| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| ACCOUNTING FEES | 3,972 | 0 | 3,972 |
| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| BANK OF AMERICA CORP | 84,152 | 84,152 |
| LEHMAN BROS HLDG CP TR V | 540 | 540 |
| MERRILL LYNCH PFD CAP TR | 51,060 | 51,060 |
| PREFERRED PLUS TR SRS | 51,480 | 51,480 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| ADOBE SYS DEL PV$ 0.001, 46 SHARES | 3,344 | 3,344 |
| AFFILIATED MANAGERS GRP, 7 SHARES | 1,486 | 1,486 |
| ALEXION PHARMS INC, 29 SHARES | 5,366 | 5,366 |
| ALLIANCE DATA SYS CORP, 6 SHARES | 1,716 | 1,716 |
| AMAZON COM INC COM, 9 SHARES | 2,793 | 2,793 |
| AMERISOURCEBERGEN CORP, 34 SHARES | 3,065 | 3,065 |
| AMPHENOL CORP CL A NEW, 38 SHARES | 2,045 | 2,045 |
| APPLE INC, 72 SHARES | 7,947 | 7,947 |
| ARM HLDGS PLC SPD ADR, 21 SHARES | 972 | 972 |
| ASML HLDG NV NY REG SHS, 38 SHARES | 4,098 | 4,098 |
| AVAGO TECHNOLOGIES LTD, 38 SHARES | 3,822 | 3,822 |
| BAIDU INC SPON ADR, 10 SHARES | 2,280 | 2,280 |
| BIOGEN IDEC INC, 15 SHARES | 5,092 | 5,092 |
| BLACKROCK INC, 5 SHARES | 1,788 | 1,788 |
| CABOT OIL & GAS CORP, 85 SHARES | 2,517 | 2,517 |
| CELGENE CORP COM, 68 SHARES | 7,606 | 7,606 |
| CHIPOTLE MEXICAN GRILL, 4 SHARES | 2,738 | 2,738 |
| COLGATE PALMOLIVE, 23 SHARES | 1,591 | 1,591 |
| COMCAST CORP NEW CL A, 99 SHARES | 5,743 | 5,743 |
| COSTCO WHOLESALE CRP DEL, 23 SHARES | 3,260 | 3,260 |
| CVS HEALTH CORP, 30 SHARES | 2,889 | 2,889 |
| DELPHI AUTOMOTIVE PLC, 34 SHARES | 2,472 | 2,472 |
| DELTA AIR LINES INC, 97 SHARES | 4,771 | 4,771 |
| ECOLAB INC, 18 SHARES | 1,881 | 1,881 |
| FACEBOOK INC, 129 SHARES | 10,065 | 10,065 |
| FLOWSERVE CORP, 29 SHARES | 1,735 | 1,735 |
| FMC TECHS INC COM, 11 SHARES | 515 | 515 |
| FORTUNE BRANDS HOME AND, 22 SHARES | 996 | 996 |
| GILEAD SCIENCES INC COM, 89 SHARES | 8,389 | 8,389 |
| GOOGLE INC CL A, 6 SHARES | 3,184 | 3,184 |
| GOOGLE INC SHS CL C, 11 SHARES | 5,790 | 5,790 |
| HOME DEPOT INC, 85 SHARES | 8,922 | 8,922 |
| HONEYWELL INTL INC DEL, 41 SHARES | 4,097 | 4,097 |
| ILLUMINA INC COM, 10 SHARES | 1,846 | 1,846 |
| KANSAS CITY SOUTHERN, 25 SHARES | 3,051 | 3,051 |
| KEURIG GREEN MOUNTN INC, 11 SHARES | 1,456 | 1,456 |
| LAS VEGAS SANDS CORP, 29 SHARES | 1,687 | 1,687 |
| LIBERTY GLOBAL PLC CL C, 47 SHARES | 2,271 | 2,271 |
| LINKEDIN CORP, 11 SHARES | 2,527 | 2,527 |
| LYONDELLBASELL INDUSTRIE, 34 SHARES | 2,699 | 2,699 |
| MARATHON PETROLEUM CORP, 12 SHARES | 1,083 | 1,083 |
| MASTERCARD INC, 101 SHARES | 8,702 | 8,702 |
| MCKESSON CORPORATION COM, 16 SHARES | 3,321 | 3,321 |
| MICHAEL KORS HLDGS LTD, 48 SHARES | 3,605 | 3,605 |
| MONSANTO CO NEW DEL COM, 5 SHARES | 597 | 597 |
| MOODY'S CORP, 33 SHARES | 3,162 | 3,162 |
| NETFLIX COM INC, 4 SHARES | 1,366 | 1,366 |
| PIONEER NATURAL RES CO, 13 SHARES | 1,935 | 1,935 |
| PPG INDUSTRIES INC SHS, 13 SHARES | 3,005 | 3,005 |
| REGENERON PHARMACTCLS, 13 SHARES | 5,333 | 5,333 |
| ROPER INDUSTRIES INC COM, 8 SHARES | 1,251 | 1,251 |
| SALESFORCE COM INC, 53 SHARES | 3,143 | 3,143 |
| SALIX PHRMCTCLS LTD COM, 5 SHARES | 575 | 575 |
| SHERWIN WILLIAMS, 20 SHARES | 5,261 | 5,261 |
| SPLUNK INC, 8 SHARES | 472 | 472 |
| STARBUCKS CORP, 41 SHARES | 3,364 | 3,364 |
| TD AMERITRADE HLDG CORP, 68 SHARES | 2,433 | 2,433 |
| TESLA MTRS INC, 14 SHARES | 3,114 | 3,114 |
| THE PRICELINE GROUP INC, 4 SHARES | 4,561 | 4,561 |
| TIME WARNER INC SHS, 26 SHARES | 2,221 | 2,221 |
| TWENTY-FIRST CENTURY, 98 SHARES | 3,764 | 3,764 |
| UNION PACIFIC CORP, 41 SHARES | 4,884 | 4,884 |
| VALEANT PHARMACEUTICALS, 31 SHARES | 4,436 | 4,436 |
| VERTEX PHARMCTLS INC, 36 SHARES | 4,277 | 4,277 |
| VISA INC CL A SHRS, 24 SHARES | 6,293 | 6,293 |
| ADVISORY RESEARCH MLP &, 9,512 SHARES | 128,693 | 128,693 |
| BANK OF AMERICA CORP, 2,000 SHARES | 35,780 | 35,780 |
| BLACKROCK GLOBAL, 6,654 SHARES | 120,906 | 120,906 |
| CITIGROUP INC COM NEW, 1,461 SHARES | 79,055 | 79,055 |
| DAVIS NY VENTURE, 517 SHARES | 17,980 | 17,980 |
| DELTA AIR LINES INC, 6,792 SHARES | 334,098 | 334,098 |
| EATON VANCE LARGE CAP, 9,578 SHARES | 179,499 | 179,499 |
| NATL HEALTH INVS INC, 3,620 SHARES | 253,255 | 253,255 |
| PIONEER HIGH YIELD, 16,121 SHARES | 160,241 | 160,241 |
| SP500 CLIRN ISSUER BAC, 13,700 SHARES | 142,891 | 142,891 |
| SP500 CLIRN ISSUER DB, 5,300 SHARES | 54,230 | 54,230 |
| SX5E ARN ISSUER SEK, 5,300 SHARES | 52,645 | 52,645 |
| ACE LIMITED, 26 SHARES | 2,987 | 2,987 |
| ACTIVISION BLIZZARD INC, 133 SHARES | 2,680 | 2,680 |
| AGILENT TECHNOLOGIES INC, 32 SHARES | 1,310 | 1,310 |
| AMAZON COM INC COM, 36 SHARES | 11,173 | 11,173 |
| AMER EXPRESS COMPANY, 159 SHARES | 14,793 | 14,793 |
| BANK NEW YORK MELLON, 426 SHARES | 17,283 | 17,283 |
| BERKSHIRE HATHAWAYINC, 83 SHARES | 12,462 | 12,462 |
| BROOKFIELD ASSET MGMT, 77 SHARES | 3,860 | 3,860 |
| CANADIAN NATURAL RES LTD, 143 SHARES | 4,416 | 4,416 |
| CARMAX INC, 90 SHARES | 5,992 | 5,992 |
| COSTCO WHOLESALE CRP DEL, 68 SHARES | 9,639 | 9,639 |
| DIAGEO PLC SPSD ADR NEW, 50 SHARES | 5,705 | 5,705 |
| ECOLAB INC, 39 SHARES | 4,076 | 4,076 |
| ENCANA CORP, 226 SHARES | 3,135 | 3,135 |
| EOG RESOURCES INC, 98 SHARES | 9,023 | 9,023 |
| EXPRESS SCRIPTS HLDG CO, 98 SHARES | 8,298 | 8,298 |
| GOOGLE INC CL A, 13 SHARES | 6,899 | 6,899 |
| GOOGLE INC SHS CL C, 13 SHARES | 6,843 | 6,843 |
| JPMORGAN CHASE & CO, 89 SHARES | 5,570 | 5,570 |
| KEYSIGHT TECHNOLOGIES, 16 SHARES | 540 | 540 |
| LABORATORY CP AMER HLDGS, 52 SHARES | 5,611 | 5,611 |
| LAS VEGAS SANDS CORP, 120 SHARES | 6,979 | 6,979 |
| LIBERTY GLOBAL PLC CL C, 162 SHARES | 7,826 | 7,826 |
| LIBERTY INTERACTIVE CORP, 83 SHARES | 2,442 | 2,442 |
| LIBERTY INTERACTIVE SRS, 11 SHARES | 415 | 415 |
| LOEWS CORP, 126 SHARES | 5,295 | 5,295 |
| MICROSOFT CORP, 88 SHARES | 4,088 | 4,088 |
| MOODY'S CORP, 21 SHARES | 2,012 | 2,012 |
| ORACLE CORP $0.01 DEL, 82 SHARES | 3,688 | 3,688 |
| PACCAR INC, 46 SHARES | 3,128 | 3,128 |
| PRAXAIR INC, 44 SHARES | 5,701 | 5,701 |
| QUEST DIAGNOSTICS INC, 49 SHARES | 3,286 | 3,286 |
| SCHWAB CHARLES CORP NEW, 123 SHARES | 3,713 | 3,713 |
| SYSCO CORPORATION, 95 SHARES | 3,771 | 3,771 |
| TEXAS INSTRUMENTS, 106 SHARES | 5,667 | 5,667 |
| THE PRICELINE GROUP INC, 3 SHARES | 3,421 | 3,421 |
| ULTRA PETROLEUM CORP, 175 SHARES | 2,303 | 2,303 |
| UNITEDHEALTH GROUP INC, 100 SHARES | 10,109 | 10,109 |
| VALEANT PHARMACEUTICALS, 29 SHARES | 4,150 | 4,150 |
| VISA INC CL A SHRS, 14 SHARES | 3,671 | 3,671 |
| WELLS FARGO & CO NEW DEL, 303 SHARES | 16,610 | 16,610 |
| ABBVIE INC SHS, 200 SHARES | 13,088 | 13,088 |
| ALTRIA GROUP INC, 500 SHARES | 24,635 | 24,635 |
| AMER EXPRESS COMPANY, 250 SHARES | 23,260 | 23,260 |
| APPLE INC, 693 SHARES | 76,493 | 76,493 |
| CATERPILLAR INC DEL, 175 SHARES | 16,018 | 16,018 |
| CHIPOTLE MEXICAN GRILL, 200 SHARES | 136,902 | 136,902 |
| CIGNA CORP, 200 SHARES | 20,582 | 20,582 |
| DELTA AIR LINES INC, 500 SHARES | 24,595 | 24,595 |
| DOW CHEMICAL CO, 200 SHARES | 9,122 | 9,122 |
| EATON CORP PLC, 800 SHARES | 54,368 | 54,368 |
| ENSCO PLC SHS CL A, 150 SHARES | 4,493 | 4,493 |
| GENERAL ELECTRIC, 900 SHARES | 22,743 | 22,743 |
| GOLDMAN SACHS GROUP INC, 125 SHARES | 24,229 | 24,229 |
| GOOGLE INC CL A, 60 SHARES | 31,840 | 31,840 |
| GOOGLE INC SHS CL C, 20 SHARES | 10,528 | 10,528 |
| HALYARD HEALTH INC SHS, 53 SHARES | 2,410 | 2,410 |
| HOME DEPOT INC, 400 SHARES | 41,988 | 41,988 |
| HONEYWELL INTL INC DEL, 850 SHARES | 84,932 | 84,932 |
| HORMEL FOODS CORP, 350 SHARES | 18,235 | 18,235 |
| ISHARES U.S. REAL ESTATE, 790 SHARES | 60,704 | 60,704 |
| JOHNSON AND JOHNSON COM, 800 SHARES | 83,656 | 83,656 |
| KIMBERLY CLARK, 425 SHARES | 49,105 | 49,105 |
| KINDER MORGAN INC. DEL, 225 SHARES | 9,520 | 9,520 |
| LINCOLN NTL CORP IND NPV, 300 SHARES | 17,301 | 17,301 |
| LINKEDIN CORP, 75 SHARES | 17,228 | 17,228 |
| OCCIDENTAL PETE CORP CAL, 300 SHARES | 24,183 | 24,183 |
| PEPSICO INC, 175 SHARES | 16,548 | 16,548 |
| PROCTER & GAMBLE CO, 150 SHARES | 13,663 | 13,663 |
| PRUDENTIAL FINANCIAL INC, 200 SHARES | 18,092 | 18,092 |
| STANLEY BLACK & DECKER, 250 SHARES | 24,020 | 24,020 |
| STARBUCKS CORP, 425 SHARES | 34,871 | 34,871 |
| THERMO FISHER SCIENTIFIC, 75 SHARES | 9,397 | 9,397 |
| UNITEDHEALTH GROUP INC, 150 SHARES | 15,163 | 15,163 |
| VENTAS INC, 125 SHARES | 8,962 | 8,962 |
| VERIZON COMMUNICATNS COM, 900 SHARES | 42,102 | 42,102 |
| Category/ Item | Listed at Cost or FMV | Book Value | End of Year Fair Market Value |
|---|---|---|---|
| MLCX ARN ISSUER BAC, 10,800 SHARES | FMV | 70,956 | 70,956 |
| Description | Beginning of Year - Book Value | End of Year - Book Value | End of Year - Fair Market Value |
|---|---|---|---|
| FEDERAL EXCISE TAX RECOVERABLE | 591 | 0 | 0 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| INVESTMENT - BANK SERVICE CHARGE | 300 | 300 | 0 | |
| OTHER MISCELLANEOUS EXPENSES | 837 | 0 | 837 |
| Description | Amount |
|---|---|
| Description | Beginning of Year - Book Value | End of Year - Book Value |
|---|---|---|
| DEFERRED FEDERAL EXCISE TAX | 6,103 | 8,637 |
| FEDERAL EXCISE TAX PAYABLE | 0 | 353 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| INVESTMENT MANAGER FEES | 17,665 | 17,665 | 0 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| CURRENT AND DEFERRED FEDERAL EXCISE TAXES | 6,178 | 0 | 0 |