| Name | Date Acquired | How Acquired | Date Sold | Purchaser Name | Gross Sales Price | Basis | Basis Method | Sales Expenses | Total (net) | Accumulated Depreciation |
|---|---|---|---|---|---|---|---|---|---|---|
| Publicly-traded Securities | 5,508,015 | 5,313,979 | 194,036 |
| Identifier | Return Reference | Explanation |
|---|
| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| AMERICAN EXPRESS - 3.000 - 12/15/2013 | 100,000 | 101,654 |
| ATT INC BD - 5.500 - 02/01/2018 | 149,315 | 178,694 |
| BANK AMER CORP - 5.250 - 09/15/2015 | 100,000 | 107,382 |
| BRISTOL MYERS SQUIBB - 5.250 - 08/15/2013 | 99,738 | 102,997 |
| CARDINAL HEALTH - 5.500 - 09/12/2011 | 100,570 | 102,083 |
| CARDINAL HEALTH INC - 5.850 - 12/15/2017 | 100,249 | 116,031 |
| CVS CAREMARK - 5.750 - 06/01/2017 | 100,861 | 119,557 |
| E I DU PONT DE - 4.875 - 04/30/2014 | 98,970 | 105,645 |
| FORD MOTOR CREDIT - 3.000 - 06/20/2013 | 100,000 | 100,534 |
| HEWLETT-PACKARD CO NT - 4.500 - 03/01/2013 | 294,102 | 301,598 |
| HOME DEPOT INC - 5.400 - 03/01/2016 | 195,523 | 228,484 |
| HSBC FIN CORP - 4.000 - 01/15/2015 | 100,000 | 103,835 |
| MORGAN STANLEY - 5.375 - 10/15/2015 | 101,877 | 108,718 |
| MORGAN STANLEY GLBL NT - 5.300 - 03/01/2013 | 101,098 | 100,677 |
| PPL ENERGY SUPPLY - 5.700 - 10/15/2035 | 50,750 | 55,196 |
| PPL ENERGY SUPPLY LLC - 6.300 - 07/15/2013 | 150,980 | 154,466 |
| TRANSOCEAN SEDCO FOREX - 5.250 - 03/15/2013 | 100,428 | 100,878 |
| WELLPOINT - 5.250 - 01/15/2016 | 98,864 | 111,439 |
| XEROX - 6.350 - 05/15/2018 | 101,500 | 115,330 |
| XTO ENERGY - 5.500 - 06/15/2018 | 148,742 | 184,142 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 4700 shares of AIR PRODS CHEM INC. | 393,475 | 394,894 |
| 6000 shares of ALTRIA GROUP INC | 128,545 | 188,640 |
| 6500 shares of AMERICAN ELECTRIC POWER INC. | 259,068 | 277,420 |
| 7500 shares of AMERICAN EXPRESS CO | 338,459 | 431,100 |
| 950 shares of APPLE INC. | 218,756 | 505,564 |
| 7000 shares of ATT CORP COM NEW | 296,905 | 235,970 |
| 14000 shares of BANK OF AMERICA CORP | 254,508 | 162,540 |
| 5000 shares of BARCLAYS BANK PLC PRFD C | 119,190 | 125,900 |
| 6000 shares of BERKSHIRE HATHAWAY INC. CLASS B | 404,306 | 538,200 |
| 3300 shares of CHEVRON CORP | 251,355 | 356,862 |
| 3000 shares of CHUBB CORP | 213,401 | 225,960 |
| 5200 shares of COACH INC | 277,073 | 288,652 |
| 12000 shares of COCA-COLA CO | 258,630 | 435,000 |
| 27233 shares of COLUMBIA FDS INSTI TR CMG ULTRA SHORT TERM BOND F | 250,000 | 245,370 |
| 31120 shares of COLUMBIA FDS SRS TR, COLUMBIA S SHORT-TERM BOND FU | 300,000 | 311,203 |
| 8000 shares of CVS CAREMARK CORP. | 292,319 | 386,800 |
| 4000 shares of DEERE CO | 352,983 | 345,680 |
| 2650 shares of DIAGEO PLC ADS | 253,156 | 308,937 |
| 4000 shares of DOLLAR GENERAL CORP | 150,940 | 176,360 |
| 16000 shares of EMC CORP-MASS | 387,451 | 404,800 |
| 7500 shares of ENSCO PLC | 424,783 | 444,600 |
| 6240 shares of EXPRESS SCRIPTS HOLDING CO. | 266,546 | 336,960 |
| 4000 shares of EXXON MOBIL CORP | 304,336 | 346,200 |
| 14000 shares of FORD MOTOR COMPANY | 249,074 | 181,300 |
| 12256 shares of GENERAL ELECTRIC CO | 228,291 | 257,253 |
| 8000 shares of GOLDMAN SACHS GROUP INC PFD - 6.200 | 187,627 | 201,200 |
| 700 shares of GOOGLE INC CL A | 436,455 | 495,166 |
| 6000 shares of HALLIBURTON COMPANY | 149,125 | 208,140 |
| 2500 shares of INTERNATIONAL BUSINESS MACHINES | 255,041 | 478,875 |
| 2000 shares of ISHARES BARCLAYS 1-3 YR CD BD FD | 207,980 | 210,960 |
| 9700 shares of ISHARES MSCI EMERGING MARKETS INDEX FD | 370,746 | 430,195 |
| 9200 shares of ISHARES MSCI PACIFIC EX-JAPAN | 309,808 | 433,688 |
| 5500 shares of JOHNSON JOHNSON | 358,423 | 385,550 |
| 8000 shares of JP MORGAN CHASE CO | 263,537 | 351,752 |
| 2000 shares of KRAFT FOODS GROUP, INC. | 80,798 | 90,940 |
| 18558 shares of LOOMIS SAYLES BOND FUND | 271,914 | 280,596 |
| 600 shares of MARKEL CORP | 268,497 | 260,052 |
| 9500 shares of MARSH AND MCLENNAN COMPANIES INC | 310,687 | 327,465 |
| 500 shares of MASTERCARD INC | 240,755 | 245,640 |
| 15873 shares of MATTHEWS CHINA FD | 356,650 | 372,548 |
| 4000 shares of MCDONALDS CORP | 230,058 | 352,840 |
| 9000 shares of METLIFE INC PFD B - 6.500 | 191,569 | 226,998 |
| 13000 shares of MICROSOFT CORPORATION | 412,898 | 347,226 |
| 6000 shares of MONDELEZ INTERNATIONAL INC | 149,462 | 152,719 |
| 5800 shares of NATL OILWELL VARCO | 314,256 | 396,430 |
| 4700 shares of NESTLE S.A. | 259,990 | 306,299 |
| 4500 shares of NEXTERA ENERGY - 6.600 - 10/01/2066 | 115,317 | 112,590 |
| 5700 shares of NORFOLK SOUTHERN CORP | 295,055 | 352,488 |
| 13000 shares of ORACLE CORP | 245,009 | 433,160 |
| 5000 shares of PEPSICO INC | 316,671 | 342,150 |
| 6000 shares of PHILIP MORRIS INTL | 293,652 | 501,840 |
| 5000 shares of POTASH CORPORATION OF SASKATCHEWAN INC | 227,392 | 203,450 |
| 7500 shares of POWERSHARES QQQ NASDAQ 100 | 319,152 | 488,475 |
| 4000 shares of PPL CORPORATION | 105,948 | 114,520 |
| 5500 shares of PUBLIC SVC ENTERPRISE GROUP INC. | 158,835 | 168,300 |
| 2500 shares of QUALCOMM INC | 156,286 | 154,649 |
| 12000 shares of REPUBLIC SVCS INC. | 351,630 | 351,960 |
| 5000 shares of SCHLUMBERGER LTD | 437,176 | 346,493 |
| 6000 shares of THERMO FISHER SCIENTIFIC INC | 275,237 | 382,680 |
| 17000 shares of TORTOISE MLP FD INC | 435,159 | 416,670 |
| 6500 shares of UNILEVER PLC AMER | 208,522 | 251,680 |
| 6300 shares of UNION PACIFIC | 412,399 | 792,037 |
| 4000 shares of UNITED TECHNOLOGIES CORP | 271,269 | 328,040 |
| 18850 shares of VANGUARD GNMA FUND | 200,000 | 205,657 |
| 16639 shares of VANGUARD INFL-PROTECTED SECS | 200,000 | 241,766 |
| 17803 shares of VANGUARD INTERMEDIATE TERM BOND INDEX FUND SIGNAL | 200,000 | 212,924 |
| 23437 shares of VANGUARD INTERMEDIATE-TERM CORPORATE FUND | 200,000 | 241,872 |
| 6500 shares of VERIZON COMMUNICATIONS | 211,391 | 281,255 |
| 2400 shares of VISA INC | 313,550 | 363,792 |
| 8500 shares of WALT DISNEY HOLDINGS CO. | 311,941 | 423,215 |
| 3500 shares of WISDOMTREE EMERGING MARKETS DEBT | 177,340 | 187,110 |
| 6000 shares of BBT CORP SER F PERPETUAL PFD - 5.200 - 12/31/2049 | 147,554 | 147,420 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Administrative Fees | 63,087 | 63,087 | ||
| K-1 Exp LAZARD LTD | 3 | 3 | ||
| State or Local Filing Fees | 750 | 750 |
| Description | Revenue And Expenses Per Books | Net Investment Income | Adjusted Net Income |
|---|---|---|---|
| K-1 Inc/Loss LAZARD LTD | 560 | 560 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Investment Management Services | 224,882 | 224,882 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Estimated Tax for 2012 | 4,600 | |||
| IRS Miscellaneous Fee | 40 | 40 |