| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| DAVIS KINARD & CO, PC | 2,670 | 2,670 | 0 | 0 |
| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 100,000 UNITED PARCEL SERVICE | 98,875 | 149,564 |
| 100,000 JOHN HANCOCK LIFE INS NOTE | 100,000 | 111,135 |
| 100,000 LOEWS CORP NOTES | 99,000 | 104,879 |
| 500 SHS TENN VALLEY AUTH VAR % | 13,287 | 11,955 |
| 500 SHS TENN VALLEY AUTH 3.955% | 13,171 | 12,150 |
| 100,000 MORGAN STANLEY NOTE 4.2% | ||
| 100,000 MORGAN STANLEY SR UNSECURED 4.1% | 100,716 | 100,239 |
| 100,000 DOW CHEMICAL CO NOTES | 100,000 | 100,257 |
| 200,000 KROGER CO SR UNSECURED | 201,839 | 197,552 |
| 100,000 MOTOROLA SOULTIONS INC SR UNSEC | 101,010 | 100,115 |
| 200,000 EBAY INC SR UNSECURED | 198,795 | 195,002 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 2,000 SHS PROCTER & GAMBLE CO | 160,139 | 182,180 |
| 4,000 SHS PHLIIPS 66 | ||
| 2,000 SHS CSX CORP | ||
| 2,000 SHS FLOWSERVE CORP | ||
| 2,000 SHS MONDELEZ | ||
| 1,500 SHS ALTRIA GROUP INC | ||
| 2,000 SHS BRISTOL MYERS SQUIBB CO | 104,546 | 118,060 |
| 1,000 SHS EXXON MOBIL CORP | ||
| 2,000 SHS COCA-COLA | ||
| 1,000 SHS AMGEN INC | ||
| 1,000 SHS BED BATH & BEYOND INC | ||
| 1,000 SHS BOEING CO | 129,765 | 129,980 |
| 2,000 SHS BORG WARNER INC | ||
| 2,000 SHS CANADIAN NATL RY CO | ||
| 2,000 SHS CHEVRON CORPORATION | 228,265 | 224,360 |
| 2,000 SHS CONSOLIDATED EDISON INC | 114,033 | 132,020 |
| 1,000 SHS FASTENAL CO | ||
| 2,000 SHS GENERAL ELECTRIC COMPANY | 54,714 | 50,540 |
| 1,000 SHS GREEN MOUNTAIN COFFEE | ||
| 1,000 SHS HELMERICH & PAYNE INC | ||
| 2,000 SHS INTEL CORP | ||
| 100 SHS MASTERCARD INC CL A | ||
| 2,000 SHS MICROSOFT CORP | ||
| 2,000 SHS NIKE INC CLASS B | ||
| 1,000 SHS PAPA JOHNS INTL INC | ||
| 1,000 SHS PHILIP MORRIS INT INC | 86,009 | 81,450 |
| 500 SHS R L I CORP | ||
| 2,000 SHS ROYAL DUTCH SHELL PLC | ||
| 2,000 SHS UNDER ARMOUR INC CLASS A | 141,079 | 135,800 |
| 2,000 SHS V F CORPORATION | ||
| 2,000 SHS VERIZON COMMUNICATIONS | ||
| 1,000 SHS CVS CAREMARK CORP | 81,388 | 93,902 |
| 1,000 SHS CONOCO PHILLIPS | 141,353 | 138,120 |
| 1,000 SHS WESTAR ENERGY INC | 36,318 | |
| 2,000 SHS PANARA BREAD CO | 361,059 | 349,600 |
| 2,000 SHS PPL CORP | 63,459 | 72,660 |
| 2,000 SHS SOUTHERN COMPANY | 87,496 | 98,220 |
| 1,000 SHS HASBRO INC | 55,249 | 54,990 |
| 2,000 SHS WESTAR ENERGY INC | 85,024 | 123,720 |
| 2,000 SHS KANSAS CITY SOUTHERN NEW | 247,831 | 244,060 |
| 400 SHS CALIFORNIA RES CORP | 3,445 | 2,204 |
| 2,000 SHS ABBOT LABORATORIES | 92,428 | 90,040 |
| 2,000 SHS SOUTHWEST AIRLINES CO | 85,359 | 84,640 |
| 1,000 SHS PFIZER INC | 31,707 | 31,150 |
| 2,000 SHS HEWLETT-PACKARD CO | 74,805 | 80,260 |
| 1,000 SHS DOMINION RES INC VA NEW | 70,563 | 76,900 |
| 2,000 SHS KROGER CO | 130,081 | 128,420 |
| 1,000 SHS CLOROX CO | 106,634 | 104,210 |
| Category/ Item | Listed at Cost or FMV | Book Value | End of Year Fair Market Value |
|---|---|---|---|
| 7,432.558 SHS TEMPLETON GLOBAL BOND FUND | AT COST | 102,069 | 92,833 |
| 21,504 SHS FIRST TRUST SELECT DSIP PORT | AT COST | 212,890 | 232,458 |
| 9,020 SHS FIRST TRUST PORT DEEP VALUE | AT COST | 94,779 | 110,495 |
| 9,822 SHS FIRST TRUST INTEREST RATE HEDG | AT COST | 98,588 | 101,658 |
| Description | Beginning of Year - Book Value | End of Year - Book Value | End of Year - Fair Market Value |
|---|---|---|---|
| ACCRUED INTEREST PURCHASED | 4,128 | 4,128 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| INSURANCE | 750 | 750 | ||
| OUTSIDE SERVICES | 2,300 | 2,300 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| FEDERAL EXCISE TAX | 2,827 | |||
| FOREIGN TAX PAID | 766 |