| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| INDIRECT ACCOUNTING FEES | 6,000 | 6,000 |
| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 150000 AID-ISRAEL 0 23 | 55,608 | 118,737 |
| 250000 ALLY FINANCIAL 8 31 | 257,422 | 318,125 |
| 250000 GOLDMAN SACHS GROUP 5.125 15 | ||
| 250000 HSBC FINANCE 5 15 | ||
| 250000 COMCAST 4.95 16 | ||
| 250000 ANADARKO PETROLEUM 5.95 16 | ||
| 250000 BANK OF AMERICA 5.375 16 | ||
| 250000 SIMON PROPERTY GROUP 5.25 16 | ||
| 250000 SUNOCO 5.75 17 | 268,150 | 270,825 |
| 250000 BEAR STEARNS 5.55 17 | 263,735 | 269,488 |
| 250000 ALCOA 5.55 17 | ||
| 250000 AMB PROPERTY 4.25 17 | 256,932 | 266,405 |
| 250000 BRITISH TELECOM 5.95 18 | 263,648 | 278,797 |
| 250000 TRANSOCEAN 6 18 | 264,535 | 240,465 |
| 250000 PITNEY BOWES 4.75 18 | 263,187 | 266,178 |
| 250000 VIACOM 4.375 18 | 263,525 | 269,607 |
| 250000 ALABAMA POWER 5.125 19 | 267,565 | 278,267 |
| 250000 ANHEUSER-BUSCH 5 19 | 271,125 | 278,003 |
| 250000 USB VODAFONE 5.45 19 | 265,510 | 281,160 |
| 250000 WISCONSIN POWER&LIGHT 5 19 | 265,577 | 279,352 |
| 500000 BURLINGTON NORTHERN 4.7 19 | 532,308 | 552,715 |
| 250000 QUEST DIAGNOSTIC 4.75 20 | 264,365 | 269,630 |
| 250000 TIME WARNER CABLE 5 20 | 252,347 | 275,498 |
| 250000 PHILIP MORRIS INT'L 4.5 20 | 263,322 | 274,377 |
| 250000 POTASH CORP SASKATCHWAN 4.875 | 266,216 | 277,858 |
| 250000 CVS CAREMARK 4.75 20 | 263,493 | 276,950 |
| 250000 WAL-MART 3.625 20 | 246,886 | 266,965 |
| 250000 AGILENT TECHNOLOGIES 5 20 | 268,847 | 271,955 |
| 250000 ERP OPERATING 4.75 20 | 267,365 | 274,657 |
| 250000 L-3 COMMUNICATIONS 4.75 20 | 268,460 | 268,483 |
| 250000 TARGET 3.875 20 | 252,602 | 269,302 |
| 250000 JP MORGAN CHASE 4.4 20 | 261,167 | 270,995 |
| 250000 ARCELORMITTAL | 250,238 | 259,375 |
| 250000 CREDIT SUISSE NY 4.375 20 | 261,123 | 271,008 |
| 250000 NEWELL RUBBERMAID 4.7 20 | 266,575 | 268,910 |
| 250000 AETNA 3.95 20 | 243,150 | 263,980 |
| 250000 ENTERGY 5.125 20 | 254,006 | 272,330 |
| 250000 CLIFFFS NATURAL RESOURCES 4.8 | 259,534 | 135,000 |
| 250000 MATTEL 4.35 20 | 261,062 | 267,022 |
| 250000 CORN PRODUCTS INT'L 4.625 20 | 262,500 | 269,313 |
| 250000 PEPSICO 3.125 20 | 238,012 | 258,737 |
| 250000 TRAVELERS COMPANIES 3.9 20 | 517,595 | 537,105 |
| 250000 PRUDENTIAL FINANCIAL 4.5 20 | 246,450 | 271,325 |
| 500000 HEWLETT-PACKARD 3.75 20 | 511,753 | 517,230 |
| 250000 UNION PACIFIC 4 21 | 251,215 | 274,185 |
| 500000 METLIFE 4.75 21 | 529,340 | 558,855 |
| 250000 SIMON PROPERTY GROUP 4.625 21 | 257,252 | 274,512 |
| 250000 LOEW'S COMPANIES 3.75 21 | 247,220 | 268,733 |
| 250000 BOSTON PROPERTIES 4.125 21 | 243,206 | 266,105 |
| 250000 CANADIAN PACIFIC 4.45 23 | 260,817 | 274,358 |
| 250000 ILLINOIS STATE BUILD 5.363 19 | 258,475 | 271,312 |
| 250000 CALIFORNIA STATE VAR 6.2 19 | 258,475 | 296,283 |
| 250000 HAWAII STATE BUILD 5.1 24 | 259,515 | 294,330 |
| 250000 NYS DORMITORY AUTH 5.262 25 | 258,272 | 291,897 |
| 250000 GEORGIA STATE BUILD 5.014 27 | 260,228 | 295,100 |
| 250000 UNIV OF MICHIGAN 5.593 40 | 257,010 | 309,525 |
| 250000 ARECELOMITTAL 6.125 18 | 272,180 | 266,563 |
| 250000 CISCO SYSTEMS 4.95 19 | 273,441 | 279,405 |
| 250000 ALCOA 5.72 19 | ||
| 250000 ORACLE 5 19 | 271,447 | 280,315 |
| 100000 LOCKHEED MARTIN | 104,254 | 109,004 |
| 250000 XEROX 5.625 19 | 273,927 | 280,968 |
| 250000 BOSTON SCIENTIFIC 6 20 | 267,275 | 281,475 |
| 250000 ADOBE SYSTEMS 4.75 20 | 257,932 | 274,432 |
| 250000 KRAFT FOODS 5.375 20 | 270,382 | 283,200 |
| 250000 COMCAST 5.15 20 | 265,438 | 283,130 |
| 250000 CLIFFS NATURE RESOURCES 5.9 | 272,900 | 145,000 |
| 100000 GOLDMAN SACHS 5.375 20 | 104,155 | 112,070 |
| 250000 ANHEUSER BUSCH 5 20 | 268,576 | 279,517 |
| 250000 NORDSTROM 4.75 20 | 265,150 | 276,528 |
| 250000 PRUDENTIAL FINANCIAL 5.375 2 | 269,045 | 282,155 |
| 250000 JP MORGAN 4.25 20 | 245,283 | 268,775 |
| 250000 DOW CHEMICAL 4.25 20 | 262,175 | 267,283 |
| 500000 HOME DEPOT 4.4 21 | 528,932 | 556,240 |
| 250000 ALTRIA GROUP 4.75 21 | 268,863 | 276,505 |
| 250000 CVS CAREMARK 4.125 21 | 260,557 | 271,077 |
| 500000 AVON PRODUCTS 4.2 18 | 528,695 | 457,500 |
| 500000 AMGEN 4.1 21 | 540,800 | 536,510 |
| 500000 WHIRLPOOL 4.85 21 | 540,000 | 548,700 |
| 250000 BERKSHIRE HATHAWAY 3.75 21 | 266,512 | 267,428 |
| 250000 LOCKHEED MARTIN 3.35 21 | 267,667 | 258,967 |
| 500000 CLOROX 3.8 21 | 538,950 | 533,925 |
| 250000 UNITED HEALTH GROUP 3.375 21 | 274,483 | 259,385 |
| 500000 GENERAL MILLS 3.15 21 | 524,769 | 516,580 |
| 500000 AT&T 3 22 | 519,250 | 490,590 |
| 500000 CIGNA 4 22 | 531,185 | 526,860 |
| 250000 WALT DISNEY 2.55 22 | 260,700 | 248,405 |
| 250000 CBS 3.375 22 | 265,192 | 251,090 |
| 500000 KELLOGG 3.125 22 | 516,250 | 505,615 |
| 250000 ANHEUSER BUSCH 2.5 22 | 257,460 | 242,970 |
| 250000 CAMBELL SOUP 2.5 22 | 256,338 | 238,900 |
| 250000 ALTRIA GROUP 2.85 22 | 254,065 | 242,925 |
| 500000 ESTEE LAUDER 2.35 22 | 508,412 | 480,545 |
| 250000 PACIFIC GAS & ELECTRIC | 258,170 | 240,557 |
| 250000 PHILIP MORRIS 2.5 22 | 257,460 | 244,308 |
| 500000 THERMO FISCHER SCIENTIFIC3.15 | 525,405 | 490,115 |
| 250000 UNION PACIFIC 2.95 23 | 266,992 | 252,628 |
| 250000 AIR PRODUCTS & CHEMICALS 4.37 | 292,915 | 272,460 |
| 250000 BAXTER INTERNATIONAL 4.25 20 | 291,610 | 268,830 |
| 250000 UNITED TECHNOLOGIES 4.5 20 | 296,898 | 277,285 |
| 250000 WASTE MANAGEMENT 4.6 21 | 289,187 | 276,845 |
| 250000 BANK OF NY MELLON 3.55 21 | 264,598 | 261,365 |
| 250000 VERIZON COMMUNICATIONS 3.5 21 | 270,540 | 255,573 |
| 250000 KIMBERLY CLARK 2.4 22 | 258,675 | 246,287 |
| 250000 NORFOLK SOUTHERN 3 22 | 263,160 | 251,038 |
| 250000 CATERPILLAR 2.6 22 | 258,091 | 247,085 |
| 250000 MERCK 2.4 22 | 254,074 | 243,985 |
| 250000 INTEL 2.7 22 | 253,520 | 248,512 |
| 250000 BERKSHIRE HATHAWAY 3 22 | 250,378 | 252,350 |
| 250000 COCA COLA 2.5 33 | 260,202 | 245,347 |
| 250000 FEDEX 2.7 23 | 254,278 | 243,478 |
| 250000 AFLAC 3.625 23 | 511,771 | 512,110 |
| 250000 BAXTER INTERNATIONAL 3.2 23 | 252,380 | 251,910 |
| 250000 VERIZON COMMUNICATIONS 5.15 | 277,722 | 276,057 |
| 100000 APPLE 2.4 23 | 91,156 | 97,200 |
| 100000 VERIZON COMMUNICATIONS 6.4 33 | 111,180 | 123,178 |
| 100000 NORFOLK COUTHERN 7.05 37 | 127,375 | 140,184 |
| 100000 BOEING 6.875 39 | 134,805 | 145,790 |
| 100000 APPLE 3.85 43 | 84,410 | 100,072 |
| 250000 KIMBERLY CLARK 3.875 21 | 269,078 | 273,685 |
| 250000 GOLDMAN SACHS 3.25 22 | 253,925 | 257,615 |
| 250000 WELLS FARGO 3.45 23 | 251,070 | 253,372 |
| 250000 HALLIBURTON 3.25 23 | 256,900 | 252,275 |
| 250000 WELLS FARGO 4.48 24 | 264,725 | 266,550 |
| 250000 COLGATE PALMOLIVE 3.25 24 | 251,950 | 258,360 |
| 250000 VIACOM 3.875 24 | 259,387 | 250,963 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 158544 IBM | 22,234,508 | 31,239,399 |
| 36000 LOWES COMPANIES | 542,749 | 2,476,800 |
| 19000 WALMART STORES | 1,325,000 | 1,631,720 |
| 326905 VORNADO REALTY TRUST | 24,615,708 | 38,479,987 |
| 5000 MORGAN STANLEY CAP TR IV 6.25 P | 125,000 | 126,700 |
| 10000 FLORIDA P & L TRUST 5.875 PFD | 250,000 | 254,000 |
| 2585 AVALON BAY COMM REIT | 187,793 | 422,363 |
| 27562 CONNECTONE BANCORP | 314,200 | 253,320 |
| 3000 ESSEX PROPERTY TRUST REIT | 196,680 | 619,800 |
| 27964 WELLS FARGO | 2,756,648 | 1,532,986 |
| 17975 INTEL | 450,404 | 652,313 |
| 48880 NEW YORK COMMUNITY BANCORP | 257,820 | 782,080 |
| 10000 OCCIDENTAL PETROLEUM | 734,190 | 806,100 |
| 6000 PETROBAS | 323,370 | 43,800 |
| 62000 APPLE INC | 3,044,145 | 6,843,560 |
| 20000 VORNADO REALTY TRUST SER J | 500,000 | 529,000 |
| 2200 CHEVRON | 199,262 | 246,796 |
| 3000 COCA COLA | 196,077 | 253,320 |
| 25700 ELI LILY | 1,179,643 | 1,773,043 |
| 1966 KRAFT FOODS | 70,010 | 123,190 |
| 398 GENERAL MOTORS WARRENTS 19 | 30,405 | 9,982 |
| 398 GENERAL MOTORS WARRANTS 19 | 23,167 | 6,766 |
| 5000 FIRST REBULIC BANK 6.2 PFD | 125,000 | 127,150 |
| 20000 GOLDMAN SACHS 5.95 PFD | 500,000 | 494,800 |
| 5900 MONDELEZ INTERNATIONAL | 129,572 | 214,318 |
| 102 MOTORS LIQ CO | 1,963 | |
| 6000 HSBC HOLDINGS 8 PFD | 166,505 | 159,420 |
| 6000 WELLS FARGO 8 PFD | 175,205 | 175,020 |
| 20000 CITI GROUP SER J 7.125 PFD | 500,000 | 542,400 |
| 10000 VORNADO REALTY TRUST SER L 5.4 | 250,000 | 230,000 |
| 20000 WELLS FARGO 5.85 PFD | 500,000 | 513,000 |
| 13399 ARCHER DANIELS MIDLAND | 566,777 | 696,748 |
| 5000 BRISTOL MEYERS SQUIBB | 258,600 | 295,150 |
| 13039 DIRECT TV | 858,488 | 1,130,481 |
| 10000 EBAY | 523,700 | 561,200 |
| 5000 NOVARTIS | 386,000 | 463,300 |
| 20000 ORACLE | 684,600 | 899,400 |
| 2916 TWENTY FIRST CENTURY FOX | 96,461 | 111,989 |
| 6870 VALERO ENERGY | 325,020 | 340,065 |
| 4772 VODAPHONE | 216,100 | 163,059 |
| 10000 BANK OF AMERICA 6.625 PFD | 250,000 | 255,670 |
| 10000 JP MORGAN CHASE 6.7 PFD | 250,000 | 264,200 |
| 10000 JP MORGAN CHASE 6.3 PFD | 250,000 | 255,600 |
| 32 GENERAL MOTORS | 1,117 | |
| 4000 CALIFORNIA RESOURCES | 26,510 | 22,040 |
| 2301 VERIZON COMMUNICATIONS | 110,713 | 107,641 |
| Category/ Item | Listed at Cost or FMV | Book Value | End of Year Fair Market Value |
|---|---|---|---|
| MERRILL LYNCH CMA FUND | AT COST | 4,685,019 | 4,685,019 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| EXPENSES | ||||
| OFFICE EXPENSE | 618 | 618 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| FEDERAL EXCISE TAX | 81,934 |