BAND UNIFORMS $ 500.00 NOVEMBER 4,2010 ALZHEIMERS ASSOCIATION $ 1000.00 NOVEMBER 4,2010 OHIO BIRD SANCTUARY $ 1000.00 NOVEMBER 4,2010 SHELBY WHIPPET ATHLETIC $ 895.00 NOVEMBER 4,2010 MANSFIELD SR HIGH/VISUAL ARTS $ 2000.00 DECEMBER 10,2010 NCSC ENDOWMENT OF CHAIR $ 50000.00 HEALTH SCIENCE DEPT $ 134,572.00 |
| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| Bank of America InterNotes | 25,000 | 24,230 |
| GMAC SmartNotes | 200,005 | 204,490 |
| Merrill Lynch & Co Inc Sub Nt | 34,000 | 35,031 |
| Forest City Enterprise Inc | 10,006 | 9,108 |
| VK Build America Bds Incm 6 | 98,302 | 93,354 |
| Goldman Sachs Group Inc Sub Nt | 19,811 | 19,647 |
| FT Bld Amer Bds # 13 | 99,274 | 96,527 |
| Invsco Bld Amer Bds Incm Tr 60 | 99,446 | 96,903 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 1755 Sh AT&T | 59,140 | 51,562 |
| 575 Sh Abbott | 27,418 | 27,548 |
| 219 Sh Air Product | 13,450 | 19,918 |
| 885 Sh Applied Materials | 15,803 | 12,434 |
| 752 Sh Baxter Intn'l | 28,376 | 38,066 |
| 1000 Sh Citigroup Inc | 4,866 | 4,730 |
| 869 Sh Cisco Systems | 16,642 | 17,580 |
| 708 Sh Coca-Cola | 31,609 | 46,565 |
| 670 Sh Colgate Palmolive Co | 35,287 | 53,848 |
| 1017 Sh ConocoPhillips | 25,570 | 69,258 |
| 263 Sh Dow Chemical | 13,285 | 8,979 |
| 1417 Sh Emerson Electric | 32,994 | 81,010 |
| 860 Sh Exxon | 48,147 | 62,883 |
| 1000 Sh FirstEnergy Corp | 35,850 | 37,020 |
| 262 Sh Fortune Brands | 21,716 | 15,786 |
| 1320 Sh General Electric | 48,453 | 24,143 |
| 1342 Sh Health Care Reit Inc | 32,931 | 63,933 |
| 437 Sh Hubbell Inc | 19,610 | 26,277 |
| 220 Sh IBM | 18,853 | 32,287 |
| 442 Sh Johnson& Johnson | 29,358 | 27,338 |
| 437 Sh Johnson Controls Inc | 8,627 | 16,693 |
| 1227 Sh Kraft Foods Inc | 40,460 | 38,663 |
| 490 Sh Medtronic Inc | 26,403 | 18,174 |
| 1307 Sh Microsoft Corp | 34,263 | 36,478 |
| 500 Sh Park National Corp | 35,558 | 36,335 |
| 650 Sh Pfizer Inc | 18,088 | 11,382 |
| 718 Sh RPM International | 13,383 | 15,868 |
| 1530 Sh Realty Income Corp | 35,665 | 52,326 |
| 263 Sh Sherwin Williams Co | 12,126 | 22,026 |
| 1556 Sh South Jersey Industries | 18,721 | 82,188 |
| 1160 Sh Sun Communities Inc | 38,985 | 38,640 |
| 850 Sh Target Corp | 26,914 | 51,111 |
| 167 Sh Tyco Electronics | 8,865 | 5,912 |
| 167 Sh Tyco Intern'l | 11,905 | 6,920 |
| 1600 Sh Verizon Communications | 65,741 | 57,248 |
| 475 Sh Viacom Inc | 8,655 | 18,815 |
| 400 Sh Western Union Co | 7,445 | 7,428 |
| 175 Sh Vf Corp | 15,462 | 15,082 |
| 500 Sh Sysco Corp | 14,874 | 14,700 |
| 384 Sh Frontier Communication Corp@11.29 | 4,335 | 3,736 |
| 616 Sh Frontier Communication Corp@9.427 | 5,855 | 5,994 |
| Mutual Funds etc | ||
| 2234.731 Sh Capital Income Builder Fd | 95,794 | 111,535 |
| 5142.180 Sh Capital World Grw & Inc Fd | 147,050 | 183,679 |
| 5219.163 Sh Fundamental Investors Fd | 143,363 | 191,543 |
| 7243.150 Sh Income Fund of America Fd | 97,182 | 119,874 |
| Stock in acct 12580 | ||
| 451 Sh Russell MidCap Growth | 16,734 | 25,531 |
| 156 Sh Russell Midcap Value | 4,616 | 7,022 |
| 726 Sh Russell 1000 Growth Fd | 30,216 | 41,571 |
| 195 Sh Russell 1000 Index Fd | 10,048 | 13,623 |
| 515 Sh Russell 1000 Value Fd | 24,972 | 33,408 |
| 184 Sh Russell 2000 Index Fd | 9,725 | 14,396 |
| 295 Sh S&P 100 Index Fd | 12,988 | 16,718 |
| 562 Sh Msci Eafe Growth Index | 28,643 | 34,324 |
| 959 Sh Tr Msci Eafe Val Index | 44,399 | 48,688 |
| 221 Sh Rydex S&P 500 Equal Weighted | 7,028 | 10,456 |
| 204 Sh Dow Jones Indi Ave Etf Tr | 17,804 | 23,589 |
| 446 Sh Ser Tr S&P Divid Etf | 17,508 | 23,183 |
| 555 Sh VanGuard High Div Yield Etf | 17,983 | 23,432 |
| 355 Sh VanGuard Ftse All World Etf | 13,012 | 16,944 |
| Category/ Item | Listed at Cost or FMV | Book Value | End of Year Fair Market Value |
|---|---|---|---|
| Certificate of Deposit Goldman Sachs Bank | 100,000 | 103,900 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Insurance | 787 | 787 | 787 | |
| Dues | 495 | 495 | 495 | |
| State Registration | 200 | 200 | 200 | |
| Other Misc | 229 | 229 | 229 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Federal Income Tax | ||||
| Foreign Tax paid | 683 | 683 | 683 |