| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 300000 PV VERIZON COMM NOTE DUE 02/15/01 | 294,186 | 301,632 |
| 300000 PV XEROX CORP NOTE DUE 8/15/11 | 302,376 | 310,296 |
| 200000 PV AT & T NOTE DUE 11/15/11 | 198,638 | 211,278 |
| 200000 PV AMERICAN EXPRESS NOTE DUE 05/02/13 | 194,960 | 217,508 |
| 200000 PV ALCOA INC NOTE DUE 07/15/13 | 175,412 | 220,082 |
| 200000 PV SOUTHWEST AIRLINES NOTE DUE 10/01/14 | 205,000 | 210,348 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 4000 SHARES CHEVRON CORP | 12,723 | 365,000 |
| 4000 SHARES EXXON MOBIL CORP | 42,984 | 292,480 |
| 6000 SHARES SCHLUMBERGER LTD | 194,726 | 501,000 |
| 30000 SHARES ALCOA INC | 632,868 | 461,700 |
| 2000 SHARES AIR PROD & CHEM INC | 158,875 | 181,900 |
| 5000 SHARES ECOLAB INC | 214,099 | 252,100 |
| 2000 SHARES PRAXAIR | 158,027 | 190,940 |
| 15000 SHARES SONOCO PRODUCTS CO | 301,086 | 505,050 |
| 10000 SHARES EMERSON ELECTRIC | 185,794 | 571,700 |
| 10000 SHARES EXPEDITORS INTL | 369,552 | 546,000 |
| 35000 SHARES GENERAL ELECTRIC CO | 905,953 | 640,150 |
| 10000 SHARES HUBBELL INC. CL A | 410,984 | 566,500 |
| 40000 SHARES SOUTHWEST AIRLINES | 484,446 | 519,200 |
| 5000 SHARES STERICYCLE | 262,530 | 404,600 |
| 3000 SHARES 3M | 196,259 | 258,900 |
| 5000 SHARES UNITED CONTINENTAL HLDGS INC | 143,550 | 119,100 |
| 30000 SHARES COMCAST CO. | 570,439 | 624,300 |
| 17000 SHARES WALT DISNEY CO. | 319,280 | 637,670 |
| 5000 SHARES DISCOVERY COMMUNICATIONS | 71,650 | 208,500 |
| 10000 SHARES DISCOVERY COMMUNICATIONS | 132,658 | 366,900 |
| 30000 SHARES GANNETT INC | 343,443 | 452,700 |
| 5000 SHARES GENERAL MOTORS CO | 171,374 | 184,300 |
| 10000 SHARES HARMAN INTL. INDS. INC. | 320,000 | 463,000 |
| 3000 SHARES JOHNSON CTLS INC | 111,944 | 114,600 |
| 10000 SHARES LAMAR ADVERTISING CORP | 356,905 | 398,400 |
| 30000 SHARES NEWS CORP | 479,519 | 436,800 |
| 10000 SHARES THOMSON REUTERS CORP | 322,206 | 372,700 |
| 15000 SHARES TIME WARNER INC | 659,169 | 482,550 |
| 10000 SHARES COCA-COLA CO | 464,292 | 657,700 |
| 10000 SHARES GENERAL MILLS INC | 241,285 | 355,900 |
| 10000 SHARES HEINZ HJ | 360,288 | 494,600 |
| 9000 SHARES KIMBERLY CLARK | 521,576 | 567,360 |
| 15000 SHARES KRAFT FOODS | 448,045 | 472,650 |
| 3000 SHARES MCCORMICK & CO | 86,257 | 139,590 |
| 4000 SHARES NESTLE SA | 167,348 | 235,280 |
| 6000 SHARES PEPSICO INC | 269,458 | 391,980 |
| 8000 SHARES P & G CO | 257,081 | 514,640 |
| 7000 SHARES SYSCO CORP | 199,071 | 205,800 |
| 10000 SHARES UNILEVER NV | 303,264 | 314,000 |
| 15000 SHARES QIAGEN NV | 239,344 | 293,250 |
| 8000 SHARES ABBOTT LABS | 323,288 | 383,280 |
| 5000 SHARES ALLSCRIPTS HEALTHCARE SOL. INC | 89,958 | 96,350 |
| 40000 SHARES BOSTON SCIENTIFIC | 709,228 | 302,800 |
| 20000 SHARES BRISTOL MYERS SQUI | 462,663 | 529,600 |
| 3000 SHARES CERNER | 112,347 | 284,220 |
| 15000 SHARES DENTSPLY INTL | 443,046 | 512,550 |
| 2000 SHARES ILLUMINA | 73,752 | 126,680 |
| 1000 SHARES DIEGO PLC ADR | 70,131 | 74,330 |
| 5000 SHARES AMGEN INC | 281,285 | 274,500 |
| 4000 SHARES JOHNSON & JOHNSON | 252,992 | 247,400 |
| 1000 SHARES MEDCO HEALTHCARE SOLS. INC. | 60,952 | 61,270 |
| 12000 SHARES MEDTRONIC INC | 530,298 | 445,080 |
| 15767 SHARES MERCK & CO. | 503,482 | 568,243 |
| 10000 SHARES NOVARTIS AG | 552,965 | 589,500 |
| 3000 SHARES AIG | 1,087,181 | 172,860 |
| 75000 SHARES CITIGROUP INC | 273,230 | 354,750 |
| 6000 SHARES HSBC HLDGS PLC | 324,267 | 306,240 |
| 30000 SHARES ISTAR FIN INC | 381,833 | 234,600 |
| 25000 SHARES MARSH & MCLENNAN | 710,656 | 683,500 |
| 2000 SHARES US BANCORP | 45,787 | 53,940 |
| 5000 SHARES AOL INC | 140,183 | 118,550 |
| 30000 SHARES APPLIED MATRLS INC | 527,363 | 421,500 |
| 20000 SHARES CISCO SYS INC | 256,606 | 404,600 |
| 20000 SHARES INTEL CORP | 353,673 | 420,600 |
| 15000 SHARES JDS UNIPHSAE CORP | 222,040 | 217,200 |
| 10000 SHARES LINEAR TECH CORP | 321,231 | 345,900 |
| 1000 SHARES MASTERCARD INC | 187,302 | 224,110 |
| 10000 SHARES VISA INC | 284,304 | 279,100 |
| 15000 SHARES MICROCHIP TECH INC | 462,287 | 513,150 |
| 10000 SHARES PAYCHEX INC | 301,158 | 309,100 |
| 12000 SHARES QUALCOMM INC | 37,476 | 593,880 |
| 5000 SHARES VISA INC | 355,527 | 351,900 |
| 20000 SHARES WESTERN UNION CO | 469,789 | 371,400 |
| 2000 SHARES CENTURYTEL INC | 84,855 | 92,340 |
| 20000 SHARES VERIZON COMM INC | 581,123 | 715,600 |
| 20000 SHARES VODAFONE GRP. PLC | 522,480 | 528,800 |
| 2000 SHARES BORG-WARNER AUTO INC | 82,114 | 144,720 |
| Category/ Item | Listed at Cost or FMV | Book Value | End of Year Fair Market Value |
|---|---|---|---|
| P & T PROPERTIES, LLC | AT COST | 185,947 | 185,947 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| ATTORNEY FEES | 8,387 | 0 | 0 | 8,387 |
| Description | Amount |
|---|---|
| RETURN OF CAPITAL | 636 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| BANK FEES | 550 | 0 | 0 | 550 |
| PA FILING FEE | 15 | 0 | 0 | 15 |
| Description | Revenue And Expenses Per Books | Net Investment Income | Adjusted Net Income |
|---|---|---|---|
| ORDINARY LOSS FROM PASSTHROUGH ENTITY | -19,691 | 0 |
| Description | Amount |
|---|---|
| ACCRETED BOND DISCOUNTS | 14,717 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| INVESTMENT COUNSEL FEES | 124,900 | 124,900 | 0 | 0 |
| MELLON CUSTODIAL FEES | 16,517 | 16,517 | 0 | 0 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| US EXCISE TAX | 7,270 | 0 | 0 | 0 |
| FOREIGN TAX | 6,959 | 6,959 | 0 | 0 |