| Name | Date Acquired | How Acquired | Date Sold | Purchaser Name | Gross Sales Price | Basis | Basis Method | Sales Expenses | Total (net) | Accumulated Depreciation |
|---|---|---|---|---|---|---|---|---|---|---|
| Publicly-traded Securities | 755,448 | 637,627 | 117,821 |
| Identifier | Return Reference | Explanation |
|---|
| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| BELLSOUTH CORP NT - 5.200 - 09/15/2014 | 50,556 | 53,706 |
| EMERSON ELECT - 5.0000 - 12/15/2014 | 49,121 | 54,216 |
| GE CO NT - 5.000 - 02/01/2013 | 49,649 | 50,191 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 264 shares of AMERICAN EXPRESS CO | 12,750 | 15,175 |
| 154 shares of AMERICAN WATER WORKS COMPANY INC COMMON STOCK | 5,147 | 5,718 |
| 139 shares of AMGEN INC | 9,371 | 11,982 |
| 75 shares of APPLE INC. | 15,901 | 39,913 |
| 114 shares of BHP BILLITON LIMITED | 8,884 | 8,940 |
| 398 shares of BRISTOL-MYERS SQUIBB CO | 11,937 | 12,971 |
| 168 shares of CHEVRON CORP | 13,436 | 18,168 |
| 103 shares of CITRIX SYSTEMS INC | 6,927 | 6,759 |
| 426 shares of COCA-COLA CO | 14,757 | 15,443 |
| 157 shares of COSTCO WHOLESALE CORP | 10,783 | 15,501 |
| 172 shares of COVIDIEN LTD | 8,713 | 9,931 |
| 316 shares of CVS CAREMARK CORP. | 14,161 | 15,279 |
| 368 shares of DANAHER CORP | 11,723 | 20,571 |
| 227 shares of DOMINION RESOURCES INC | 10,129 | 11,759 |
| 239 shares of DU PONT DE NEMOURS | 10,598 | 10,750 |
| 205 shares of EATON CORP PLC | 10,949 | 11,107 |
| 709 shares of EMC CORP-MASS | 14,955 | 17,938 |
| 214 shares of EMERSON ELECTRIC CO. | 11,095 | 11,333 |
| 259 shares of EXPRESS SCRIPTS HOLDING CO. | 13,598 | 13,986 |
| 267 shares of EXXON MOBIL CORP | 17,896 | 23,109 |
| 770 shares of FLEXSHARES GLOBAL UPSTREAM NATURAL RESOURCES INDEX | 24,537 | 27,427 |
| 1046 shares of FLEXSHARES IBOXX 3-YEAR TARGET DURATION TIPS INDEX | 26,093 | 26,694 |
| 1030 shares of FLEXSHARES IBOXX 5-YEAR TARGET DURATION TIPS INDEX | 25,668 | 27,089 |
| 105 shares of FRANKLIN RES INC | 12,553 | 13,199 |
| 758 shares of GENERAL ELECTRIC CO | 13,483 | 15,910 |
| 21 shares of GOOGLE INC CL A | 12,418 | 14,855 |
| 359 shares of HOME DEPOT INC. | 16,121 | 22,204 |
| 392 shares of INTEL CORP | 10,868 | 8,083 |
| 71 shares of INTERCONTINETALEXCHANGE INC | 9,016 | 8,791 |
| 78 shares of INTERNATIONAL BUSINESS MACHINES | 10,989 | 14,941 |
| 250 shares of JOHNSON CONTROLS INC. | 7,700 | 7,668 |
| 468 shares of JP MORGAN CHASE CO | 16,136 | 20,577 |
| 174 shares of MCDONALDS CORP | 15,217 | 15,349 |
| 18050 shares of MFB NORTHERN FDS MULTI MNGR EMERGING MRKTS | 326,118 | 346,196 |
| 8132 shares of MFB NORTHERN FDS MULTI MNGR GLOBAL REAL EST | 122,258 | 148,904 |
| 163 shares of NATL OILWELL VARCO | 7,560 | 11,141 |
| 158 shares of NIKE INC-CL B | 6,180 | 8,153 |
| 311 shares of NOBLE CORPORATION | 11,411 | 10,829 |
| 78 shares of NOBLE ENERGY INC. | 5,188 | 7,936 |
| 169 shares of NORFOLK SOUTHERN CORP | 11,405 | 10,451 |
| 17210 shares of NORTHERN FUNDS FIXED INCOME FUND | 183,971 | 182,942 |
| 41693 shares of NORTHERN MULTI-MANAGER INTL EQUITY FUND | 365,356 | 398,587 |
| 7734 shares of NORTHERN MULTI-MANAGER MID CAP FUND | 74,561 | 91,961 |
| 4915 shares of NORTHERN MULTI-MANAGER SMALL CAP FUND | 40,929 | 47,874 |
| 28023 shares of NORTHERN MULTI-MANG HIGH YLD OPPORTUNITY | 296,496 | 302,923 |
| 3045 shares of NORTHERN SMALL CAP GROWTH | 43,939 | 49,849 |
| 1479 shares of NORTHERN ULTRA-SHORT FIXED INCOME FUND | 15,135 | 15,105 |
| 151 shares of NUCOR CP | 6,816 | 6,517 |
| 226 shares of OMNICOM GROUP | 10,307 | 11,291 |
| 511 shares of ORACLE CORP | 14,279 | 17,027 |
| 869 shares of PFIZER INC. | 21,132 | 21,794 |
| 4101 shares of PIMCO COMMODITY REAL RETURN STRATEGY FUND | 27,920 | 27,233 |
| 58 shares of PRECISION CASTPARTS | 9,650 | 10,986 |
| 112 shares of PROCTER GAMBLE CO | 7,053 | 7,604 |
| 330 shares of QUALCOMM INC | 17,730 | 20,414 |
| 147 shares of SCHLUMBERGER LTD | 12,572 | 10,187 |
| 85 shares of SIMON PPTY GROUP INC | 8,665 | 13,438 |
| 1001 shares of SPDR GOLD TR GOLD SHS | 127,325 | 162,181 |
| 327 shares of SPECTRA ENERGY CORP-W/I | 8,518 | 8,953 |
| 223 shares of ST. JUDE MED INC. | 9,567 | 8,059 |
| 236 shares of STARBUCKS CORP COM | 10,725 | 12,657 |
| 101 shares of UNITED TECHNOLOGIES CORP | 5,859 | 8,283 |
| 230 shares of UNITEDHEALTH GROUP INC. | 9,563 | 12,475 |
| 410 shares of US BANCORP DEL | 11,613 | 13,095 |
| 116 shares of V F CORP | 12,422 | 17,513 |
| 176 shares of VERIZON COMMUNICATIONS | 6,525 | 7,616 |
| 217 shares of WALT DISNEY HOLDINGS CO. | 7,824 | 10,804 |
| 584 shares of WELLS FARGO CO. | 16,201 | 19,961 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Administrative Fees | 15,885 | 15,885 | ||
| Bank Charges | 36 | 36 | ||
| State or Local Filing Fees | 25 | 25 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Investment Management Services | 14,543 | 14,543 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Estimated Tax for 2012 | 1,500 | |||
| IRS Excise Tax Payment with 1st ext 990-PF | 194 |