| Name | Date Acquired | How Acquired | Date Sold | Purchaser Name | Gross Sales Price | Basis | Basis Method | Sales Expenses | Total (net) | Accumulated Depreciation |
|---|---|---|---|---|---|---|---|---|---|---|
| Publicly-traded Securities | 555,452 | 547,881 | 7,571 |
| Identifier | Return Reference | Explanation |
|---|
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 11 shares of AFFILIATED MANAGERS GROUP | 1,413 | 1,432 |
| 1742 shares of ALLIANCEBERN DISCOVERY GROWTH FUND | 12,194 | 13,030 |
| 766 shares of ALLIANCEBERN DISCOVERY VALUE FUND | 12,332 | 13,291 |
| 10876 shares of ALLIANCEBERNSTEIN REIT INSTL FUND | 125,897 | 106,150 |
| 325 shares of ALTRIA GROUP INC | 9,764 | 10,218 |
| 20 shares of AMAZON COM | 4,713 | 5,017 |
| 80 shares of AMEREN CORPORATION | 2,750 | 2,458 |
| 20 shares of AMGEN INC | 1,428 | 1,724 |
| 55 shares of ANSYS INC. | 3,336 | 3,704 |
| 25 shares of APPLE INC. | 7,354 | 13,303 |
| 425 shares of APPLIED MATERIALS INC. | 4,734 | 4,862 |
| 225 shares of ASTRAZENECA | 9,692 | 10,636 |
| 95 shares of ATT CORP COM NEW | 3,124 | 3,202 |
| 350 shares of BANK OF AMERICA CORP | 3,715 | 4,064 |
| 115 shares of BBT CP | 3,913 | 3,348 |
| 60 shares of BECTON DICKINSON CO | 4,590 | 4,691 |
| 40 shares of BERKSHIRE HATHAWAY INC. CLASS B | 3,393 | 3,588 |
| 1856 shares of BERNSTEIN EMERGING MARKETS | 71,849 | 52,465 |
| 11314 shares of BERNSTEIN INTERMEDIATE DURATION PORTFOLIO | 149,649 | 159,407 |
| 13706 shares of BERNSTEIN INTERNATIONAL PORTFOLIO | 292,934 | 190,646 |
| 45 shares of BIOGEN IDEC INC | 6,528 | 6,587 |
| 200 shares of BP PLC SPONSORED ADR | 7,706 | 8,328 |
| 40 shares of CHEVRON CORP | 4,326 | 4,326 |
| 12 shares of CHIPOLTE MEX GRILL | 4,233 | 3,570 |
| 225 shares of CISCO SYSTEMS INC | 4,382 | 4,421 |
| 145 shares of CIT GROUP INC | 5,251 | 5,603 |
| 275 shares of CITIGROUP INC | 10,958 | 10,879 |
| 105 shares of CITRIX SYSTEMS INC | 7,301 | 6,890 |
| 55 shares of CLOROX CO | 3,962 | 4,027 |
| 45 shares of COACH INC | 2,754 | 2,498 |
| 95 shares of COGNIZANT TECHNOLOGY SOLUTIONS CORPORATION - CLASS | 6,920 | 7,019 |
| 90 shares of COMCAST CORP CL A | 2,122 | 3,362 |
| 100 shares of DANAHER CORP | 5,011 | 5,590 |
| 225 shares of DELTA AIR LINES INC | 2,274 | 2,671 |
| 85 shares of DIAMOND OFFSHORE DRL | 5,657 | 5,777 |
| 40 shares of DIRECTV GROUP | 1,963 | 2,006 |
| 115 shares of DISCOVER FINL SVCS COM | 4,687 | 4,433 |
| 41421 shares of DYNAMIC ASSET ALLOCATION OVERLAY A CLASS 1 | 432,770 | 434,510 |
| 90 shares of EATON CORP PLC | 3,823 | 4,876 |
| 60 shares of EBAY INC. | 2,819 | 3,060 |
| 13 shares of EOG RESOURCES INC | 1,019 | 1,570 |
| 19 shares of EVEREST RE GROUP LTD | 2,053 | 2,089 |
| 90 shares of EXXON MOBIL CORP | 7,338 | 7,790 |
| 30 shares of F5 NETWORKS, INC. | 3,559 | 2,915 |
| 135 shares of FIDELITY NATIONAL FINANCIAL INC | 2,911 | 3,179 |
| 110 shares of FIDELITY NATIONAL INFORMATION SERVICES INC | 3,626 | 3,829 |
| 375 shares of FORD MOTOR COMPANY | 4,112 | 4,856 |
| 225 shares of GENERAL ELECTRIC CO | 4,349 | 4,723 |
| 13 shares of GOOGLE INC CL A | 6,927 | 9,196 |
| 55 shares of HARLEY DAVIDSON INC. | 2,145 | 2,686 |
| 45 shares of HARRIS CORP DEL | 2,326 | 2,203 |
| 80 shares of HEALTH NET INC | 2,116 | 1,944 |
| 403 shares of HEWLETT PACKARD CO | 12,192 | 5,743 |
| 80 shares of HOME DEPOT INC. | 4,431 | 4,948 |
| 55 shares of IDEXX CORP | 5,388 | 5,104 |
| 50 shares of INTERCONTINETALEXCHANGE INC | 6,666 | 6,191 |
| 45 shares of INTERNATIONAL BUSINESS MACHINES | 8,892 | 8,620 |
| 60 shares of INTUIT | 2,996 | 3,569 |
| 9 shares of INTUITIVE SURGICAL, INC. | 4,774 | 4,413 |
| 105 shares of JOHNSON JOHNSON | 6,447 | 7,361 |
| 80 shares of JP MORGAN CHASE CO | 3,522 | 3,518 |
| 160 shares of KINDER MORGAN INC | 5,562 | 5,653 |
| 65 shares of KRAFT FOODS GROUP, INC. | 2,700 | 2,956 |
| 350 shares of KROGER CO | 8,290 | 9,107 |
| 30 shares of LIBERTY MEDIA CORPORATION COM | 3,358 | 3,480 |
| 21 shares of LINKEDIN CORPORATION CLASS A | 2,126 | 2,411 |
| 35 shares of LORILLARD INC COMMON STOCK | 3,858 | 4,083 |
| 90 shares of LYONDELLBASELL INDUSTRIES NV | 2,931 | 5,138 |
| 140 shares of MACYS INC | 4,732 | 5,463 |
| 35 shares of MCDONALDS CORP | 3,166 | 3,087 |
| 35 shares of MCKESSON CORP | 3,066 | 3,394 |
| 125 shares of MEDTRONIC INC | 5,379 | 5,128 |
| 85 shares of MERCK CO INC. | 3,805 | 3,480 |
| 425 shares of MGM RESORTS INTERNATIONAL | 5,725 | 4,947 |
| 400 shares of MICRON TECHNOLOGY | 2,267 | 2,536 |
| 135 shares of MICROSOFT CORPORATION | 4,040 | 3,606 |
| 61 shares of NATL OILWELL VARCO | 4,635 | 4,169 |
| 45 shares of NOBLE ENERGY INC. | 3,820 | 4,578 |
| 185 shares of NV ENERGY INC | 2,884 | 3,356 |
| 35 shares of PARTNERRE LTD. COM | 2,775 | 2,817 |
| 525 shares of PFIZER INC. | 9,269 | 13,166 |
| 95 shares of PHILIP MORRIS INTL | 8,358 | 7,946 |
| 40 shares of PRECISION CASTPARTS | 6,405 | 7,577 |
| 25 shares of PROCTER GAMBLE CO | 1,581 | 1,697 |
| 160 shares of PULTE GROUP INC. | 2,401 | 2,906 |
| 70 shares of REYNOLDS AMERN INC | 2,887 | 2,900 |
| 95 shares of SCHLUMBERGER LTD | 6,496 | 6,583 |
| 40 shares of SHERWIN-WILLIAMS CO. | 5,082 | 6,153 |
| 95 shares of STARBUCKS CORP COM | 3,676 | 5,095 |
| 155 shares of TIBCO SOFTWARE | 4,613 | 3,407 |
| 45 shares of TIME WARNER CABLE INC | 2,227 | 4,374 |
| 105 shares of TIME WARNER INC. | 4,138 | 5,022 |
| 120 shares of TJX COMPANIES INC | 5,339 | 5,094 |
| 165 shares of TYSON FOODS INC CL A | 3,121 | 3,201 |
| 30 shares of ULTA SALON, COSMETICS FRAGRANCE, INC. | 2,914 | 2,948 |
| 55 shares of UNION PACIFIC | 6,511 | 6,915 |
| 30 shares of UNITED TECHNOLOGIES CORP | 2,382 | 2,460 |
| 110 shares of UNITEDHEALTH GROUP INC. | 4,902 | 5,966 |
| 135 shares of US BANCORP DEL NEW | 4,258 | 4,312 |
| 80 shares of VERIZON COMMUNICATIONS | 3,631 | 3,462 |
| 35 shares of VERTEX PHARMCTLS INC | 1,613 | 1,467 |
| 85 shares of VIACOM INC. CL B | 3,902 | 4,483 |
| 45 shares of VISA INC | 5,537 | 6,821 |
| 65 shares of WAL-MART STORES INC. | 4,320 | 4,435 |
| 120 shares of WALT DISNEY HOLDINGS CO. | 4,248 | 5,975 |
| 145 shares of WELLPOINT INC | 10,110 | 8,833 |
| 292 shares of WELLS FARGO CO. | 9,554 | 9,981 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Administrative Fees | 10,798 | 10,798 | ||
| State or Local Filing Fees | 35 | 35 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Investment Management Services | 10,269 | 10,269 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Estimated Tax for 2012 | 700 | |||
| IRS Excise Tax Payment with 1st ext 990-PF | 347 |