| Name | Date Acquired | How Acquired | Date Sold | Purchaser Name | Gross Sales Price | Basis | Basis Method | Sales Expenses | Total (net) | Accumulated Depreciation |
|---|---|---|---|---|---|---|---|---|---|---|
| Publicly-traded Securities | 101,429 | 93,689 | 7,740 | |||||||
| Pass-Through K-1 Capital Gain | 16,683 |
| Identifier | Return Reference | Explanation |
|---|
| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| BLACKROCK INC - 5.000 - 12/10/2019 | 119,685 | 113,423 |
| CATERPILLAR INC NT - 5.700 - 08/15/2016 | 118,202 | 113,776 |
| COCA COLA CO NOTES 5.350 11/15/2017 MAKE WHOLE | 90,842 | 86,021 |
| EI DUPONT DE NEMOURS 5.25 12/15/16 | 117,008 | 113,413 |
| GENERAL ELEC CAP CORP MTN BE 5.62500 05/01/2018 | 118,086 | 114,700 |
| GOLDMAN SACHS GRP INC - 5.125 - 01/15/2015 | 106,312 | 105,486 |
| JPMORGAN CHASE - 4.650 - 06/01/2014 | 79,307 | 77,692 |
| PEPSICO INC NOTES - 03.100 - 01/15/2015 | 79,347 | 77,808 |
| WAL MART STORES INC-3.25-10/25/2020 | 82,505 | 77,525 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 44 shares of ADVANCE AUTO PARTS INC | 3,255 | 3,571 |
| 313 shares of AETNA INC. NEW | 12,526 | 19,888 |
| 94 shares of ALLIANCE DATA SYSTEM CORP | 12,987 | 17,017 |
| 131 shares of ALTERA CORPORATION | 4,424 | 4,322 |
| 44 shares of AMERICAN TOWER REIT INC | 3,258 | 3,219 |
| 61 shares of AMERIPRISE FINANCIAL INC | 3,474 | 4,934 |
| 75 shares of AMERISOURCEBERGEN CORP | 2,982 | 4,187 |
| 149 shares of AMETEK INC. | 5,106 | 6,303 |
| 58 shares of AMPHENOL CORPORATION | 3,699 | 4,521 |
| 150 shares of ANADARKO PETROLEUM CORP | 10,542 | 12,890 |
| 71 shares of ANSYS INC. | 4,790 | 5,190 |
| 130 shares of APACHE CORPORATION | 10,443 | 10,898 |
| 38 shares of APPLE INC. | 21,884 | 15,068 |
| 195 shares of AUTOMATIC DATA PROCESSING INC. | 10,990 | 13,428 |
| 79 shares of AUTONATION INC | 3,190 | 3,428 |
| 22 shares of AUTOZONE INC | 8,134 | 9,321 |
| 103 shares of AVAGO TECHNOLOGIES LIMITED | 3,662 | 3,850 |
| 188 shares of B M C SOFTWARE | 7,580 | 8,484 |
| 615 shares of BANK OF AMERICA CORP | 5,368 | 7,909 |
| 79 shares of BED BATH BEYOND INC. | 4,809 | 5,605 |
| 155 shares of BERRY PLASTICS GROUP INC | 2,635 | 3,421 |
| 25 shares of BLACKROCK INC | 4,572 | 6,421 |
| 85 shares of BOEING CO | 6,297 | 8,707 |
| 56 shares of BROWN FORMAN CORP CL B | 3,525 | 3,783 |
| 39 shares of CABOT OIL GAS CORP | 2,800 | 2,770 |
| 140 shares of CAPITAL ONE FINANCIAL CORP | 7,319 | 8,793 |
| 107 shares of CARDTRONICS INC | 2,912 | 2,953 |
| 93 shares of CATAMARAN CORP | 4,455 | 4,535 |
| 73 shares of CELANESE CORPORATION | 2,883 | 3,270 |
| 20 shares of CHARTER COMMUNICATIONS | 1,444 | 2,477 |
| 195 shares of CHECK POINT SOFTWARE TECHNOLOGIES LTD | 8,826 | 9,688 |
| 71 shares of CHURCH DWIGHT COMMON | 3,673 | 4,381 |
| 515 shares of CISCO SYSTEMS INC | 8,901 | 12,535 |
| 130 shares of CITIGROUP INC | 4,271 | 6,236 |
| 65 shares of CITRIX SYSTEMS INC | 3,998 | 3,923 |
| 119 shares of COGNIZANT TECHNOLOGY SOLUTIONS CORPORATION | 7,732 | 7,454 |
| 230 shares of COMCAST CORP CL A | 8,230 | 9,603 |
| 36 shares of CONCHO RESOURCES INC | 3,157 | 3,014 |
| 150 shares of COVIDIEN LTD | 8,465 | 9,426 |
| 285 shares of CROWN HOLDINGS INC | 10,517 | 11,722 |
| 150 shares of CVS CAREMARK CORP. | 6,867 | 8,577 |
| 175 shares of DANAHER CORP | 9,211 | 11,078 |
| 38 shares of DAVITA INC COMMON | 3,980 | 4,590 |
| 95 shares of DICKS SPORTING GDS | 4,848 | 4,756 |
| 38 shares of DIGITAL RLTY TR INC | 2,630 | 2,318 |
| 100 shares of DIRECTV GROUP | 4,904 | 6,164 |
| 67 shares of DISCOVERY COMMUNICATIONS, INC - SERIES C COMMON ST | 3,479 | 4,675 |
| 165 shares of DOLLAR GENERAL CORP | 7,463 | 8,321 |
| 131 shares of DOLLAR TREE INC. | 5,857 | 6,660 |
| 44 shares of DOVER CORP | 2,605 | 3,417 |
| 12451 shares of DREYFUS PREMIER EMERGING MARKETS DEBT LOCAL CURREN | 184,603 | 174,439 |
| 385 shares of EMC CORP-MASS | 9,300 | 9,094 |
| 70 shares of EQT CORPORATION | 4,131 | 5,556 |
| 22 shares of EQUINIX, INC. | 3,959 | 4,064 |
| 220 shares of EXPRESS SCRIPTS HOLDING CO. | 12,428 | 13,583 |
| 63 shares of F M C CP | 3,385 | 3,847 |
| 186 shares of FIDELITY NATIONAL INFORMATION SERVICES INC | 6,168 | 7,968 |
| 199 shares of FISERV INC | 14,383 | 17,395 |
| 51 shares of FLUOR CORP | 2,877 | 3,025 |
| 95 shares of FOOT LOCKER INC N.Y. COM | 3,200 | 3,337 |
| 175 shares of FORD MOTOR COMPANY | 1,937 | 2,707 |
| 163031 shares of FRANKLIN HIGH INCOME FUND ADVISOR CLASS | 329,784 | 334,212 |
| 245 shares of FREEPORT-MCMORAN COPPER GOLD INC. | 8,794 | 6,764 |
| 91 shares of GAMESTOP CORP | 1,822 | 3,825 |
| 590 shares of GENERAL ELECTRIC CO | 12,330 | 13,682 |
| 14 shares of GOOGLE INC CL A | 9,171 | 12,325 |
| 22 shares of GRAINGER W W INC. | 4,377 | 5,548 |
| 141 shares of HEALTHSOUTH CP | 3,101 | 4,061 |
| 40 shares of HUMANA INC | 2,710 | 3,375 |
| 18 shares of IHS INC | 1,782 | 1,879 |
| 30 shares of INTL FLAVORS FRAGRANCES INC | 2,461 | 2,255 |
| 22 shares of INTERCONTINETALEXCHANGE INC | 2,894 | 3,911 |
| 10 shares of INTUITIVE SURGICAL, INC. | 5,166 | 5,061 |
| 100 shares of JOHNSON JOHNSON | 6,895 | 8,586 |
| 26 shares of JONES LANG LASALLE | 1,894 | 2,370 |
| 250 shares of JP MORGAN CHASE CO | 9,688 | 13,198 |
| 38 shares of KANSAS CITY SOUTHERN | 2,925 | 4,026 |
| 240 shares of KINDER MORGAN INC | 8,052 | 9,156 |
| 84 shares of LKQ CORPORATION | 2,189 | 2,163 |
| 105 shares of MARRIOTT INTERNATIONAL INC. CL A | 3,827 | 4,239 |
| 85 shares of MCDONALDS CORP | 7,272 | 8,415 |
| 40 shares of MCKESSON CORP | 3,645 | 4,580 |
| 58 shares of MEDNAX, INC. | 4,194 | 5,312 |
| 200 shares of MERCK CO INC. | 8,816 | 9,290 |
| 153 shares of MICROCHIP TECHNOLOGY INC. | 4,999 | 5,699 |
| 415 shares of MICROSOFT CORPORATION | 11,733 | 14,334 |
| 30 shares of MOHAWK INDS INC | 2,356 | 3,375 |
| 81 shares of MONSTER BEVERAGE CORP | 4,390 | 4,927 |
| 28 shares of MSC INDUSTRIAL DRCT | 1,967 | 2,169 |
| 115 shares of NETAPP, INC. | 3,331 | 4,345 |
| 13857 shares of NEUBERGER BERMAN EQUITY INCOME FUND | 161,445 | 167,252 |
| 56 shares of NOBLE ENERGY INC. | 2,636 | 3,362 |
| 415 shares of ORACLE CORP | 12,702 | 12,745 |
| 24 shares of PANERA BREAD CO. CL. A. | 3,873 | 4,463 |
| 60 shares of PEPSICO INC | 4,146 | 4,907 |
| 20 shares of PERRIGO CO | 2,374 | 2,420 |
| 81 shares of PETSMART INC. | 5,436 | 5,426 |
| 150 shares of PG E CORP | 6,420 | 6,860 |
| 26888 shares of PIMCO COMMODITY REAL RETURN STRATEGY FUND | 183,682 | 148,692 |
| 32 shares of PIONEER NAT RES CO | 3,261 | 4,632 |
| 11943 shares of POLEN GROWTH FUND INSTITUTIONAL CLASS | 155,671 | 166,007 |
| 100 shares of PRAXAIR INC. | 10,731 | 11,516 |
| 12 shares of PRECISION CASTPARTS | 2,044 | 2,712 |
| 294 shares of QEP RESOURCES INC | 8,298 | 8,167 |
| 20 shares of RANGE RESOURCES CORP DEL | 1,348 | 1,546 |
| 9 shares of REGENERON PHARMACEUTICALS, INC | 1,583 | 2,024 |
| 221 shares of REPUBLIC SVCS INC. | 6,042 | 7,501 |
| 46 shares of RESMED INC | 1,856 | 2,076 |
| 27836 shares of RIDGEWORTH FDS SEIX FLOATING RATE HIGH INCOME FUND | 246,225 | 249,687 |
| 109 shares of RIVERBED TECHNOLOGY, INC. | 2,036 | 1,696 |
| 97 shares of ROCKWOOD HOLDINGS INC | 4,421 | 6,211 |
| 40 shares of ROPER INDUSTRIES NEW COMMON | 4,263 | 4,969 |
| 73 shares of ROSS STORES, INC. | 4,523 | 4,731 |
| 107 shares of SALLY BEAUTY HLDG | 2,767 | 3,328 |
| 65 shares of SBA COMMUNICATIONS | 4,370 | 4,818 |
| 45 shares of SHIRE PLC | 3,900 | 4,280 |
| 131 shares of SKYWORKS SOLUTIONS, INC | 3,219 | 2,868 |
| 200 shares of SPECTRA ENERGY CORP-W/I | 5,620 | 6,892 |
| 38 shares of STERICYCLE INC | 3,454 | 4,196 |
| 130 shares of STRYKER CORPORATION | 6,867 | 8,408 |
| 54 shares of T. ROWE PRICE ASSOCIATES | 3,394 | 3,953 |
| 130 shares of TARGET CORPORATION | 8,121 | 8,952 |
| 112 shares of TEAM HEALTH HOLDINGSINC COM | 3,847 | 4,600 |
| 100 shares of TERADATA CORPORATION | 5,184 | 5,023 |
| 58 shares of TIMKEN CO | 2,309 | 3,264 |
| 170 shares of TJX COMPANIES INC | 7,490 | 8,510 |
| 32 shares of TRACTOR SUPPLY CO | 2,735 | 3,762 |
| 61 shares of TRIUMPH GROUP INC | 3,964 | 4,828 |
| 30 shares of UNION PACIFIC | 3,650 | 4,628 |
| 130 shares of UNITED TECHNOLOGIES CORP | 10,034 | 12,082 |
| 200 shares of UNITEDHEALTH GROUP INC. | 10,450 | 13,096 |
| 220 shares of US BANCORP DEL | 7,170 | 7,953 |
| 45 shares of V F CORP | 6,924 | 8,688 |
| 133 shares of VANTIV INC - CLASS A | 2,738 | 3,671 |
| 24285 shares of VIRTUS EMERGING MARKETS OPPTS CL I | 238,740 | 237,264 |
| 40 shares of VISA INC | 5,491 | 7,310 |
| 125 shares of WALGREEN CO | 4,081 | 5,525 |
| 340 shares of WELLS FARGO CO. | 11,191 | 14,032 |
| 44 shares of WEX INC | 3,109 | 3,375 |
| 30 shares of WHIRLPOOL CORP | 3,156 | 3,431 |
| 290 shares of WILLIAMS COS | 9,227 | 9,416 |
| 7786 shares of YACKTMAN FOCUSED FUND | 156,043 | 186,312 |
| Category/ Item | Listed at Cost or FMV | Book Value | End of Year Fair Market Value |
|---|---|---|---|
| AT MLP FUND, LLC | 620,061 | 736,818 | |
| PRISMA SPECTRUM FUND LTD | 500,000 | 547,890 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Administrative Fees | 28,715 | 28,715 | ||
| K-1 Exp AT MLP FUND, LLC | 11,692 | 11,668 | ||
| State or Local Filing Fees | 25 | 25 |
| Description | Revenue And Expenses Per Books | Net Investment Income | Adjusted Net Income |
|---|---|---|---|
| K-1 Inc/Loss AT MLP FUND, LLC | 15,070 | 7,451 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Investment Management Services | 25,472 | 25,472 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Estimated Tax for 2013 | 600 | |||
| Foreign Tax Paid | 19 | 19 | ||
| IRS Excise Tax Payment with 1st ext 990-PF | 103 |