| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| SG Cook Company, LLC | 1,700 |
| Identifier | Return Reference | Explanation |
|---|
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 80 shares of Abbott Labs | 3,431 | 4,107 |
| 90 shares of Abbott Labs | 4,208 | 4,620 |
| 70 shares of Abbott Labs | 3,040 | 3,593 |
| 210 shares of Accenture LTD | 8,155 | 12,420 |
| Aflac Inc | ||
| 150 shares of Becton Dickinson | 12,982 | 12,543 |
| 60 shares of Devon Energy Corp | 1,494 | 4,723 |
| 100 shares of Devon Energy Corp | 2,770 | 7,871 |
| 275 shares of General Electric | 2,387 | 4,926 |
| 450 shares of General Electric | 4,743 | 8,061 |
| 235 shares of Harris Corp | 10,179 | 9,370 |
| 65 shares of Harris Corp | 2,764 | 2,593 |
| 55 shares of Hess Corp | 3,076 | 3,772 |
| 100 shares of Hess Corp | 4,175 | 6,857 |
| 50 shares of Hewlett Packard Co | 2,320 | 1,760 |
| 40 shares of Hewlett Packard Co | 1,877 | 1,408 |
| 60 shares of Hewlett Packard Co | 3,095 | 2,111 |
| 95 shares of Hewlett Packard Co | 4,368 | 3,342 |
| 85 shares of Intl Business Machines | 8,317 | 15,458 |
| JP Morgan Chase | ||
| JP Morgan Chase | ||
| Kimberly Clark | ||
| Kimberly Clark | ||
| L-3 Communications | ||
| McDonalds Corp | ||
| 65 shares of Metlife Inc | 3,190 | 2,680 |
| 265 shares of Metlife Inc | 5,234 | 10,922 |
| 45 shares of Mosaic Co | 1,976 | 3,183 |
| 90 shares of Mosaic Co | 4,081 | 6,366 |
| 215 shares of National-Oilwell Varco | 5,700 | 17,324 |
| 155 shares of NYSE Euronext | 4,431 | 5,187 |
| 250 shares of NYSE Euronext | 4,958 | 8,366 |
| 115 shares of Occidental Pete Corp CAL | 2,340 | 11,292 |
| 40 shares of Occidental Pete Corp CAL | 2,495 | 3,928 |
| 100 shares of Oracle Corp | 1,941 | 3,059 |
| 100 shares of Oracle Corp | 1,959 | 3,059 |
| 210 shares of Oracle Corp | 4,056 | 6,423 |
| Owens ILL Inc | ||
| Owens ILL Inc | ||
| 65 shares of PPG Industries Inc | 4,467 | 5,474 |
| 40 shares of PPG Industries Inc | 2,805 | 3,369 |
| PPG Industries Inc | ||
| Raytheon Co | ||
| 140 shares of Therom Fisher Scientific | 4,222 | 8,414 |
| Torchmark Corp | ||
| Torchmark Corp | ||
| Torchmark Corp | ||
| Total S.A. | ||
| Total S.A. | ||
| 210 shares of Transocean LTD | 12,874 | 12,929 |
| 155 shares of Tyco INTL LTD | 6,165 | 6,866 |
| 125 shares of Tyco INTL LTD | 3,064 | 5,537 |
| 90 shares of Thermo Fisher Scientific | 3,094 | 5,409 |
| 110 shares of Agrium INC | 5,270 | 9,613 |
| 150 shares of Air Products Chem | 10,586 | 13,310 |
| 255 shares of Ameriprise Finl Inc | 10,974 | 13,796 |
| Avon Prod Inc | ||
| CSX Corp | ||
| 230 shares of CVS Caremark Corp | 7,939 | 8,362 |
| 205 shares of CVS Caremark Corp | 6,211 | 7,452 |
| 195 shares of Conoco Phillips | 10,390 | 14,038 |
| 85 shares of CF INDS HLDGS INC | 11,382 | 13,201 |
| Cornings Inc | ||
| Cornings Inc | ||
| 300 shares of Freeprt-Mcmran CPR GLD | 10,775 | 15,888 |
| 995 shares of Ford Motor Co | 11,992 | 12,149 |
| Hudson City Bankcorp Inc | ||
| Kohls Corp | ||
| L3 Communications 7/14/10 | ||
| Eli Lilly Co | ||
| Owens ILL | ||
| Prudential | ||
| Total SA | ||
| 205 shares of Target Corp | 10,969 | 10,555 |
| 150 shares of Union Pacific Corp | 11,602 | 15,372 |
| 335 shares of AVAGO | 7,033 | 11,277 |
| 140 shares of APACHE CORP | 13,297 | 17,321 |
| 160 shares of AVON PROD INC | 4,435 | 4,197 |
| 255 shares of AVON PROD INC | 7,448 | 6,689 |
| 125 shares of DARDEN RESTAURANTS | 5,186 | 6,350 |
| 75 shares of DARDEN RESTAURANTS | 3,287 | 3,810 |
| 175 shares of DOVER CORP | 9,466 | 10,528 |
| 235 shares of EATON CORP | 12,963 | 11,268 |
| 215 shares of HONEYWELL INTL INC DEL | 13,277 | 11,417 |
| 70 shares of HEWLETT PACKARD | 3,003 | 2,462 |
| 575 shares of METRO PCS | 9,759 | 9,361 |
| 435 shares of MICROSOFT CORP | 10,901 | 11,919 |
| 170 shares of MURPHY OIL | 11,694 | 10,917 |
| 220 shares of PRUDENTIAL FINANCIAL INC | 11,327 | 12,910 |
| 145 shares of PNC FINCL SERVICES GROUP | 8,866 | 7,872 |
| 60 shares of PNC FINCL SERVICES GROUP | 3,740 | 3,257 |
| 55 shares of PNC FINCL SERVICES GROUP | 3,527 | 2,986 |
| 100 shares of TARGET | 4,881 | 5,149 |
| 340 shares of US BANCORP | 9,058 | 8,860 |
| 130 shares of US BANCORP | 3,560 | 3,388 |
| 115 shares of US BANCORP | 2,946 | 2,997 |
| 115 shares of VF CORPORATION | 9,461 | 13,432 |
| 210 shares of ZIMMER HOLDINGS INC | 12,868 | 12,604 |
| 445 shares of WARNER CHILCOTT PLC | 11,137 | 9,354 |
| 175 shares of WARNER CHILCOTT PLC | 4,160 | 3,679 |
| 275 shares of AMERICAN EXPRESS | 11,907 | 13,761 |
| 280 shares of INGERSOLL-RAND PLC | 13,309 | 10,478 |
| Description | Amount |
|---|---|
| FMV ADJUSTMENT | 108,282 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Investment Expenses | 13,162 |
| Description | Amount |
|---|---|
| FMV ADJUSTMENT | 108,282 |