| Name | Date Acquired | How Acquired | Date Sold | Purchaser Name | Gross Sales Price | Basis | Basis Method | Sales Expenses | Total (net) | Accumulated Depreciation |
|---|---|---|---|---|---|---|---|---|---|---|
| Publicly-traded Securities | 2,940,758 | 3,069,176 | -128,418 |
| Identifier | Return Reference | Explanation |
|---|
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 25 shares of AFFILIATED MANAGERS GROUP | 3,237 | 3,254 |
| 3714 shares of ALLIANCEBERN DISCOVERY GROWTH FUND | 28,150 | 27,778 |
| 1680 shares of ALLIANCEBERN DISCOVERY VALUE FUND | 29,663 | 29,151 |
| 30390 shares of ALLIANCEBERNSTEIN REIT INSTL FUND | 343,349 | 296,603 |
| 700 shares of ALTRIA GROUP INC | 23,549 | 22,007 |
| 40 shares of AMAZON COM | 8,976 | 10,035 |
| 50 shares of AMGEN INC | 4,259 | 4,310 |
| 125 shares of ANSYS INC. | 7,241 | 8,418 |
| 60 shares of APPLE INC. | 28,325 | 31,929 |
| 850 shares of APPLIED MATERIALS INC. | 9,899 | 9,724 |
| 500 shares of ASTRAZENECA | 22,891 | 23,634 |
| 200 shares of ATT CORP COM NEW | 7,296 | 6,742 |
| 100 shares of B M C SOFTWARE | 4,295 | 3,962 |
| 750 shares of BANK OF AMERICA CORP | 8,106 | 8,708 |
| 225 shares of BBT CP | 7,529 | 6,550 |
| 125 shares of BECTON DICKINSON CO | 9,737 | 9,774 |
| 75 shares of BERKSHIRE HATHAWAY INC. CLASS B | 6,500 | 6,728 |
| 3273 shares of BERNSTEIN EMERGING MARKETS | 110,608 | 92,526 |
| 70131 shares of BERNSTEIN INTERMEDIATE DURATION PORTFOLIO | 927,288 | 988,150 |
| 30175 shares of BERNSTEIN INTERNATIONAL PORTFOLIO | 590,044 | 419,731 |
| 95 shares of BIOGEN IDEC INC | 13,711 | 13,905 |
| 425 shares of BP PLC SPONSORED ADR | 16,979 | 17,697 |
| 75 shares of CHEVRON CORP | 8,587 | 8,111 |
| 25 shares of CHIPOLTE MEX GRILL | 7,564 | 7,437 |
| 475 shares of CISCO SYSTEMS INC | 9,054 | 9,333 |
| 350 shares of CIT GROUP INC | 12,932 | 13,524 |
| 600 shares of CITIGROUP INC | 23,204 | 23,735 |
| 200 shares of CITRIX SYSTEMS INC | 13,374 | 13,124 |
| 125 shares of CLOROX CO | 9,010 | 9,153 |
| 100 shares of COACH INC | 5,516 | 5,551 |
| 175 shares of COGNIZANT TECHNOLOGY SOLUTIONS CORPORATION - CLASS | 11,632 | 12,929 |
| 250 shares of COMCAST CORP CL A | 6,183 | 9,340 |
| 250 shares of DANAHER CORP | 11,832 | 13,975 |
| 500 shares of DELTA AIR LINES INC | 4,497 | 5,935 |
| 175 shares of DIAMOND OFFSHORE DRL | 11,724 | 11,893 |
| 75 shares of DIRECTV GROUP | 3,680 | 3,762 |
| 85455 shares of DYNAMIC ASSET ALLOCATION OVERLAY A CLASS 1 | 884,532 | 896,427 |
| 32207 shares of DYNAMIC ASSET ALLOCATION OVERLAY B CLASS 1 | 351,811 | 346,222 |
| 175 shares of EATON CORP PLC | 8,347 | 9,482 |
| 125 shares of EBAY INC. | 5,870 | 6,375 |
| 25 shares of EOG RESOURCES INC | 2,653 | 3,020 |
| 50 shares of EVEREST RE GROUP LTD | 5,437 | 5,498 |
| 175 shares of EXXON MOBIL CORP | 15,498 | 15,146 |
| 70 shares of F5 NETWORKS, INC. | 7,460 | 6,801 |
| 275 shares of FIDELITY NATIONAL FINANCIAL INC | 5,825 | 6,476 |
| 225 shares of FIDELITY NATIONAL INFORMATION SERVICES INC | 7,283 | 7,832 |
| 800 shares of FORD MOTOR COMPANY | 8,697 | 10,360 |
| 450 shares of GENERAL ELECTRIC CO | 9,731 | 9,446 |
| 25 shares of GOOGLE INC CL A | 13,363 | 17,685 |
| 115 shares of HARLEY DAVIDSON INC. | 4,449 | 5,615 |
| 100 shares of HARRIS CORP DEL | 5,084 | 4,896 |
| 125 shares of HEALTH NET INC | 3,774 | 3,038 |
| 900 shares of HEWLETT PACKARD CO | 22,251 | 12,825 |
| 175 shares of HOME DEPOT INC. | 9,976 | 10,824 |
| 100 shares of IDEXX CORP | 8,998 | 9,280 |
| 100 shares of INTERCONTINETALEXCHANGE INC | 12,739 | 12,381 |
| 90 shares of INTERNATIONAL BUSINESS MACHINES | 18,426 | 17,240 |
| 175 shares of INTUIT | 8,658 | 10,409 |
| 18 shares of INTUITIVE SURGICAL, INC. | 9,218 | 8,827 |
| 250 shares of JOHNSON JOHNSON | 15,651 | 17,525 |
| 125 shares of JP MORGAN CHASE CO | 5,595 | 5,496 |
| 325 shares of KINDER MORGAN INC | 11,369 | 11,482 |
| 125 shares of KRAFT FOODS GROUP, INC. | 5,205 | 5,684 |
| 800 shares of KROGER CO | 20,493 | 20,815 |
| 50 shares of LIBERTY MEDIA CORPORATION COM | 5,500 | 5,801 |
| 50 shares of LINKEDIN CORPORATION CLASS A | 4,919 | 5,741 |
| 100 shares of LORILLARD INC COMMON STOCK | 12,237 | 11,667 |
| 180 shares of LYONDELLBASELL INDUSTRIES NV | 9,222 | 10,276 |
| 325 shares of MACYS INC | 11,903 | 12,682 |
| 75 shares of MCDONALDS CORP | 6,862 | 6,616 |
| 90 shares of MCKESSON CORP | 7,978 | 8,726 |
| 250 shares of MEDTRONIC INC | 10,788 | 10,255 |
| 175 shares of MERCK CO INC. | 7,817 | 7,165 |
| 950 shares of MGM RESORTS INTERNATIONAL | 12,501 | 11,058 |
| 800 shares of MICRON TECHNOLOGY | 4,475 | 5,072 |
| 275 shares of MICROSOFT CORPORATION | 8,187 | 7,345 |
| 150 shares of NATL OILWELL VARCO | 12,194 | 10,253 |
| 100 shares of NOBLE ENERGY INC. | 8,947 | 10,174 |
| 400 shares of NV ENERGY INC | 5,864 | 7,256 |
| 75 shares of PARTNERRE LTD. COM | 5,896 | 6,037 |
| 1180 shares of PFIZER INC. | 26,117 | 29,593 |
| 200 shares of PHILIP MORRIS INTL | 17,763 | 16,728 |
| 90 shares of PRECISION CASTPARTS | 14,678 | 17,048 |
| 50 shares of PROCTER GAMBLE CO | 3,421 | 3,395 |
| 189 shares of PROLINK HOLDINGS CORP | 293 | |
| 350 shares of PULTE GROUP INC. | 5,273 | 6,356 |
| 125 shares of REYNOLDS AMERN INC | 5,532 | 5,179 |
| 200 shares of SCHLUMBERGER LTD | 14,349 | 13,860 |
| 75 shares of SHERWIN-WILLIAMS CO. | 10,704 | 11,537 |
| 175 shares of STARBUCKS CORP COM | 7,463 | 9,385 |
| 325 shares of TIBCO SOFTWARE | 9,499 | 7,144 |
| 100 shares of TIME WARNER CABLE INC | 8,659 | 9,719 |
| 200 shares of TIME WARNER INC. | 8,624 | 9,566 |
| 250 shares of TJX COMPANIES INC | 10,763 | 10,613 |
| 325 shares of TYSON FOODS INC CL A | 5,623 | 6,305 |
| 75 shares of ULTA SALON, COSMETICS FRAGRANCE, INC. | 7,228 | 7,370 |
| 100 shares of UNION PACIFIC | 12,437 | 12,572 |
| 75 shares of UNITED TECHNOLOGIES CORP | 5,887 | 6,151 |
| 275 shares of UNITEDHEALTH GROUP INC. | 15,140 | 14,916 |
| 275 shares of US BANCORP DEL NEW | 9,352 | 8,784 |
| 175 shares of VERIZON COMMUNICATIONS | 7,753 | 7,572 |
| 75 shares of VERTEX PHARMCTLS INC | 3,456 | 3,143 |
| 175 shares of VIACOM INC. CL B | 8,620 | 9,230 |
| 100 shares of VISA INC | 13,498 | 15,158 |
| 150 shares of WAL-MART STORES INC. | 11,129 | 10,235 |
| 250 shares of WALT DISNEY HOLDINGS CO. | 8,915 | 12,448 |
| 325 shares of WELLPOINT INC | 18,997 | 19,799 |
| 600 shares of WELLS FARGO CO. | 20,114 | 20,507 |
| Category/ Item | Cost/Other Basis | Accumulated Depreciation | Book Value | End of Year Fair Market Value |
|---|---|---|---|---|
| LOT - 43 KARA LANE, CLIFTON PARK, NY | 14,000 | 20,431 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Administrative Fees | 22,561 | 22,561 | ||
| Office Supplies | 48 | 48 | ||
| State or Local Filing Fees | 25 | 25 |
| Description | Revenue And Expenses Per Books | Net Investment Income | Adjusted Net Income |
|---|---|---|---|
| Federal Tax Refund | 1,214 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Investment Management Services | 19,466 | 19,466 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Estimated Tax for 2012 | 1,800 | |||
| State or Local Property Taxes | 444 | 444 |