| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| ACCOUNTING FEES | 6,900 |
| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 125,000 ECHOSTAR DBS CORP 6.625% | ||
| 55,000 YUM BRANDS INC 6.25% 4-15-16 | 58,362 | 58,362 |
| 110,000 INTERPUBLIC GRP CO 6.25% | ||
| 15,000 INTERPUBLIC GRP CO 6.25% | ||
| 100,000 SERVICE CORP INTL 6.75% | ||
| 25,000 SERVICE CORP INTL 6.75% | ||
| 50,000 FORD MTR CREDIT 5.625% | 51,592 | 51,592 |
| 100,000 JPMORGAN CHASE 5.15% 10-1-15 | 102,781 | 102,781 |
| 20,000 JPMORGAN CHASE 5.15% | 20,556 | 20,556 |
| 10,000 JPMORGAN CHASE & CO 5.125% | ||
| 110,000 VIDEOTRON LTEE SR NT 6.375% | 110,138 | 110,138 |
| 115,000 OWENS-BROCKWAY GLASS 7.375% | 121,613 | 121,613 |
| 20,000 OWENS-BROCKWAY GLASS 7.375% | 21,150 | 21,150 |
| 110,000 CONSTELLATION BRANDS 7.25% | 118,800 | 118,800 |
| 110,000 GOLDMAN SACHS GROUP 5.625% | 117,986 | 117,986 |
| 100,000 SLM CORP MEDIUM TRM NTS | 104,000 | 104,000 |
| 20,000 SLM CORP MEDIUM TRM NTS | 20,800 | 20,800 |
| 15,000 SLM CORP MEDIUM TRM NTS | 15,600 | 15,600 |
| 10,000 SLM CORP MEDIUM TRM NTS | 10,400 | 10,400 |
| 45,000 FORD MOTOR CREDIT CO FX RT NT | 47,253 | 47,253 |
| 35,000 FORD MOTOR CREDIT CO FX RT NT | 36,752 | 36,752 |
| 15,000 FORD MOTOR CREDIT CO FX RT NT | 15,751 | 15,751 |
| 110,000 GENERAL ELEC CAP CORP MED TM | 113,831 | 113,831 |
| 140,000 ALLY FINL INC GTD SR NT 3.5% | 138,320 | 138,320 |
| 155,000 TYSON FOODS INC GTD SR NT | 156,412 | 156,412 |
| ACCRUED INTEREST PURCHASED NOT PAID | 908 | 908 |
| UNAMORTIZED BOND PREMIUM | 29,046 | 29,046 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 6,060 CLAYMORE EXCH TR FD 2015 | 156,772 | 156,772 |
| 4,430 CLAYMORE EXCH TR FD 2016 | 114,693 | 114,693 |
| 4,480 CLAYMORE EXCH TR FD 2017 | 116,256 | 116,256 |
| 1,115 SHS DIRECTV COM | ||
| 515 SHS DIRECTV COM | 44,651 | 44,651 |
| 21 SHS ALLY FINL INC PERP PFD SER G | 20,991 | 20,991 |
| 2,145 SHS ISHARES INTERMEDIATE | 234,513 | 234,513 |
| 1,005 SHS PEPSICO INC | 95,033 | 95,033 |
| 465 SHS PRECISION CASTPARTS CO | 112,009 | 112,009 |
| 1,130 SHS AMERICAN EXPRESS COMPANY | 105,135 | 105,135 |
| 785 SHS ANSYS INC COM | 64,370 | 64,370 |
| 1,526 SHS APPLE INC | 168,440 | 168,440 |
| 201 SHS AUTOZONE INC | 124,441 | 124,441 |
| 1,015 SHS BEAM INC COM | ||
| 1,150 SHS CELGENE CORP | 128,639 | 128,639 |
| 1,750 SHS DISNEY WALT CO | 164,833 | 164,833 |
| 580 SHS EOG RES INC COM | 53,401 | 53,401 |
| 1,255 SHS FASTENAL CO | 59,688 | 59,688 |
| 860 SHS FIVE BELOW INC COM | 35,114 | 35,114 |
| 880 SHS GILEAD SCIENCES INC | 82,949 | 82,949 |
| 385 SHS GRAINGER WW INC | 98,133 | 98,133 |
| 1,140 SHS HOME DEPOT INC | 119,666 | 119,666 |
| 985 SHS LAS VEGAS SANDS CORP COM | 57,288 | 57,288 |
| 4,434 SHS ISHARES TR FLTG RATE NT FD | 224,094 | 224,094 |
| 345 SHS MCDONALDS CORP | ||
| 515 SHS MCKESSON CORP COM | 106,904 | 106,904 |
| 2,805 SHS MICROSOFT CORP | 130,292 | 130,292 |
| 1,370 SHS QUALCOMM INC | 101,832 | 101,832 |
| 335 SHS RALPH LAUREN CORP CL A | 62,029 | 62,029 |
| 1,510 SHS ROCK-TENN CO CL A | 92,080 | 92,080 |
| 1,055 SHS SCHLUMBERGER LTD COM | 90,108 | 90,108 |
| 1,515 SHS TJX COMPANIES | 103,899 | 103,899 |
| 760 SHS UNITED TECHNOLOGIES | 87,400 | 87,400 |
| 1,520 SHS UNITEDHEALTH GROUP INC COM | 153,657 | 153,657 |
| 515 SHS VISA INC COM CL A | 135,033 | 135,033 |
| 715 SHS 3M CO COM | 117,489 | 117,489 |
| 1,050 SHS ACCENTURE PLC IRELAND | 93,775 | 93,775 |
| 990 SHS ACE LIMITED SHS | 113,731 | 113,731 |
| 590 SHS ALLERGAN INC COM | ||
| 200 SHS ALLERGAN INC COM | 42,518 | 42,518 |
| 965 SHS AMC NETWORKS INC CL A | ||
| 1,095 SHS AMC NETWORKS INC CL A | 69,828 | 69,828 |
| 1,265 SHS AUTONATION INC DEL COM | 76,419 | 76,419 |
| 2,445 SHS CBRE GROUP INC CL A | ||
| 2,680 SHS CBRE GROUP INC CL A | 91,790 | 91,790 |
| 1,585 SHS CELANESE CORP DEL COM | 95,037 | 95,037 |
| 1,905 SHS INTEL CORP | ||
| 1,555 SHS MARATHON OIL CORP COM | 43,991 | 43,991 |
| 1,410 SHS NOBLE CORP PLC SHS | ||
| 2,510 SHS NOBLE CORP PLC | 41,591 | 41,591 |
| 1,740 SHS NXP SEMICONDUCTORS NV COM | ||
| 1,405 SHS NXP SEMICONDUCTORS NV COM | 107,342 | 107,342 |
| 455 SHS POLARIS INDUSTRIES INC COM | 68,814 | 68,814 |
| 915 SHS AMERICAN TOWER REIT COM | 90,448 | 90,448 |
| 1,820 SHS WEYERHAEUSER CO | ||
| 2,410 SHS WEYERHAEUSER CO | 86,495 | 86,495 |
| 1,030 SHS JPMORGAN CHASE & CO ALER | ||
| 7,605 SHS POWERSHS EXCH TR FD | 83,503 | 83,503 |
| DIVIDENDS RECEIVABLE | 348 | 348 |
| Category/ Item | Listed at Cost or FMV | Book Value | End of Year Fair Market Value |
|---|---|---|---|
| FEDERAL NAT'L MTG ASSN 5.125% 1-2-14 | FMV | ||
| BLACKROCK FLOATING RATE INC PORT | FMV | ||
| DOUBLELINE TOTAL RTN BOND FD | FMV | 117,925 | 117,925 |
| BLACKROCK STRATEGIC INCOME OPPT | FMV | 233,486 | 233,486 |
| Description | Amount |
|---|---|
| Description | Revenue And Expenses Per Books | Net Investment Income | Adjusted Net Income |
|---|---|---|---|
| AIG SECURITIES LITIGATION | 1,137 | 1,137 |
| Description | Amount |
|---|---|
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| TELEMUS MANAGEMENT FEES | 60,361 | 60,361 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| STATE OF MI FEES | 5 | |||
| 2013 EXTENSION PAYMENT | 12,000 |