| Identifier | Return Reference | Explanation |
|---|
| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| BELLSOUTH CORP NT - 5.200 - 09/15/2014 079860AG7 5000000.00% | 50,555 | 55,545 |
| EMERSON ELECT - 5.0000 - 12/15/2014 291011AS3 5000000.00% | 49,121 | 55,390 |
| GE CO NT - 5.000 - 02/01/2013 369604AY9 5000000.00% | 49,649 | 51,450 |
| IBM - 4.750 - 11/29/2012 459200BA8 5000000.00% | 49,152 | 52,023 |
| PITNEY BOWES INC MTN 4.875 8/15/14 72447WAU3 5000000.00% | 50,068 | 53,166 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 160 shares of ABBOTT LABS ABT | 8,670 | 8,997 |
| 205 shares of ALTERA CORPORATION ALTR | 4,283 | 7,606 |
| 82 shares of AMAZON COM AMZN | 14,662 | 14,194 |
| 330 shares of AMERICAN EXPRESS CO AXP | 15,899 | 15,566 |
| 86 shares of APPLE INC. AAPL | 14,680 | 34,830 |
| 205 shares of AUTODESK, INC. ADSK | 8,349 | 6,218 |
| 145 shares of BHP BILLITON LIMITED BHP | 10,582 | 10,241 |
| 500 shares of BRISTOL-MYERS SQUIBB CO BMY | 14,909 | 17,620 |
| 210 shares of CHEVRONTEXACO CORP CVX | 16,588 | 22,344 |
| 214 shares of CITRIX SYSTEMS INC CTXS | 12,147 | 12,994 |
| 265 shares of COCA-COLA CO KO | 18,371 | 18,542 |
| 150 shares of CONOCOPHILLIPS COP | 9,359 | 10,931 |
| 200 shares of COSTCO WHOLESALE CORP NEW COST | 13,481 | 16,664 |
| 215 shares of COVIDIEN LTD COV | 10,940 | 9,677 |
| 460 shares of DANAHER CORP DHR | 15,039 | 21,638 |
| 285 shares of DOMINION RESOURCES INC D | 12,674 | 15,128 |
| 360 shares of DU PONT DE NEMOURS DD | 14,697 | 16,481 |
| 255 shares of EATON CORP ETN | 13,652 | 11,100 |
| 705 shares of EMC CORP-MASS EMC | 14,065 | 15,186 |
| 335 shares of EXXON MOBIL CORP XOM | 21,993 | 28,395 |
| 704 shares of FLEXSHARES GLOBAL UPSTREAM NATURAL RESOURCES INDEX GUNR | 22,148 | 23,232 |
| 1019 shares of FLEXSHARES IBOXX 3-YEAR TARGET DURATION TIPS INDEX TDTT | 25,387 | 25,536 |
| 1027 shares of FLEXSHARES IBOXX 5-YEAR TARGET DURATION TIPS INDEX TDTF | 25,555 | 25,983 |
| 133 shares of FRANKLIN RES INC BEN | 15,647 | 12,776 |
| 745 shares of GENERAL ELECTRIC CO GE | 12,414 | 13,343 |
| 30 shares of GOOGLE INC CL A GOOG | 13,620 | 19,377 |
| 66 shares of GRAINGER W W INC. GWW | 7,861 | 12,355 |
| 240 shares of H.J. HEINZ COMPANY HNZ | 11,409 | 12,970 |
| 144 shares of INTERNATIONAL BUSINESS MACHINES IBM | 19,308 | 26,479 |
| 115 shares of JOHNSON JOHNSON JNJ | 7,261 | 7,542 |
| 315 shares of JOHNSON CONTROLS INC. JCI | 9,431 | 9,847 |
| 480 shares of JP MORGAN CHASE CO JPM | 15,295 | 15,960 |
| 135 shares of MCDONALDS CORP MCD | 11,541 | 13,545 |
| 220 shares of MCKESSON CORP MCK | 14,203 | 17,140 |
| 11970 shares of MFB NORTHERN FDS MULTI MNGR EMERGING MRKTS NMMEX | 212,080 | 194,037 |
| 4758 shares of MFB NORTHERN FDS MULTI MNGR GLOBAL REAL EST NMMGX | 62,091 | 73,173 |
| 205 shares of NATL OILWELL VARCO NOV | 10,127 | 13,938 |
| 103 shares of NIKE INC-CL B NKE | 7,733 | 9,926 |
| 100 shares of NOBLE ENERGY INC. NBL | 6,546 | 9,439 |
| 210 shares of NORFOLK SOUTHERN CORP NSC | 14,173 | 15,301 |
| 14016 shares of NORTHERN FUNDS FIXED INCOME FUND NOFIX | 145,854 | 146,186 |
| 41373 shares of NORTHERN MULTI-MANAGER INTL EQUITY FUND NMIEX | 365,957 | 342,154 |
| 8979 shares of NORTHERN MULTI-MANAGER MID CAP FUND NMMCX | 86,738 | 98,054 |
| 5142 shares of NORTHERN MULTI-MANAGER SMALL CAP FUND NMMSX | 42,886 | 45,045 |
| 27677 shares of NORTHERN MULTI-MANG HIGH YLD OPPORTUNITY NMHYX | 291,514 | 274,833 |
| 3632 shares of NORTHERN SMALL CAP GROWTH NSGRX | 52,428 | 51,509 |
| 210 shares of NOVARTIS AG ADR NVS | 11,567 | 12,006 |
| 285 shares of OMNICOM GROUP OMC | 12,954 | 12,705 |
| 645 shares of ORACLE CORP ORCL | 17,928 | 16,544 |
| 2880 shares of PIMCO COMMODITY REAL RETURN STRATEGY FUND PCRIX | 19,890 | 18,833 |
| 48 shares of PRECISION CASTPARTS PCP | 8,156 | 7,910 |
| 455 shares of PRINCIPAL FINANCIAL GROUP PFG | 13,549 | 11,193 |
| 270 shares of PROCTER GAMBLE CO PG | 15,836 | 18,012 |
| 310 shares of QUALCOMM INC QCOM | 16,202 | 16,957 |
| 113 shares of SALESFORCE.COM CRM | 11,629 | 11,465 |
| 153 shares of SCHLUMBERGER LTD SLB | 13,838 | 10,451 |
| 145 shares of SIMON PPTY GROUP INC NEW SPG | 13,824 | 18,696 |
| 690 shares of SPECTRA ENERGY CORP-W/I SE | 17,645 | 21,218 |
| 849 shares of STREETTRACKS GOLD SHARES GLD | 101,286 | 129,040 |
| 155 shares of TRAVELERS COMPANIES INC THE TRV | 8,331 | 9,171 |
| 130 shares of UNITED TECHNOLOGIES CORP UTX | 7,352 | 9,502 |
| 350 shares of UNITEDHEALTH GROUP INC. UNH | 12,066 | 17,738 |
| 515 shares of US BANCORP DEL NEW USB | 15,284 | 13,931 |
| 148 shares of V F CORP VFC | 15,778 | 18,795 |
| 225 shares of VERIZON COMMUNICATIONS VZ | 8,344 | 9,027 |
| 155 shares of WAL-MART STORES INC. WMT | 8,850 | 9,263 |
| 270 shares of WALT DISNEY HOLDINGS CO. DIS | 9,520 | 10,125 |
| 590 shares of WELLS FARGO CO. WFC | 16,041 | 16,260 |
| 240 shares of WHOLE FOODS MARKET, INC. WFM | 11,186 | 16,699 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Administrative Fees | 16,271 | 16,271 | ||
| Bank Charges | 71 | 71 | ||
| State or Local Filing Fees | 25 | 25 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Investment Management Services | 11,054 | 11,054 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Estimated Tax for 2011 | 1,300 | 0 | 0 | 0 |
| Excise Tax for 2010 | 450 | 0 | 0 | 0 |