| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| ACCOUNTING FEES | 17,500 | 0 | 17,500 |
| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 14,407 SHS BLACKROCK INTERNATIONAL GROWTH & INCOME | 238,055 | 97,103 |
| 10,000 SHS EATON VANCE TAX-MANAGED GLOBAL DIVERSIFIED FUND | 190,341 | 94,900 |
| 10,019 SHS ALLIANZGI NFJ DIVIDEND INTEREST & PREMIUM STRATEGY FUND | 235,359 | 160,304 |
| 0 CITIGROUP INC. 5.125% DUE 5/5/14 | 0 | 0 |
| 350M GOLDMAN SACHS GROUP INC. 6% DUE 6/15/20 | 378,686 | 404,611 |
| 250M MORGAN STANLEY NOTES 5.55% DUE 4/27/17 | 269,345 | 271,358 |
| 14,138.661 SHS LORD ABBETT FLOATING RATE FUND | 134,159 | 129,652 |
| 4,500 SHS NUVEEN BUILD AMERICA BOND FUND | 81,820 | 95,310 |
| 0 SHS PIMCO UNCONSTRAINED BOND FUND | 0 | 0 |
| 17,475.133 SHS PUTNAM DIVERSIFIED INCOME TRUST FUND | 135,889 | 130,889 |
| 35,000 SHS BARCLAYS BANK 3.5% DUE 1/29/38 | 34,766 | 34,780 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 4,000 SHS ING GROEP NV 7.2% | 99,965 | 103,000 |
| 500 SHS AMERICAN ELEC PWR CO | 18,784 | 30,360 |
| 3,000 SHS ANNALY CAPITAL MANAGEMENT INC | 49,207 | 32,430 |
| 1,000 SHS AT&T INC. | 29,909 | 33,590 |
| 1,000 SHS BROOKFIELD INFRASTRUCTURE PART | 23,223 | 41,870 |
| 500 SHS DOMINION RESOURCES INC. | 24,094 | 38,450 |
| 666 SHS DUKE ENERGY CORP | 39,777 | 55,638 |
| 500 SHS EXELON CORP | 21,884 | 18,540 |
| 500 SHS EXXON MOBIL CORP | 41,661 | 46,225 |
| 1,000 SHS HAWAIIAN ELEC INDS | 24,563 | 33,480 |
| 500 SHS JPMORGAN & CHASE CO | 20,355 | 31,290 |
| 500 SHS LIBERTY PPTY TR SHS | 16,432 | 18,815 |
| 500 SHS NATIONAL GRID | 24,994 | 35,330 |
| 1,500 SHS NEW YORK COMMUNITY BANCORP | 22,528 | 24,000 |
| 300 SHS PEPSICO INC. | 20,430 | 28,368 |
| 1,000 SHS PFIZER INC. | 19,817 | 31,150 |
| 600 SHS PLUM CREEK TIMBER CO INC. | 24,594 | 25,674 |
| 300 SHS PROCTER & GAMBLE CO | 19,404 | 27,327 |
| 500 SHS SEMPRA ENERGY | 25,760 | 55,680 |
| 600 SHS SOUTHERN CO | 24,396 | 29,466 |
| 500 SHS WAL-MART STORES INC. | 28,376 | 42,940 |
| 700 SHS WASTE MANAGEMENT INC. | 25,097 | 35,924 |
| 1909 SHS VODAFONE GP PLC | 98,519 | 65,231 |
| 400 SHS AMERICAN EXPRESS CO | 23,125 | 37,216 |
| 1,000 SHS BP PLC ADR | 42,869 | 38,120 |
| 500 SHS CVS CAREMARK CORP | 24,188 | 48,155 |
| 200 SHS CHEVRON CORP | 20,603 | 22,436 |
| 600 SHS COCA COLA | 22,118 | 25,332 |
| 400 SHS CONOCOPHILLIPS | 23,148 | 27,624 |
| 400 SHS CONSOLIDATED EDISON | 23,711 | 26,404 |
| 1,500 SHS DELTA NAT GAS INC | 31,180 | 31,875 |
| 700 SHS GENERAL MILLS INC | 28,091 | 37,331 |
| 400 SHS GENUINE PARTS CO | 25,632 | 42,628 |
| 400 SHS HONEYWELL | 23,631 | 39,968 |
| 2,000 SHS INTEL CORP | 49,532 | 72,580 |
| 900 SHS JOHNSON & JOHNSON | 62,047 | 94,113 |
| 900 SHS KELLOGG COMPANY | 49,260 | 58,896 |
| 500 SHS KIMBERLY CLARK CORP | 38,801 | 57,770 |
| 200 SHS KRAFT FOODS GROUP | 8,126 | 12,532 |
| 300 SHS LOCKHEED MARTIN CORP | 28,109 | 57,771 |
| 200 SHS MCDONALDS CORP | 19,437 | 18,740 |
| 500 SHS MERCURY GENERAL CORP | 21,381 | 28,335 |
| 1,700 SHS MICROSOFT CORP | 49,210 | 78,965 |
| 600 SHS MONDELEZ INTL | 15,032 | 21,795 |
| 600 SHS NATIONAL FUEL GAS CO | 31,972 | 41,718 |
| 200 SHS PHILLIPS 66 COM | 6,879 | 14,340 |
| 500 SHS RAYTHEON CO | 27,033 | 54,085 |
| 1,000 SHS SOUTHERN COPPER CO | 28,744 | 28,200 |
| 300 SHS UNITED PARCEL SVC INC | 23,333 | 33,351 |
| 400 SHS UNITED TECHNOLOGIES CORP | 32,286 | 46,000 |
| 1620 SHS VERIZON COMMUNICATIONS | 68,971 | 75,783 |
| 600 SHS WALGREEN COMPANY | 21,385 | 45,720 |
| 1,500 SHS WESTERN UNION CO | 26,639 | 26,865 |
| 500 SHS HEALTH CARE REIT INC | 28,314 | 37,835 |
| 800 SHS AUTOMATIC DATA PROCESSING INC | 41,379 | 66,696 |
| 1,000 SHS COLGATE-PALMOLIVE CO | 53,599 | 69,190 |
| 500 SHS DR. PEPPER SNAPPLE GROUP INC | 22,884 | 35,840 |
| 1,000 SHS DUNKIN BRANDS GROUP INC | 36,906 | 42,650 |
| 1,000 SHS KINDER MORGAN INC | 36,616 | 42,310 |
| 1,000 SHS MAIN ST CAP CORP | 29,872 | 29,240 |
| 4,000 SHS MARKET VECTORS ETF | 217,756 | 210,120 |
| 1,000 SHS NEW RESIDENTIAL INVESTMENT CORP | 6,890 | 6,385 |
| 166 SHS NEWCASTLE INVESTMENT CORP | 5,491 | 745 |
| 300 SHS NEXTERA ENERGY INC | 25,630 | 31,887 |
| 2,000 SHS PROSPECT CAP CORP | 22,499 | 16,520 |
| 300 SHS QUALCOMM INC | 19,725 | 22,299 |
| 600 SHS SPDR GOLD TRUST | 96,294 | 68,148 |
| 500 SHS TARGET CORP | 30,334 | 37,955 |
| 500 SHS WELLS FARGO & CO | 21,900 | 27,410 |
| 1,000 SHS LIMITED BRANDS INC | 69,719 | 86,550 |
| 500 SHS MOBILEYE NV | 25,100 | 20,280 |
| 72 SHS NEW MEDIA INVESTMENT GROUP INC | 922 | 1,701 |
| 166 SHS NEW SR INVESTMENT GROUP INC | 3,204 | 2,731 |
| 500 SHS SEAGATE TECHNOLOGY PLC | 31,408 | 33,250 |
| 800 SHS APPLE INC | 93,246 | 88,304 |
| 266 SHS CDK GLOBAL INC | 5,972 | 10,842 |
| 62 SHS HALYARD HEALTH INC | 1,661 | 2,819 |
| Category/ Item | Listed at Cost or FMV | Book Value | End of Year Fair Market Value |
|---|---|---|---|
| INVESTMENT FUNDS | AT COST | 2,122,382 | 2,186,000 |
| INVESTMENT IN PARTNERSHIP | AT COST | 255,233 | 425,642 |
| SIGNATURE CD | AT COST | 271,256 | 271,256 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| STATE FILING FEES | 250 | 0 | 250 | |
| MEALS & ENTERTAINMENT | 1,137 | 0 | 1,137 | |
| BANK CHARGES & MISCELLANEOUS EXPENSE | 508 | 0 | 508 | |
| OFFICE EXPENSES | 428 | 0 | 428 | |
| LOCAL TRANSPORTATION | 242 | 0 | 242 | |
| DUES & SUBSCRIPTIONS | 876 | 0 | 876 | |
| LOSS ON FOREIGN CURRENCIES | 192 | 192 | 0 |
| Description | Beginning of Year - Book Value | End of Year - Book Value |
|---|---|---|
| CREDIT CARD PAYABLE | 645 | 663 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| FOREIGN TAX PAID | 202 | 202 | 0 | |
| FEDERAL EXCISE TAXES | 4,655 | 0 | 4,655 |