| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Estate Plan Administration Services LLC Tax Preparation | 965 |
| Category | Amount |
|---|---|
| None |
| Name | Date Acquired | How Acquired | Date Sold | Purchaser Name | Gross Sales Price | Basis | Basis Method | Sales Expenses | Total (net) | Accumulated Depreciation |
|---|---|---|---|---|---|---|---|---|---|---|
| 964-021858 Sale of Marketable Securities-See Part IV (a) | Purchased | VARIOUS | 119,207 | 105,679 | FMV | 13,528 | ||||
| 964-021854 Sale of Marketable Securities-See Part IV (a) | Purchased | VARIOUS | 2,744 | 1,552 | FMV | 1,192 |
| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 358.907 shrs Blackrock Global Long/Short | 3,495 | 3,722 |
| 467.088 shrs Blackrock Global Long/Short | 4,960 | 4,844 |
| 29.217 shrs Blackrock Global Long/Short | 314 | 303 |
| 5.852 shrs Blackrock Global Long/Short | 64 | 61 |
| 406.872 shrs Baron Real Estate Fund | 9,403 | 10,636 |
| 933.276 shrs Gotham Absolute Return | 11,097 | 12,973 |
| 8.829 shrs Gotham Absolute Return | 105 | 123 |
| 403.705 shrs Gotham Absolute Return | 5,414 | 5,611 |
| 562.805 shrs Merger Fd Sh Ben Int | 9,185 | 8,797 |
| 21.531 shrs Merger Fd Sh Ben Int | 347 | 336 |
| 1304.76 shrs Pimco High Yield Fund | 11,434 | 11,925 |
| 260.77 shrs Pimco High Yield Fund | 2,339 | 2,383 |
| 14.232 shrs Pimco High Yield Fund | 126 | 130 |
| 12.009 shrs Pimco High Yield Fund | 106 | 110 |
| 2.254 shrs Pimco High Yield Fund | 20 | 21 |
| 18.259 shrs Pimco High Yield Fund | 177 | 167 |
| 452.381 shrs Northern Lights Fund | 4,460 | 5,370 |
| 94.264 shrs Northern Lights Fund | 984 | 1,119 |
| 2.726 shrs Nortern Lights Fund | 331 | 32 |
| 3.008 shrs Nortern Lights Fund | 36 | 36 |
| 577.823 shrs Salient MLP and Energy Infr | 8,933 | 7,679 |
| 622.498 shrs Toroso Newfound Tactical | 6,269 | 6,219 |
| 814.271 shrs Wells Fargo Absolute Return Fund | 9,185 | 8,835 |
| 14.158 shrs Wells Fargo Absolute Return Fund | 161 | 153 |
| 562.364 shrs Longboard managed Futures | 5,955 | 6,461 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 130 shrs Abbvie Inc | 3,186 | 8,507 |
| 130 shrs Abbott Laboratories | 2,938 | 5,853 |
| 145 shrs Aetna Inc | 5,941 | 12,880 |
| 74 shrs Ameriprise Financial Inc | 1,834 | 9,787 |
| 8 shrs Ameriprise Financial Inc | 344 | 1,058 |
| 13 shrs Ameriprise Financial Inc | 570 | 1,719 |
| 12 shrs Ameriprise Financial Inc | 496 | 1,587 |
| 187 shrs American Express Co | 10,728 | 17,398 |
| 10 shrs American Express | 406 | 930 |
| 115 shrs Bank of America Corp | 6,203 | 2,057 |
| 23 shrs Bank of America Corp | 335 | 411 |
| 72 shrs Bank of America Corp | 1,210 | 1,288 |
| 28 shrs Bank of America Corp | 476 | 501 |
| 190 shrs Brunswick | 5,962 | 9,739 |
| 14 shrs Brunswick | 149 | 718 |
| 23 shrs Brunswick | 368 | 1,179 |
| 150 shrs Berksire Hathaway Inc Cl B | 9,368 | 22,523 |
| 23 shrs Citigroup Inc | 11,553 | 1,245 |
| 22 shrs Citigroup Inc | 620 | 1,190 |
| 100 shrs Caterpillar Inc | 6,083 | 9,153 |
| 10 shrs Caterpillar Inc | 407 | 915 |
| 150 shrs Cigna Corp | 5,913 | 15,437 |
| 95 shrs Clorox Co | 6,109 | 9,900 |
| 3 shrs Clorox Co | 188 | 313 |
| 3 shrs Clorox Co | 271 | 313 |
| 145 shrs Conocophillips | 6,715 | 10,014 |
| 90 shrs Chevron Corp | 6,046 | 10,096 |
| 20 shrs Chevron Corp | 1,497 | 2,244 |
| 150 shrs Dow Chem Co | 6,125 | 6,842 |
| 30 shrs Dow Chem Co | 809 | 1,368 |
| 63 shrs Duke Energy Corp | 3,476 | 5,263 |
| 59 shrs Emerson Elec Co | 2,775 | 3,642 |
| 35 shrs Energizer Holdings Inc | 1,891 | 4,500 |
| 15 shrs Energizer Holdings | 881 | 1,928 |
| 6 shrs Energizer Holdings | 358 | 771 |
| 3 shrs Energizer Holdings | 181 | 386 |
| 5 shrs Energizer Holdings | 374 | 643 |
| 170 shrs Eaton Corporation Public | 8,824 | 11,553 |
| 6 shrs Eaton Corporation Public | 311 | 408 |
| 113 shrs AGL Resources Inc | 4,536 | 6,160 |
| 15 shrs AGL Resources Inc | 624 | 818 |
| 335 shrs General Electric Co | 11,832 | 8,465 |
| 99 shrs General Electric Co | 1,192 | 2,502 |
| 5 shrs General Electric Co | 82 | 126 |
| 17 shrs General Electric Co | 300 | 430 |
| 192 shrs General Electric Co | 5,445 | 10,239 |
| 44 shrs Hartford Finl Svcs Grp Inc | 733 | 1,834 |
| 77 shrs Hartford Finl Svcs Grp Inc | 1,385 | 3,210 |
| 145 shrs Honeywell Intl Inc | 6,173 | 14,488 |
| 10 shrs Honeywell Intl Inc | 340 | 999 |
| 79 shrs Kimberly Clark Corp | 5,011 | 9,128 |
| 12 shrs Kimberly Clark Corp | 690 | 1,386 |
| 4 shrs Kimberly Clark Corp | 234 | 462 |
| 33.3333 Kraft Foods Group Inc Cl A | 987 | 2,089 |
| 4 shrs Kraft Foods Group Inc Cl A | 124 | 251 |
| 2.667 shrs Kraft Foods Group Inc Cl A | 83 | 167 |
| 70 shrs Lockheed Martin Corp | 6,082 | 13,480 |
| 10 shrs Lockheed Martin Corp | 775 | 1,926 |
| 100 shrs Mondelez International Inc | 1,839 | 3,633 |
| 12 shrs Mondelez International Inc | 230 | 436 |
| 8 shrs Mondelez International Inc | 155 | 291 |
| 113 shrs 3M Company | 8,922 | 18,568 |
| 4 shrs 3M Company | 304 | 657 |
| 145 shrs Altria Group Inc | 2,738 | 7,144 |
| 74 shrs Altria Group Inc | 1,297 | 3,646 |
| 15 shrs Altria Group Inc | 290 | 739 |
| 11 shrs Altria Group Inc | 224 | 542 |
| 42 shrs Norfolk Southern Corp | 2,926 | 4,604 |
| 142 shrs Plum Creek Timber Co Inc | 5,061 | 6,076 |
| 200 shrs Public Service Enterprise Grp | 6,091 | 8,282 |
| 48 shrs Pepsico Inc | 4,189 | 4,539 |
| 145 shrs Philip Morris International | 6,290 | 11,810 |
| 43 shrs Prudential Finl | 3,873 | 3,890 |
| 72 shrs Phillips 66 | 1,982 | 5,162 |
| 142 shrs Royal Dutch Shell | 9,831 | 9,507 |
| 95 shrs Spectra Energy Corp | 2,519 | 3,449 |
| 11 shrs Spectra Energy Corp | 189 | 399 |
| 38 shrs Spectra Energy Corp | 737 | 1,379 |
| 14 shrs Spectra Energy Corp | 313 | 508 |
| 44 shrs Schlumberger Ltd | 3,612 | 3,758 |
| 174 shrs Target Corp | 10,242 | 13,208 |
| 270 shrs Textron Inc | 12,127 | 11,370 |
| 21 shrs Wells Fargo | 5,847 | 1,151 |
| 99 shrs Wells Fargo | 2,863 | 5,427 |
| 14 shrs Wells Fargo | 420 | 767 |
| 50 shrs Wells Fargo | 1,326 | 2,741 |
| 165 shrs Waste Management | 6,174 | 8,468 |
| 24 shrs Waste Management | 676 | 1,232 |
| 3 shrs Waste Management | 102 | 154 |
| 500 shrs Deutsche X-Trackers MSCI | 13,955 | 13,500 |
| 37 shrs Deutsche X-Trackers MSCI | 1,033 | 999 |
| 357 shrs Global X Next Emerging | 9,378 | 8,336 |
| 184 shrs Claymore Guggenheim | 9,222 | 9,185 |
| 121 shrs Claymore Guggenheim | 6,068 | 6,040 |
| 6 shrs Claymore Guggenheim | 302 | 300 |
| 187 shrs Claymore Guggenheim | 9,380 | 9,335 |
| 119 Ishrs Core S&P 500 | 14,348 | 24,618 |
| 17 Ishrs Core S&P 500 | 2,335 | 3,517 |
| 2 Ishrs Core S&P 500 | 287 | 414 |
| 13 Ishrs Core S&P 500 | 2,139 | 2,689 |
| 142 Powershares QQQ Nasdaq 100 | 11,830 | 14,662 |
| 31 shrs Spdr S&P MidCap 400 | 4,048 | 8,183 |
| 21 shrs Spdr S&P MidCap 400 | 1,958 | 5,543 |
| 1 shr Spdr S&P MidCap 400 | 178 | 264 |
| 5.7982 shrs Tortoise Energy Infrastrct | 152 | 254 |
| 3.8892 shrs Tortoise Energy Infrastrct | 107 | 170 |
| 6.6632 shrs Tortoise Energy Infrastrct | 106 | 292 |
| 4.7301 shrs Tortoise Energy Infrastrct | 90 | 207 |
| 4.0037 shrs Tortoise Energy Infrastrct | 93 | 175 |
| 4.2918 shrs Tortoise Energy Infrastrct | 95 | 188 |
| 3.6136 shrs Tortoise Energy Infrastrct | 98 | 158 |
| 115 shrs Tortoise Energy Infrastrct | 3,546 | 5,034 |
| 5.2581 shrs Tortoise Energy Infrastrct | 148 | 230 |
| 5.0445 shrs Tortoise Energy Infrastrct | 153 | 221 |
| 5.0175 shrs Tortoise Energy Infrastrct | 157 | 220 |
| 4.6649 shrs Tortoise Energy Infrastrct | 161 | 204 |
| 4.3362 shrs Tortoise Energy Infrastrct | 165 | 190 |
| 4.689 shrs Tortoise Energy Infrastrct | 168 | 205 |
| 79 shrs Tortoise Energy Infrastrct | 3,152 | 3,458 |
| 34 shrs Tortoise Energy Infrastrct | 1,300 | 1,488 |
| 31 shrs Tortoise Energy Infrastrct | 1,371 | 1,357 |
| 19 shrs Tortoise Energy Infrastrct | 876 | 832 |
| 253 shrs Vanguard FTSE Developed Mkt | 8,546 | 9,584 |
| 47 shrs Vanguard FTSE Developed Mkt | 1,740 | 1,780 |
| 76 shrs Vanguard FTSE Developed Mkt | 3,103 | 2,879 |
| 1 shrs Vanguard FTSE Developed Mkt | 41 | 38 |
| 204 shrs Vanguard High Dividend Yield | 8,217 | 14,025 |
| 143 shrs Vanguard FTSE Emerging Market | 5,694 | 5,723 |
| 5 shrs Vanguard FTSE Emerging Market | 205 | 200 |
| 2 shrs Vanguard FTSE Emerging Market | 83 | 80 |
| 388 shrs Vanguard Short Term Corp | 31,092 | 30,896 |
| 3 shrs Vanguard Short Term Corp | 240 | 239 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Lawrence Kamin Saunders Legal | 100 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Secretary of State | 10 | |||
| Foreign Tax | 146 |
| Description | Revenue And Expenses Per Books | Net Investment Income | Adjusted Net Income |
|---|---|---|---|
| 964-021854 cap gain distribution | 250 | 250 | |
| 964-021858 cap gain distribution | 556 | 556 | |
| 964-021854 nondividend distribution | 345 | ||
| 964-021858 nondividend distribution | 77 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Coyle Asset Managment Co. Investment | 9,182 | 9,182 | 9,182 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Federal Tax Payment | 1,508 |