| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| GOLDMAN SACHS TRUST HIGH YIELD FUND INSTITUTIONAL SHS - 18413.598 SHS | 130,000 | 134,419 |
| ISHARES BARCLAYS TIPS BOND FUND - 250 SHS | 25,222 | 26,880 |
| EATON VANCE MUT FDS TR FLT RT CL I - 7437.071 SHS | 65,000 | 66,636 |
| JPM HIGH YIELD FD - SEL FUND 3580 5.91% - 18722.327 SHS | 140,000 | 152,587 |
| JPM SHORT DURATION BOND FD - SEL FUND 3133 1.36% - 50509.323 SHS | 545,000 | 554,087 |
| JPM TR I TAX AWARE REAL RETURN - SEL FUND 992 1.84% - 2538.071 SHS | 25,000 | 25,102 |
| DREYFUS/LAUREL FDS TR PRM EMRGN MK I - 2473 SHS | 34,721 | 35,760 |
| JPM STR INC OPP FD FUND 3844 2.33% - 5890.069 SHS | 65,000 | 69,680 |
| JPM INTL CURRENCY INCOME FD INCOME FUND 1.28% - 6439.742 SHS | 70,000 | 72,447 |
| U S A NOTES 4 1/4% AUG 15 2015 DTD 8/15/2005 - 20000 SHS | 21,533 | 22,145 |
| U S A NOTES 5 1/8% MAY 15 2016 DTD 5/15/2006 - 20000 SHS | 22,510 | 23,042 |
| U S A NOTES 4 7/8% JUL 31 2011 DTD 7/31/2006 - 20000 SHS | 21,470 | 20,536 |
| U S A NOTES 4 1/2% MAY 15 2017 DTD 5/15/2007 - 30000 SHS | 32,500 | 33,567 |
| U S A NOTES 3 5/8% FEB 15 2020 DTD 02/16/2010 - 15000 SHS | 16,345 | 15,567 |
| U S A NOTES 4% FEB 15 2014 DTD 2/17/2004 - 20000 SHS | 21,449 | 21,788 |
| U S A NOTES 4 5/8% AUG 31 2011 DTD 8/31/2006 - 20000 SHS | 21,405 | 20,573 |
| U S A NOTES 3.125% AUG 31 2013 DTD 09/02/2008 - 25000 SHS | 25,983 | 26,522 |
| U S A NOTES 3 3/4% NOV 15 2018 DTD 11/17/2008 - 30000 SHS | 30,585 | 31,910 |
| U S A TREASURY NOTES 2% NOV 30 2013 DTD 12/01/2008 - 25000 SHS | 24,774 | 25,738 |
| U S A TREASURY NOTES 1 3/8% FEB 15 2012 DTD 02/17/2009 - 30000 SHS | 30,004 | 30,338 |
| U S A TREASURY NOTES 1 3/8% MAY 15 2012 DTD 05/15/2009 - 30000 SHS | 29,927 | 30,398 |
| U S A NOTES 3 5/8% AUG 15 2019 DTD 08/15/2009 - 15000 SHS | 16,414 | 15,670 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| ABBOTT LABORATORIES - 95 SHS | 4,691 | 4,551 |
| ALEXION PHARMACEUTICALS INC - 20 SHS | 1,116 | 1,611 |
| AMAZON COM INC - 25 SHS | 2,899 | 4,500 |
| AMERICAN EXPRESS CO - 25 SHS | 1,059 | 1,073 |
| APACHE CORP - 50 SHS | 3,939 | 5,962 |
| APPLE INC. - 34 SHS | 5,265 | 10,967 |
| BB & T CORP - 45 SHS | 885 | 1,183 |
| BAKER HUGHES INC - 50 SHS | 2,547 | 2,859 |
| CVS CAREMARK CORPORATION - 95 SHS | 2,712 | 3,303 |
| CAMPBELL SOUP COMPANY - 50 SHS | 1,822 | 1,738 |
| CARDINAL HEALTH INC - 80 SHS | 2,312 | 3,065 |
| CELGENE CORPORATION - 50 SHS | 2,194 | 2,957 |
| CISCO SYSTEMS INC - 330 SHS | 4,894 | 6,676 |
| CITRIX SYSTEMS INC - 15 SHS | 1,030 | 1,026 |
| COLGATE PALMOLIVE CO - 25 SHS | 1,964 | 2,009 |
| WALT DISNEY CO - 100 SHS | 3,106 | 3,751 |
| DOW CHEMICAL CO - 95 SHS | 2,767 | 3,243 |
| E I DU PONT DE NEMOURS & CO - 140 SHS | 5,311 | 6,983 |
| E M C CORP MASS - 100 SHS | 2,063 | 2,290 |
| FREEPORT-MCMORAN COPPER & GOLD INC CL B - 55 SHS | 2,377 | 6,605 |
| GENERAL ELECTRIC CO - 125 SHS | 1,919 | 2,286 |
| GENERAL MILLS INC - 50 SHS | 1,270 | 1,780 |
| INTERNATIONAL BUSINESS MACHINES CORP - 30 SHS | 2,621 | 4,403 |
| JOHNSON CONTROLS INC - 155 SHS | 5,311 | 5,921 |
| KELLOGG CO - 25 SHS | 1,216 | 1,277 |
| LENNAR CORP - 25 SHS | 387 | 469 |
| LOWES COMPANIES INC - 100 SHS | 2,305 | 2,508 |
| MICROSOFT CORP - 385 SHS | 10,173 | 10,745 |
| MORGAN STANLEY - 80 SHS | 1,826 | 2,177 |
| NATIONAL-OILWELL VARCO INC - 20 SHS | 1,213 | 1,345 |
| NIKE INC B - 25 SHS | 1,722 | 2,136 |
| NORFOLK SOUTHERN CORP - 115 SHS | 4,970 | 7,224 |
| NOVELLUS SYSTEMS INC - 70 SHS | 1,782 | 2,262 |
| OCCIDENTAL PETROLEUM CORP - 65 SHS | 5,265 | 6,377 |
| ORACLE CORP - 155 SHS | 3,547 | 4,852 |
| PACCAR INC - 85 SHS | 2,747 | 4,874 |
| PARKER-HANNIFIN CORP - 10 SHS | 403 | 863 |
| PEPSICO INC - 45 SHS | 3,153 | 2,940 |
| PFIZER INC - 410 SHS | 5,904 | 7,179 |
| PROCTER & GAMBLE CO - 110 SHS | 3,394 | 7,076 |
| PUBLIC SERVICE ENTERPRISE GROUP - 40 SHS | 0 | 0 |
| QUALCOMM INC - 95 SHS | 4,050 | 4,702 |
| T ROWE PRICE INTERNATIONAL FUNDS INC NEW ASIA FUND - 3078.608 SHS | 42,362 | 59,048 |
| SPDR S&P 500 ETF TRUST - 1300 SHS | 152,989 | 163,475 |
| SANDISK CORP - 25 SHS | 1,076 | 1,247 |
| SOUTHERN CO - 65 SHS | 1,955 | 2,485 |
| SPRINT NEXTEL CORP - 385 SHS | 1,617 | 1,629 |
| STAPLES INC - 140 SHS | 2,845 | 3,188 |
| STATE STREET CORP - 25 SHS | 992 | 1,159 |
| SYSCO CORP - 35 SHS | 1,020 | 1,029 |
| UNITED TECHNOLOGIES CORP - 70 SHS | 2,346 | 5,510 |
| XILINX CORP - 75 SHS | 2,145 | 2,174 |
| COGNIZANT TECHNOLOGY SOLUTIONS CORP CL A - 40 SHS | 2,008 | 2,932 |
| SEMPRA ENERGY - 0 SHS | 1,310 | 1,312 |
| CITIGROUP INC - 1015 SHS | 4,189 | 4,801 |
| WELLS FARGO & CO - 180 SHS | 5,239 | 5,578 |
| BANK OF AMERICA CORP - 350 SHS | 12,255 | 4,669 |
| GOLDMAN SACHS GROUP INC - 25 SHS | 2,873 | 4,204 |
| DEVON ENERGY CORP - 45 SHS | 3,032 | 3,533 |
| EOG RESOURCES INC - 45 SHS | 3,966 | 4,113 |
| HONEYWELL INTERNATIONAL INC - 75 SHS | 3,176 | 3,987 |
| UNITEDHEALTH GROUP INC - 40 SHS | 1,503 | 1,444 |
| VERIZON COMMUNICATIONS INC - 140 SHS | 3,725 | 5,009 |
| COACH INC - 50 SHS | 1,926 | 2,766 |
| US BANCORP DEL - 85 SHS | 2,656 | 2,292 |
| ISHARES RUSSELL MIDCAP VALUE INDEX FUND - 1600 SHS | 67,333 | 72,016 |
| ISHARES RUSSELL MIDCAP GROWTH INDEX FUND - 1000 SHS | 50,694 | 56,610 |
| ADVANCED AUTO PARTS INC - 30 SHS | 1,223 | 1,985 |
| 3M CO - 20 SHS | 1,727 | 1,726 |
| YUM BRANDS INC - 85 SHS | 2,670 | 4,169 |
| ARTISAN INTL VALUE FUND - INV - 1586.639 SHS | 38,000 | 43,014 |
| COMCAST CORP CL A - 100 SHS | 1,698 | 2,197 |
| CARNIVAL CORPORATION - 50 SHS | 1,840 | 2,306 |
| ARBITRAGE FUNDS - I CL I - 5343.511 SHS | 70,000 | 68,344 |
| GOOGLE INC CL A - 5 SHS | 1,857 | 2,970 |
| WELLPOINT INC - 10 SHS | 554 | 569 |
| JPM US REAL ESTATE FD - SEL FUND 3037 - 6551.74 SHS | 99,841 | 102,076 |
| JPM INTREPID AMERICA FD - SEL FUND 1206 - 3980.382 SHS | 88,197 | 91,270 |
| JPM MARKET EXPANSION INDEX FD - SEL FUND 3708 - 7359.37 SHS | 65,000 | 79,187 |
| JPM INTL VALUE FD - SEL FUND 1296 - 9357.436 SHS | 152,163 | 125,390 |
| JPM ASIA 3 FD - SEL FUND 1134 - 4358.275 SHS | 132,809 | 165,091 |
| VANGUARD MSCI EMERGING MARKETS ETF - 1624 SHS | 71,172 | 78,189 |
| AT&T INC - 70 SHS | 2,638 | 2,057 |
| STARWOOD HOTELS & RESORTS - 25 SHS | 524 | 1,520 |
| CME GROUP INC CLASS A COMMON STOCK - 7 SHS | 1,924 | 2,252 |
| EATON VANCE MUT FDS TR GLOBAL MACRO - I - 3384 SHS | 35,160 | 34,754 |
| INVESCO LTD - 50 SHS | 978 | 1,203 |
| PHILIP MORRIS INTERNATIONAL - 35 SHS | 1,413 | 2,049 |
| GATEWAY FUND - Y - 1947.942 SHS | 50,627 | 50,763 |
| SPDR GOLD TRUST - 200 SHS | 16,916 | 27,744 |
| ACE LTD NEW - 25 SHS | 1,127 | 1,556 |
| TYCO INTERNATIONAL LTD - 50 SHS | 1,885 | 2,072 |
| TIME WARNER INC NEW - 220 SHS | 5,344 | 7,077 |
| COVIDIEN PLC - 35 SHS | 1,108 | 1,598 |
| HSBC SPX MKT PLS NOTE 01/20/11 - 35000 SHS | 34,650 | 46,428 |
| MERCK AND CO INC - 155 SHS | 4,638 | 5,586 |
| JPM RESEARCH MARKET NEUTRAL FD - SEL FUND - SEL - 3375.796 SHS | 53,000 | 52,122 |
| HSBC EAFE BREN 02/17/11 - 35000 SHS | 34,650 | 35,287 |
| HIGHBRIDGE DYNAMIC COMM STRG FD -SEL STRATEGY FUND - SE - 5307.856 SHS | 75,000 | 102,813 |
| CS SPX NOTE 05/02/11 - 71000 SHS | 70,432 | 75,345 |
| BNP SPX NOTE 05/12/11 - 35000 SHS | 34,685 | 36,698 |
| CS COMMODITY CPN 4/21/11 - 50000 SHS | 49,500 | 53,445 |
| NEXTERA ENERGY INC - 35 SHS | 1,761 | 1,820 |
| BARC BREN ASIA BASKET 08/05/11 - 60000 SHS | 59,400 | 67,494 |
| GS BREN SPX 09/12/11 - 70000 SHS | 69,300 | 77,190 |
| JUNIPER NETWORKS INC - 85 SHS | 1,621 | 3,138 |
| EXXON MOBIL CORP - 140 SHS | 4,677 | 10,237 |
| METLIFE INC - 50 SHS | 1,709 | 2,222 |
| MARVELL TECHNOLOGY GROUP LTD - 80 SHS | 1,628 | 1,484 |
| PRUDENTIAL FINANCIAL INC - 45 SHS | 1,579 | 2,642 |
| CONOCOPHILLIPS - 65 SHS | 3,035 | 4,427 |
| BIOGEN IDEC INC - 40 SHS | 2,145 | 2,682 |
| BAIDU INC SPONS ADR - 15 SHS | 1,381 | 1,448 |
| TD AMERITRADE HOLDING CORPORATION - 90 SHS | 1,441 | 1,709 |
| MASTERCARD INC - CLASS A - 10 SHS | 1,828 | 2,241 |
| GENERAL MOTORS CO - 80 SHS | 2,781 | 2,949 |
| Description | Amount |
|---|---|
| RETURN OF CAPITAL ADJUSTMENT | 159 |
| Description | Revenue And Expenses Per Books | Net Investment Income | Adjusted Net Income |
|---|---|---|---|
| REFUND - EXCISE TAX | 609 | 609 |
| Description | Amount |
|---|---|
| RECOVERY | 6,000 |
| CARRYING VALUE/BASIS ADJUSTMWNT | 2,362 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| FOREIGN TAX WITHHELD | 616 | 616 | 0 |