| Identifier | Return Reference | Explanation |
|---|
| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| AMERICAN EXPRESS CO - 7.000 - 03/19/2018 025816AY5 12500000.00% | 101,901 | 151,052 |
| BARCLAYS BANK - 0.000 - 03/30/2012 06738KWA5 7500000.00% | 75,000 | 75,533 |
| CONOCOPHILLIPS - 5.750 - 02/01/2019 20825CAR5 10000000.00% | 103,014 | 121,000 |
| CREDIT SUISSE - 0.000 - 06/30/2017 22546TAM3 5000000.00% | 50,000 | 35,000 |
| CREDIT SUISSE 0.00 07/06/2016 22546TAA9 20000000.00% | 199,999 | 172,559 |
| CREDIT SUISSE MED TERM - 0.000 - 03/19/2012 22546E2H6 10500000.00% | 105,000 | 97,829 |
| CREDIT SUISSE MED TERM - 0.000 - 05/31/2012 22546E5H3 10000000.00% | 100,000 | 67,850 |
| CVS CORP - 6.125 - 08/15/2016 126650BE9 5000000.00% | 44,717 | 58,450 |
| GE CAP CORP - 5.875 - 02/15/2012 36962GXS8 12500000.00% | 132,125 | 125,753 |
| GENERAL ELEC CAP CORP - 5.000 - 03/30/2024 36962GH23 2500000.00% | 25,000 | 24,997 |
| JPMORGAN CHASE CO - 0.000 - 05/31/2012 48125XPC4 10000000.00% | 100,000 | 84,670 |
| JPMORGAN CHASE CO - 10.000 - 08/31/2012 48125XM60 10000000.00% | 100,000 | 99,550 |
| PFIZER INC - 4.500 - 02/15/2014 717081AR4 12500000.00% | 123,438 | 134,643 |
| SBC COMMUNICATIONS - 5.100 - 9/15/2014 78387GAP8 11000000.00% | 99,029 | 121,210 |
| XTO ENERGY INC - 7.500 - 04/15/2012 98385XAA4 5000000.00% | 52,938 | 51,001 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 3155 shares of ALMOST FAMILY INC AFAM | 104,205 | 52,310 |
| 500 shares of APPLE INC. AAPL | 184,794 | 202,500 |
| 4000 shares of ARCH COAL INC. ACI | 105,080 | 58,040 |
| 4000 shares of BANK ONE CAP VI 7.2 ONE-PW | 100,000 | 102,000 |
| 6423 shares of CALAMOS CONVERTIBLE CLASS A CCVIX | 117,775 | 109,896 |
| 22506 shares of CATALYST/SMH TOTAL RETURN INCOME FUND CLASS A TRIFX | 154,887 | 123,556 |
| 3000 shares of CENTURY TEL INC CTL | 99,298 | 111,600 |
| 3100 shares of COCA-COLA CO KO | 87,177 | 216,907 |
| 19891 shares of COLUMBIA LIMITED DURATION CREDIT A ALDAX | 200,000 | 197,116 |
| 11525 shares of EARTHLINK NETWORK, INC. ELNK | 102,951 | 74,221 |
| 3000 shares of EXELIS, INC XLS | 36,041 | 27,150 |
| 19593 shares of FIRST EAGLE FUNDS INC. SGOVX | 400,218 | 398,914 |
| 4000 shares of FUEL TECH, INC. FTEK | 47,110 | 26,320 |
| 1000 shares of GENERAL ELECTRIC CO GE | 33,105 | 17,910 |
| 11100 shares of GT ADVANCED TECHNOLOGIES INC GTAT | 100,050 | 80,364 |
| 5785 shares of IMPAX LABS INC IPXL | 104,590 | 116,683 |
| 2965 shares of INTERDIGITAL COMMUNICATIONS CORP IDCC | 100,205 | 129,185 |
| 2200 shares of INTERNATIONAL BUSINESS MACHINES IBM | 311,391 | 404,536 |
| 1500 shares of ITT CORP. ITT | 29,698 | 28,995 |
| 6839 shares of J P MORGAN MID CAP VALUE FD JAMCX | 151,919 | 160,111 |
| 29922 shares of JOHN HANCOCK TR FLOATING RATE INCOME FUND CLASS I JFIIX | 286,056 | 273,185 |
| 3378 shares of JP MORGAN EMERGING MARKETS EQUITY FUND A JFAMX | 75,195 | 67,252 |
| 100000 shares of LB 100 PPN-CSDAN 30Y-2Y SWAP SPRD LBPPN | 100,000 | 21,500 |
| 1111 shares of LEHMAN BROTHERS HOLDINGS INC. LEHMQ | 40,118 | 22 |
| 275 shares of LEVEL 3 COMMUNICATIONS, INC LVLT | 698 | 4,672 |
| 3870 shares of MEDICIS PHARMA CP MRX | 104,490 | 128,678 |
| 3000 shares of MEMC ELECTRONICS MATERIALS INC WFR | 45,450 | 11,820 |
| 4000 shares of MICROSOFT CORPORATION MSFT | 103,080 | 103,840 |
| 13606 shares of NEW ENERGY SYSTEMS GROUP NEWN | 105,443 | 8,164 |
| 17135 shares of PDL BIOPHARMA INC PDLI | 111,575 | 106,237 |
| 10495 shares of PIMCO EQS PATHFINDER WORLD FD P PTHPX | 102,163 | 101,694 |
| 17123 shares of PIMCO FUNDS EM FUNDAMENTAL INDEXPLUS PEFPX | 150,000 | 150,000 |
| 2172 shares of PIMCO FUNDS LOW DURATION FUND CLASS A PTLAX | 20,903 | 22,352 |
| 36718 shares of PIMCO FUNDS PACIFIC INVESTMENT MANAGEMENT PAUAX | 387,380 | 366,080 |
| 18020 shares of PIMCO INCOME FUND P CLASS PONPX | 201,227 | 195,515 |
| 4000 shares of PIMCO INCOME OPPORTUNITY FDCOM PKO | 88,206 | 100,720 |
| 29467 shares of PIMCO SMALL CAP STOCKS PLUS TR PCKPX | 205,000 | 199,491 |
| 70791 shares of PIMCO UNCONSTRAINED BOND FUND CLASS A PUBAX | 759,820 | 770,915 |
| 5000 shares of POWER ONE INC. PWER | 52,240 | 19,550 |
| 4000 shares of PROCTER GAMBLE CO PG | 247,618 | 266,840 |
| 3346 shares of ROYCE INTERNATIONAL VALUE FUND SERVICE CL RIVFX | 50,236 | 39,385 |
| 2135 shares of SANDISK CORP SNDK | 104,124 | 105,063 |
| 5826 shares of SELIGMAN COMMUNICATIONS INFO FD INC CL A SLMCX | 209,770 | 237,707 |
| 15740 shares of SINO CLEAN ENERGY INC. SCEI | 107,136 | 15,740 |
| 800 shares of TRANSOCEAN LTD. RIG | 82,194 | 30,712 |
| 17527 shares of TV US LARGE CAP MARKET FUND CL A TVMAX | 191,438 | 190,172 |
| 7800 shares of UNITED ONLINE INC UNTD | 59,202 | 42,432 |
| 4000 shares of UNITIL CP UTL | 86,875 | 113,520 |
| 3880 shares of USA MOBILITY INC USMO | 50,424 | 53,816 |
| 2420 shares of VEECO INSTRUMENTS INC. VECO | 100,176 | 50,336 |
| 5700 shares of VIROPHARMA INCORPORATED VPHM | 100,240 | 156,123 |
| 3000 shares of WALT DISNEY HOLDINGS CO. DIS | 94,445 | 112,500 |
| 3000 shares of XYLEM INC XYL | 89,342 | 77,070 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Administrative Fees | 41,479 | 41,479 | ||
| Bank Charges | 100 | 100 |
| Description | Beginning of Year - Book Value | End of Year - Book Value |
|---|---|---|
| Outstanding Options | 2,000 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Investment Management Services | 84,967 | 84,967 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Estimated Tax for 2011 | 5,600 | 0 | 0 | 0 |
| Foreign Tax Paid | 1,114 | 1,114 | 0 | 0 |