| Identifier | Return Reference | Explanation |
|---|
| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| ACE INA HOLDINGS 5.875 DUE 06/15/14 00440EAG2 6000000.00% | 60,868 | 67,274 |
| ALLEGIANCE CORP 7 10/15/2026 017475AC8 5000000.00% | 43,784 | 55,608 |
| ANADARKO PETE CORP 4/15/2012 6.125 032511AT4 5000000.00% | 51,562 | 52,568 |
| ANADARKO PETROLEUM CORP - 5.950 - 09/15/2016 032511AX5 6000000.00% | 57,740 | 64,457 |
| BJ SERVICES CO 6/1/2018 6 055482AJ2 5000000.00% | 48,846 | 57,130 |
| BLACK DECKER SR NTS 5.750 11/15/2016 MAKE WHOLE 091797AN0 5000000.00% | 47,231 | 55,171 |
| DEVON ENERGY CORP 4/15/2032 251799AA0 1700000.00% | 18,308 | 22,573 |
| DOW CHEMICAL CO 6.85 8/15/2013 260543BF9 5000000.00% | 51,678 | 54,600 |
| FIRST ENERGY CORP 7.375 11/15/2031 337932AC1 7500000.00% | 76,566 | 79,062 |
| GENERAL ELEC CAP CORP MTN BE 5.400 02/15/2017 FR 36962G2G8 9200000.00% | 92,704 | 98,599 |
| GENERAL ELEC CAP CORP MTN BE 5.62500 05/01/2018 36962G3U6 5000000.00% | 50,398 | 54,624 |
| GOLDMAN SACHS - 5.000 - 10/01/2014 38143UAW1 3400000.00% | 32,666 | 36,464 |
| GOLDMAN SACHS - 6.125 - 11/01/2060 38145X111 25600.00% | 6,241 | 5,926 |
| GOLDMAN SACHS 5.95 1/18/18 38141GFG4 5000000.00% | 50,298 | 54,371 |
| HOME DEPOT INC SR UNS 5.250 CALLABLE 12/16/2012 437076AR3 5000000.00% | 50,346 | 54,857 |
| KEER-MCGEE 6.95 7/1/2024 492386AU1 5000000.00% | 45,470 | 54,349 |
| MARATHON OIL CORP BOND - 6.000 - 10/01/2017 565849AD8 5000000.00% | 47,126 | 56,788 |
| PEPSI BOTTLING GRP INC GTD - 7.000 - 03/01/2029 713409AC4 10000000.00% | 112,363 | 122,988 |
| PPL ENERGY SUPPLY 6.2 5/15/2016 69352JAH0 5000000.00% | 46,021 | 55,245 |
| ROHM HAAS CO 7.85 7/15/2029 775371AU1 10000000.00% | 102,471 | 116,199 |
| STAPLES INC CREDIT SEN NT 7.37500 10/01/2012 855030AH5 6000000.00% | 61,680 | 65,722 |
| TELEPHONE DATA SYSTEMS - 6.875 - 11/15/2059 879433845 4200.00% | 1,045 | 1,044 |
| TIME WARNER INC 6.500 11/15/2036 887317AD7 5000000.00% | 46,492 | 54,647 |
| TRANS CANADA PIPE 6.5 8/15/2018 89352HAF6 5000000.00% | 51,577 | 59,018 |
| VERIZON COMM INC NT 5.500 04/01/2017 MAKE WHOLE 92343VAG9 5000000.00% | 51,205 | 55,627 |
| WELLS FARGO CO 5.3 8/26/2011 949746NJ6 5000000.00% | 53,696 | 51,535 |
| WILLAMS CO 9/1/2021 969457BG4 3800000.00% | 33,364 | 44,853 |
| XTO ENERGY INC SR NT - 6.250 - 08/01/2017 98385XAL0 11000000.00% | 112,394 | 129,681 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 193 shares of 3M CO MMM | 10,667 | 16,656 |
| 387 shares of ABBOTT LABS ABT | 17,853 | 18,541 |
| 271 shares of ACCENTURE PLC ACN | 9,492 | 13,141 |
| 34 shares of ACE LTD ACE | 1,877 | 2,117 |
| 255 shares of AEGON NV PFD - 6.375 AEH | 3,725 | 5,518 |
| 71 shares of AEGON NV PFD - 6.500 AED | 1,142 | 1,544 |
| 65 shares of AEGON NV PFD - 6.875 AEV | 1,088 | 1,481 |
| 70 shares of AEGON NV PFD - 7.250 AEF | 880 | 1,674 |
| 143 shares of AEGON NV PFD FLOAT RATE AEGZF.PK | 1,227 | 2,994 |
| 47 shares of AIR PRODS CHEM INC. APD | 3,598 | 4,275 |
| 3000 shares of AKTIEBOLAGET SVENSK NT LKD ENRGY SELECTINDEX 0.00 ANI | 30,000 | 38,040 |
| 422 shares of ALGER CHINA U.S. GROWTH FUND CLASS C CHUCX | 5,000 | 7,173 |
| 408 shares of ALLIANZ SOC EUR SE UNDTD SUB CALL 8.375 AZM | 8,399 | 10,723 |
| 156 shares of AMB PPTY CORP AMB | 4,325 | 4,947 |
| 154 shares of AMERIPRISE FINANCIAL INC 7.75 6/15/39 03076C205 | 3,485 | 4,104 |
| 89 shares of AON CORP AON | 3,261 | 4,095 |
| 63 shares of APACHE CORPORATION APA | 5,165 | 7,511 |
| 133 shares of ARCH CAPITAL GROUP LTD 8 G0450A147 | 2,787 | 3,392 |
| 63 shares of ARCH CAPITAL GROUP LTD PRFD B ARHPB | 1,505 | 1,611 |
| 655 shares of ATT CORP COM NEW T | 16,708 | 19,244 |
| 3000 shares of BANK AMER COR INDEX NT LKD TO CHINA BRAZIL MLGAV | 30,000 | 31,410 |
| 397 shares of BANK NEW YORK MELLON CORP COM BK | 9,545 | 11,989 |
| 10000 shares of BANK OF AMERICA N.A. SPX MLNBK | 100,000 | 117,100 |
| 186 shares of BANK OF MONTREAL BMO | 10,458 | 10,708 |
| 133 shares of BANK OF NOVA SCOTIA BNS | 6,706 | 7,608 |
| 130 shares of BARCLAYS BANK PLC - 6.625 - ADS SER BCS-P | 1,013 | 3,033 |
| 146 shares of BARCLAYS BANK PLC PRFD C BCS-PC | 2,182 | 3,711 |
| 167 shares of BARCLAYS BANK PLC SER 3 - 7.100 BCS-PA | 1,361 | 4,163 |
| 147 shares of BARCLAYS BK SPONS ADR PREF SHS SER 5 8.125 PERPET 06739H362 | 1,376 | 3,778 |
| 63 shares of BBT CAP TR V ENHANCED TR PFD SECS8.95 12/15/2063 BBTVP | 1,503 | 1,729 |
| 95 shares of BBT CAP TR VI GTD ENHANCED TR PFD SECS 9.6 08/01 05531B201 | 2,463 | 2,746 |
| 132 shares of BECTON DICKINSON CO BDX | 9,507 | 11,157 |
| 104 shares of BNY CAPITAL V TR PFD SER F - 5.950 - 05/01/2033 BK-PF | 2,096 | 2,596 |
| 65 shares of BOSTON PPTYS INC BXP | 2,706 | 5,597 |
| 335 shares of CBS CORP NTS - 6.750 - 03/27/2056 CPV | 4,929 | 8,465 |
| 232 shares of CENTURY TEL INC CTL | 5,973 | 10,711 |
| 280 shares of CHEVRONTEXACO CORP CVX | 20,128 | 25,550 |
| 92 shares of CHUBB CORP CB | 3,767 | 5,487 |
| 122 shares of CITIGROUP CAP TR IX PFD - 6.000 - 02/14/2033 C-PS | 1,520 | 2,721 |
| 23 shares of CITIGROUP CAP VIII C-PZ | 246 | 557 |
| 74 shares of CITIGROUP CAP XII TR PFD SECS C-PJ | 1,795 | 1,960 |
| 97 shares of CITIGROUP CAPITAL X PFD - 6.100 - 09/30/2033 C-PR | 918 | 2,154 |
| 43 shares of CITIGROUP CAPITAL XI PFD - 6.000 - 09/27/2034 CPQ | 418 | 1,038 |
| 154 shares of CITIGROUP CAPITAL XIII - 7.875 - 10/30/2040 173080201 | 4,016 | 4,144 |
| 58 shares of CITIGROUP CAPITAL XVI - 6.450 - 12/31/2066 C-PW | 551 | 1,328 |
| 83 shares of CITIGROUP CAPITAL XVII PFD - 6.350 - 03/15/2067 C-PE | 763 | 1,893 |
| 160 shares of COCA-COLA CO KO | 6,166 | 10,523 |
| 2386 shares of COHEN STEERS GLOBAL REALTY SHARES, INC CLASS C CSFCX | 81,217 | 96,977 |
| 7604 shares of COHEN STEERS DIVIDEND VALUE FUND INC CLASS C DVFCX | 75,704 | 87,746 |
| 592 shares of COLUMBIA FDS SRS TR COLUMBIA MARSICO 21ST CENTURY NMYCX | 5,000 | 7,497 |
| 246 shares of COMCAST CORP NT - 7.000 - 09/15/2055 CCW | 5,557 | 6,224 |
| 195 shares of COMCAST CORP NTS - 6.625 - 05/15/2056 CC-S | 4,294 | 4,963 |
| 53 shares of COMCAST CORP NTS - 7.000 - 05/15/2055 CCT | 1,204 | 1,344 |
| 164 shares of COMMONWEALTH REIT 8.75 HRP-PC | 1,968 | 3,957 |
| 78 shares of COMMONWEALTH REIT SR NT PFD 7.50 11/15/2019 203233507 | 1,469 | 1,650 |
| 160 shares of CONOCOPHILLIPS COP | 7,421 | 10,896 |
| 175 shares of COOPER INDUSTRIES PLC CBE | 4,789 | 10,201 |
| 438 shares of CREDIT SUISSE GRNS TIER 1 CDTSF.PK | 9,532 | 11,730 |
| 90 shares of CULLEN FROST BANKERS INC CFR | 4,533 | 5,501 |
| 124 shares of DB CAPITAL FDG VIII - 6.375 - PERPETUAL DUA | 1,454 | 2,784 |
| 351 shares of DB CONT CAP TR II - 6.550 DXB | 4,001 | 8,126 |
| 93 shares of DEUTSCH BK CONTINGENT CAP TR V TR PFD SECS 8.05 25150L108 | 2,367 | 2,431 |
| 61 shares of DEUTSCHE BK C/F TR X PFD DCE | 1,106 | 1,534 |
| 146 shares of DEUTSCHE BK CONTINGENT CAP TR III TR PFD SECS 7.6 25154A108 | 3,143 | 3,713 |
| 81 shares of DIAGEO PLC ADS DEO | 4,179 | 6,021 |
| 84 shares of DIGITAL RLTY TR INC DLR | 4,969 | 4,329 |
| 235 shares of DU PONT DE NEMOURS DD | 5,553 | 11,722 |
| 27 shares of DUKE REALTY CORP PFD SER M - 6.950 DRE-PM | 605 | 645 |
| 11777 shares of DWS SHORT DURATION PLUS C PPLCX | 105,332 | 111,648 |
| 3000 shares of EKSPORTFINANS ASA ACCELERATED RETURN NTS LKD TO MS 282649227 | 30,000 | 30,732 |
| 3000 shares of EKSPORTFINANS ASA STRAT LKD SP500 0 12/21/2011 28264M509 | 30,000 | 29,700 |
| 245 shares of EMERSON ELECTRIC CO. EMR | 8,014 | 14,007 |
| 51 shares of ENTERGY ARK INC 1ST MTG BD - 5.750 - 11/01/2040 29364D779 | 1,271 | 1,270 |
| 26 shares of ENTERGY LA LLC SER - 5.875 - 06/15/2041 29364W405 | 639 | 645 |
| 47 shares of ENTERGY LOUISIANA LLC 1ST MTG BD ELB | 1,170 | 1,202 |
| 75 shares of ENTERGY TEXAS INC EDT | 1,896 | 2,072 |
| 261 shares of EVEREST RE CAP TR II SER B - 6.200 - 03/29/2034 RE-PB | 4,451 | 5,810 |
| 18824 shares of EVERGREEN EQUITY TR ASSET ALLOC FD CL C EACFX | 182,973 | 219,113 |
| 282 shares of EXXON MOBIL CORP XOM | 21,131 | 20,620 |
| 730 shares of FEDERATED MARKET OPPORTUNITIES FUND C FMRCX | 8,336 | 7,027 |
| 44 shares of FIFTH THIRD CAP TR FTB-PC | 691 | 1,162 |
| 85 shares of FIFTH THIRD CAP TR V 7.25 DUE8/15/67 FTB-PA | 1,088 | 2,115 |
| 120 shares of FIFTH THIRD CAPTL TR VI PFD - 7.250 - 11/15/2067 FTB-PB | 1,547 | 3,001 |
| 34 shares of FPL GROUP CAP TRUST I 5.875 3/15/2044 FPL-PC | 846 | 845 |
| 148 shares of GE CAP CORP SER A - 6.050 - 02/06/2047 GEG | 3,258 | 3,790 |
| 107 shares of GE CAP CORP SR DEBT - 6.450 - 06/15/2046 GER | 2,462 | 2,734 |
| 145 shares of GE CAPITAL NTS - 6.000 - 04/24/2047 GEJ | 3,111 | 3,698 |
| 531 shares of GENERAL MILLS INC GIS | 16,764 | 18,898 |
| 29 shares of GOLDMAN SACHS DEP SH GS-PD | 546 | 624 |
| 70 shares of GOLDMAN SACHS GROUP GS | 6,834 | 11,771 |
| 91 shares of GOLDMAN SACHS GROUP INC PFD - FLOAT GS-PA | 1,092 | 1,913 |
| 367 shares of HARTFORD CAPITAL APPRECIATION FUND CLASS C THE HCACX | 8,000 | 11,291 |
| 9009 shares of HARTFORD CAPITAL APPRECIATION II FUND CLASS C HFCCX | 80,000 | 120,630 |
| 115 shares of HASBRO INC HAS | 3,014 | 5,426 |
| 130 shares of HEALTH CARE PPTY INVS INC HCP | 2,787 | 4,783 |
| 97 shares of HESS CORP HES | 5,145 | 7,424 |
| 345 shares of HOME DEPOT INC. HD | 7,479 | 12,096 |
| 304 shares of HONEYWELL INTERNATIONAL INC. HON | 10,820 | 16,161 |
| 125 shares of HSBC HLDGS PFD SER A HBC-PA | 1,811 | 2,863 |
| 252 shares of HSBC HLDGS PLC PERP SUB CAP SECS SECS EXCH PREF SH 404280802 | 6,493 | 6,716 |
| 103 shares of HSBC HLDGS PLC PERPETUAL SUB CAP SECS 8.125 PERPE HCS | 2,112 | 2,763 |
| 139 shares of ING GROEP NV - 6.125 - PERPETUAL DEBT IDG | 1,478 | 3,222 |
| 108 shares of ING GROEP PERP DEBT 7.20 INZ | 2,419 | 2,502 |
| 75 shares of ING GROUP - 6.125 - PERPETUAL ISG | 735 | 1,520 |
| 181 shares of ING GROUP NV DEBT - 7.050 - PERPETUAL IND | 3,174 | 4,136 |
| 304 shares of INTEL CORP INTC | 3,882 | 6,393 |
| 70 shares of INTERNATIONAL BUSINESS MACHINES IBM | 8,108 | 10,273 |
| 5195 shares of IVY ASSET STRATEGY CL C WASCX | 100,000 | 123,272 |
| 248 shares of JENNISON NATURAL RESOURCES FUND CLASS C PNRCX | 7,320 | 11,948 |
| 353 shares of JOHNSON JOHNSON JNJ | 20,095 | 21,833 |
| 108 shares of JOHNSON CONTROLS INC. JCI | 3,552 | 4,126 |
| 377 shares of JP MORGAN CHASE CO JPM | 8,426 | 15,992 |
| 193 shares of JPM CHASE CAP XI - 5.875 - 06/15/2033 JPMPRK | 3,861 | 4,700 |
| 80 shares of JPM CHASE CAP XIV - 6.200 - 10/15/2034 JPM-PY | 1,403 | 2,003 |
| 273 shares of JPM CHASE CAP XXIX GTD CAP SER CC 6.7 4/02/2040 48125E207 | 6,657 | 6,972 |
| 24 shares of JPM CHASE CAP XXVI VAR SER Z 8.00 05/15/48 48124G104 | 499 | 646 |
| 96 shares of JPMORGAN CHASE CAP XXVIII 7.200 12/22/2039 48124Y204 | 2,514 | 2,591 |
| 206 shares of KIMCO REALTY CORP PFD SER G - 7.750 - PERPETUAL KIM-PG | 4,048 | 5,438 |
| 103 shares of KIMCO RLTY CORP DEPOSITARY SHS REPSTG 1/100 SH CUM 49446R828 | 2,555 | 2,482 |
| 175 shares of LINCOLN NATIONAL CORP - 6.750 - 04/20/2066 LNC-PG | 3,126 | 4,400 |
| 128 shares of LLOYDS BANKING GROUPPLC PRF 7.75 12/15/2050 ISIN 539439802 | 3,277 | 3,322 |
| 184 shares of LOCKHEED MARTIN CORP LMT | 13,945 | 12,863 |
| 450 shares of LOOMIS SAYLES FDS STRATEGIC INC FD CL C TR II NECZX | 5,464 | 6,699 |
| 1678 shares of LORD ABBETT SECURITIES TR BOND DEBENTURE TR CL C BDLAX | 10,940 | 13,138 |
| 1561 shares of LORD ABBETT SECURITIES TRUST ALL VALUE FUND CL C GILAX | 13,000 | 19,180 |
| 30 shares of MT CAP TR PFD MTB-PA | 727 | 799 |
| 161 shares of MARKEL CORP SR DEBT - 7.500 - 08/22/2046 MKV | 3,839 | 4,077 |
| 17 shares of MASTERCARD INC MA | 3,602 | 3,810 |
| 185 shares of MCDONALDS CORP MCD | 11,976 | 14,201 |
| 211 shares of MEDTRONIC INC MDT | 7,369 | 7,826 |
| 275 shares of MERCK CO INC. MRK | 8,287 | 9,911 |
| 216 shares of METLIFE INC PFD B - 6.500 MET-PB | 3,554 | 5,357 |
| 227 shares of METLIFE INC. MET | 6,338 | 10,088 |
| 1575 shares of MFS INTERNATIONAL DIVERSIFICATION FD CL C MDIGX | 15,133 | 20,967 |
| 124 shares of MORGAN STANLEY CAP TR IV PFD - 6.250 - 04/01/2033 MWG | 1,860 | 2,827 |
| 99 shares of MORGAN STANLEY CAP TR V PFD - 5.750 - 07/15/2033 MWO | 1,275 | 2,165 |
| 118 shares of MORGAN STANLEY CAP TR VII - 6.600 - 10/15/2066 MSZ | 1,739 | 2,803 |
| 26 shares of MORGAN STANLEY CAP TRUST 6.45 4/15/2067 MSK | 631 | 610 |
| 166 shares of MORGAN STANLEY CP TR III - 6.250 - 03/01/2033 MWR | 3,017 | 3,722 |
| 43 shares of MORGAN STANLEY CP VI MSJ | 950 | 1,019 |
| 113 shares of MORGAN STANLEY SER A - FLOAT MS-PA | 1,181 | 2,179 |
| 199 shares of NATIONAL CITY CAP TR II 6.625 11/15/2036 NLCPP.PK | 3,320 | 4,971 |
| 88 shares of NATIONAL CITY CAP TR III 6.625 5/25/2047 NCC-PA | 1,449 | 2,188 |
| 187 shares of NATIONAL GRID TRANSCO PLC NGG | 8,931 | 8,299 |
| 66 shares of NATL RURAL UTILITY CFC NTS - 5.950 - 02/15/2045 NRU | 1,429 | 1,612 |
| 85 shares of NESTLE S.A. NSRGY.PK | 3,169 | 5,000 |
| 121 shares of NEXTERA ENERGY CAPITAL HOLDINGS INC 6.6 10/01/66 FGC | 3,049 | 3,111 |
| 22 shares of NEXTERA ENERGY CAPITAL HOLDINGS INC 8.75 3/01/69 NEE-PF | 557 | 615 |
| 106 shares of NOBLE CORPORATION NE | 3,507 | 3,792 |
| 105 shares of NORFOLK SOUTHERN CORP NSC | 4,064 | 6,596 |
| 125 shares of NORTHROP GRUMMAN CORP NOC | 5,682 | 8,098 |
| 362 shares of ORACLE CORP ORCL | 6,889 | 11,331 |
| 210 shares of P P G IND PPG | 8,288 | 17,655 |
| 215 shares of PARTNERRE LTD PFD SER D - 6.500 - PERPETUAL PRE-PD | 3,936 | 5,177 |
| 62 shares of PARTNERRE LTD. PRFD C PRE-PC | 1,267 | 1,525 |
| 228 shares of PEPSICO INC PEP | 11,510 | 14,895 |
| 875 shares of PFIZER INC. PFE | 14,894 | 15,321 |
| 369 shares of PG E CORP PCG | 14,260 | 17,653 |
| 286 shares of PHILIP MORRIS INTL PM | 12,253 | 16,740 |
| 7680 shares of PIMCO HIGH YIELD FD CL C PHDCX | 57,067 | 71,427 |
| 2665 shares of PIONEER GLOBAL HIGH YLD FD A PGHYX | 26,122 | 28,110 |
| 12784 shares of PIONEER STRATEGIC INCOME C PSRCX | 110,030 | 136,910 |
| 35 shares of PNC CAP TR E PNH | 769 | 920 |
| 151 shares of PNC CAPITAL TR D PFD - 6.125 - 12/15/2033 PNU | 2,831 | 3,766 |
| 75 shares of PPL CAP FDG INC SR NTS 6.85 07/01/2047 69352P889 | 1,862 | 1,919 |
| 112 shares of PPL ENERGY SUPPLY LLC NTS - 7.000 - 07/15/2046 PLS | 2,822 | 2,910 |
| 175 shares of PROCTER GAMBLE CO PG | 9,920 | 11,258 |
| 31 shares of PROLOGIS TR - 6.750 - 12/31/2049 PLD-PF | 358 | 713 |
| 131 shares of PRUDENTIAL FINCL INC PRU | 6,277 | 7,691 |
| 177 shares of PRUDENTIAL FINL INC JR SUB NTS 9.00 06/15/2038 744320508 | 3,535 | 4,866 |
| 90 shares of PRUDENTIAL PLC - 6.500 - PERPETUAL PUK-PA | 1,309 | 2,219 |
| 54 shares of PRUDENTIAL PLC PRFD PUK-P | 718 | 1,354 |
| 30 shares of PS BUS PKS DEP PFD H PSB-PH | 507 | 735 |
| 26 shares of PS BUSINESS PARKS INC - 6.875 PSB-PR | 644 | 634 |
| 36 shares of PS BUSINESS PARKS, INC PRFD P PSB-PP | 792 | 857 |
| 26 shares of PUBLIC STORAGE 6.45 PSA-PX | 584 | 636 |
| 67 shares of PUBLIC STORAGE DEP PSA-PL | 1,317 | 1,693 |
| 75 shares of PUBLIC STORAGE INC PFD SER I - 7.250 - PERPETUAL PSA-PI | 1,896 | 1,898 |
| 171 shares of PUBLIC STORAGE INC PFD SER M - 6.625 - PERPETUAL PSAGK.PK | 3,327 | 4,268 |
| 43 shares of PUBLIC STORAGE PFD SER C - 6.600 PSA-PC | 802 | 1,055 |
| 17 shares of PUBLIC STORAGE PRFD E PSA-PE | 328 | 423 |
| 21 shares of PUBLIC STORAGE PRFD H PSA-PH | 424 | 528 |
| 37 shares of PUBLIC STORAGE PRFD K PSA-PK | 887 | 941 |
| 24 shares of PUBLIC STORAGE SBI O 6.875 PSAXZ.PK | 593 | 616 |
| 78 shares of PUBLIC SVC ENTERPRISE GROUP INC. PEG | 2,420 | 2,481 |
| 12091 shares of PUTNAM ASSET ALLOCATION GROWTH PORTFOLIO FUND CL C PAECX | 108,918 | 143,877 |
| 8753 shares of PUTNAM VOYAGER FD CLASS C PVFCX | 150,939 | 193,448 |
| 81 shares of REALTY INCOME CORP PFD CL E - 6.750 - PERPETUAL O-PE | 1,643 | 1,986 |
| 665 shares of REGAL ENTERTAINMENT RGC | 7,198 | 7,807 |
| 43 shares of REGENCY CENTERS CORP 6.7 758849608 | 727 | 1,069 |
| 38 shares of REGENCY CENTERS CORP. PRFD D REG-PD | 669 | 930 |
| 55 shares of REGENCY CENTERS PFD SER 3 - 7.450 - PERPETUAL 758849301 | 981 | 1,394 |
| 26 shares of REGIONS FINANCIAL CORP 7.000 DUE 03-01-11 PSA-PP | 649 | 637 |
| 17 shares of REGIONS FINANCING TR III 8.875 6/15/2078 7591EM107 | 295 | 426 |
| 233 shares of RENAISSANCE HLDGS PFD SER D - 6.600 - PERPETUAL RNR-PD | 4,676 | 5,739 |
| 30 shares of RENAISSANCERE HOLDINGS LTD. PRFD C RNR-PC | 473 | 682 |
| 431 shares of SANTANDER FIN PFD - 10.500 - PERPETUAL STD-PE | 10,134 | 12,008 |
| 21 shares of SCANA CORP NEW JR SB NT 7.7 1/30/65 SCU | 533 | 582 |
| 57 shares of SIMON PPTY GROUP INC NEW SPG | 2,401 | 5,671 |
| 196 shares of ST. JUDE MED INC. STJ | 7,854 | 8,379 |
| 65 shares of STANLEY BLACK DECKER INC SWK | 3,448 | 4,347 |
| 72 shares of SUNTRUST CAPITAL IX 7.875 3/15/2068 867885105 | 1,431 | 1,858 |
| 360 shares of SYSCO CORP SYY | 8,232 | 10,584 |
| 59 shares of TELEPHONE DATA 7.6 TDA | 1,191 | 1,487 |
| 24 shares of TELEPHONE DATA SYSTEMS 6.625 3/31/2045 879433852 | 351 | 596 |
| 873 shares of TOUCHSTONE LARGE CAP GROWTH CLASS A TEQAX | 15,043 | 20,844 |
| 11277 shares of TRANSAMERICA ASSET ALLOCATION - GROWTH PORTFOLIO IAALX | 100,415 | 132,388 |
| 3332 shares of TRANSAMERICA LEGG MASON FUND C ILLLX | 30,023 | 47,178 |
| 11071 shares of TRANSAMERICA SH/TER BOND C ITACX | 106,915 | 115,471 |
| 8639 shares of TRANSAMERICA SMALL/MID CAP VALUE CLASS C IIVLX | 124,999 | 174,239 |
| 126 shares of TRAVELERS COMPANIES INC THE TRV | 5,841 | 7,019 |
| 254 shares of UBS PFD FNDG TR IV PFD - FLOAT USB-PD | 2,661 | 4,298 |
| 262 shares of UNITED TECHNOLOGIES CORP UTX | 15,555 | 20,625 |
| 48 shares of US BANCORP SER B - FLOAT - PERPETUAL USB-PH | 624 | 1,081 |
| 38 shares of USB CAP X PREFERRED STOCK USB-PI | 858 | 969 |
| 48 shares of USB CAP XII 6.3 TR USB-PK | 889 | 1,192 |
| 69 shares of USB CAPITAL VI PFD - 5.750 - 03/09/2035 USB-PE | 1,349 | 1,712 |
| 86 shares of USB CAPITAL VII PFD - 5.875 - 08/15/2035 USB-PF | 1,688 | 2,122 |
| 148 shares of USB CAPITAL XI PFD - 6.600 - 09/15/2066 USB-PJ | 3,109 | 3,715 |
| 230 shares of VERIZON COMMUNICATIONS VZ | 6,511 | 8,229 |
| 345 shares of VIACOM INC NTS - 6.850 - 12/15/2055 VNV | 6,853 | 8,756 |
| 160 shares of VODAFONE GROUP PLC VOD | 2,925 | 4,230 |
| 346 shares of VORNADO REALTY LP PUBLIC INCOME NT 7.875 10/1/39 929043602 | 8,651 | 9,228 |
| 294 shares of WACHOVIA PFD FUNDING PFD SER A - 7.250 - PERP WNAP | 5,074 | 7,523 |
| 101 shares of WALGREEN CO WAG | 3,495 | 3,935 |
| 129 shares of WALT DISNEY HOLDINGS CO. DIS | 2,692 | 4,839 |
| 59 shares of WEINGARTEN REALTY INVESTORS WRD | 1,211 | 1,348 |
| 278 shares of WEINGARTEN REALTY SER F - 6.500 - PERPETUAL WRI-PF | 4,312 | 6,477 |
| 280 shares of WELLS FARGO CO. WFC | 7,251 | 8,677 |
| 88 shares of WELLS FARGO CAPITAL IX PFD - 5.625 - 04/08/2034 JWF | 1,547 | 2,130 |
| 206 shares of WELLS FARGO CAPITAL XI PFD - 6.250 - 06/15/2067 FWF | 3,621 | 5,173 |
| 35 shares of WELLS FARGO CAPITAL XII 7.875 3/15/2068 94985V202 | 738 | 939 |
| 87 shares of WELLS FARGO CAPTL TR VII PFD - 5.850 - 06/15/2033 WPK | 1,473 | 2,174 |
| 279 shares of WR BERKLEY CPTL TR II PFD - 6.750 - PERPETUAL BER-PA | 5,234 | 6,972 |
| 149 shares of XCEL ENERGY INC JR SUB NT 7.600 01/01/2068 XCJ | 3,809 | 4,087 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Administrative Fees | 14,633 | 14,633 | ||
| Bank Charge | 178 | 178 | ||
| Miscellaneous office supplies | 70 | 70 | ||
| State or local filing fees | 425 | 425 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Investment Management Services | 16,327 | 16,327 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Estimated tax for 2010 | 800 | 0 | 0 | 0 |
| Foreign Tax Paid | 122 | 122 | 0 | 0 |