| Name | Date Acquired | How Acquired | Date Sold | Purchaser Name | Gross Sales Price | Basis | Basis Method | Sales Expenses | Total (net) | Accumulated Depreciation |
|---|---|---|---|---|---|---|---|---|---|---|
| Publicly-traded Securities | 2,309,026 | 2,083,971 | 225,055 |
| Identifier | Return Reference | Explanation |
|---|
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 88 shares of 3M CO | 8,207 | 8,171 |
| 346 shares of ALTRIA GROUP INC | 11,519 | 10,878 |
| 315 shares of AMERICAN CAMPUS COMMUNITIES | 14,258 | 14,531 |
| 164 shares of ANSYS INC. | 11,146 | 11,044 |
| 128 shares of ATHENAHEALTH | 9,681 | 9,381 |
| 486 shares of BEACON ROOFING SUPPLY, INC | 15,842 | 16,174 |
| 346 shares of BIO-REFERENCE LABORATORIES, INC | 10,243 | 9,906 |
| 400 shares of BRISTOL-MYERS SQUIBB CO | 13,133 | 13,036 |
| 221 shares of BURBERRY GROUP PLC | 8,878 | 9,012 |
| 193 shares of CABOT MICROELECTRONICS CORPORATION | 6,677 | 6,853 |
| 522 shares of CENTURY LINK INC | 20,537 | 20,421 |
| 555 shares of CEPHEID | 18,810 | 18,792 |
| 199 shares of CHEMED CORP | 13,814 | 13,649 |
| 210 shares of CHEVRON CORP | 22,792 | 22,709 |
| 474 shares of CISCO SYSTEMS INC | 9,539 | 9,314 |
| 84 shares of CLOROX CO | 6,358 | 6,150 |
| 129 shares of CONCUR TECHNOLOGIES | 8,700 | 8,710 |
| 99 shares of CONOCOPHILLIPS | 5,779 | 5,741 |
| 113 shares of COSTAR GROUP, INC. | 9,779 | 10,099 |
| 209 shares of CREE, INC. | 7,156 | 7,102 |
| 117 shares of DARDEN RESTAURANTS INC. | 5,456 | 5,273 |
| 303 shares of DEALERTRACK HOLDINGS INC | 8,399 | 8,702 |
| 120 shares of DOMINION RESOURCES INC | 6,211 | 6,216 |
| 379 shares of DU PONT DE NEMOURS | 16,874 | 17,047 |
| 250 shares of ECOLAB INC | 17,786 | 17,975 |
| 438 shares of ELI LILLY CO | 21,253 | 21,602 |
| 459 shares of ENBRIDGE INC | 19,611 | 19,884 |
| 393 shares of FASTENAL COMPANY | 17,230 | 18,333 |
| 164 shares of FISERV INC | 13,215 | 12,961 |
| 403 shares of GALLAGHER ARTHUR J CO. | 14,337 | 13,964 |
| 876 shares of GENERAL ELECTRIC CO | 19,116 | 18,387 |
| 545 shares of GENTEX CORPORATION | 9,967 | 10,273 |
| 601 shares of GLACIER BANCORP INC | 8,896 | 8,841 |
| 14 shares of GOOGLE INC CL A | 10,033 | 9,903 |
| 460 shares of GRAND CANYON EDUCATION, INC. | 11,219 | 10,796 |
| 368 shares of HR BLOCK INC. | 6,978 | 6,834 |
| 211 shares of H.J. HEINZ COMPANY | 12,589 | 12,170 |
| 360 shares of HORMEL FOODS CP | 11,277 | 11,236 |
| 121 shares of IHS INC | 11,266 | 11,616 |
| 339 shares of INNERWORKINGS, INC. | 4,457 | 4,671 |
| 379 shares of INTEL CORP | 7,786 | 7,815 |
| 245 shares of IPC THE HOSPITALIST COMPANY, INC. | 9,443 | 9,729 |
| 238 shares of JOHNSON JOHNSON | 16,877 | 16,684 |
| 232 shares of JOHNSON CONTROLS INC. | 6,681 | 7,115 |
| 416 shares of JP MORGAN CHASE CO | 17,993 | 18,291 |
| 299 shares of KRAFT FOODS GROUP, INC. | 13,739 | 13,596 |
| 255 shares of LEGGETT PLATT INC | 6,824 | 6,941 |
| 180 shares of LINEAR TECHNOLOGY CORP | 6,107 | 6,174 |
| 1133 shares of LKQ CORPORATION | 23,630 | 23,906 |
| 227 shares of M.D.C. HLDGS | 8,018 | 8,345 |
| 426 shares of MATTELL INC. | 15,801 | 15,600 |
| 215 shares of MAXIM INTEGRATED PRODS INC. | 6,367 | 6,321 |
| 244 shares of MDU RESOURCES GROUP | 5,252 | 5,183 |
| 218 shares of MEDNAX, INC. | 17,301 | 17,335 |
| 461 shares of MERCK CO INC. | 20,165 | 18,873 |
| 243 shares of MICROCHIP TECHNOLOGY INC. | 7,696 | 7,919 |
| 582 shares of MICROSOFT CORPORATION | 15,879 | 15,545 |
| 614 shares of NATIONAL INSTRUMENTS CORPORATION | 15,540 | 15,847 |
| 203 shares of NEOGEN CORPORATION | 9,633 | 9,200 |
| 1105 shares of NEW YORK COMNTY BANCORP INC. | 14,312 | 14,476 |
| 108 shares of NEXTERA ENERGY, INC | 7,590 | 7,473 |
| 1160 shares of OLD REP INTL CORP | 12,461 | 12,354 |
| 620 shares of ONEBEACON INSURANCE GROUP | 8,308 | 8,618 |
| 172 shares of PACKAGING CORP AMER | 6,296 | 6,617 |
| 251 shares of PATTERSON COMPANIES INC COM | 8,467 | 8,592 |
| 374 shares of PAYCHEX INC COM | 12,698 | 11,631 |
| 1072 shares of PEOPLES UNITED FINANCIAL, INC. | 13,199 | 12,960 |
| 81 shares of PERRIGO CO | 8,358 | 8,426 |
| 173 shares of PHILIP MORRIS INTL | 15,219 | 14,470 |
| 95 shares of PORTFOLIO RECOVERY ASSOCIATES, INC. - COMMON STOCK | 9,528 | 10,152 |
| 189 shares of POWER INTEGRATIONS, INC. | 6,285 | 6,352 |
| 105 shares of PRAXAIR INC. | 11,325 | 11,492 |
| 495 shares of QIAGEN NV | 8,917 | 8,984 |
| 142 shares of QUALCOMM INC | 8,873 | 8,784 |
| 242 shares of RITCHIE BROS AUCTIONEERS | 5,240 | 5,055 |
| 135 shares of ROCHE HOLDING LTD ADR | 6,869 | 6,818 |
| 161 shares of ROCKWOOD HOLDINGS INC | 7,695 | 7,963 |
| 469 shares of ROLLINS INC | 10,429 | 10,337 |
| 109 shares of ROPER INDUSTRIES NEW COMMON | 12,029 | 12,151 |
| 129 shares of ROYAL DUTCH SHELL PLC | 8,903 | 8,895 |
| 714 shares of RPM INTERNATIONAL INC. | 20,779 | 20,963 |
| 2 shares of RS GLOBAL NATURAL RESOURCES FUN | 79 | 81 |
| 63 shares of SCHLUMBERGER LTD | 4,373 | 4,366 |
| 256 shares of SONOCO PRODUCTS COMPANY | 7,542 | 7,611 |
| 259 shares of SOUTHERN CO | 11,252 | 11,088 |
| 267 shares of SOUTHERN COPPER CORP | 10,211 | 10,109 |
| 523 shares of SPECTRA ENERGY CORP-W/I | 14,358 | 14,320 |
| 584 shares of STAPLES INC. | 6,901 | 6,658 |
| 504 shares of STARBUCKS CORP COM | 27,494 | 27,030 |
| 392 shares of STARWOOD PROPERTY TRUST INC | 9,001 | 9,000 |
| 237 shares of STERICYCLE INC | 22,270 | 22,107 |
| 246 shares of SYSCO CORP | 7,867 | 7,788 |
| 142 shares of TARGET CORPORATION | 8,688 | 8,402 |
| 190 shares of TECHNE CORPORATION | 13,155 | 12,985 |
| 102 shares of ULTIMATE SOFTWARE GROUP, INC. THE | 9,661 | 9,630 |
| 495 shares of UNILEVER PLC AMER | 19,375 | 19,166 |
| 142 shares of UNITED NATURAL FOODS, INC | 7,859 | 7,610 |
| 120 shares of UNITED PARCEL SERVICE | 8,791 | 8,848 |
| 322 shares of VERIZON COMMUNICATIONS | 14,153 | 13,933 |
| 127 shares of VMWARE INC | 11,971 | 11,956 |
| 133 shares of WAL-MART STORES INC. | 9,206 | 9,075 |
| 300 shares of WASTE MANAGEMENT INC. | 10,126 | 10,122 |
| 214 shares of WESTAR ENERGY INC. | 6,117 | 6,125 |
| 2412 shares of HARBOR FDS INTL FD HAINX | 150,000 | 149,783 |
| 562 shares of VANGUARD SHORT-TERM CORPORATE FD ADMIRAL SHS VFSUX | 6,112 | 6,090 |
| 1380 shares of WISDOMTREE EMERGING MARKETS EQUITY INCOME FUND DEM | 75,558 | 78,922 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Administrative Fees | 9,544 | 9,544 | ||
| State or Local Filing Fees | 25 | 25 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Investment Management Services | 10,000 | 10,000 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Estimated Tax for 2012 | 300 |