| Identifier | Return Reference | Explanation |
|---|
| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| ATT INC DTD 11/17/2008 6.7 11/15/2013 00206RAP7 5000000.00% | 50,040 | 56,807 |
| CATERPILLAR FINA SVCS CRP - 6.200 - 09/30/2013 14912L4C2 5000000.00% | 50,278 | 56,134 |
| IBM CORP NOTES DTD 10/15/2008 6.5 10/15/2013 459200GN5 5000000.00% | 49,937 | 56,917 |
| VERIZON COMMUNICATIONS - 8.750 - 11/01/2018 92343VAQ7 5000000.00% | 51,395 | 65,150 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 325 shares of ACE LTD ACE | 11,492 | 20,231 |
| 125 shares of ALLERGAN INC. AGN | 7,958 | 8,584 |
| 296 shares of ALTRIA GROUP INC MO | 5,959 | 7,288 |
| 232 shares of AMERICAN CAMPUS COMMUNITIES ACC | 5,852 | 7,368 |
| 250 shares of ANALOG DEVICES INC. ADI | 7,097 | 9,418 |
| 140 shares of APACHE CORPORATION APA | 7,329 | 16,692 |
| 250 shares of B M C SOFTWARE BMC | 9,883 | 11,785 |
| 400 shares of BANK NEW YORK MELLON CORP COM BK | 7,241 | 12,080 |
| 164 shares of BOEING CO BA | 8,396 | 10,703 |
| 290 shares of BRISTOL-MYERS SQUIBB CO BMY | 6,222 | 7,679 |
| 79 shares of CATERPILLAR INC. CAT | 4,762 | 7,399 |
| 353 shares of CENTURY TEL INC CTL | 12,297 | 16,298 |
| 170 shares of CHEVRONTEXACO CORP CVX | 10,451 | 15,513 |
| 144 shares of COCA-COLA CO KO | 6,476 | 9,471 |
| 342 shares of CONOCOPHILLIPS COP | 14,891 | 23,290 |
| 150 shares of CREDICORP LTD BAP | 5,222 | 17,837 |
| 435 shares of CVS CAREMARK CORP. CVS | 11,286 | 15,125 |
| 104 shares of DOMINION RESOURCES INC D | 4,197 | 4,443 |
| 280 shares of DU PONT DE NEMOURS DD | 11,991 | 13,966 |
| 411 shares of DUKE ENERGY CO DUK | 11,291 | 7,320 |
| 318 shares of ELI LILLY CO LLY | 16,117 | 11,143 |
| 200 shares of ENBRIDGE INC ENB | 6,629 | 11,280 |
| 199 shares of EQUITY RESIDENTIAL PPTYS TR EQR | 9,073 | 10,338 |
| 150 shares of EXXON MOBIL CORP XOM | 9,423 | 10,968 |
| 125 shares of FLUOR CORP NEW FLR | 5,089 | 8,283 |
| 311 shares of GALLAGHER ARTHUR J CO. AJG | 8,874 | 9,044 |
| 175 shares of GEN DYNAMICS CP GD | 6,318 | 12,418 |
| 185 shares of GENTEX CORPORATION GNTX | 2,205 | 5,469 |
| 35 shares of GOOGLE INC CL A GOOG | 15,578 | 20,789 |
| 151 shares of H.J. HEINZ COMPANY HNZ | 5,972 | 7,468 |
| 168 shares of INNOPHOS HOLDINGS INC IPHS | 2,368 | 6,061 |
| 315 shares of INTEL CORP INTC | 6,452 | 6,624 |
| 177 shares of JOHNSON JOHNSON JNJ | 11,131 | 10,947 |
| 289 shares of JP MORGAN CHASE CO JPM | 12,799 | 12,259 |
| 359 shares of KRAFT FOODS INC KFT | 12,145 | 11,312 |
| 334 shares of MATTELL INC. MAT | 6,586 | 8,494 |
| 200 shares of MCDONALDS CORP MCD | 12,036 | 15,352 |
| 308 shares of MERCK CO INC. MRK | 11,707 | 11,100 |
| 157 shares of MICROCHIP TECHNOLOGY INC. MCHP | 5,215 | 5,371 |
| 725 shares of MICROSOFT CORPORATION MSFT | 12,825 | 20,235 |
| 123 shares of MORGAN STANLEY MS | 3,015 | 3,347 |
| 175 shares of MURPHY OIL CP HLDG MUR | 7,027 | 13,046 |
| 631 shares of NEW YORK COMNTY BANCORP INC. NYB | 10,863 | 11,894 |
| 68 shares of NEXTERA ENERGY, INC NEE | 3,198 | 3,535 |
| 250 shares of NOVARTIS AG ADR NVS | 8,628 | 14,738 |
| 800 shares of ORACLE CORP ORCL | 13,515 | 25,040 |
| 48 shares of P P G IND PPG | 3,348 | 4,035 |
| 154 shares of PACKAGING CORP AMER PKG | 2,795 | 3,979 |
| 236 shares of PAYCHEX INC COM PAYX | 7,997 | 7,295 |
| 545 shares of PEOPLES UNITED FINANCIAL, INC. PBCT | 7,718 | 7,635 |
| 151 shares of PHILIP MORRIS INTL PM | 6,995 | 8,838 |
| 7865 shares of PIMCO HIGH YIELD FUND CLASS D PHYDX | 70,625 | 73,146 |
| 300 shares of PROCTER GAMBLE CO PG | 15,322 | 19,299 |
| 275 shares of PUBLIC SVC ENTERPRISE GROUP INC. PEG | 6,695 | 8,748 |
| 520 shares of RPM INTERNATIONAL INC. RPM | 9,794 | 11,492 |
| 204 shares of SONOCO PRODUCTS COMPANY SON | 4,558 | 6,869 |
| 333 shares of SOUTHERN CO SO | 11,851 | 12,731 |
| 408 shares of SPECTRA ENERGY CORP-W/I SE | 5,193 | 10,196 |
| 650 shares of STAPLES INC. SPLS | 10,603 | 14,801 |
| 378 shares of SUPERVALU INC SVU | 3,605 | 3,640 |
| 200 shares of SYNGENTA AG ADS SYT | 11,021 | 11,756 |
| 450 shares of SYNOPSYS, INC. SNPS | 7,822 | 12,110 |
| 197 shares of SYSCO CORP SYY | 4,443 | 5,792 |
| 348 shares of TAIWAN SEMICONDUCTOR MFG CO LTD TSM | 3,422 | 4,364 |
| 300 shares of TEVA PHARMECEUTICAL SP ADR TEVA | 13,930 | 15,639 |
| 113 shares of TOTAL FINA ELF S.A. TOT | 5,627 | 6,043 |
| 383 shares of UNILEVER PLC AMER UL | 11,701 | 11,827 |
| 91 shares of UNITED PARCEL SERVICE UPS | 5,699 | 6,605 |
| 175 shares of UNITED TECHNOLOGIES CORP UTX | 6,600 | 13,776 |
| 62 shares of V F CORP VFC | 3,851 | 5,343 |
| 7 shares of VANGUARD GNMA FUND VFIIX | 79 | 79 |
| 10340 shares of VANGUARD MUNI BD SHORT TERM VWSTX | 164,499 | 163,988 |
| 3318 shares of VANGUARD SHORT TERM INVESTMENT GRADE FUND VFSTX | 35,074 | 35,737 |
| 8957 shares of VANGUARD SHORT-TERM CORPORATE FD ADMIRAL SHS VFSUX | 96,913 | 96,466 |
| 688 shares of VANGUARD SPECIALIZED PTS HEALTH CARE FUND VGHCX | 76,364 | 84,228 |
| 586 shares of VERIZON COMMUNICATIONS VZ | 16,963 | 20,967 |
| 400 shares of WALT DISNEY HOLDINGS CO. DIS | 6,257 | 15,004 |
| 234 shares of WASTE MANAGEMENT INC. WM | 8,298 | 8,628 |
| 172 shares of WESTAR ENERGY INC. WR | 3,068 | 4,328 |