| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| 990-PF PREPARATION | 2,500 | 0 | 0 | 2,500 |
| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 1046.267SH COLUMBIA INCOME OPPORT FUND | 10,273 | 9,762 |
| 50.000SH WELLS FARGO O& CO NEW | 866 | 1,422 |
| 5015.045SH COLUMBIA SHORT TERM BOND FUND | 50,000 | 49,448 |
| 34563.013SH COLUMBIA INTERMED BOND FUND | 300,917 | 320,745 |
| 16650.809SH PIMCO TOTAL RETURN FD INSTL | 175,000 | 180,994 |
| 1222.902SH COLUMBIA HIGH INCOME FUND | ||
| 36989.565SH COLUMBIA TOTAL RETURN BD FD |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 115.000 SH TEVA PHARMACEUTICAL INDS LTD | 5,169 | 4,640 |
| 25.000SH ISHARES MSCI S KOREA INDEX FND | 1,535 | 1,306 |
| 50.000SH ISHARES FTSE CHINA 25 INDEX | 2,316 | 1,743 |
| 37.000SH CHECK POINT SOFTWARE TECH LTD | 2,080 | 1,943 |
| 100.000SH ISHARRES MSCI SINGAPORE INDEX | 1,345 | 1,082 |
| 90.000SH ACCENTURE PLC | 4,873 | 4,790 |
| 35.000SH O REILLY AUTOMOTIVE INC | 2,148 | 2,797 |
| 11.000SH LULULEMON ATAHLETICA INC | 521 | 512 |
| 6.000SH DOLLAR TREE INC | 502 | 499 |
| 66.000SH YOUKU INC | 2,616 | 1,034 |
| 63.000SH VISA INC | 5,454 | 6,396 |
| 50.000SH SECTOR SPDR TR TECHNOLOGY | 1,320 | 1,273 |
| 64.000SH QUALCOMM INC | 3,599 | 3,501 |
| 86.000SH PACCAR INC | 3,021 | 3,222 |
| 50.000SH NATIONAL OILWELL VARCO INC | 3,468 | 3,400 |
| 75.000SH HOME DEPOT INC | 3,059 | 3,153 |
| 9.000SH GOOGLE INC | 5,486 | 5,813 |
| 3.000SH CONTINENTAL RES INC | 198 | 200 |
| 15.000SH COGNIZANT TECHNOLOGY SOLUTIONS | 1,014 | 965 |
| 50.000SH COACH INC | 3,056 | 3,052 |
| 355.000SH CISCO SYS INC | 5,582 | 6,057 |
| 96.000SH BRISTOL MYERS SQUIBB CO | 3,182 | 3,383 |
| 48.000SH BIOGEN IDEC INC | 5,044 | 5,282 |
| 3.000SH AUTOZONE INC | 958 | 975 |
| 35.000SH ALLERGAN INC | 2,834 | 3,071 |
| 2577.214SH COLUMBIA INTL VALUE FD CL Z | ||
| 23100SH UNUM GROUP | 4,936 | 4,867 |
| 38.00SH TIFFANY & CO | 1,576 | 2,518 |
| 122.00SH LINCOLN NATL CORP IND | 3,280 | 2,369 |
| 2407.091SH COLUMBIA MID CAP INDEX FD | 26,333 | 25,684 |
| 829.465SH COLUMBIA MID CAP GRTH FD | 20,664 | 20,455 |
| 87.00SH YUM BRANDS INC | 4,010 | 5,134 |
| 53.00SH WYNN RESORTS LTD | 6,235 | 5,856 |
| 142.00SH TJX COS INC | 6,718 | 9,166 |
| 322.00SH TIME WARNER INC | 10,946 | 11,637 |
| 160.00SH STARBUCKS CORP | 5,469 | 7,362 |
| 27.00SH SALESFORCE COM INC | ||
| 29.00SH PRECISION CASTPARTS CORP | 3,726 | 4,779 |
| 72.00SH PNC FINL SVCS GROUP INC | ||
| 517.00SH PFIZER INC | 8,858 | 11,188 |
| 247.00SH ORACLE CORP | ||
| 54.00SH OCCIDENTAL PETE CORP DEL | 9,337 | 9,089 |
| 85.00SH MONSANTO CO | 4,037 | 5,956 |
| 59.00SH MEAD JOHNSON NUTITION CO | 3,664 | 4,055 |
| 55.0.00SH LAUDER ESTEE COS INC | 3,913 | 6,178 |
| 137.00SH GENERAL MTRS CO | 4,750 | 2,777 |
| 8.00SH F5 NETWORKS INC | ||
| 24.00SH FREEPORT-MCMORAN COPPER & GOLD | ||
| 152.00SH FORD MTR CO DEL | ||
| 9850.276SH COLUMBIA DIVIDEND INCOME FD | 125,000 | 134,161 |
| 26.00SH FEDEX CORP | ||
| 71.00SH EATON CORP | 2,834 | 3,091 |
| 77.00SH DANAHER CORP DEL | 3,061 | 3,622 |
| 43.00SH CUMMINS INC | 3,432 | 3,785 |
| 122.00SH BROADCOM CORP | ||
| 102.00SH ANADARKO PETE CORP | ||
| 200.00SH VANGUARD INTL EQUITY INDEX FDS | 7,362 | 7,642 |
| 100.00SH ISHARES INC MSCI BRAZIL FREE | 6,218 | 5,739 |
| 76.00SH WELLS FARGO & CO NEW | 2,043 | 2,095 |
| 53.00SH AMAZON COM INC | ||
| 49.00SH AMERICAN TOWER CORP | ||
| 55.00SH BAIDU INC | 2,878 | 6,406 |
| 197.00SH CITIGROUP INC | 7,197 | 5,183 |
| 79.00SH DOW CHEM CO | 1,163 | 2,272 |
| 144.00SH KROGER CO | ||
| 63.00SH NORDSTROM INC | ||
| 25.00SH PPG INDS INC | 1,368 | 2,087 |
| 14.00SH PRICELINE COM INC | 3,624 | 6,548 |
| 104.00SH BHP BILLITON PLC | ||
| 153.00SH CANADIAN NAT RES LTD | 5,038 | 5,718 |
| 154.00SH US BANCORP DEL | 2,546 | 4,166 |
| 1736.400SH THORNBURG INTL VAL FUND CL I | 45,000 | 42,681 |
| 469.00SH TALISMAN ENERGY INC CANADA | 8,251 | 5,980 |
| 37.00SH STARWOOD HOTELS & RESORTS | 735 | 1,775 |
| 41.00SH PHILIP MORRIS INTL INC | 1,254 | 3,218 |
| 121.00SH NRG ENERGY INC | 5,003 | 2,193 |
| 72.00SH NIKE INC | 3,744 | 6,939 |
| 183.00SH METLIFE INC | 5,668 | 5,706 |
| 2605.843SH LAZARD FUNDS INC | 42,162 | 43,778 |
| 50.00SH HESS CORP | 2,869 | 2,840 |
| 753.692SH HARBOR INTNL FUND INSTI CL | 45,000 | 39,531 |
| 161.00SH HALLIBURTON CO | 7,942 | 7,316 |
| 46.00SH EOG RES INC | ||
| 1473.998SH COLUMBIA SM CAP GRTH I FD | 38,843 | 40,004 |
| 13615.475SH COLUMBIA SLCT LG CAP GWTH FD | 157,749 | 163,658 |
| 214.00SH ANGLOGOLD ASHANTI LTD | 7,704 | 9,084 |
| 21.00SH APPLE INC | 3,663 | 8,505 |
| 229.00SH SANOFI-AVENTS ADR FRANCE | 8,508 | 8,368 |
| 94.00SH MERCK & CO INC | 2,374 | 3,544 |
| 161.00SH AMGEN INC | ||
| 112.00SH CVS CAREMARK CORP | 3,379 | 4,567 |
| 67.00SH MCDONALDS CORP | 4,181 | 6,722 |
| 65.00SH PRAXAIR INC | 4,563 | 6,949 |
| 475.00SH CA INC | 11,535 | 9,602 |
| 85.00SH APACHE CORP | 5,447 | 7,699 |
| 2487.731SH COLUMBIA SMALL CAP VALUE FUND | 30,600 | 33,286 |
| 874.822SH COLUMBIA ACORN FUND CLASS Z | 22,605 | 24,110 |
| 160.00SH BARRICK GOLD CORP | 4,034 | 7,240 |
| 99.00SH INGERSOLL-RAND CO LTD | 3,316 | 3,017 |
| 97.00SH UNION PAC CORP | 4,196 | 10,276 |
| 91.00SH RAYTHEON CO | 3,620 | 4,403 |
| 105.00SH PITNEY BOWES INC | 3,931 | 1,947 |
| 53.00SH NOBLE ENERGY INC | 1,580 | 5,003 |
| 128.00SH MOTOROLA INC | 2,594 | 5,925 |
| 52.00SH KIMBERLY CLARK CORP | ||
| 116.00SH JP MORGAN CHASE & CO | 4,378 | 3,857 |
| 44.00SH GOLDMAN SACHS GROUP INC | 6,386 | 3,979 |
| 450.00SH GENWORTH FINL INC | 9,854 | 2,948 |
| 82.00SH GENERAL DYNAMICS CORP | ||
| 126.00SH AON CORP | 2,597 | 5,897 |
| 212.00SH VIACOM INC | 8,367 | 9,627 |
| 379.00SH HARTFORD FINL SVCS GROUP INC | 7,411 | 6,159 |
| 142.00SH LOWES COS INC | 3,937 | 5,346 |
| 76.00SH LOCKHEED MARTIN CORP | ||
| 218.00SH WELLS FARGO & CO | 5,242 | 6,008 |
| 186.00SH MICROSOFT CORP | 4,687 | 4,829 |
| Category/ Item | Listed at Cost or FMV | Book Value | End of Year Fair Market Value |
|---|---|---|---|
| 900SH POWERSHARES DB COMMODITY INDEX | FMV | 20,304 | 24,156 |
| Category / Item | Cost / Other Basis | Accumulated Depreciation | Book Value | End of Year Fair Market Value |
|---|---|---|---|---|
| Land | 313,236 | 313,236 | 313,236 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| TREES PROJECT | 12,990 | 12,990 | ||
| INSURANCE | 4,134 | 4,134 | ||
| HARRIS GARDENS GROUNDS MAINTENENCE | 24,561 | 24,561 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Bank of America Agency Fee | 11,254 | 11,254 | 0 | 0 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Property taxes | 1,803 | 1,803 | ||
| FOREIGN TAXES | 590 | 590 | ||
| EXCISE TAX PAID | 1,683 |