| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Sandor Accounting Services | 6,000 | 6,000 |
| Name | Date Acquired | How Acquired | Date Sold | Purchaser Name | Gross Sales Price | Basis | Basis Method | Sales Expenses | Total (net) | Accumulated Depreciation |
|---|---|---|---|---|---|---|---|---|---|---|
| Agco Corp | 2012-06 | P | 2013-12 | 11,542 | 8,538 | 3,004 | ||||
| Agilent Technologies | 2012-06 | P | 2013-05 | 8,823 | 7,869 | 954 | ||||
| Alcoa | 2009-04 | P | 2013-07 | 4,708 | 13,661 | -8,953 | ||||
| CST Brands | 2013-05 | P | 2013-07 | 1,042 | 1,042 | |||||
| Ecolab | 2011-08 | P | 2013-12 | 21,039 | 10,091 | 10,948 | ||||
| GM Wts | 2013-07 | P | 2013-07 | 1,137 | 1,137 | |||||
| GM Wts | 2013-07 | P | 2013-07 | 801 | 801 | |||||
| John Hancock Cl A | 2003-01 | P | 2013-06 | 3,400 | 3,380 | 20 | ||||
| John Hancock Cl A | 2003-01 | P | 2013-12 | 5,602 | 5,619 | -17 | ||||
| Hess Corp | 2012-02 | P | 2013-05 | 13,473 | 13,155 | 318 | ||||
| Hospitality PPTYS Tr | 2006-05 | P | 2013-07 | 5,524 | 4,180 | 1,344 | ||||
| Inergy LP Unit LP | 2012-07 | P | 2013-06 | 4,501 | 4,024 | 477 | ||||
| Johnson Control | 2012-07 | P | 2013-06 | 3,640 | 2,776 | 864 | ||||
| Motors Liquidating | 2013-07 | P | 2013-07 | 351 | 351 | |||||
| Nuveen Pfd Income Opp | 2006-07 | P | 2013-04 | 9,184 | 11,846 | -2,662 | ||||
| Oceaneering Intl | 2011-06 | P | 2013-12 | 15,586 | 5,508 | 10,078 | ||||
| Pimco Global Stockplus | 2005-05 | P | 2013-12 | 11,274 | 12,500 | -1,226 | ||||
| Raytheon | 2011-05 | P | 2013-07 | 13,556 | 9,956 | 3,600 | ||||
| Realty Income Corp | 2004-12 | P | 2013-06 | 4,299 | 4,884 | -585 | ||||
| Western Assets Global Ptnshp | 2003-01 | P | 2013-12 | 11,737 | 11,968 | -231 | ||||
| Gabelli Equity Trust | 2003-01 | P | 2013-01 | 8,557 | 11,330 | -2,773 | ||||
| John Hancock Cl A | 2003-01 | P | 2013-01 | 3,000 | 2,912 | 88 | ||||
| John Hancock Cl A | 2003-01 | P | 2013-01 | 8,500 | 8,250 | 250 |
| Identifier | Return Reference | Explanation |
|---|
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 100 shares of Air Products Chemicals | 7,105 | 11,178 |
| 600 shares of Apollo Investment Corp | 14,159 | 5,085 |
| 200 shares of Mosaic Co | 14,267 | 9,454 |
| 100 shares of Polypore International | 5,884 | 3,890 |
| 200 shares of Couer d Alene Mines Corp | 3,499 | 2,170 |
| 100 shares of DuPont | 23,588 | 6,497 |
| 400 shares of Tortoise MLP Fund | 10,000 | 12,912 |
| 400 shares of Chesapeake Energy Corp | 13,014 | 10,856 |
| 160 shares of Exxon | 5,490 | 16,192 |
| 1148 shares of Frontier Communications | 9,606 | 5,338 |
| 200 shares of Illinois Tool Works | 9,517 | 16,816 |
| 700 shares of General Electric | 20,826 | 19,621 |
| 100 shares of IBM | 5,072 | 18,757 |
| 200 shares of Macquire Infrastructure CO LLC | 6,208 | 10,886 |
| 580 shares of Impac Mortgage Holding REIT | 24,049 | 3,468 |
| 500 shares of Manitowoc Co, Inc. | 12,257 | 11,660 |
| 200 shares of Consolidated Energy | 8,036 | 7,608 |
| 1000 shares of Nuveen Preferred Income Opprotunity | 10,575 | |
| 400 shares of Pfizer | 34,722 | 12,252 |
| 300 shares of Altria Group | 6,981 | 11,517 |
| 200 shares of Proctor Gamble | 5,730 | 16,282 |
| 1000 shares of Realty Income Corp | 7,445 | 37,330 |
| 400 shares of ATT | 26,644 | 14,064 |
| 90 shares of Thornburg Mortgage | 23,508 | |
| 200 shares of Chicago Bridge Iron | 2,514 | 16,628 |
| 200 shares of United Technologies | 4,514 | 22,760 |
| 300 shares of Petroleo Brasiliero ADR | 10,576 | 4,134 |
| 200 shares of Verizon | 9,585 | 9,828 |
| 1307 shares of Franklin Gold Precious Metals | 23,039 | 20,857 |
| 3115 shares of Fundamental Investors | 94,322 | 161,887 |
| 1500 shares of Gabelli Equity Trust | 871 | |
| 1400 shares of Western Global Partners Income Fund | 3,770 | |
| 1000 shares of Prospect Capital Corp | 11,109 | 11,220 |
| 500 shares of Vale SA ADR | 13,872 | 7,625 |
| 1000 shares of John Hancock Premium Dividend Fd II | 11,392 | 11,600 |
| 3050 shares of John Hancock Income Fd Cl A | 10,679 | |
| 900 shares of Veolia Environmental | 21,967 | 14,724 |
| 100 shares of 3M Corp | 7,276 | 14,025 |
| 1007 shares of Zweig Total Return Fund | 34,016 | 14,038 |
| 559 shares of Claymore Sec Delta Global Agriculture | 18,306 | |
| 500 shares of General Motors 7.25 | 12,500 | |
| 300 shares of Consolidated Water Co | 4,555 | 4,230 |
| 200 shares of Cliffs Natural Resources | 11,950 | 5,242 |
| 1000 shares of ING Global Equity Dividend | 20,000 | 8,950 |
| 200 shares of JP Morgan Chase | 7,286 | 11,696 |
| 400 shares of Macquarie Global Infrastructure | 10,000 | 8,840 |
| 500 shares of Pimco Global Stockplus | 54 | |
| 400 shares of Tortoise Energy Capital | 9,850 | 13,060 |
| 200 shares of Bunge Ltd | 12,911 | 16,422 |
| 400 shares of Conoco Phillips | 10,920 | 28,260 |
| 200 shares of Schlumberger | 12,175 | 18,022 |
| 300 shares of Freeport-McMoran Copper Gold | 11,325 | 11,322 |
| 200 shares of Unitedhealth Group | 7,473 | 15,060 |
| 875 shares of Blackrock Global Opportunities | 2,460 | |
| 1400 shares of Blackrock Real Asset Equity | 1,511 | |
| 200 shares of Honeywell Intl | 10,418 | 18,274 |
| 300 shares of NII Holdings Inc Cl B | 6,774 | 825 |
| 400 shares of Tortoise MLP Fd Inc | 10,000 | 10,940 |
| 200 shares of Potash Corp Saskatchewan | 9,750 | 6,592 |
| 300 shares of Sensata Technologies | 9,788 | 11,631 |
| 300 shares of Tahoe Resources | 5,775 | 4,992 |
| 500 shares of Weatherford Intl | 10,445 | 7,745 |
| 300 shares of American International Group | 9,974 | 15,315 |
| 200 shares of American Tower Corp REIT | 14,472 | 15,964 |
| 400 shares of Cerner Corp | 14,980 | 22,296 |
| 100 shares of Chart Industries Inc. | 7,318 | 9,564 |
| 500 shares of Cisco Systems | 10,544 | 11,215 |
| 600 shares of CSX Corp | 13,595 | 17,262 |
| 500 shares of EMC Corp Mass | 13,469 | 12,575 |
| 100 shares of WW Grainger | 20,109 | 25,542 |
| 300 shares of Johnson Controls | 8,526 | 15,390 |
| 1000 shares of Molycorp Inc. | 9,570 | 5,620 |
| 500 shares of Morgan Stanley | 9,336 | 15,680 |
| 500 shares of Omega Healthcare REIT | 10,836 | 14,900 |
| 400 shares of Pan American Silver | 9,759 | 4,680 |
| 200 shares of Peabody Energy | 7,760 | 3,906 |
| 200 shares of Phillips 66 | 15,426 | |
| 100 shares of Suburban Propane Partners LP | 3,434 | 4,690 |
| 200 shares of Teva Pharmaceuticals ADR | 8,131 | 8,016 |
| 200 shares of Triumph Group | 13,551 | 15,214 |
| 300 shares of Valero Energy Corp | 7,511 | 15,120 |
| 1000 shares of First Trust Four Corners | 7,625 | |
| 500 shares of Allscripts Healthcare Solutions | 6,841 | 7,730 |
| 500 shares of Corning Inc. | 7,287 | 8,910 |
| 400 shares of Digital Global Inc | 12,791 | 16,460 |
| 300 shares of Hertz Global Hldg | 8,011 | 8,586 |
| 200 shares of Ichan Ent LP Depositary Unit | 16,322 | 21,882 |
| 100 shares of ITC Holding | 9,453 | 9,582 |
| 400 shares of Mylan Inc | 12,714 | 17,360 |
| 300 shares of Stonemor Partners LP | 8,259 | 7,656 |
| 675 shares of Brookfield Total Return Fd | 23,941 | 16,038 |
| 500 shares of India Fund | 10,960 | 10,000 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Tews,Theisen Theisen | 10,000 | 10,000 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Filing Fees | 125 | 125 | ||
| Bank Service Charge | 240 | 240 |
| Description | Revenue And Expenses Per Books | Net Investment Income | Adjusted Net Income |
|---|---|---|---|
| Partnership Distributions | 1,076 | 1,076 |
| Description | Amount |
|---|---|
| Prior Period adjustment | 694 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Tax on investment income | 1,474 | 1,474 |