| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Accounting & Tax Preparation | 4,950 | 4,455 | 0 | 495 |
| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 33M Morgan Bond | 26,627 | 12,313 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 520 shs Amgen, Inc. | 34,036 | 79,175 |
| 500 shs Exxon-Mobil | 20,624 | 43,710 |
| 552 shs Intel Corp. | 13,388 | 18,238 |
| 97 shs International Business Machs | 14,799 | 14,871 |
| 500 shs Johnson & Johnson | 23,164 | 50,070 |
| 200 shs Kellogg Co. | 5,012 | 13,116 |
| 1450 shs Microsoft Corp. | 32,526 | 58,580 |
| 870 shs Procter & Gamble | 33,301 | 73,332 |
| 1000 shs Qualcomm Inc. | 19,801 | 62,460 |
| 300 shs United Parcel Service Inc Cl B | 18,900 | 29,652 |
| 400 shs Abbott Labs | 7,840 | 17,904 |
| 470 shs Coca Cola Co | 12,055 | 19,350 |
| 500 shs Disney Walt Co | 9,363 | 45,480 |
| 985 shs J P Morgan Chase & Co | 42,132 | 53,564 |
| 500 shs McDonalds Corp | 14,211 | 46,220 |
| 550 shs 3M Co | 29,940 | 89,265 |
| 600 shs Oracle Corp | 14,973 | 25,134 |
| 200 shs Royal Dutch Shell PLC Spons ADR | 11,770 | 12,290 |
| 33150 shs Delphi Energy Corp | 46,397 | 30,597 |
| 395 shs Abbott Labs | 8,976 | 17,680 |
| 388 shs Exxon Mobil Corp | 18,805 | 33,919 |
| 622 shs General Electric Co | 17,304 | 14,860 |
| 255 shs Johnson & Johnson | 14,273 | 25,536 |
| 324 shs Microsoft Corp | 8,240 | 13,090 |
| 260 shs Pepsico Inc | 13,450 | 24,383 |
| 325 shs Proctor & Gamble Co | 15,801 | 27,394 |
| 174 shs Wal Mart Stores Inc | 8,578 | 14,787 |
| 539 shs Wells Fargo & Co New | 14,357 | 27,985 |
| 1169 shs Ishares Tr S&P 500 Index | 107,790 | 234,817 |
| 600 shs Chevron Corp | 21,858 | 61,518 |
| 500 shs Home Depot Inc | 17,590 | 52,210 |
| 300 shs Pepsico Inc | 14,289 | 28,134 |
| 600 shs IShares Russell 2000 Index | 35,625 | 69,420 |
| 500 shs Altria Group Inc | 6,080 | 26,550 |
| 100 shs Medtronic Inc | 4,619 | 7,140 |
| 600 shs I Shares Russell 2000 Value | 34,606 | 58,410 |
| 655 shs Pfizer Inc | 16,516 | 20,469 |
| 500 shs Verizon Communications | 16,903 | 22,855 |
| 500 Shs Merck & Co Inc | 16,640 | 30,140 |
| 500 shs American Express Co | 18,754 | 40,345 |
| 300 shs Chevron Corp | 18,017 | 30,759 |
| 645 shs Oracle Corp | 10,730 | 27,019 |
| 195 shs 3M Co | 15,474 | 31,649 |
| 290 shs Schlumberger Ltd | 10,720 | 23,893 |
| 700 shs Emerson Elec Co | 23,484 | 39,858 |
| 800 shs Illinois Tool Wks Inc | 34,360 | 74,472 |
| 1000 IShares MSCI EAFE Index Fd | 60,490 | 61,220 |
| 100 shs Celgene Corp | 5,630 | 23,832 |
| 256 shs Gilead Sciences Inc | 4,916 | 26,836 |
| 863 shs J P Morgan Chase & Co | 36,839 | 46,930 |
| 345 shs Phillip Morris Int'l Inc | 9,559 | 27,683 |
| 105 shs Visa Inc Com Cl A | 12,949 | 26,766 |
| 280 shs Apple Computer Inc | 20,036 | 32,805 |
| 20 shs Google Inc Cl A | 8,971 | 10,751 |
| 285 shs CVS Corp | 9,160 | 27,976 |
| 325 shs Lowe's COS | 6,675 | 22,022 |
| 165 shs McKesson Corp | 5,912 | 35,087 |
| 188 shs BHP Billiton Ltd Spon ADR | 8,770 | 8,710 |
| 140 shs American Express Company | 6,285 | 11,297 |
| 158 shs Berkshire Hathaway Inc Del | 12,835 | 22,738 |
| 210 shs Nike Inc Cl B | 11,163 | 19,373 |
| 216 shs Mylan Inc | 4,609 | 11,480 |
| 114 shs ACE Ltd Shs | 6,897 | 12,307 |
| 90 shs Amazon.Com Inc | 18,099 | 31,908 |
| 133 shs Capital One Finl Corp | 6,127 | 9,737 |
| 151 shs Qualcomm Inc | 8,139 | 9,431 |
| 63 shs SPDR TR S&P 500 | 7,942 | 12,565 |
| 455 shs American Water Works Co Inc | 12,798 | 25,544 |
| 400 shs Abbvie Inc. | 8,501 | 24,140 |
| 340 shs American Elec Power Inc | 14,424 | 21,355 |
| 194 shs American Tower Corp New | 12,721 | 18,808 |
| 48 shs Blackrock Inc Cl A | 11,305 | 16,344 |
| 165 shs Caterpillar Inc Del | 13,873 | 13,195 |
| 1035 shs Ford Motor Company Com | 10,733 | 15,225 |
| 70 shs Goldman Sachs Group Inc | 8,117 | 12,069 |
| 290 shs Honeywell Intl Inc | 16,697 | 28,350 |
| 280 shs Merck & Co Inc | 12,478 | 16,878 |
| 485 shs Mondelez Intl Inc Cl A | 11,665 | 17,091 |
| 99 shs Occidental Pete Corp Del | 8,059 | 7,920 |
| 296 shs Starbucks Corp | 15,847 | 25,909 |
| 95 shs UnitedHealth Group Inc | 5,123 | 10,094 |
| 145 shs Visa Inc Com Cl A | 19,495 | 36,962 |
| 315 shs Donaldson Inc | 10,485 | 11,516 |
| 115 shs Kraft Foods Group Inc | 2,322 | 7,514 |
| 35 shs Amazon Com Inc | 10,866 | 12,409 |
| 170 shs Berkshire Hathaway Inc Cl B | 19,802 | 24,465 |
| 35 shs Blackrock Inc Cl A | 10,149 | 11,918 |
| 110 shs McKesson Corp | 15,457 | 23,392 |
| 135 shs Nike Inc Cl B | 10,044 | 12,454 |
| 255 shs Norfolk Southern Corp | 20,300 | 26,002 |
| 605 shs Vanguard Emerg Mkt Equity ETF | 23,965 | 24,164 |
| 714 shs Apple Computer Inc | 16,549 | 83,652 |
| 172 shs Cardinal Health Inc | 11,682 | 14,309 |
| 455 shs Citigroup Inc Com New | 22,507 | 21,362 |
| 118 shs Davita Healthcare Partners | 6,881 | 8,857 |
| 305 shs Disney Walt Co | 18,799 | 27,743 |
| 690 shs Fifth Third Bancorp | 12,159 | 11,937 |
| 32 shs Google Inc Cl A | 10,201 | 17,202 |
| 483 shs Lorillard Inc | 21,281 | 31,690 |
| 275 shs Norfolk Southern Corp | 20,666 | 28,042 |
| 238 shs Paychex Inc | 9,595 | 10,772 |
| 202 shs TJX Cos Inc New | 12,591 | 13,320 |
| 151 shs VMWare Inc Cl A | 13,058 | 11,642 |
| 211 shs Lyondellbasell Industries | 17,215 | 16,688 |
| 321 shs TE Connectivity Ltd Reg Shs | 17,475 | 21,311 |
| 93 shs Anthem, Inc | 6,043 | 12,551 |
| 68 shs CF Inds Hldgs Inc | 17,669 | 20,766 |
| 207 shs EOG Res Inc | 18,737 | 18,429 |
| 32 shs Google Inc Cl C | 10,175 | 17,105 |
| 56 shs Grainger W W Inc | 14,199 | 13,207 |
| 225 shs Prudential Finl Inc | 19,296 | 17,073 |
| 211 shs Range Res Corp | 11,145 | 9,763 |
| 75 shs SPDR Tr S&P 500 | 9,455 | 14,959 |
| 148 shs Salesforce Com Inc | 8,555 | 8,355 |
| 497 Verizon Communications | 23,059 | 22,718 |
| 930 shs Activision Blizzard Inc | 18,754 | 19,432 |
| 380 shs Ares Cap Corp | 6,057 | 6,327 |
| 179 Cerner Corp | 10,658 | 11,877 |
| 207 shs Nordstom Inc | 15,946 | 15,773 |
| 246 shs Whole Foods Mkt Inc | 9,134 | 12,815 |
| 301 shs Eaton Corp PLC Shs | 19,802 | 18,990 |
| 20 shs Google Inc Cl C | 8,948 | 10,690 |
| 1202 Ishares MSCI Emerging Mkts | 47,275 | 46,902 |
| 1831 shs SPDR MSCI ACWI X US | 61,907 | 60,917 |
| 430 shs Wisdomtree Tr Emg Mkts Smcap | 18,574 | 18,692 |
| 148 Select Sector SPDR Tr SBI Materials | 7,291 | 7,058 |
| 239 shs Energy Select Sector SPDR | 19,251 | 18,055 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Filing Fees | 60 | 54 | 6 | |
| Trustee Bond | 3,010 | 2,709 | 301 |
| Description | Revenue And Expenses Per Books | Net Investment Income | Adjusted Net Income |
|---|---|---|---|
| Prior Year Grant Recovery | 4,000 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Investment Management Fees | 36,939 | 33,245 | 0 | 3,694 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Federal Excise Tax | 4,996 | |||
| Foreign Taxes on Divs | 112 | 112 |