| Identifier | Return Reference | Explanation |
|---|
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 9 shares of ACCENTURE PLC ACN | 469 | 479 |
| 11 shares of ALLERGAN INC. AGN | 852 | 965 |
| 1343 shares of ALLIANCEBERN REAL ASSET STRAT ADV AMTYX | 16,872 | 14,095 |
| 1750 shares of ALLIANCEBERNSTEIN REIT INSTL FUND ARIIX | 14,378 | 13,984 |
| 70 shares of ALTRIA GROUP INC MO | 1,820 | 2,076 |
| 5 shares of AMAZON COM AMZN | 984 | 866 |
| 11 shares of ANADARKO PETROLEUM CORP APC | 915 | 840 |
| 8 shares of APPLE INC. AAPL | 3,124 | 3,240 |
| 165 shares of APPLIED MATERIALS INC. AMAT | 1,924 | 1,767 |
| 90 shares of ASTRAZENECA AZN | 4,102 | 4,166 |
| 35 shares of ATT CORP COM NEW T | 1,054 | 1,058 |
| 1090 shares of BERNSTEIN EMERGING MARKETS SNEMX | 35,485 | 26,417 |
| 4109 shares of BERNSTEIN INTERMEDIATE DURATION PORTFOLIO SNIDX | 55,416 | 56,951 |
| 2218 shares of BERNSTEIN INTERNATIONAL PORTFOLIO SIMTX | 32,901 | 27,524 |
| 10 shares of BOEING CO BA | 682 | 734 |
| 9 shares of BORG WARNER INC. BWA | 612 | 574 |
| 90 shares of BP PLC SPONSORED ADR BP | 3,523 | 3,847 |
| 30 shares of BROADCOM CORPORATION BRCM | 1,009 | 881 |
| 30 shares of CBRE GROUP INC CBG | 441 | 457 |
| 5 shares of CELGENE CORP CELG | 286 | 338 |
| 25 shares of CENTERPOINT ENERGY CNP | 531 | 502 |
| 90 shares of CENTURY TEL INC CTL | 3,215 | 3,348 |
| 40 shares of CISCO SYSTEMS INC CSCO | 742 | 723 |
| 30 shares of CIT GROUP INC CIT | 1,020 | 1,046 |
| 160 shares of CITIGROUP INC C | 6,822 | 4,210 |
| 12 shares of CITRIX SYSTEMS INC CTXS | 668 | 729 |
| 50 shares of CMS ENERGY CP CMS | 961 | 1,104 |
| 89 shares of COMCAST CORP CL A CMCSA | 2,075 | 2,110 |
| 14 shares of CONOCOPHILLIPS COP | 1,055 | 1,020 |
| 80 shares of CONSTELLATION BRANDS INC STZ | 1,196 | 1,654 |
| 90 shares of CORNING INC GLW | 1,505 | 1,168 |
| 19 shares of COVIDIEN LTD COV | 932 | 855 |
| 30 shares of DANAHER CORP DHR | 1,282 | 1,411 |
| 35 shares of DELL INC DELL | 490 | 512 |
| 115 shares of DELTA AIR LINES INC DAL | 1,074 | 930 |
| 23 shares of DEVON ENERGY CORPORATION DVN | 1,829 | 1,426 |
| 15 shares of DIRECTV GROUP DTV | 627 | 641 |
| 12 shares of DOLLAR GENERAL CORP DG | 460 | 494 |
| 15 shares of DOW CHEMICAL PV DOW | 411 | 431 |
| 19 shares of DTE ENERGY CO COM DTE | 910 | 1,035 |
| 40 shares of EMC CORP-MASS EMC | 862 | 862 |
| 10 shares of EOG RESOURCES INC EOG | 889 | 985 |
| 2 shares of ESTEE LAUDER COMPANIES INC EL | 172 | 225 |
| 16 shares of EXPRESS SCRIPTS HOLDING CO. ESRX | 673 | 715 |
| 7 shares of FLOWSERVE CP FLS | 596 | 695 |
| 14 shares of FMC TECHS INC COM FTI | 587 | 731 |
| 60 shares of FORD MOTOR COMPANY F | 759 | 646 |
| 20 shares of GAMESTOP CORP GME | 519 | 483 |
| 95 shares of GANNETT CO INC GCI | 1,256 | 1,270 |
| 60 shares of GENERAL ELECTRIC CO GE | 932 | 1,075 |
| 23 shares of GENERAL MILLS INC GIS | 863 | 929 |
| 110 shares of GENERAL MOTORS GM | 2,969 | 2,230 |
| 58 shares of GILEAD SCIENCES INC GILD | 2,146 | 2,374 |
| 12 shares of GOLDMAN SACHS GROUP GS | 1,189 | 1,085 |
| 3 shares of GOODRICH CORPORATION GR | 256 | 371 |
| 4 shares of GOOGLE INC CL A GOOG | 2,108 | 2,584 |
| 9 shares of HARLEY DAVIDSON INC. HOG | 345 | 350 |
| 30 shares of HEALTH NET INC HNT | 864 | 913 |
| 4 shares of HERSHEY FOODS CORP COMMON HSY | 242 | 247 |
| 155 shares of HEWLETT PACKARD CO HPQ | 4,550 | 3,993 |
| 6 shares of ILLUMINA INC COM ILMN | 176 | 183 |
| 15 shares of INGERSOL-RAND PLC IR | 703 | 457 |
| 16 shares of INTUIT INTU | 741 | 841 |
| 70 shares of JOHNSON JOHNSON JNJ | 4,201 | 4,590 |
| 18 shares of JOHNSON CONTROLS INC. JCI | 544 | 563 |
| 109 shares of JP MORGAN CHASE CO JPM | 4,254 | 3,624 |
| 115 shares of KROGER CO KR | 2,675 | 2,785 |
| 30 shares of LAM RESEARCH CORP LRCX | 1,386 | 1,111 |
| 4 shares of LAS VEGAS SANDS CORP LVS | 180 | 171 |
| 25 shares of LEAR CORP LEA | 871 | 995 |
| 16 shares of LIMITED BRANDS INC LTD | 579 | 646 |
| 17 shares of LORILLARD INC COMMON STOCK LO | 1,879 | 1,938 |
| 40 shares of LOWES COMPANIES INC. LOW | 921 | 1,015 |
| 50 shares of LYONDELLBASELL INDUSTRIES NV LYB | 1,718 | 1,625 |
| 80 shares of MARATHON OIL CORP COM MRO | 1,844 | 2,342 |
| 85 shares of MARATHON PETROLEUM CORP MPC | 2,777 | 2,830 |
| 60 shares of MARVELL TECH GROUP MRVL | 808 | 831 |
| 15 shares of MCGRAW-HILL MHP | 619 | 675 |
| 25 shares of METLIFE INC. MET | 791 | 780 |
| 105 shares of MGM RESORTS INTERNATIONAL MGM | 1,064 | 1,095 |
| 225 shares of MICRON TECHNOLOGY MU | 1,236 | 1,415 |
| 15 shares of MONSANTO CO MON | 1,046 | 1,051 |
| 35 shares of MOODYS CORP MCO | 1,252 | 1,179 |
| 65 shares of MORGAN STANLEY MS | 1,069 | 983 |
| 1 shares of N V R INC. NVR | 675 | 686 |
| 35 shares of NEWELL RUBBERMAID INC. NWL | 552 | 565 |
| 12 shares of NOBLE ENERGY INC. NBL | 982 | 1,133 |
| 19 shares of NORTHROP GRUMMAN CORP NOC | 1,085 | 1,111 |
| 60 shares of NV ENERGY INC NVE | 910 | 981 |
| 45 shares of ORACLE CORP ORCL | 1,199 | 1,154 |
| 5 shares of PEPSICO INC PEP | 316 | 332 |
| 2 shares of PERRIGO CO PRGO | 178 | 195 |
| 255 shares of PFIZER INC. PFE | 4,038 | 5,517 |
| 13 shares of POTASH CORPORATION OF SASKATCHEWAN INC POT | 724 | 537 |
| 5 shares of PRECISION CASTPARTS PCP | 790 | 824 |
| 3 shares of PROCTER GAMBLE CO PG | 187 | 200 |
| 4 shares of PVH CORP PVH | 263 | 282 |
| 30 shares of QUALCOMM INC QCOM | 1,457 | 1,641 |
| 7 shares of ROCKWELL AUTOMAT INC ROK | 419 | 514 |
| 2 shares of SALESFORCE.COM CRM | 241 | 203 |
| 22 shares of SCHLUMBERGER LTD SLB | 1,638 | 1,503 |
| 18 shares of STARBUCKS CORP COM SBUX | 666 | 828 |
| 35 shares of TIME WARNER CABLE INC TWC | 2,171 | 2,225 |
| 40 shares of TRANSOCEAN LTD. RIG | 2,274 | 1,536 |
| 35 shares of TRAVELERS COMPANIES INC THE TRV | 1,901 | 2,071 |
| 30 shares of TRW AUTOMOTIVE HOLDINGS CORP TRW | 1,383 | 978 |
| 85 shares of TYSON FOODS INC CL A TSN | 1,670 | 1,754 |
| 18 shares of UNITED PARCEL SERVICE UPS | 1,161 | 1,317 |
| 50 shares of UNITEDHEALTH GROUP INC. UNH | 2,233 | 2,534 |
| 3 shares of V F CORP VFC | 346 | 381 |
| 45 shares of VIACOM INC. CL B VIA-B | 2,064 | 2,043 |
| 5 shares of VISA INC V | 435 | 508 |
| 30 shares of WALT DISNEY HOLDINGS CO. DIS | 996 | 1,125 |
| 43 shares of WELLPOINT INC WLP | 3,070 | 2,849 |
| 10 shares of WELLS FARGO CO. WFC | 237 | 276 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Administrative Fees | 3,327 | 3,327 | ||
| State or Local Filing Fees | 25 | 25 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Investment Management Services | 828 | 828 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Excise Tax for 2010 | 461 | 0 | 0 | 0 |