| Name | Date Acquired | How Acquired | Date Sold | Purchaser Name | Gross Sales Price | Basis | Basis Method | Sales Expenses | Total (net) | Accumulated Depreciation |
|---|---|---|---|---|---|---|---|---|---|---|
| Publicly Traded Securities | 266,516 | 123,010 | 143,506 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 325 Shares 3M Company | 44,782 | 53,404 |
| 1,010 shares Abbvie Inc | 44,753 | 66,095 |
| 735 shares Apple Inc | 45,441 | 81,129 |
| 1,265 shares AT&T Inc | 45,119 | 42,491 |
| 541 shares BP PLC | 35,322 | 20,623 |
| 1,085 shares Bristol-Myers Squibb Corp | 44,895 | 64,048 |
| 380 shares Chevron Corp | 45,372 | 42,628 |
| 1,820 shares Cisco Systems Inc | 44,898 | 50,623 |
| 635 shares ConocoPhillips | 45,205 | 43,853 |
| 530 shares Deere & Company | 45,456 | 46,889 |
| 795 shares Dominion Resources Inc | 44,830 | 61,136 |
| 835 shares Du Pont De Nemours & Co | 45,238 | 61,740 |
| 670 shares Duke Energy Corp | 44,874 | 55,972 |
| 685 shares Emerson Electric Company | 44,989 | 42,285 |
| 490 shares Exxon Mobil Corp | 44,703 | 45,301 |
| 1,910 shares General Electric Co | 44,990 | 48,266 |
| 925 shares General Mills Inc | 44,936 | 49,330 |
| 895 shares Glaxo Wellcome PLC ADR | 45,053 | 38,252 |
| 235 shares IBM Corp | 45,216 | 37,703 |
| 1,930 shares Intel Corp | 45,061 | 70,040 |
| 525 shares Johnson & Johnson | 44,896 | 54,899 |
| 950 shares JP Morgan Chase & Co | 45,952 | 59,451 |
| 450 shares Kimberly Clark Corp | 42,885 | 51,993 |
| 460 shares McDonalds Corp | 44,967 | 43,102 |
| 930 shares Merck & Co Inc | 44,834 | 52,815 |
| 1,405 shares Microsoft Corp | 44,703 | 65,262 |
| 320 shares National Oilwell Varco Inc | 20,163 | 20,970 |
| 2,000 shares OGE Energy Corp | 27,453 | 70,960 |
| 555 shares Pepsico Inc | 44,827 | 52,480 |
| 1,575 shares Pfizer Inc | 45,084 | 49,061 |
| 980 Principal Financial Group | 44,939 | 50,901 |
| 570 shares Procter & Gamble Co | 45,081 | 51,921 |
| 285 shares Schlumberger Ltd | 24,869 | 24,342 |
| 1,000 shares Southern Co | 35,503 | 49,110 |
| 1,325 shares Sysco Corp | 44,567 | 52,589 |
| 625 shares Target Corp | 44,748 | 47,444 |
| 540 shares Travelers Companies Inc | 44,773 | 57,159 |
| 525 shares United Parcel Service | 44,974 | 58,364 |
| 955 shares Verizon Communications Inc | 45,085 | 44,675 |
| 1,000 shares Wells Fargo & Co | 40,839 | 54,820 |
| 1,500 shares JP Morgan Chase & Co 6.3% | 37,185 | 38,340 |
| 320 shares Front Street Market Inc | 32,000 | 32,000 |
| Category/ Item | Listed at Cost or FMV | Book Value | End of Year Fair Market Value |
|---|---|---|---|
| 19,249.278 Metropolitian West High Yield Bond Fund | 200,000 | 186,911 | |
| 18,639.329 Vanguard Short-Term Invest Grade Admiral | 200,000 | 198,695 | |
| 21,834.061 Eaton Vance Floating Rate CL I | 200,000 | 194,542 | |
| 4,293.818 shares Harbor International Fund | 290,000 | 278,154 | |
| 8,886.141 shares UMB Scout International Fund | 311,269 | 289,599 | |
| 6,867.397 shares Keeley Small Cap Value Fund | 240,552 | 265,356 | |
| 20,712.838 shares Pennsylvania Mutual Fund | 282,207 | 269,267 |
| Description | Amount |
|---|---|
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Iowa State Bank Investment Fees | 20,925 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| 2013 Excise Tax | 759 | |||
| 2014 Estimated Tax | 800 |