| Identifier | Return Reference | Explanation |
|---|
| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| ALCOA INC NOTE - 6.000 - 01/15/2012 ALC011512 1000000.00% | 9,558 | 10,431 |
| BARCLAYS BANK-4.25-6/24/18 BAR42562418 2500000.00% | 25,000 | 23,978 |
| BARCLAYS BK- 3.75- 12/13/2017 BK3751213 2500000.00% | 25,000 | 24,665 |
| BELLSOUTH CORP NOTES 4.750 11/15/2012 079860AJ1 5000000.00% | 50,908 | 53,335 |
| CATERPILLAR FINL SVCS MTNS BE 6.12500 02/17/2014 14912L4F5 5000000.00% | 50,271 | 55,830 |
| CITIGROUP INC SUB NT - 5.000 - 09/15/2014 172967CQ2 2500000.00% | 23,774 | 25,862 |
| CONCOPHILLIPS NOTES 04.75000 02/01/2014 20825CAS3 5000000.00% | 51,017 | 54,227 |
| DIAGEO CAP PLC GTD NT 5.20000 01/30/2013 25243YAL3 5000000.00% | 51,272 | 53,921 |
| GE CAPITAL CORP NOTE - 5.500 - 02/15/2015 GE021515 2500000.00% | 25,000 | 26,348 |
| HEWLETT-PACKARD CO - 4.250 - 02/24/2012 428236AU7 5000000.00% | 51,204 | 51,960 |
| HSBC FINANCIAL CORP 4 1/15/15 HSBC011515 2500000.00% | 25,000 | 24,573 |
| JOHN DEERE CAPITAL CORP SR UNSEC MTN 4.5 04/03/13 24422EQQ5 5000000.00% | 49,402 | 53,452 |
| KRAFT FOODS NOTE - 6.250 - 06/01/2012 KT6256112 2500000.00% | 25,883 | 26,743 |
| MEDTRONIC INC - 4.500 - 03/15/2014 585055AP1 5000000.00% | 50,351 | 54,273 |
| ORACLE CORP - 5.25 - 01/15/2016 68402LAC8 5000000.00% | 50,814 | 55,800 |
| PFIZER INC MAKE WHOLE 04.45000 03/15/2012 717081CZ4 5000000.00% | 51,250 | 52,188 |
| PROTECTIVE LIFE SECD TR NT - 5.450 - 09/28/2012 PLST545 7500000.00% | 74,872 | 80,129 |
| PRUDENTIAL INC. - 4.750 - 09/17/2015 74432QBJ3 2500000.00% | 25,001 | 26,450 |
| VERIZON GLOBAL FDG CORP NT 4.375 06/01/2013 92344GAV8 5000000.00% | 49,721 | 53,451 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 275 shares of 3M CO MMM | 25,032 | 23,733 |
| 1000 shares of ABB LTD. ABB | 16,609 | 22,450 |
| 950 shares of ABBOTT LABS ABT | 48,254 | 45,515 |
| 450 shares of ACCENTURE PLC ACN | 14,282 | 21,821 |
| 650 shares of AFLAC INC. AFL | 29,526 | 36,680 |
| 300 shares of AIR PRODS CHEM INC. APD | 26,345 | 27,285 |
| 100 shares of APPLE INC. AAPL | 13,771 | 32,256 |
| 600 shares of AVON PRODUCTS AVP | 21,870 | 17,436 |
| 1000 shares of BAC CAP TR III 7.0032 DUE 08/15/32 | 12,243 | 24,320 |
| 30 shares of BANK OF AMERICA CORP 7.250 CONV PFD SER L BAC-PL | 12,542 | 28,709 |
| 300 shares of BEST BUY INC. BBY | 10,757 | 10,287 |
| 115 shares of BLACKROCK INC BLK | 19,217 | 21,917 |
| 600 shares of CARDINAL HEALTH INC. CAH | 19,751 | 22,986 |
| 700 shares of CELANESE CORPORATION CE | 24,516 | 28,819 |
| 700 shares of CHEVRONTEXACO CORP CVX | 58,057 | 63,874 |
| 1000 shares of CISCO SYSTEMS INC CSCO | 27,820 | 20,230 |
| 350 shares of COLGATE-PALMOLIVE COMPANY CL | 23,233 | 28,130 |
| 500 shares of CONSTELLATION BRANDS INC STZ | 9,228 | 11,075 |
| 900 shares of CORNING INC GLW | 19,421 | 17,388 |
| 700 shares of COSTCO WHOLESALE CORP NEW COST | 43,079 | 50,547 |
| 650 shares of COVIDIEN LTD COV | 26,199 | 29,679 |
| 650 shares of CSX CORP CSX | 27,924 | 41,997 |
| 1200 shares of CVS CAREMARK CORP. CVS | 40,737 | 41,724 |
| 200 shares of DEERE CO DE | 9,837 | 16,610 |
| 300 shares of DIAGEO PLC ADS DEO | 24,112 | 22,299 |
| 1163 shares of DODGE COX FUNDS INTERNATIONAL STOCK FUND DODFX | 39,285 | 41,544 |
| 3757 shares of DREYFUS EMERGING MARKETS FUND C DRPEX | 50,000 | 50,902 |
| 400 shares of EATON CORP ETN | 30,550 | 40,604 |
| 750 shares of EMC CORP-MASS EMC | 12,906 | 17,175 |
| 600 shares of EMERSON ELECTRIC CO. EMR | 26,868 | 34,302 |
| 500 shares of EXELON CORPORATION EXC | 24,484 | 20,820 |
| 700 shares of EXXON MOBIL CORP XOM | 53,286 | 51,184 |
| 250 shares of F5 NETWORKS, INC. FFIV | 25,345 | 32,540 |
| 830 shares of FIDELITY DIVERSIFIED INTERNATIONAL FUND FDIVX | 20,580 | 25,017 |
| 350 shares of FREEPORT-MCMORAN COPPER GOLD INC. FCX | 17,370 | 42,032 |
| 1800 shares of GENERAL ELECTRIC CO GE | 29,318 | 32,922 |
| 350 shares of GILEAD SCIENCES INC GILD | 15,634 | 12,684 |
| 100 shares of GOLDMAN SACHS GROUP GS | 14,207 | 16,816 |
| 50 shares of GOOGLE INC CL A GOOG | 20,807 | 29,699 |
| 4925 shares of HARBOR BOND FUND HABDX | 57,055 | 59,590 |
| 400 shares of HEWLETT PACKARD CO HPQ | 17,506 | 16,840 |
| 800 shares of HOME DEPOT INC. HD | 25,240 | 28,048 |
| 600 shares of HONEYWELL INTERNATIONAL INC. HON | 30,026 | 31,896 |
| 800 shares of HSBC HLDGS PLC PERPETUAL SUB CAP SECS 8.125 PERPE HCS | 18,948 | 21,464 |
| 2500 shares of INTEL CORP INTC | 49,636 | 52,575 |
| 200 shares of INTERNATIONAL BUSINESS MACHINES IBM | 21,815 | 29,352 |
| 250 shares of ISHARES DJ US OG EP IEO | 12,663 | 15,963 |
| 1100 shares of ISHARES MSCI CANADA INDEX FD EWC | 25,531 | 34,100 |
| 650 shares of ISHARES MSCI EMERGING MARKETS INDEX FD EEM | 17,084 | 30,966 |
| 500 shares of ISHARES TR S P MIDCAP 400 INDEX FD IJH | 42,888 | 45,345 |
| 600 shares of ISHARES TRUST MSCI EAFE INDEX FUND EFA | 48,203 | 34,932 |
| 1000 shares of JOHNSON JOHNSON JNJ | 61,124 | 61,849 |
| 1000 shares of JOHNSON CONTROLS INC. JCI | 30,840 | 38,200 |
| 600 shares of JP MORGAN CHASE CO JPM | 21,241 | 25,452 |
| 800 shares of JUNIPER NETWORKS JNPR | 25,720 | 29,536 |
| 1700 shares of KRAFT FOODS INC KFT | 50,834 | 53,567 |
| 200 shares of LABORATORY CORP AMER HLDGS LH | 16,044 | 17,584 |
| 888 shares of MATTHEWS PACIFIC TIGER FUND MAPTX | 20,000 | 20,826 |
| 450 shares of MEDTRONIC INC MDT | 20,670 | 16,691 |
| 22441 shares of MELLON INTERMEDIATE BOND FUND CLASS M SHARES MPIBX | 295,999 | 289,940 |
| 438 shares of MERIDIAN GROWTH FUND MERDX | 15,688 | 19,545 |
| 800 shares of METLIFE INC PFD B - 6.500 MET-PB | 19,159 | 19,840 |
| 600 shares of METLIFE INC. MET | 16,226 | 26,664 |
| 1000 shares of MICROSOFT CORPORATION MSFT | 19,708 | 27,910 |
| 250 shares of MONSANTO CO MON | 21,221 | 17,410 |
| 950 shares of NABORS INDUSTRIES LTD NBR | 15,683 | 22,287 |
| 500 shares of NOBLE CORPORATION NE | 12,822 | 17,885 |
| 300 shares of OCCIDENTAL PETE CORP OXY | 18,755 | 29,430 |
| 750 shares of ORACLE CORP ORCL | 15,922 | 23,475 |
| 2245 shares of PENNSYLVANIA MUTUAL FD, INVESTMENT CLASS PENNX | 20,000 | 26,149 |
| 750 shares of PEPSICO INC PEP | 44,346 | 48,998 |
| 700 shares of PETSMART INC. COM PETM | 16,349 | 27,874 |
| 295 shares of PFIZER INC. PFE | 5,229 | 5,165 |
| 400 shares of PLAINS EXPL AND PRODCTN PXP | 11,367 | 12,856 |
| 1200 shares of POWERSHARES DYN BIOTECH GENO PBE | 22,288 | 26,268 |
| 900 shares of PROCTER GAMBLE CO PG | 56,456 | 57,896 |
| 350 shares of QUALCOMM INC QCOM | 15,987 | 17,322 |
| 200 shares of SEMPRA ENERGY COM SRE | 9,410 | 10,496 |
| 400 shares of STERICYCLE INC SRCL | 21,413 | 32,368 |
| 1046 shares of T ROWE PRICE MID CAP VALUE TRMCX | 20,000 | 24,801 |
| 2400 shares of TAIWAN SEMICONDUCTOR MFG CO LTD TSM | 25,800 | 30,096 |
| 850 shares of TARGET CORPORATION TGT | 45,144 | 51,111 |
| 300 shares of TEVA PHARMECEUTICAL SP ADR TEVA | 12,581 | 15,639 |
| 400 shares of TEXTRON INC. TXT | 22,756 | 9,456 |
| 500 shares of THERMO FISHER SCIENTIFIC INC TMO | 19,469 | 27,680 |
| 350 shares of TRAVELERS COMPANIES INC THE TRV | 14,920 | 19,499 |
| 879 shares of UMB SCOUT INTERNATIONAL UMBWX | 30,000 | 28,457 |
| 350 shares of UNION PACIFIC UNP | 18,191 | 32,431 |
| 700 shares of UNITED TECHNOLOGIES CORP UTX | 48,391 | 55,104 |
| 2500 shares of UNUM CORP UNM | 62,124 | 60,549 |
| 2200 shares of VANGUARD GNMA FUND VFIIX | 22,026 | 23,632 |
| 4999 shares of VANGUARD SHORT-TERM CORPORATE FD ADMIRAL SHS VFSUX | 52,794 | 53,844 |
| 800 shares of VERIZON COMMUNICATIONS VZ | 26,072 | 28,624 |
| 1500 shares of VODAFONE GROUP PLC VOD | 31,353 | 39,660 |
| 550 shares of WELLS FARGO CO. WFC | 16,905 | 17,045 |
| 550 shares of YUM BRANDS INC YUM | 19,013 | 26,978 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Administrative Fees | 15,390 | 15,390 | ||
| Bank Charges | 3,355 | 3,355 | ||
| State or Local Filing Fees | 25 | 25 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Investment Management Services | 26,274 | 26,274 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Estimated Tax for 2010 | 700 | 0 | 0 | 0 |
| Foreign Tax Paid | 44 | 44 | 0 | 0 |