| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Estate Plan Admin Servs. Tax Preparation | 928 |
| Category | Amount |
|---|---|
| None |
| Name | Date Acquired | How Acquired | Date Sold | Purchaser Name | Gross Sales Price | Basis | Basis Method | Sales Expenses | Total (net) | Accumulated Depreciation |
|---|---|---|---|---|---|---|---|---|---|---|
| Sale of Marketable Securities - See Part IV (a) | Purchased | 1,049,118 | 1,040,059 | 9,059 |
| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 396.578 shrs Hussman Invt Tr Strat Total Rtn Fnd | 5,003 | 4,878 |
| 126 Ishrs Barclays Tips Bond Fund | 14,607 | 14,703 |
| 3064.127 shrs Pimco High Yield Fnd Instl | 27,597 | 27,516 |
| 2020.536 shrs Pimco Total Ret Fnd Instl | 22,420 | 21,963 |
| 1433.836 shrs Wells Fargo Intl Bond Instl | 17,905 | 16,274 |
| 831 Ishrs Barclays 3-7 Yr Treasury Bond Fnd | 100,833 | 101,415 |
| 1193 Ishrs Barclays 1-3 Yr Treasury Bond Fnd | 100,806 | 100,809 |
| 491 Proshares Ultra 7-10 Yr Treasury | 50,637 | 52,242 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 1,250 Shrs United Parcel Service | 73,063 | 91,488 |
| 167 shrs Abb Ltd Com | 3,547 | 3,145 |
| 31 shrs Air Prods & Chems Inc Com | 2,439 | 2,641 |
| 37 shrs Amazon.Com Inc Com | 7,261 | 6,405 |
| 72 shrs Ansys Inc Com | 3,552 | 4,124 |
| 19 shrs Apple Inc | 7,079 | 7,695 |
| 79 shrs Baxter International Inc | 4,179 | 3,909 |
| 85 shrs Berkshire Hathaway Inc | 6,007 | 6,486 |
| 51 shrs Boeing Co Com | 3,664 | 3,741 |
| 66 shrs Cameron International Corp | 3,502 | 3,247 |
| 53 shrs Cerner Corp Com | 3,062 | 3,246 |
| 260 shrs Discover Finl Svcs Com | 6,088 | 6,240 |
| 85 shrs Dr Pepper Snapple Group Inc Com | 3,144 | 3,356 |
| 140 shrs Dresser Rand Group Inc Com | 5,305 | 6,987 |
| 92 shrs Du Pont EI De Nemours & Co Com | 4,274 | 4,212 |
| 170 shrs EMC Corp Mass Com | 3,860 | 3,662 |
| 65 shrs Eastman Chemical Co Com | 2,531 | 2,539 |
| 71 shrs Energizer Holdings Inc Com | 5,253 | 5,501 |
| 39 shrs Exxon Mobil Corp Com | 3,158 | 3,306 |
| 67 shrs Gen-Probe Incorporated Com | 3,882 | 3,961 |
| 138 shrs General Mills Inc Com | 5,003 | 5,577 |
| 9 shrs Google Inc CL A | 4,901 | 5,813 |
| 177 shrs HCC Insurance Holdings Inc Com | 4,769 | 4,868 |
| 303 shrs Hologic Inc Com | 4,873 | 5,306 |
| 50 shrs Hospira Inc Com | 1,484 | 1,519 |
| 176 shrs Jarden Corp Com | 5,062 | 5,259 |
| 110 shrs Johnson Ctls Inc Com | 3,459 | 3,439 |
| 127 shrs JPMorgan Chase & Co | 4,485 | 4,223 |
| 307 shrs LKQ Corp Com | 7,320 | 9,235 |
| 34 shrs Mettler-Toledo International Com | 5,017 | 5,022 |
| 122 shrs Nestle SA Spon Adr Repstg Reg | 7,698 | 7,045 |
| 73 shrs Netapp Inc Com | 2,927 | 2,648 |
| 87 shrs Nii Holdings Inc Cl B | 2,628 | 1,853 |
| 518 shrs Semiconductor Corp Com | 3,825 | 3,999 |
| 75 shrs Pall Corp Com | 3,534 | 4,286 |
| 160 shrs Patterson Companies Inc Com | 4,594 | 4,723 |
| 80 shrs Perrigo Co Com | 7,027 | 7,784 |
| 119 shrs Pfizer Inc Com | 2,513 | 2,575 |
| 32 shrs Precision Castparts Corp Com | 4,805 | 5,273 |
| 123 shrs Qualcomm Inc | 6,088 | 6,728 |
| 89 shrs Reinsurance Group Amer Inc Com | 4,443 | 4,650 |
| 90 shrs Roper Inds Inc Com | 6,363 | 7,818 |
| 110 shrs Rovi Corporation Com | 3,400 | 2,704 |
| 159 shrs Sara Lee Corp Com | 2,762 | 3,008 |
| 63 shrs Schlumberger Ltd | 4,822 | 4,304 |
| 117 shrs Signet Jewelers Limited Com | 3,937 | 5,143 |
| 171 shrs Snyders-Lance Inc Com | 3,424 | 3,848 |
| 87 shrs Stericycle Inc Com | 6,976 | 6,779 |
| 92 shrs TJX Companies Inc | 4,948 | 5,939 |
| 146 shrs Treehouse Foods Inc Com | 7,690 | 9,545 |
| 348 shrs Umpqua Holdings Corp Com | 3,262 | 4,312 |
| 115 shrs Verifone Systems Inc Com | 3,961 | 4,085 |
| 72 shrs Viacom Cl B | 3,223 | 3,270 |
| 25 shrs Visa Inc Cl A | 2,483 | 2,538 |
| 90 shrs Whiting Petroleum Corp Com | 4,258 | 4,202 |
| 531.664 shrs Intrepid Cap Mgmt Fds Sml Cap Instl | 8,243 | 7,885 |
| 327 Ishrs S&P 500 Index | 39,559 | 41,189 |
| 301.463 shrs Ivy Funds Asset Strategy | 7,459 | 6,768 |
| 482.116 shrs Merger Fnd Sh Ben Int | 7,572 | 7,516 |
| 251.986 shrs Permanent Portfolio Fund Com | 12,446 | 11,614 |
| 476.391 shrs Pimco Fds All Asset All Auth Fnd Instl | 5,209 | 4,778 |
| 77 shrs Spdr Dow Jones Reit Eft | 4,899 | 4,959 |
| 950.951 shrs Steelpath Funds Mlp Select 40 | 9,978 | 10,432 |
| 228 shrs Vanguard Funds MSCI Emerging Markets | 9,888 | 8,712 |
| 607 shrs Vanguard High Dividend Yield | 25,123 | 27,473 |
| 243 shrs Vanguard MSCI US Mid Cap 450 Index | 17,213 | 17,481 |
| 73 shrs Vanguard Sm Cap Etf US Small Mkt 1750 | 4,928 | 5,086 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| IL Secr of State Filing Fee | 10 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Coyle Asset Management Co Investment | 3,740 | 3,740 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| US Treasury | 16,381 |