| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Accounting Fees | 1,185 | 1,185 | 1,185 | 0 |
| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 25,000 PITNEY BOWES INC MED TERM NOTE | 23,876 | 25,221 |
| 25,000 GENERAL ELECTRIC COMPANY 5% | 25,830 | 25,095 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 323 shares Utilities Sector SPDR | 11,846 | 11,279 |
| 170 shares ISHARES Nasdaq Biotech Ind | 23,927 | 23,327 |
| 428 shares PPL Corporation | 12,153 | 12,254 |
| 99 Shares International Business Machine | 19,252 | 18,963 |
| 228 shares Catepillar Inc | 20,153 | 20,431 |
| 246 Shares Waters Corp | 21,589 | 21,432 |
| 286 Shares Intercontinental Exchange Inc | 32,828 | 35,410 |
| 386 shares Phillips 66 | 12,959 | 20,497 |
| 207 shares Yum! Brands Inc | 14,672 | 13,745 |
| 23 shares Priceline.Com Inc | 14,237 | 14,269 |
| 2595 SHARES IPATH DOW JONES UBS COMMOD'Y | 107,662 | 107,303 |
| 3051 SHARES ISHARES MSCI EAFE INDEX FUND | 175,966 | 173,480 |
| 2530 SHARES VANGUARD MSCI EMERG MKT ETF | 97,632 | 112,661 |
| 2205 SHARES VANGUARD REIT ETF | 94,303 | 145,089 |
| 1740 SHARES ISHARES S&P 400 MIDCAP INDEX | 113,826 | 176,958 |
| 2232 SHARES ISHARES S&P SMALLCAP 600 | 116,225 | 174,319 |
| 685 SHARES TECHNOLOGY SELECT SECT SPDR | 17,920 | 19,762 |
| 607 SHARES CONSUMER DISCRETIONARY SELT | 28,754 | 28,796 |
| 500 SHARES MATERIALS SELECT SPDR FUND | 18,336 | 18,770 |
| 225 SHARES BHP BILLITON LTD SPONS ADR | 4,838 | 17,645 |
| 1050 SHARES EMC CORP MASS | 27,716 | 26,565 |
| 42 SHARES APPLE INC. | 14,897 | 22,351 |
| 315 SHARES CERNER CORP | 6,103 | 24,416 |
| 1035 SHARES MICROSOFT CORP | 26,063 | 27,645 |
| 520 SHARES QUALCOMM, INC. | 22,968 | 32,167 |
| 335 SHARES CANADIAN NATIONAL RAILWAY CO | 8,086 | 30,488 |
| 280 SHARES UNITED PARCEL SERVICE CL B | 18,245 | 20,644 |
| 555 SHARES GENERAL ELECTRIC CORP | 8,107 | 11,649 |
| 315 SHARES UNITED TECHNOLOGIES CORP | 2,403 | 25,833 |
| 560 SHARES STRYKER CORPORATION | 18,227 | 30,699 |
| 700 shares Glaxo Smithkline Spons Adr | 35,064 | 30,429 |
| 567 shares JP Morgan Chase & Co | 22,003 | 24,930 |
| 155 shares Visa Inc Class A | 10,267 | 23,495 |
| 476 shares Bank Montreal Quebec | 29,696 | 29,179 |
| 1120 shares Wells Fargo & Co | 10,752 | 38,282 |
| 410 shares Conoco Phillips | 12,021 | 23,776 |
| 310 shares Chevron Corporation | 26,469 | 33,523 |
| 191 shares Occidental Petrol Corp | 4,213 | 14,633 |
| 1072 shares Spectra Energy Corp | 24,459 | 29,351 |
| 940 shares CVS Caremark | 25,784 | 45,449 |
| 500 shares Philip Morris International | 13,715 | 41,820 |
| 535 shares Pepsico Inc | 11,573 | 36,610 |
| 385 shares Disney Walt Co New | 11,940 | 19,169 |
| 937 shares LKQ Corp | 13,221 | 19,771 |
| Category/ Item | Listed at Cost or FMV | Book Value | End of Year Fair Market Value |
|---|---|---|---|
| 1028 SHARES POWERSHARES BUILD AMERICA | AT COST | 29,168 | 31,087 |
| 340 SHARES ISHARES IBOXX $ HIGH YIELD | AT COST | 30,448 | 31,739 |
| 350 SHARES ISHARES BARCLAYS TIPS BOND FD | AT COST | 38,635 | 42,494 |
| 934 SHARES ISHARES BARCLAYS INTERMED CR | AT COST | 98,109 | 103,945 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Trustee Fees | 1,750 | 1,750 | 1,750 | 0 |
| INVESTMENT MANAGEMENT | 17,399 | 17,399 | 17,399 | 0 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Foreign Taxes Withheld | 276 | 276 | 276 | |
| Federal Excise tax on investment income | 300 | |||
| Federal Estimate payments | 1,680 |