| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| ACCOUNTING EXPENSE | 7,889 | 7,889 | 7,889 | 0 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 650 SHS AETNA INC NEW | ||
| 475 SHS AMERICAN FINANCIAL GROUP INC | ||
| 1500 SHS AMERICAN INTERNATIONAL GROUP | ||
| 650 SHS AON PLC | ||
| 1500 SHS APPLIED MATERIALS INC | ||
| 6600 SHS BANK OF AMERICA CORP | ||
| 850 SHS CAPITAL ONE FINANCIAL CORP | ||
| 425 SHS CHUBB CORP | ||
| 1100 SHS CITIGROUP INC | ||
| 750 SHS DELTA AIR LINES INC DEL | ||
| 650 SHS DISCOVER FINANCIAL SERVICES | ||
| 900SHS EDISON INTERNATIONAL | ||
| 1600SHS ELECTRONIC ARTS INC | ||
| 3300 SHS FORD MOTOR CO | ||
| 1100 SHS GAMESTOP CO | ||
| 800 SHS HALLIBURTON COMPANY | ||
| 450 SHS HARRIS CORP-DEL | ||
| 4400 SHS HEWLETT PACKARD CO | ||
| 1300 SHS KROGER CO | ||
| 200 SHS LEAR CORPORATION | ||
| 125 SHS LIBERTY GLOBARL PLC | ||
| 1000 SHS LINCOLN NATIONAL CORP-IND | ||
| 500 SHS LYONDELLBASELL INDUSTRIES | ||
| 550 SHS MACYS INC | ||
| 550 SHS MEDTRONIC INC | ||
| 700 SHS MICRON TECHNOLOGY INC | ||
| 900 SHS OCCIDENTAL PETE CORP | ||
| 600 SHS PARTNERRE LTD | ||
| 4400 SHS PFIZER INC | ||
| 1200 SHS PULTEGROUP INC | ||
| 850 SHS VALERO ENERGY CORP NEW | ||
| 750 SHS VODAFONE GROUP PLC | ||
| 750 SHS WELLPOINT INC | ||
| 1300 SHS WELLS FARGO & CO | ||
| 190 SHS AFFILIATED MANAGERS GROUP INC | ||
| 650 SHS ALLERGAN INC | ||
| 475 SHS AMPHENOL CORP NEW-CL | ||
| 550 SHS ANSYS INC | ||
| 1295 SHS APPLE INC | ||
| 135 SHS BLACKROCK INC | ||
| 350 SHS BOEING CO | ||
| 425 SHS COGNIZANT TECHNOLOGY SOLUTIONS | ||
| 1500 SHS COMCAST CORP | ||
| 300 SHS COPA HOLDINGS S A | ||
| 200 SHS COSTCO WHOLESALE CORP | ||
| 650 SHS DANAHER CORP | ||
| 1470 SHS GILEAD SCIENCES INC | ||
| 105 SHS INTERCONTINENTALEXCHANGEINC | ||
| 95 SHS INTUITIVE SURGICAL INC | ||
| 110 SHS MCKESSON CORP | ||
| 95 SHS METTLER-TOLEDO INTERNATIONAL | ||
| 275 SHS MICHAEL KORS HLDGS LTD | ||
| 400 MONSANTO CO | ||
| 175 SHS O REILLY AUTOMOTIVE INC | ||
| 850 SHS PHILIP MORRIS INTERNATIONAL | ||
| 325 SHS POLARIS INDUSTRIES INC | ||
| 90 SHS PRECISION CASTPARTS CORP | ||
| 60 PRICELINE COM INC COM NEW | ||
| 800 SHS QUINTILES TRANSNATIONAL | ||
| 700 SHS SCHLUMBERGER LTD | ||
| 800 SHS STARBUCKS CORP | ||
| 550 SHS UNITEDHEALTH GROUP INC | ||
| 475 SHS VISA INC | ||
| 750 SHS WALT DISNEY CO | ||
| 600 SHS ALLSTATE CORP | ||
| 325 SHS ASPEN INSURANCE HOLDINGS | ||
| 650 SHS ASSURANT INC | ||
| 700 SHS ALLEN HAMILTON HOLDING | ||
| 3000 SHS BROCADE COMMUNICATIONS SYS INC | ||
| 1300 SHS CALPINE CORP | ||
| 250 SHS CATERPILLAR INC | ||
| 1175 SHS CVS CORP | ||
| 125 SHS DILLARDS INC | ||
| 500 SHS DOLLAR GENERAL CORP | ||
| 500 SHS DOVER CORP | ||
| 375 SHS EASTMAN CORP | ||
| 650 SHS FOOT LOCKER | ||
| 1300 SHS HESS CORP | ||
| 850 SHS ITT CORP | ||
| 1125 SHS LIBERTY GLOBAL PLC SERIES C | ||
| 1300 SHS MICROSOFT CORP | ||
| 425 SHS MURPHY OIL CORP | ||
| 5400 SHS OFFICE DEPOT INC | ||
| 4100 SHS SLM CORP | ||
| 175 SHS SM ENERGY CORP | ||
| 325 SHS THERAVANCE INC | ||
| 800 SHS TWENTY FIRST CENTURY FOX INC | ||
| 900 SHS UGI CORP | ||
| 950 SHS VOYA FINANCIAL INC | ||
| 4300 SHS XEROX CORP | ||
| 225 SHS ASPEN TECHNOLOGY INC | ||
| 250 SHS DISCOVERY COMMUNICATIONS INC (A) | ||
| 250 SHS DISCOVERY COMMUNICATIONS INC (C) | ||
| 325 SHS ESTEE LAUDER COMPANIES INC | ||
| 650 SHS FACEBOOK INC. | ||
| 600 SHS FMC TECHNOLOGIES INC | ||
| 225 SHS F5 NETWORKS INC | ||
| 145 SHS GOOGLE INC | ||
| 115 SHS GOOGLE INC | ||
| 700 SHS HOME DEPOT INC | ||
| 150 SHS KEURIG GREEN MOUNTAIN INC | ||
| 1200 SHS LINEAR TECHNOLOGY CORP | ||
| 450 SHS MEAD JOHNSON NUTRITION CO | ||
| 800 SHS MONSTER BEVERAGE CORP | ||
| 300 SHS NETSUITE INC | ||
| 750 SHS NIELSEN N V | ||
| 650 SHS NIKE INC CL-B | ||
| 500 SHS NXP SEMICONDUCTORS | ||
| 200 SHS PALL CORP | ||
| 150 SHS RALPH LAUREN CORP | ||
| 350 SHS SERVICENOW INC | ||
| 400 SHS ULTRA SALON COSMETICS | ||
| 400 SHS WABTEC CORP | ||
| 950 SHS AMETEK INC NEW | ||
| 300 SHS BIOGEN IDEC INC | ||
| VANGUARD- INST INDEX FUND INST | 5,379,007 | 5,295,280 |
| Category/ Item | Listed at Cost or FMV | Book Value | End of Year Fair Market Value |
|---|---|---|---|
| ARTWORK | FMV | 849,327 | 849,327 |
| AB SECURITIZED ASSET FUND | FMV | 250,000 | 279,266 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| FILING FEES | 250 | 250 | ||
| FOREIGN TAX EXPENSE | 87 | 87 | 87 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| INVESTMENT ADVISORY FEES | 49,951 | 49,951 | 49,951 | 0 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| EXCISE TAX | 12,718 |