| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| VANGUARD FI SECS F INTR TRM CP PT FUND 71 - 1675.36 SHS | 14,760 | 16,737 |
| EATON VANCE FLOATING RATE I - 4993.301 SHS | 43,858 | 43,991 |
| JPM HIGH YIELD FD - SEL FUND 3580 5.81% - 8162.44 SHS | 67,918 | 62,198 |
| JPM SHORT DURATION BOND FD - SEL FUND 3133 0.84% - 3736.143 SHS | 40,761 | 40,911 |
| DREYFUS/LAUREL FDS TR PRM EMRGN MK I - 1030.346 SHS | 14,600 | 13,559 |
| JPM STR INC OPP FD FUND 3844 3.12% - 1357.967 SHS | 15,399 | 15,386 |
| JPM INTL CURRENCY INCOME FD 1.35% - 2603.496 SHS | 28,300 | 28,196 |
| JPMORGAN TR I FLOAT RATE INC 4.24% 4.25% - 1113.322 SHS | 10,710 | 10,721 |
| DB 95% PPN FX BASKET 2/1/13 - 10000 SHS | 9,911 | 9,242 |
| BARC 93% PPN CURRENCY BASKET 9/13/13 - 10000 SHS | 9,916 | 9,385 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| ABBOTT LABORATORIES - 45 SHS | 2,313 | 2,530 |
| ALLERGAN INC - 16 SHS | 1,379 | 1,404 |
| AMAZON COM INC - 27 SHS | 3,722 | 4,674 |
| ANADARKO PETROLEUM CORP - 33 SHS | 2,440 | 2,519 |
| APPLE INC. - 33 SHS | 7,503 | 13,365 |
| AUTOZONE INC - 5 SHS | 1,436 | 1,625 |
| BAKER HUGHES INC - 23 SHS | 1,315 | 1,119 |
| CVS CAREMARK CORPORATION - 38 SHS | 1,175 | 1,550 |
| CAMPBELL SOUP COMPANY - 55 SHS | 1,965 | 1,828 |
| CAPITAL ONE FINANCIAL CORP - 43 SHS | 1,957 | 1,818 |
| CARDINAL HEALTH INC - 71 SHS | 2,355 | 2,883 |
| CELGENE CORPORATION - 40 SHS | 2,227 | 2,704 |
| CISCO SYSTEMS INC - 231 SHS | 4,424 | 4,176 |
| CITRIX SYSTEMS INC - 17 SHS | 982 | 1,032 |
| COCA-COLA CO - 31 SHS | 2,120 | 2,169 |
| COLGATE PALMOLIVE CO - 21 SHS | 1,713 | 1,940 |
| DARDEN RESTAURANTS INC - 22 SHS | 953 | 1,003 |
| DELAWARE EMERGING MARKETS FUND - 1227.51 SHS | 19,726 | 15,307 |
| E I DU PONT DE NEMOURS & CO - 105 SHS | 4,067 | 4,807 |
| E M C CORP MASS - 75 SHS | 1,534 | 1,616 |
| EMERSON ELECTRIC CO - 41 SHS | 2,215 | 1,910 |
| FREEPORT-MCMORAN COPPER & GOLD INC CL B - 42 SHS | 1,769 | 1,545 |
| GENERAL ELECTRIC CO - 121 SHS | 1,968 | 2,167 |
| GENERAL MILLS INC - 50 SHS | 1,475 | 2,021 |
| HOME DEPOT INC - 35 SHS | 1,182 | 1,471 |
| HUMANA INC - 39 SHS | 3,038 | 3,417 |
| JOHNSON & JOHNSON - 65 SHS | 4,100 | 4,263 |
| JOHNSON CONTROLS INC - 155 SHS | 3,708 | 4,845 |
| LAM RESEARCH CORP - 16 SHS | 702 | 592 |
| THE ESTEE LAUDER COMPANIES INC CL A - 13 SHS | 1,317 | 1,460 |
| LENNAR CORP - 65 SHS | 981 | 1,277 |
| LOWES COMPANIES INC - 166 SHS | 3,635 | 4,213 |
| MICROS SYSTEMS INC - 13 SHS | 652 | 606 |
| MICROSOFT CORP - 338 SHS | 8,550 | 8,774 |
| NIKE INC B - 28 SHS | 1,846 | 2,698 |
| NORFOLK SOUTHERN CORP - 80 SHS | 3,852 | 5,829 |
| OCCIDENTAL PETROLEUM CORP - 67 SHS | 5,528 | 6,278 |
| ORACLE CORP - 140 SHS | 3,251 | 3,591 |
| PACCAR INC - 70 SHS | 2,444 | 2,623 |
| PFIZER INC - 258 SHS | 4,144 | 5,583 |
| PIONEER NATURAL RESOURCES CO - 10 SHS | 744 | 895 |
| PROCTER & GAMBLE CO - 75 SHS | 5,088 | 5,003 |
| QUALCOMM INC - 71 SHS | 2,968 | 3,884 |
| SCHLUMBERGER LTD - 71 SHS | 5,932 | 4,850 |
| SOUTHWESTERN ENERGY CO - 19 SHS | 750 | 607 |
| UNITED TECHNOLOGIES CORP - 76 SHS | 5,157 | 5,555 |
| VERTEX PHARMACEUTICALS INC - 32 SHS | 1,004 | 1,063 |
| WILLIAMS COMPANIES INC - 84 SHS | 2,531 | 2,774 |
| XILINX CORP - 76 SHS | 2,386 | 2,437 |
| COGNIZANT TECHNOLOGY SOLUTIONS CORP CL A - 44 SHS | 2,411 | 2,830 |
| WELLS FARGO & CO - 232 SHS | 5,392 | 6,394 |
| BANK OF AMERICA CORP - 250 SHS | 5,721 | 1,390 |
| GOLDMAN SACHS GROUP INC - 29 SHS | 2,878 | 2,622 |
| BLACKROCK U.S. OPPORTUNITIES PORTFOLIO - 588.141 SHS | 25,202 | 19,697 |
| DEVON ENERGY CORP - 14 SHS | 976 | 868 |
| EOG RESOURCES INC - 13 SHS | 1,325 | 1,281 |
| HONEYWELL INTERNATIONAL INC - 54 SHS | 2,283 | 2,935 |
| DOMINION RESOURCES INC VA - 30 SHS | 1,512 | 1,592 |
| TARGET CORP - 39 SHS | 1,845 | 1,998 |
| UNITEDHEALTH GROUP INC - 49 SHS | 2,024 | 2,483 |
| ISHARES S&P MIDCAP 400 INDEX FUND - 241 SHS | 21,242 | 21,114 |
| VERIZON COMMUNICATIONS INC - 90 SHS | 3,087 | 3,611 |
| GLOBAL PAYMENTS INC - 25 SHS | 1,221 | 1,185 |
| US BANCORP DEL - 75 SHS | 1,974 | 2,029 |
| DODGE & COX INTERNATIONAL STOCK - 1073.682 SHS | 38,004 | 31,394 |
| YUM BRANDS INC - 75 SHS | 2,796 | 4,426 |
| ARTISAN INTL VALUE FUND - INV - 1031.767 SHS | 28,147 | 25,887 |
| CENTERPOINT ENERGY INC - 149 SHS | 2,539 | 2,993 |
| COMCAST CORP CL A - 85 SHS | 1,595 | 2,015 |
| CARNIVAL CORPORATION - 61 SHS | 2,234 | 1,991 |
| ASTON OPTIMUM MID CAP FUND I - 354.097 SHS | 9,621 | 10,612 |
| JPM US REAL ESTATE FD - SEL FUND 3037 - 1654.344 SHS | 24,197 | 26,784 |
| JPM MARKET EXPANSION INDEX FD - SEL FUND 3708 - 2902.424 SHS | 23,164 | 28,066 |
| JPM INTL VALUE FD - SEL FUND 1296 - 1023.513 SHS | 14,073 | 11,474 |
| JPM EM MKTS 3 FD - SEL FUND 1235 - 341.391 SHS | 4,192 | 6,903 |
| JPM ASIA 3 FD - SEL FUND 1134 - 1287.162 SHS | 39,008 | 37,019 |
| AT&T INC - 99 SHS | 3,536 | 2,994 |
| CBS CORP CLASS B W/I - 106 SHS | 2,866 | 2,877 |
| EDGEWOOD GROWTH FUND - 2450.446 SHS | 28,180 | 28,621 |
| CAMERON INTERNATIONAL CORPORATION - 20 SHS | 1,054 | 984 |
| MANNING & NAPIER FUND INC WORLD OPPORTUNITIES SERIES FUND - 6032.499 SHS | 54,614 | 39,995 |
| IVY LARGE CAP GROWTH FUND - I - 3636.549 SHS | 41,075 | 49,384 |
| EATON VANCE MUT FDS TR GLOBAL MACRO - I - 3983.7 SHS | 41,152 | 39,120 |
| INVESCO LTD - 95 SHS | 1,838 | 1,909 |
| NETAPP INC - 20 SHS | 713 | 725 |
| ACE LTD NEW - 35 SHS | 1,865 | 2,454 |
| ARTIO INTERNATIONAL 3 II - I - 1156.102 SHS | 8,740 | 11,041 |
| TYCO INTERNATIONAL LTD - 65 SHS | 2,551 | 3,036 |
| TIME WARNER INC NEW - 181 SHS | 4,820 | 6,541 |
| MERCK AND CO INC - 188 SHS | 6,472 | 7,088 |
| HIGHBRIDGE DYNAMIC COMM STRG FD -SEL - 3530.125 SHS | 67,040 | 60,471 |
| NEXTERA ENERGY INC - 32 SHS | 1,828 | 1,948 |
| CS BREN EAFE 2/29/12 - 15000 SHS | 14,850 | 13,005 |
| BARC REN SPX 3/21/12 - 20000 SHS | 19,800 | 19,224 |
| COLUMBIA FDS SER TR II MASS ASIA PC JP R5 - 3035.18 SHS | 40,641 | 33,144 |
| GS BREN EAFE 4/4/12 - 15000 SHS | 14,850 | 13,511 |
| COVIDIEN PLC NEW - 53 SHS | 2,241 | 2,386 |
| JOHN HANCOCK II-EMG MKTS-I - 2142.372 SHS | 24,980 | 19,410 |
| BARC REN SPX 05/02/12 - 20000 SHS | 19,800 | 19,292 |
| CS BREN EAFE 05/02/12 - 15000 SHS | 14,850 | 12,765 |
| CITIGROUP INC NEW - 92 SHS | 3,480 | 2,421 |
| GS BREN EAFE 06/20/12 - 15000 SHS | 14,850 | 12,900 |
| MS CONT BUFF EQ SPX 06/20/12 - 20000 SHS | 19,800 | 19,477 |
| HSBC CONT BUFF EQ SPX 07/11/12 - 25000 SHS | 24,750 | 24,698 |
| BNP BREN ASIA BASKET 08/22/12 - 13000 SHS | 12,870 | 11,639 |
| SG CONT BUFF EQ SPX 08/22/12 - 25000 SHS | 24,750 | 25,293 |
| HSBC MARKET PLUS GOLD NOTE 10/29/12 - 13000 SHS | 12,870 | 12,591 |
| BROADCOM CORP CL A - 25 SHS | 831 | 734 |
| JUNIPER NETWORKS INC - 126 SHS | 2,837 | 2,572 |
| EXXON MOBIL CORP - 79 SHS | 5,414 | 6,696 |
| METLIFE INC - 105 SHS | 3,884 | 3,274 |
| MONSANTO CO - 16 SHS | 1,110 | 1,121 |
| KRAFT FOODS INC CLASS A - 101 SHS | 3,487 | 3,773 |
| PRUDENTIAL FINANCIAL INC - 46 SHS | 2,077 | 2,306 |
| CONOCOPHILLIPS - 56 SHS | 3,139 | 4,081 |
| BIOGEN IDEC INC - 28 SHS | 1,520 | 3,081 |
| BAIDU INC SPONS ADR - 10 SHS | 922 | 1,165 |
| INTERCONTINENTAL EXCHANGE INC - 6 SHS | 670 | 723 |
| TD AMERITRADE HOLDING CORPORATION - 66 SHS | 1,065 | 1,033 |
| MASTERCARD INC - CLASS A - 4 SHS | 731 | 1,491 |
| GENERAL MOTORS CO - 78 SHS | 2,642 | 1,581 |
| GS BREN EEM 11/05/12 - 13000 SHS | 12,870 | 13,072 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| ADMIN RECORD KEEPING | 6,000 | 0 | 6,000 |
| Description | Revenue And Expenses Per Books | Net Investment Income | Adjusted Net Income |
|---|---|---|---|
| OID INCOME | 102 | 102 | 102 |
| Description | Amount |
|---|---|
| ROUNDING ADJUSTMENT | 1 |
| ADJUSTMENT - RETURN OF CAPITAL | 196 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| FOREIGN TAX WITHHELD | 591 | 591 | 0 |