| Identifier | Return Reference | Explanation |
|---|
| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| ABBOTT LABS NT - 5.600 - 11/30/2017 002819AB6 2000000.00% | 20,178 | 23,883 |
| BERKSHIRE HATHAWAY NOTES 144A 5.4 05/15/2018 084664BH3 1500000.00% | 17,236 | 17,493 |
| CATERPILLAR INC NT - 5.700 - 08/15/2016 149123BM2 1000000.00% | 10,384 | 11,735 |
| CHEVRON CORP - 3.950 - 03/03/2014 166751AH0 1500000.00% | 15,441 | 16,056 |
| CONOCOPHILLIPS GTD 4.60000 01/15/2015 20825CAT1 1000000.00% | 10,761 | 11,117 |
| EI DU PONT DE NUMOUR BONDS - 05.000 - 07/15/2013 263534BU2 1500000.00% | 15,652 | 15,935 |
| HEWLETT-PACKARD CO GLBL NT 04.75000 06/02/2014 428236AV5 1500000.00% | 16,417 | 15,920 |
| MERRILL LYNCH CO NOTES - 5.000 - 01/15/2015 59018YUW9 1000000.00% | 9,745 | 9,634 |
| ORACLE CORP - 5.250 - 01/15/2016 68402LAC8 1500000.00% | 14,827 | 17,282 |
| PEPSICO INC SR NT - 4.650 - 02/15/2013 713448BG2 1500000.00% | 16,083 | 15,689 |
| PFIZER INC - 4.500 - 02/15/2014 717081AR4 1000000.00% | 10,483 | 10,772 |
| UNITED TECHNOLGY 4.875 NT, 05/01/15 913017BH1 1500000.00% | 15,927 | 16,794 |
| WALT DISNEY CO SR NT - 4.700 - 12/1/2012 254687AV8 2500000.00% | 25,628 | 25,784 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 80 shares of ABBOTT LABS ABT | 3,471 | 4,498 |
| 75 shares of ACCENTURE PLC ACN | 2,807 | 3,992 |
| 100 shares of AETNA INC. NEW AET | 3,519 | 4,219 |
| 45 shares of ALLIANCE DATA SYSTEM CORP ADS | 2,548 | 4,673 |
| 55 shares of ANADARKO PETROLEUM CORP APC | 3,591 | 4,198 |
| 67 shares of APACHE CORPORATION APA | 5,857 | 6,069 |
| 25 shares of APPLE INC. AAPL | 8,297 | 10,125 |
| 140 shares of AUTOMATIC DATA PROCESSING INC. ADP | 4,887 | 7,561 |
| 90 shares of B M C SOFTWARE BMC | 4,174 | 2,950 |
| 292 shares of BANK OF AMERICA CORP BAC | 4,290 | 1,624 |
| 28 shares of BLACKROCK INC BLK | 4,744 | 4,991 |
| 365 shares of CISCO SYSTEMS INC CSCO | 6,994 | 6,599 |
| 142 shares of CITIGROUP INC C | 6,281 | 3,736 |
| 21 shares of CME GROUP, INC CME | 5,684 | 5,117 |
| 272 shares of COMCAST CORP CL A CMCSA | 4,633 | 6,449 |
| 60 shares of CORR CP OF AM NEW CXW | 1,348 | 1,222 |
| 105 shares of COVIDIEN LTD COV | 4,916 | 4,726 |
| 65 shares of CVS CAREMARK CORP. CVS | 2,455 | 2,651 |
| 95 shares of DANAHER CORP DHR | 3,400 | 4,469 |
| 5404 shares of DREYFUS PREMIER EMERGING MARKETS DEBT LOCAL CURREN DDBIX | 76,842 | 71,120 |
| 53 shares of EQT CORPORATION EQT | 2,055 | 2,904 |
| 108 shares of EXPRESS SCRIPTS INC. ESRX | 4,086 | 4,827 |
| 58 shares of EXXON MOBIL CORP XOM | 2,945 | 4,916 |
| 137 shares of FIDELITY NATIONAL INFORMATION SERVICES INC FIS | 3,410 | 3,643 |
| 78 shares of FISERV INC FISV | 3,269 | 4,582 |
| 295 shares of FORD MOTOR COMPANY F | 4,256 | 3,174 |
| 80 shares of FREEPORT-MCMORAN COPPER GOLD INC. FCX | 2,612 | 2,943 |
| 410 shares of GENERAL ELECTRIC CO GE | 9,821 | 7,343 |
| 11 shares of GOOGLE INC CL A GOOG | 6,151 | 7,105 |
| 135 shares of H.J. HEINZ COMPANY HNZ | 4,695 | 7,295 |
| 2225 shares of IVA INTERNATIONAL FUND CLASS I IVIQX | 35,155 | 32,906 |
| 140 shares of JP MORGAN CHASE CO JPM | 4,707 | 4,655 |
| 2228 shares of MATTHEWS PACIFIC TIGER FUND MAPTX | 41,473 | 45,293 |
| 60 shares of MCDONALDS CORP MCD | 4,538 | 6,020 |
| 25 shares of MEDCO HEALTH SOLUTIONS INC. MHS | 1,317 | 1,398 |
| 144 shares of MERCK CO INC. MRK | 4,301 | 5,429 |
| 240 shares of MICROSOFT CORPORATION MSFT | 5,992 | 6,230 |
| 40 shares of NETAPP, INC. NTAP | 1,441 | 1,451 |
| 4350 shares of NEUBERGER BERMAN EQUITY INCOME FUND NBHIX | 47,358 | 48,157 |
| 30 shares of NIKE INC-CL B NKE | 1,204 | 2,891 |
| 50 shares of NORFOLK SOUTHERN CORP NSC | 2,379 | 3,643 |
| 290 shares of ORACLE CORP ORCL | 4,251 | 7,439 |
| 97 shares of PEPSICO INC PEP | 6,143 | 6,436 |
| 103 shares of PG E CORP PCG | 4,335 | 4,246 |
| 10196 shares of PIMCO COMMODITY REAL RETURN STRATEGY FUND PCRIX | 82,220 | 66,683 |
| 3685 shares of POLEN GROWTH FUND INSTITUTIONAL CLASS POLIX | 44,002 | 44,665 |
| 55 shares of PRAXAIR INC. PX | 3,426 | 5,880 |
| 75 shares of PROCTER GAMBLE CO PG | 3,385 | 5,003 |
| 156 shares of QEP RESOURCES INC QEP | 4,112 | 4,571 |
| 205 shares of REPUBLIC SVCS INC. RSG | 5,674 | 5,648 |
| 5051 shares of RIDGEWORTH FDS SEIX FLOATING RATE HIGH INCOME FUND SAMBX | 45,000 | 43,687 |
| 90 shares of SPECTRA ENERGY CORP-W/I SE | 1,774 | 2,768 |
| 95 shares of STRYKER CORPORATION SYK | 3,986 | 4,722 |
| 155 shares of TARGET CORPORATION TGT | 8,351 | 7,939 |
| 20 shares of TIME WARNER CABLE INC TWC | 1,187 | 1,271 |
| 92 shares of TJX COMPANIES INC TJX | 4,159 | 5,939 |
| 75 shares of UNITED TECHNOLOGIES CORP UTX | 3,784 | 5,482 |
| 140 shares of UNITEDHEALTH GROUP INC. UNH | 3,924 | 7,095 |
| 24 shares of V F CORP VFC | 1,499 | 3,048 |
| 45 shares of VALSPAR CORP VAL | 1,544 | 1,754 |
| 70 shares of VISA INC V | 4,911 | 7,107 |
| 130 shares of WALGREEN CO WAG | 3,807 | 4,298 |
| 239 shares of WELLS FARGO CO. WFC | 6,254 | 6,587 |
| 200 shares of WESTERN UNION CO WU | 2,965 | 3,652 |
| 210 shares of WILLIAMS COS WMB | 5,275 | 6,934 |
| 2675 shares of YACKTMAN FOCUSED FUND YAFFX | 50,558 | 50,238 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Administrative Fees | 10,047 | 10,047 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Investment Management Services | 11,716 | 11,716 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Estimated Tax for 2011 | 800 | 0 | 0 | 0 |
| Excise Tax for 2010 | 636 | 0 | 0 | 0 |