| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| BOOKKEEPING EXPENSES | 1,054 | 0 | 0 | 0 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 100 SH BANK UTICA | ||
| 875 SH ALTRIA GROUP INC | ||
| 965 SH BERKSHIRE HATHAWAY INC | ||
| 450 SH BROWN FORMAN CORP | ||
| 350 SH COMCAST CORPORATION | ||
| 225 SH MARTIN MARIETTA MATERIALS | ||
| 90 SH MASTERCARD CLASS A | ||
| 1,125 SH PHILLIP MORRIS INTL | ||
| 100 SH SCRIPPS NETWRK INTER CL A | ||
| 1,575 SH WELLS FARGO | ||
| 525 SH ANHEUSER BUSCH INBEV | ||
| 650 SH BRITISH AMERICAN TOBACCO | ||
| 775 SH CIE FINANCIERE RICHMONT | ||
| 1,050 SH DIAGEO PLC | ||
| 1,175 SH HEINEKEN HOLDING NV | ||
| 1,550 SH NESTLE S A SPONS | ||
| 585 SH PERNOD-RICARD SA | ||
| 1,425 SH SABMILLER PLC | ||
| 1,300 SH UNILEVER N V | ||
| 395 SH ALEXION PHARMACEUTICALS | ||
| 167 SH BIOGEN IDEC INC | ||
| 166 SH BLACKROCK | ||
| 605 SH CELGENE CORPORATION | ||
| 455 SH COGNIZANT TECHNOLOGY | ||
| 555 DISCOVERY COMMUNICATIONS | ||
| 890 SH DOLLAR GENERAL CORP | ||
| 955 SH EBAY INC | ||
| 280 SH ECOLAB INC | ||
| 54 SH GOOGLE INC CL A | ||
| 97 SH INTUITIVE SURGICAL INC | ||
| 610 SH LAS VEGAS SANDS CORP | ||
| 55 SH MASTERCARD INC CL A | ||
| 540 SH MONSANTO CO | ||
| 555 SH MONSTER BEVERAGE CORP | ||
| 175 SH PRAXAIR INC | ||
| 129 SH PRECISION CASTPARTS CORP | ||
| 47 SH PRICELINE.COM INC | ||
| 110 SH REGENERON PHARMACEUTICALS | ||
| 545 SH THE ESTEE LAUDER CO | ||
| 780 SH TIME WARNER INC | ||
| 450 SH TJX COMPANIES | ||
| 235 SH VISA INC CL A | ||
| 270 SH WYNN RESORTS | ||
| 615 SH YUM BRANDS INC | ||
| 3,070 SH EUROPEAN AERO DEFENSE | ||
| 1,005 SH INVESCO LTD | ||
| 865 SH SWATCH GROUP | ||
| 1,155 SH TENCENT HLDGS | ||
| 29,781.605 SH FPA CRESCENT | ||
| 6,194.66 SH VANGUARD 500 INDEX | ||
| 27,424.53 SH VAN ECK FUNDS | ||
| 26,788.37 SH DODGE & COX INTL STOCK | ||
| 46,598.322 SH FIRST EAGLE OVERS FND | ||
| 80,873.928 SH LAUDUS TR EMERGING MKT | ||
| 12,455 SH VANGUARD FTSE EMERG | ||
| 107,724.936 SH PIMCO UNCONSTRAINED | ||
| 17,632.737 SH TROWE PRICE NEW ERA FN | ||
| 103,761.21 SH DODGE & COX INC FUND | ||
| 86,785.45 PIMCO GLOBAL ADVANTAGE | ||
| 100 SH BANK UTICA NY | 26,400 | 45,250 |
| 875 SH ALTRIA GROUP INC | 26,356 | 43,111 |
| 985 SH BERKSHIRE HATHAWAY INC | 80,859 | 147,898 |
| 450 SH BROWN FORMAN CORP | 23,954 | 39,492 |
| 350 SH COMCAST CORPORATION | 10,279 | 20,148 |
| 225 SH MARTIN MARIETTA MATERIALS | 19,526 | 24,822 |
| 1,000 SH MASTERCARD INC - CLASS A | 45,149 | 86,160 |
| 1,085 SH PHILLIP MORRIS INTL | 93,840 | 88,373 |
| 100 SH SCRIPPS NETWORK INTER - CL A | 4,764 | 7,527 |
| 1,575 SH WELLS FARGO | 53,803 | 86,342 |
| 525 SH ANHEUSER BUSCH INBEV | 37,993 | 58,968 |
| 650 SH BRITISH AMERICAN TOBACCO PLC | 33,662 | 35,473 |
| 835 SH CIE FINANCIERE RICHEMNT | 53,938 | 75,007 |
| 1,050 SH DIAGEO PLC | 26,498 | 30,264 |
| 1,175 SH HEINEKEN HOLDING N V | 54,492 | 73,835 |
| 1,555 SH NESTLE S A SPONS | 97,290 | 113,437 |
| 585 SH PERNOD-RICARD SA | 61,575 | 65,309 |
| 1,425 SH SABMILLER PLC | 59,058 | 74,679 |
| 1,445 SH UNILEVER NV | 50,226 | 56,413 |
| 1,200 SH ABBOTT LABORATORIES | 48,710 | 54,024 |
| 195 SH AFFILIATED MANAGERS GROUP | 39,444 | 41,387 |
| 375 SH ALEXION PHARMACEUTICALS | 36,572 | 69,386 |
| 193 SH BIOGEN IDEC INC | 52,677 | 65,514 |
| 75 SH BLACKROCK | 19,608 | 26,817 |
| 1,150 SH CELGENE CORPORATION | 43,590 | 128,639 |
| 1,220 COGNIZANT TECHNOLOGY | 53,260 | 64,245 |
| 875 SH COMCAST CORP CL A | 44,948 | 50,759 |
| 505 SH DISCOVERY COMMUNICATION - CL C | 12,075 | 17,029 |
| 505 SH DISCOVERY COMMUNICATIONS - CL A | 12,398 | 17,397 |
| 455 SH DOLLAR GENERAL | 20,489 | 32,169 |
| 610 SH DOLLAR TREE INC | 35,565 | 42,932 |
| 54 SH GOOGLE INC CL C | 17,658 | 28,426 |
| 54 SH GOOGLE INC CL A | 17,715 | 28,656 |
| 515 SH LAS VEGAS SANDS CORP | 25,076 | 29,952 |
| 550 SH MASTERCARD CL A | 35,623 | 47,388 |
| 405 SH MONSANTO CO | 31,430 | 48,385 |
| 385 SH MONSTER BEVERAGE CORP | 22,840 | 41,715 |
| 264 SH PRECISION CASTPARTS CORP | 55,356 | 63,592 |
| 142 SH REGENERON PHARMACEUTICALS | 39,370 | 58,256 |
| 735 SH STARBUCKS CORP | 54,283 | 60,307 |
| 54 SH PRICELINE.COM INC | 57,914 | 61,571 |
| 755 SH TIME WARNER INC | 46,864 | 64,492 |
| 235 SH VISA INC CL A | 27,448 | 61,617 |
| 210 SH WYNN RESORTS | 28,604 | 31,240 |
| 1,115 SH INVESCO LTD | 38,756 | 44,065 |
| 300 SH NXP SEMICONDUCTORS NV | 22,298 | 22,920 |
| 330 SH PERRIGO CO LTD | 48,841 | 55,163 |
| 1,935 SH SAFRON S A SPONS | 32,513 | 29,528 |
| 405 SH ALIBABA GROUP HOLDING | 36,329 | 42,096 |
| 180 SH BAIDU INC SPONS ADR | 43,016 | 41,035 |
| 3,650 SH TENCENT HOLDINGS LTD ADR | 20,519 | 52,962 |
| 29,781.602 SH FPA CRESCENT | 900,000 | 1,004,831 |
| 6,279.866 SH VANGUARD 500 INDEX FUND | 785,643 | 1,192,484 |
| 27,424.53 SH VAN ECK FUNDS | 500,000 | 221,590 |
| 29,079.846 SH DODGE & COX INTL STOCK | 1,000,704 | 1,224,552 |
| 50,976.606 SH FIRST EAGLE OVERSEAS FUND | 1,100,000 | 1,131,171 |
| 92,878.73 SH LAUDUS TR EMERGING MARKETS | 800,000 | 767,178 |
| 12,455 SH VANGUARD FTSE EMERGING | 525,486 | 498,449 |
| 107,724.936 SH PIMCO UNCONSTRAINED | 1,242,069 | 1,204,365 |
| 19,972.466 SH TROWE PRICE NEW ERA F | 900,000 | 688,051 |
| 125,297.46 SH DODGE & COX INCOME FUND | 1,700,000 | 1,726,599 |
| 86,785.45 SH PIMCO GLOBAL ADVANTAGE | 993,008 | 922,529 |
| Category/ Item | Listed at Cost or FMV | Book Value | End of Year Fair Market Value |
|---|---|---|---|
| FIR TREE INTERNATIONAL VALUE | AT COST | ||
| SOMERSET SMALL MID CAP | AT COST | ||
| JOHNSTON INTERNATIONAL EQUITY | AT COST | ||
| THE WEATHERLOW OFFSHORE FUND I | AT COST | ||
| NYES LEDGE CAPITAL OFF FD LTD | AT COST | ||
| THE TAP FUND LTD | AT COST | ||
| FIR TREE INTERNATIONAL VALUE | AT COST | 550,000 | 537,976 |
| SOMERSET SMALL MID CAP | AT COST | 400,000 | 397,821 |
| JOHNSTON INTERNATIONAL EQUITY | AT COST | 900,000 | 917,941 |
| THE WEATHERLOW OFFSHORE FUND I | AT COST | 1,700,000 | 2,052,757 |
| NYES LEDGE CAPITAL OFFSHORE FUND LTD | AT COST | 1,650,000 | 1,990,126 |
| THE TAP FUND | AT COST | 500,000 | 353,444 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| DEPOSITORY FEE | 351 | 351 | ||
| INSURANCE | 1,076 | 1,076 | ||
| SUPPLIES | 1,259 | 1,259 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| INVESTMENT ADVISOR FEES | 72,546 | 72,546 | 0 | 0 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| FEDERAL EXCISE | 4,719 | |||
| FOREIGN TAX | 2,922 | 2,922 |