| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Tax Preparation | 4,130 | 0 | 0 | 4,130 |
| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| Petrobras INTL F 3.5% Due 02/06/17 | 33,584 | 33,584 |
| AVIVA PLC 8.25% 400 Sh | 11,148 | 11,148 |
| Accrued Interest | 4,973 | 4,973 |
| Owens-Illinois IN 7.8% Due 05/15/18 | 38,938 | 38,938 |
| PPL Energy Supply 6.5% Due 05/01/18 | 36,778 | 36,778 |
| Costamare Inc. 8.5% PFD 500 Sh | 12,830 | 12,830 |
| First Republic 6.7% PFD 250 Sh | 6,575 | 6,575 |
| Maiden HLDGS Noame 8%PFD 390 Sh | 10,366 | 10,366 |
| Qwest Corp 7.5% PFD 200 Sh | 5,384 | 5,384 |
| US Cellular Cor 6.95% PFD 200 Sh | 4,880 | 4,880 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| Accrued Dividend | 2,753 | 2,753 |
| ABB LTD ADR F 1,316 Sh | 27,833 | 27,833 |
| Allegion Public LTD Co F 133 Sh | 7,376 | 7,376 |
| Boeing Co 88 Sh | 11,438 | 11,438 |
| CVS Caremark Corp 800 Sh | 77,048 | 77,048 |
| Chubb Corporation 230 Sh | 23,798 | 23,798 |
| Clarcor Inc 900 Sh | 59,976 | 59,976 |
| Disney Walt Co 450 Sh | 42,386 | 42,386 |
| Glaxosmithkline PLC ADRF 375 Sh | 16,028 | 16,028 |
| Honeywell International 285 Sh | 28,477 | 28,477 |
| HSBC Holdings PL 8% PFD 300 Sh | 7,971 | 7,971 |
| Ingersoll Rand Cl A NEWF 400 Sh | 25,356 | 25,356 |
| Intercontl HTL New ADR F 646 Sh | 25,872 | 25,872 |
| Johnson & Johnson 600 Sh | 62,742 | 62,742 |
| Kraft Foods Group 52 Sh | 3,258 | 3,258 |
| Mcdonalds Corp 225 Sh | 21,083 | 21,083 |
| Microsoft Corp 570 Sh | 26,477 | 26,477 |
| National Feul Gas Co 1,200 Sh | 83,436 | 83,436 |
| Nestle SA Reg B ADR F 303 Sh | 22,104 | 22,104 |
| Occidental Pete Corp 153 Sh | 12,333 | 12,333 |
| Pepsico incorporated 275 Sh | 26,004 | 26,004 |
| Pfizer Incorporated 1,500 Sh | 46,725 | 46,725 |
| QEP Resources Inc 835 Sh | 16,884 | 16,884 |
| Questar Corporation 1,000 Sh | 25,280 | 25,280 |
| Scana Corporation New 1,372 Sh | 82,869 | 82,869 |
| Toronto Dominion Bank F 400 Sh | 19,112 | 19,112 |
| Travelers Companies Inc 275 Sh | 29,109 | 29,109 |
| UGI Corporation New 2,250 Sh | 85,455 | 85,455 |
| Unilever PLC ADR NEW F 625 Sh | 25,300 | 25,300 |
| United Technologies Corp 200 Sh | 23,000 | 23,000 |
| Verizon Communications 1,000 Sh | 46,780 | 46,780 |
| Wells Fargo Bank 300 Sh | 8,751 | 8,751 |
| Whirlpool Corp 98 Sh | 18,987 | 18,987 |
| 3M Company 300 Sh | 49,296 | 49,296 |
| Anthem Inc 175 Sh | 21,992 | 21,992 |
| California Res Corp 61 Sh | 336 | 336 |
| Centerpoint Energy Inc 803 Sh | 18,814 | 18,814 |
| Lilly Eli & Company 165 Sh | 11,383 | 11,383 |
| Category/ Item | Listed at Cost or FMV | Book Value | End of Year Fair Market Value |
|---|---|---|---|
| Eggshares ETF 573 Sh | FMV | 14,520 | 14,520 |
| Ishares ETF 380 Sh | FMV | 19,676 | 19,676 |
| Ishares Gold Trust 3,280 Sh | FMV | 37,523 | 37,523 |
| Ishares MSCI GRMNY 1,060 Sh | FMV | 29,055 | 29,055 |
| Ishares TR Bond 476 Sh | FMV | 50,451 | 50,451 |
| Ishares TR Russel 2000 272 Sh | FMV | 32,537 | 32,537 |
| Ishares TR Tips 275 Sh | FMV | 30,803 | 30,803 |
| PIMCO ETF 393 Sh | FMV | 39,626 | 39,626 |
| Powershares S&P ETF 838 Sh | FMV | 31,810 | 31,810 |
| Powershares DB 2,181 Sh | FMV | 40,239 | 40,239 |
| Powershares QQQ Trust 937 Sh | FMV | 96,745 | 96,745 |
| SPDR S&P 500 ETF TR 319 Sh | FMV | 65,567 | 65,567 |
| SPDR Barclays ETF 1,609 Sh | FMV | 49,195 | 49,195 |
| Vanguard Bond Index Fund 1,072 Sh | FMV | 88,301 | 88,301 |
| Vanguard DIV Appriciation 931 Sh | FMV | 75,560 | 75,560 |
| Vangaured FTSE Emerging 341 Sh | FMV | 13,647 | 13,647 |
| Vangaured FTSE ETF 1,011 Sh | FMV | 38,296 | 38,296 |
| Vangaured INTL EQTY ETF 896 Sh | FMV | 47,954 | 47,954 |
| Vangaured REIT 639 Sh | FMV | 51,759 | 51,759 |
| Vangaurd Total Stock MKT 402 Sh | FMV | 42,612 | 42,612 |
| Wisdomtree Asia ETF 312 Sh | FMV | 14,641 | 14,641 |
| Global X ETF 583 Sh | FMV | 13,613 | 13,613 |
| Ishares MSCI ETF 1,041 Sh | FMV | 31,178 | 31,178 |
| Ishares MSCI HK ETF 1,395 Sh | FMV | 28,653 | 28,653 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Filing Fees | 60 | 60 | ||
| Other Investment Expenses | 58 | 58 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Investment Management Fees | 19,824 | 19,824 | 0 | 0 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Federal Excise Tax | 3,562 | |||
| Foreign Tax Paid on Dividends | 276 | 276 |