| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| PHILLIP A KASS, CPA, INC | 2,650 | 2,650 | 0 | 0 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 502 SH UNITED PARCEL SERVICES | 33,370 | 36,741 |
| 539 SH TIME WARNER INC | 16,679 | 19,479 |
| 624 SH SOUTHERN COMPANY | 23,606 | 28,885 |
| 1269 SH SPECTRA ENERGY CORP | 34,397 | 39,022 |
| 1336 SH RPM INTERNATIONAL INC | 31,221 | 32,799 |
| 434 SH PRUDENTIAL FINANCIAL | 25,831 | 21,752 |
| 440 SH NEXTERA ENERGY | 23,765 | 26,787 |
| 160 SH MCDONALDS CORP | 14,198 | 16,053 |
| 215 SH MCDONALDS CORP | 17,391 | 21,571 |
| 474 SH MERCK & CO INC | 15,845 | 17,870 |
| 1056 SH INTEL CORP | 24,074 | 25,608 |
| 602 SH GLAXOSMITHKLINE PLC | 24,934 | 27,469 |
| 276 SH DIGITAL REALTY TRUST | 15,815 | 18,401 |
| 631 SH AMN ELEC POWER CO | 24,236 | 26,067 |
| 2 FRONTIER COMMUNICATIONS | 15 | 10 |
| 454 SH POWERHSARES GLOBAL EXCHANGE FD | 6,138 | 6,215 |
| 1035 SH VANGUARD SHORT TERM BOND FUND | 83,140 | 83,669 |
| 249 SH ISHARES IBOXX$ HIGH YIELD FUND | 21,516 | 22,268 |
| 774 SH ISHARES BARCLAYS MBS BON FUND | 83,185 | 83,646 |
| 220 SH SPDR BARCLAY CAPITAL INTL TREAS | 12,340 | 12,943 |
| 58 SH VERIZON COMMUNICATIONS COM | 1,519 | 2,327 |
| 570 SH VENTAS INC | 27,456 | 31,424 |
| 503 SH PG&E CORP | ||
| 357 SH NOVARTIS ADR | ||
| 696 SH KRAFT FOODS INC | 19,787 | 26,003 |
| 481 SH HOME DEPOT INC | ||
| 1233 SH CMS ENERGY CORP | ||
| 721 SH BCE INC | 21,715 | 30,044 |
| 84 SH AT&T INC | 2,205 | 2,540 |
| 578 SH ABBOTT LABS | 30,784 | 32,501 |
| 270 SH VANGUARD INTERMEDIATE TERM BD ETF | 21,066 | 23,482 |
| 577 SH ISHARES IBOXX | 58,238 | 65,640 |
| 832 SH WASTE MANAGEMENT INC | ||
| 917 SH XCEL ENERGY INC | 16,827 | 25,356 |
| 902 SH VERIZON COMMUNICATIONS COM | 24,482 | 36,188 |
| 317 SH TORONTO DOMINON BANK | 19,942 | 23,715 |
| 368 SH TRAVELERS COS INC | ||
| 473 SH ROYAL DUTCH SHEL PLC | 22,458 | 35,953 |
| 516 SH RAYTHEON CO | 23,303 | 24,964 |
| 262 SH PHILIP MORRIS INTL INC | 11,239 | 20,562 |
| 754 SH PAYCHEX INC | 20,230 | 22,703 |
| 420 SH PPG INDUSTRIES | ||
| 627 MICROSOFT CORP | 14,419 | 16,277 |
| 23 SH KIMBERLY CLARK | 1,222 | 1,692 |
| 400 SH KIMBERLY CLARK | 21,252 | 29,424 |
| 306 SH KELLOGG CO | ||
| 678 SH GENUINE PARTS CO | ||
| 716 SH EMERSON ELEC CO | 22,503 | 33,358 |
| 366 SH ENDBRIDGE INC | ||
| 300 SH ENDBRIDGE INC | ||
| 459 SH COCA COLA COM | 22,482 | 32,116 |
| 262 SH CHUBB CORP | ||
| 364 SH CHEVRON CORP | 22,480 | 38,730 |
| 438 SH CONSOLIDATED EDISON INC | ||
| 715 SH AT&T INC | 16,865 | 21,622 |
| 675 SH ALTRIA GROUP INC | 11,224 | 20,014 |
| 147 SH ISHARES TRUST LEHMAN US TREAS | 15,386 | 17,153 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| MISCELLANEOUS REIMBURSEMENTS | 3,175 | 3,175 | ||
| INVESTMENT ACCOUNT FEE | 12,398 | 12,398 |
| Description | Beginning of Year - Book Value | End of Year - Book Value |
|---|---|---|
| DEFERRED INCOME | 223 | 102,420 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| STATE TAXES | 10 | 10 | ||
| FOREIGN TAXES | 573 | 573 | ||
| FEDERAL TAXES | 1,000 | 1,000 |