| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Accounting Fees | 1,150 | 1,150 | 1,150 | 0 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 219 shares Disney Walt Co New | 6,278 | 20,628 |
| 417 sh Pepsico Inc | 6,779 | 39,432 |
| 182 shares Philip Morris International | 4,261 | 14,824 |
| 573 sh CVS Caremark | 11,800 | 41,991 |
| 776 shares Spectra Energy Corp | 16,948 | 28,169 |
| 152 shares Occidental Petrol Corp | 3,236 | 12,253 |
| 176 shares Chevron Corporation | 15,497 | 19,744 |
| 298 shares Conoco Phillips | 8,737 | 20,580 |
| 595 shares Wells Fargo & Co | 3,939 | 32,618 |
| 961 shares Visa Inc Class A | 6,359 | 25,171 |
| 430 sh JP Morgan Chase & Co | 16,664 | 26,910 |
| 554 sh Glaxo Smithkline Spons Adr | 26,905 | 23,678 |
| 157 SH STRYKER CORPORATION | 3,095 | 14,810 |
| 237 SH UNITED TECHNOLOGIES CORP | 1,808 | 27,255 |
| 555 SH GENERAL ELECTRIC CORP | 8,107 | 14,025 |
| 196 SH UNITED PARCEL SERVICE CL B | 12,771 | 21,789 |
| 404 SH QUALCOMM, INC. | 17,789 | 30,029 |
| 426 SH CERNER CORP | 4,127 | 27,545 |
| 344 SH APPLE INC. | 18,476 | 37,971 |
| 3036 SH ISHARES Core S&P SMALLCAP | 186,866 | 346,286 |
| 2345 SH ISHARES Core S&P MIDCAP | 184,077 | 339,556 |
| 2205 SH VANGUARD REIT ETF | 94,303 | 178,605 |
| 2530 SH VANGUARD FTSE EMERG MKT ETF | 97,632 | 101,250 |
| 3051 SH ISHARES MSCI EAFE INDEX FUND | 175,966 | 185,623 |
| 2595 SH IPATH DOW JONES | 107,662 | 77,616 |
| 10 sh Priceline.Com | 6,190 | 11,402 |
| 173 shares Yum! Brands Inc | 12,262 | 12,603 |
| 308 shares Phillips 66 | 9,008 | 22,083 |
| 150 sh Intercontinental Exchange Inc | 17,217 | 32,893 |
| 356 shares PPL Corporation | 10,109 | 12,933 |
| 122 sh ISHARES Nasdaq Biotech ETF | 19,141 | 37,009 |
| 573 shares Utilities Sector SPDR | 22,543 | 27,057 |
| 116 SH DISCOVERY COMMUNICATIONS | 4,171 | 3,996 |
| 250 SH STATE STREET CORP | 14,761 | 19,625 |
| 375 SH TORCHMARK CORP | 14,811 | 20,314 |
| 86 SH CUMMINS INC | 10,934 | 12,399 |
| 178 SH NORFOLK SOUTHERN CORP | 13,404 | 19,510 |
| 935 SH CORNING INC | 14,690 | 21,440 |
| 15 SH GOOGLE INC CL A | 8,188 | 7,960 |
| 137 SH FACEBOOK INC-A | 3,840 | 10,689 |
| 170 EBAY INC | 8,979 | 9,540 |
| 202 SH NXP SEMICONDUCTORS | 6,633 | 15,433 |
| 322 SH CONSUMER DISCRETIONARY SELT | 15,168 | 23,232 |
| 162 sh Michael Kors Holdings LTD | 15,138 | 12,166 |
| 116 sh Discovery Communications | 4,098 | 3,912 |
| 241 sh Walgreens Boots Alliance Inc | 16,347 | 18,328 |
| 161 sh Hess Corporation | 10,729 | 11,885 |
| 157 sh Signature Bank | 20,088 | 19,776 |
| 430 sh Novo Nordisk | 20,593 | 18,198 |
| 130 sh Anthem Inc | 12,510 | 16,337 |
| 304 sh Sirona Dental Systems | 23,870 | 26,561 |
| 15 sh Google Inc Class C | 8,210 | 7,896 |
| 636 sh Materials Select SPDR Fund | 24,750 | 30,896 |
| Category/ Item | Listed at Cost or FMV | Book Value | End of Year Fair Market Value |
|---|---|---|---|
| 1164 POWERSHARES BUILD AMERICA | AT COST | 33,281 | 35,432 |
| 1867 ISHARES INTERMEDIATE CREDIT | AT COST | 201,543 | 204,119 |
| 1383 VANGUARD ST INFLATION PROT INDEX FD | AT COST | 67,933 | 66,716 |
| 1636 POWERSHARES SNR LOAN PORTFOLIO | AT COST | ||
| 196 ishares Iboxx H/Y Corp Bond ETF | AT COST | ||
| 829 sh iShares Barclays 3-7 year ETF | AT COST | 101,126 | 101,395 |
| 325 sh iShares Barclays 1-3 Year CR ETF | AT COST | 34,296 | 34,184 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Legal Fees | 2,750 | 2,750 | 2,750 | 0 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Investment Management Fees | 18,257 | 18,257 | 18,257 | 0 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Federal Balance Due 2013 | 1,816 | 1,816 | 1,816 | |
| Federal Estimate payments | 3,240 | 3,240 | 3,240 | |
| Foreign Taxes Withheld | 121 | 121 | 121 |