| Name | Date Acquired | How Acquired | Date Sold | Purchaser Name | Gross Sales Price | Basis | Basis Method | Sales Expenses | Total (net) | Accumulated Depreciation |
|---|---|---|---|---|---|---|---|---|---|---|
| Publicly-traded Securities | 769,682 | 649,506 | 120,176 |
| Identifier | Return Reference | Explanation |
|---|
| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| AMERICAN EXPRESS 4.875 7/15/13 | 51,184 | 51,163 |
| METLIFE INC GLBL NT - 5.500 - 06/15/2014 | 50,695 | 53,607 |
| NATIONAL RURAL UTILS COLL TR - 4.750 - 03/01/2014 | 50,708 | 52,402 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 265 shares of AMERICAN EXPRESS CO | 12,789 | 15,232 |
| 155 shares of AMERICAN WATER WORKS COMPANY INC COMMON STOCK | 5,181 | 5,755 |
| 139 shares of AMGEN INC | 9,371 | 11,982 |
| 74 shares of APPLE INC. | 14,948 | 39,381 |
| 114 shares of BHP BILLITON LIMITED | 8,506 | 8,940 |
| 400 shares of BRISTOL-MYERS SQUIBB CO | 12,075 | 13,036 |
| 169 shares of CHEVRON CORP | 13,401 | 18,276 |
| 103 shares of CITRIX SYSTEMS INC | 7,054 | 6,759 |
| 428 shares of COCA-COLA CO | 14,814 | 15,515 |
| 158 shares of COSTCO WHOLESALE CORP | 10,703 | 15,599 |
| 173 shares of COVIDIEN LTD | 8,776 | 9,989 |
| 317 shares of CVS CAREMARK CORP. | 14,205 | 15,327 |
| 369 shares of DANAHER CORP | 12,733 | 20,627 |
| 228 shares of DOMINION RESOURCES INC | 10,197 | 11,810 |
| 156 shares of DU PONT DE NEMOURS | 6,947 | 7,017 |
| 205 shares of EATON CORP PLC | 10,866 | 11,107 |
| 712 shares of EMC CORP-MASS | 15,102 | 18,014 |
| 213 shares of EMERSON ELECTRIC CO. | 11,043 | 11,280 |
| 260 shares of EXPRESS SCRIPTS HOLDING CO. | 13,658 | 14,040 |
| 268 shares of EXXON MOBIL CORP | 18,272 | 23,195 |
| 773 shares of FLEXSHARES GLOBAL UPSTREAM NATURAL RESOURCES INDEX | 24,651 | 27,534 |
| 1050 shares of FLEXSHARES IBOXX 3-YEAR TARGET DURATION TIPS INDEX | 26,192 | 26,796 |
| 1033 shares of FLEXSHARES IBOXX 5-YEAR TARGET DURATION TIPS INDEX | 25,750 | 27,168 |
| 106 shares of FRANKLIN RES INC | 12,682 | 13,324 |
| 759 shares of GENERAL ELECTRIC CO | 13,591 | 15,931 |
| 21 shares of GOOGLE INC CL A | 11,685 | 14,855 |
| 360 shares of HOME DEPOT INC. | 16,165 | 22,266 |
| 394 shares of INTEL CORP | 10,925 | 8,124 |
| 71 shares of INTERCONTINETALEXCHANGE INC | 9,016 | 8,791 |
| 78 shares of INTERNATIONAL BUSINESS MACHINES | 10,863 | 14,941 |
| 251 shares of JOHNSON CONTROLS INC. | 7,775 | 7,698 |
| 469 shares of JP MORGAN CHASE CO | 16,213 | 20,621 |
| 175 shares of MCDONALDS CORP | 15,284 | 15,437 |
| 18120 shares of MFB NORTHERN FDS MULTI MNGR EMERGING MRKTS | 322,305 | 347,536 |
| 8164 shares of MFB NORTHERN FDS MULTI MNGR GLOBAL REAL EST | 116,598 | 149,482 |
| 163 shares of NATL OILWELL VARCO | 7,556 | 11,141 |
| 160 shares of NIKE INC-CL B | 6,219 | 8,256 |
| 312 shares of NOBLE CORPORATION | 11,447 | 10,864 |
| 79 shares of NOBLE ENERGY INC. | 5,272 | 8,037 |
| 170 shares of NORFOLK SOUTHERN CORP | 11,499 | 10,513 |
| 17365 shares of NORTHERN FUNDS FIXED INCOME FUND | 184,855 | 184,595 |
| 41855 shares of NORTHERN MULTI-MANAGER INTL EQUITY FUND | 372,801 | 400,138 |
| 7764 shares of NORTHERN MULTI-MANAGER MID CAP FUND | 72,903 | 92,316 |
| 4935 shares of NORTHERN MULTI-MANAGER SMALL CAP FUND | 40,536 | 48,065 |
| 28133 shares of NORTHERN MULTI-MANG HIGH YLD OPPORTUNITY | 298,191 | 304,115 |
| 3057 shares of NORTHERN SMALL CAP GROWTH | 44,116 | 50,042 |
| 1493 shares of NORTHERN ULTRA-SHORT FIXED INCOME FUND | 15,272 | 15,242 |
| 151 shares of NUCOR CP | 6,816 | 6,517 |
| 227 shares of OMNICOM GROUP | 10,400 | 11,341 |
| 513 shares of ORACLE CORP | 14,200 | 17,093 |
| 873 shares of PFIZER INC. | 21,227 | 21,894 |
| 4117 shares of PIMCO COMMODITY REAL RETURN STRATEGY FUND | 28,342 | 27,339 |
| 58 shares of PRECISION CASTPARTS | 9,637 | 10,986 |
| 112 shares of PROCTER GAMBLE CO | 7,096 | 7,604 |
| 332 shares of QUALCOMM INC | 17,840 | 20,537 |
| 148 shares of SCHLUMBERGER LTD | 12,692 | 10,256 |
| 86 shares of SIMON PPTY GROUP INC NEW | 8,754 | 13,596 |
| 1005 shares of SPDR GOLD TR GOLD SHS | 128,661 | 162,830 |
| 328 shares of SPECTRA ENERGY CORP-W/I | 8,642 | 8,981 |
| 224 shares of ST. JUDE MED INC. | 9,611 | 8,095 |
| 237 shares of STARBUCKS CORP COM | 10,770 | 12,710 |
| 102 shares of UNITED TECHNOLOGIES CORP | 5,919 | 8,365 |
| 231 shares of UNITEDHEALTH GROUP INC. | 9,899 | 12,529 |
| 411 shares of US BANCORP DEL NEW | 11,769 | 13,127 |
| 117 shares of V F CORP | 12,540 | 17,663 |
| 176 shares of VERIZON COMMUNICATIONS | 6,525 | 7,616 |
| 218 shares of WALT DISNEY HOLDINGS CO. | 7,835 | 10,854 |
| 586 shares of WELLS FARGO CO. | 16,422 | 20,029 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Administrative Fees | 15,689 | 15,689 | ||
| Bank Charges | 32 | 32 | ||
| State or Local Filing Fees | 25 | 25 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Investment Management Services | 14,355 | 14,355 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Estimated Tax for 2012 | 2,200 | |||
| Excise Tax for 2011 | 2,383 |