| Category | Amount |
|---|---|
| N/A | 0 |
| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| EATON VANCE FLOATING RATE I - 31407.771 SHS | 279,804 | 283,612 |
| JPM HIGH YIELD FD - SEL FUND 3580 5.91% - 31571.046 SHS | 245,671 | 250,043 |
| JPM SHORT DURATION BOND FD - SEL FUND 3133 0.70% - 26970.746 SHS | 289,790 | 296,409 |
| DREYFUS LAUREL EMG MKT DEBT LOC C-1 - 7627.133 SHS | 110,259 | 110,517 |
| JPM STR INC OPP FD FUND 3844 3.25% - 5819.081 SHS | 58,947 | 67,327 |
| JPM INTL CURRENCY INCOME FD 1.11% - 11856.403 SHS | 129,353 | 132,080 |
| JPM TR I INFL MANAGED BD - SEL 2.19% - 6964.876 SHS | 74,315 | 74,803 |
| BARC 93% PPN CURRENCY BASKET 9/13/13 - 50000 SHS | 49,948 | 47,950 |
| GS 95% PP CMIT BASKET 11/18/13 - 50000 SHS | 49,790 | 48,399 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| ABBOTT LABORATORIES - 19 SHS | 2,702 | 2,731 |
| ALLERGAN INC - 38 SHS | 3,287 | 3,648 |
| ALTERA CORP - 114 SHS | 4,340 | 4,055 |
| AMAZON COM INC - 31 SHS | 3,475 | 7,189 |
| ANADARKO PETROLEUM CORP - 49 SHS | 3,634 | 3,587 |
| APPLE INC. - 48 SHS | 6,234 | 28,031 |
| AUTOZONE INC - 8 SHS | 2,299 | 3,169 |
| CVS CAREMARK CORPORATION - 95 SHS | 2,339 | 4,239 |
| CAPITAL ONE FINANCIAL CORP - 65 SHS | 2,959 | 3,606 |
| CARDINAL HEALTH INC - 105 SHS | 2,869 | 4,438 |
| CELGENE CORPORATION - 60 SHS | 2,595 | 4,376 |
| CISCO SYSTEMS INC - 346 SHS | 5,342 | 6,974 |
| CITRIX SYSTEMS INC - 25 SHS | 1,443 | 2,140 |
| COLGATE PALMOLIVE CO - 32 SHS | 2,514 | 3,166 |
| DELAWARE EMERGING MARKETS FUND - 4291.871 SHS | 69,915 | 58,670 |
| E I DU PONT DE NEMOURS & CO - 154 SHS | 5,701 | 8,233 |
| E M C CORP MASS - 125 SHS | 2,568 | 3,526 |
| EMERSON ELECTRIC CO - 90 SHS | 4,753 | 4,729 |
| FREEPORT-MCMORAN COPPER & GOLD INC CL B - 141 SHS | 5,051 | 5,400 |
| GENERAL ELECTRIC CO - 180 SHS | 2,928 | 3,524 |
| GENERAL MILLS INC - 131 SHS | 4,324 | 5,095 |
| HOME DEPOT INC - 93 SHS | 3,814 | 4,816 |
| HUMANA INC - 57 SHS | 4,405 | 4,599 |
| JOHNSON CONTROLS INC - 230 SHS | 4,769 | 7,353 |
| LAM RESEARCH CORP - 40 SHS | 1,660 | 1,667 |
| THE ESTEE LAUDER COMPANIES INC CL A - 38 SHS | 1,926 | 2,483 |
| LENNAR CORP - 100 SHS | 1,506 | 2,774 |
| LOWES COMPANIES INC - 246 SHS | 5,321 | 7,742 |
| MICROSOFT CORP - 504 SHS | 10,785 | 16,136 |
| NIKE INC B - 40 SHS | 2,547 | 4,475 |
| NORFOLK SOUTHERN CORP - 81 SHS | 3,200 | 5,907 |
| OCCIDENTAL PETROLEUM CORP - 94 SHS | 4,850 | 8,575 |
| ORACLE CORP - 278 SHS | 6,650 | 8,173 |
| PACCAR INC - 110 SHS | 3,109 | 4,725 |
| PFIZER INC - 383 SHS | 5,197 | 8,771 |
| PIONEER NATURAL RESOURCES CO - 33 SHS | 2,972 | 3,822 |
| PROCTER & GAMBLE CO - 135 SHS | 7,328 | 8,591 |
| QUALCOMM INC - 108 SHS | 3,862 | 6,894 |
| T ROWE PRICE INTERNATIONAL FUNDS INC NEW ASIA FUND - 5912.64 SHS | 91,311 | 94,366 |
| SPDR S&P 500 ETF TRUST - 614 SHS | 65,891 | 85,880 |
| SCHLUMBERGER LTD - 106 SHS | 8,773 | 7,859 |
| TEXAS INSTRUMENTS INC - 104 SHS | 3,441 | 3,322 |
| UNITED TECHNOLOGIES CORP - 113 SHS | 6,517 | 9,225 |
| VERTEX PHARMACEUTICALS INC - 45 SHS | 1,411 | 1,732 |
| WALTER ENERGY INC - 35 SHS | 2,572 | 2,321 |
| WILLIAMS COMPANIES INC - 149 SHS | 3,748 | 5,070 |
| MARRIOTT INTERNATIONAL INC CL A - 84 SHS | 2,949 | 3,284 |
| COGNIZANT TECHNOLOGY SOLUTIONS CORP CL A - 66 SHS | 3,487 | 4,840 |
| WELLS FARGO & CO - 386 SHS | 7,889 | 12,898 |
| BANK OF AMERICA CORP - 350 SHS | 3,495 | 2,839 |
| GOLDMAN SACHS GROUP INC - 54 SHS | 4,596 | 6,218 |
| EOG RESOURCES INC - 36 SHS | 2,912 | 3,953 |
| HONEYWELL INTERNATIONAL INC - 80 SHS | 3,337 | 4,853 |
| UNITEDHEALTH GROUP INC - 90 SHS | 3,907 | 5,054 |
| ISHARES MSCI JAPAN INDEX FUND - 14000 SHS | 140,729 | 136,360 |
| VERIZON COMMUNICATIONS INC - 135 SHS | 3,969 | 5,451 |
| MFS INTL VALUE-I - 7257.968 SHS | 187,981 | 194,876 |
| US BANCORP DEL - 125 SHS | 1,898 | 4,021 |
| DODGE & COX INTERNATIONAL STOCK - 6185.695 SHS | 257,891 | 199,056 |
| ISHARES RUSSELL MIDCAP INDEX FUND - 1300 SHS | 80,145 | 143,390 |
| ISHARES MSCI EAFE INDEX FUND - 2500 SHS | 145,132 | 134,375 |
| YUM BRANDS INC - 115 SHS | 3,909 | 8,364 |
| CENTERPOINT ENERGY INC - 221 SHS | 3,751 | 4,466 |
| COMCAST CORP CL A - 125 SHS | 2,228 | 3,793 |
| ARBITRAGE FUNDS - I CL I - 5971.46 SHS | 78,217 | 78,405 |
| JPM US REAL ESTATE FD - SEL FUND 3037 - 8308.003 SHS | 103,268 | 151,953 |
| JPM MARKET EXPANSION INDEX FD - SEL FUND 3708 - 19270.165 SHS | 182,986 | 208,889 |
| JPM ASIA 3 FD - SEL FUND 1134 - 3591.813 SHS | 86,437 | 113,106 |
| MANAGERS AMG FUNDS-TIMESSQUARE MID CAP GROWTH FUND - 13734.416 SHS | 163,165 | 208,763 |
| VANGUARD MSCI EMERGING MARKETS ETF - 1750 SHS | 77,563 | 74,471 |
| AMERIPRISE FINANCIAL INC - 40 SHS | 2,167 | 2,168 |
| AT&T INC - 145 SHS | 5,220 | 4,772 |
| CBS CORP CLASS B W/I - 156 SHS | 4,205 | 5,207 |
| EDGEWOOD GROWTH FUND - 13015.729 SHS | 148,119 | 175,973 |
| PARNASSUS FD EQTY INCM INST - 6593.094 SHS | 173,728 | 188,497 |
| JPM TR I GROWTH ADVANTAGE FD - SEL FUND 1567 - 28610.265 SHS | 252,063 | 294,400 |
| CAMERON INTERNATIONAL CORPORATION - 45 SHS | 2,430 | 2,306 |
| HARTFORD CAPITAL APPRECIATION FUND - 6398.484 SHS | 198,056 | 210,574 |
| MANNING & NAPIER FUND INC WORLD OPPORTUNITIES SERIES FUND - 18018.026 SHS | 157,478 | 134,414 |
| MANNING & NAPIER FUND INC 3 SERIES - 10442.96 SHS | 213,141 | 198,730 |
| CME GROUP INC CLASS A COMMON STOCK - 13 SHS | 3,765 | 3,456 |
| EATON VANCE MUT FDS TR GB MACRO ABSOLUTE RTN I - 13504.673 SHS | 139,280 | 134,236 |
| VICTORY PORTFOLIOS DIVRS STK CL I - 6366.004 SHS | 100,201 | 102,429 |
| INVESCO LTD - 145 SHS | 2,837 | 3,602 |
| PHILIP MORRIS INTERNATIONAL - 50 SHS | 4,107 | 4,476 |
| NETAPP INC - 61 SHS | 2,477 | 2,368 |
| SPDR GOLD TRUST - 246 SHS | 28,507 | 39,822 |
| ACE LTD NEW - 69 SHS | 3,987 | 5,242 |
| EQT CORPORATION - 38 SHS | 1,989 | 1,893 |
| TYCO INTERNATIONAL LTD - 85 SHS | 3,244 | 4,771 |
| TIME WARNER INC NEW - 270 SHS | 5,807 | 10,118 |
| CAREFUSION CORPORATION - 58 SHS | 2,056 | 2,073 |
| MERCK AND CO INC - 235 SHS | 6,292 | 8,437 |
| HIGHBRIDGE DYNAMIC COMM STRG FD -SEL - 7659.964 SHS | 140,985 | 137,956 |
| PIMCO COMMODITIES PLUS STRATEGY P - 16363.363 SHS | 175,246 | 179,997 |
| MATTHEWS PACIFIC TIGER INSTL FUND - 6524.779 SHS | 134,634 | 146,873 |
| COVIDIEN PLC NEW - 79 SHS | 3,256 | 4,363 |
| JOHN HANCOCK II-EMG MKTS-I - 6069.143 SHS | 68,924 | 61,845 |
| CS BREN EAFE 05/02/12 - 75000 SHS | 74,250 | 66,225 |
| CITIGROUP INC NEW - 167 SHS | 5,909 | 5,519 |
| BNP CONT BUFF EQ SPX 05/23/12 - 115000 SHS | 113,850 | 120,119 |
| BARC BREN EAFE 06/27/12- 75000 SHS | 74,250 | 69,195 |
| HSBC CONT BUFF EQ SPX 06/27/12 - 110000 SHS | 108,900 | 119,757 |
| HSBC REN SPX 09/19/12 - 140000 SHS | 138,600 | 156,310 |
| GS BREN EAFE 11/28/12 - 70000 SHS | 69,300 | 72,367 |
| HSBC CONT BUFF EQ SPX 12/19/12 - 75000 SHS | 74,250 | 84,000 |
| BARC BREN COMMODITY BSKT 12/12/13 - 65000 SHS | 64,025 | 67,821 |
| GS BREN EAFE 01/24/13 - 65000 SHS | 64,350 | 69,334 |
| CS BREN ASIA BASKET 03/13/13 - 70000 SHS | 69,300 | 68,810 |
| GS BREN EAFE 05/15/13 - 65000 SHS | 64,350 | 65,000 |
| JUNIPER NETWORKS INC - 125 SHS | 2,038 | 2,679 |
| EXXON MOBIL CORP - 170 SHS | 11,446 | 14,678 |
| METLIFE INC - 155 SHS | 5,144 | 5,585 |
| KRAFT FOODS INC CLASS A - 149 SHS | 5,144 | 5,941 |
| PRUDENTIAL FINANCIAL INC - 69 SHS | 2,005 | 4,177 |
| BIOGEN IDEC INC - 41 SHS | 2,546 | 5,494 |
| BAIDU INC SPONS ADR - 15 SHS | 1,381 | 1,991 |
| INTERCONTINENTAL EXCHANGE INC - 15 SHS | 1,708 | 1,996 |
| TD AMERITRADE HOLDING CORPORATION - 98 SHS | 1,512 | 1,841 |
| MASTERCARD INC - CLASS A - 6 SHS | 1,081 | 2,714 |
| GENERAL MOTORS CO - 115 SHS | 3,920 | 2,645 |
| LINKEDIN CORP - A - 20 SHS | 1,980 | 2,169 |
| GS BREN EEM 11/05/12 - 70000 SHS | 69,300 | 77,871 |
| Description | Amount |
|---|---|
| VALUE OF PENDING SHARE PURCHASES | 98,043 |
| MUTUAL FUND INCOME TIMING DIFFERENCES | 499 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| NY STATE AG FILING FEES - 2 YEARS | 250 | 0 | 250 |
| Description | Revenue And Expenses Per Books | Net Investment Income | Adjusted Net Income |
|---|---|---|---|
| OID INCOME | 1,238 | 1,238 | 1,238 |
| Description | Amount |
|---|---|
| NONTAXABLE DIVIDEND DISTRIBUTIONS | 668 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| FOREIGN INCOME TAX WITHHELD | 2,746 | 2,746 | 0 | |
| ESTIMATED FEDERAL EXCISE TAXES | 3,200 | 0 | 0 | |
| EXCISE TAX PAID - PRIOR YEAR | 2,114 | 0 | 0 |