| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| O'CONNOR DEISLER, P.A. | 2,200 | 2,200 | 0 | 0 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 7204 SHRS PRUDENTIAL S-T CORP BOND FD IN | 82,511 | 82,854 |
| 8326 SHRS RS LOW DURATION BOND FD CL Y | 86,572 | 85,590 |
| 533 SHRS VEECO INSTRUMENTS INC | 19,580 | 22,898 |
| 100 SHRS VEECO INSTRUMENTS INC | 3,673 | 4,296 |
| 100 SHRS VEECO INSTRUMENTS INC | 3,672 | 4,296 |
| 66 SHRS VEECO INSTRUMENTS INC | 2,423 | 2,835 |
| 201 SHRS VEECO INSTRUMENTS INC | 7,379 | 8,635 |
| 1000 SHRS UNITEDHEALTH GROUP INC | 32,258 | 36,110 |
| 1000 SHRS UNITEDHEALTH GROUP INC | 33,669 | 36,110 |
| 500 SHRS TEVA PHARMACTCL INDS ADR | 27,005 | 26,065 |
| 500 SHRS PEPSICO INC | 31,250 | 32,665 |
| 500 SHRS NALCO HLDG CO | 16,005 | 15,970 |
| 300 SHRS MCCORMICK NON VTG | 12,081 | 13,959 |
| 700 SHRS MCCORMICK NON VTG | 28,189 | 32,571 |
| 1000 SHRS MCCORMICK NON VTG | 39,700 | 46,530 |
| 500 SHRS JOHNSON & JOHNSON | 29,780 | 30,925 |
| 2500 SHRS INTEL CORP | 47,525 | 52,575 |
| 1000 SHRS HARLEY DAVIDSON INC | 32,536 | 34,670 |
| 100 SHRS GOOGLE INC | 49,196 | 59,397 |
| 204 SHRS EXPEDITORS INTL WASH INC | 7,544 | 11,138 |
| 796 SHRS EXPEDITORS INTL WASH INC | 29,428 | 43,462 |
| 500 SHRS DIAMOND OFFSHORE DRLNG | 42,905 | 33,435 |
| 600 SHRS CISCO SYSTEMS INC | 14,406 | 12,138 |
| 600 SHRS CISCO SYSTEMS INC | 14,700 | 12,138 |
| 500 SHRS CHEVRON CORP | 37,005 | 45,625 |
| 350 SHRS CHEVRON CORP | 24,504 | 31,938 |
| 600 BP PLC SPON ADR | 31,506 | 26,502 |
| 1000 SHRS ALCOA INC | 13,010 | 15,390 |
| 1000 SHRS ALCOA INC | 13,250 | 15,390 |
| 500 SHRS ABBOTT LABS | 26,144 | 23,955 |
| 500 SHRS ABBOTT LABS | 27,025 | 23,955 |
| 4348 SHRS TEMPLETON GLBL BND FND ADV CL | 53,533 | 58,969 |
| 6851 SHRS CALAMOS MRKT NEUT INC FND CL A | ||
| 16002 SHRS VIRTUS MLTI SEC ST BND FD CL | 73,887 | 76,970 |
| 2954 SHRS NATIXIS GATEWAY FUND CL Y | ||
| 8169 SHRS TRANSAMERICA S-T BND FUND CL I | 82,609 | 83,902 |
| 12888 SHRS ALLEGIANT ULT SHT BD FND CL I | ||
| 5348 SHRS DRYDEN SHORT TERM CORP BD CL Z | ||
| 500 SHRS WAL-MART STORES INC | 23,699 | 26,965 |
| 2000 SHRS WINDSTREAM CORP | 16,000 | 27,880 |
| 500 SHRS VERIZON COMMUNICATIONS | ||
| 500 SHRS PROCTER & GAMBLE | ||
| 1500 SHRS PFIZER INC | ||
| 500 SHRS PEPSICO INC | 29,640 | 32,665 |
| 500 SHRS MCDONALDS CORP | ||
| 500 SHRS JOHNSON & JOHNSON | 29,515 | 30,925 |
| 500 SHRS IBM | ||
| 500 SHRS GENERAL MILLS | ||
| 2000 SHRS GENERAL ELECTRIC | 24,578 | 36,580 |
| 500 SHRS EXXON MOBIL CORP | 38,845 | 36,560 |
| 500 SHRS DIAMOND OFFSHORE DRLNG | 29,720 | 33,435 |
| 150 SHRS CHEVRON CORP | 10,352 | 13,688 |
| 2000 SHRS BRISTOL MYERS SQUIBB CO | ||
| 1000 SHRS AMN ELEC POWER CO | ||
| 1500 SHRS ATT INC | 37,918 | 44,070 |
| 2000 SHRS ALTRIA GROUP | ||
| 500 SHRS ABBOTT LABS | 25,099 | 23,955 |
| 4707.121 SHRS DELAWARE DIVERSIFIED INC A | 41,361 | 43,400 |
| 9434 SHRS E V STRATEGIC INCME FUND I | 37,163 | 39,252 |
| 2639.171 SHRS LOOMIS SAYLES BOND INST CL | 33,708 | 37,661 |
| 1098 ISHARES BARCLAYS AGGREGATE BD FND |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| MERRILL LYNCH 641-04052 | 9,415 | 9,415 | ||
| FLORIDA DEPT OF AGRICULTURE | 350 | 350 |