| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| ACCOUNTING FEES | 5,775 | 2,888 | 0 | 2,887 |
| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 100000 SH BANK OF AMER CORP | 110,374 | 115,976 |
| 100000 SH BARRICK GOLD CORP BO | 90,925 | 106,059 |
| 300000 SH GEORGIA PAC CORP DEB | 311,672 | 399,864 |
| 160000 SH ESCROW GCB GEN MOTOR | 75,719 | 0 |
| 90000 SH HEALTHSOUTH CORP | 0 | 0 |
| 10000 SH KINDER MORGAN INC DEL | 94,885 | 99,698 |
| 100000 SH SOUTHERN COPPER CORP | 109,826 | 117,734 |
| 100000 SH US WEST COMMUNICATIO | 85,544 | 84,737 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 2000 SH PRUDENTIAL PFD PUKPRA | 50,004 | 53,580 |
| 6297 SH AT&T INC COM T | 19,088 | 215,111 |
| 2600 SH ALTRIA GROUP INC MO | 50,916 | 164,398 |
| 600 SH AMERICAN ELEC PWR CO A | 10,313 | 38,526 |
| 400 SH AMERICAN ELEC PWR CO A | 20,944 | 25,684 |
| 4200 SH APPLE INC AAPL | 43,106 | 422,807 |
| 1200 SH BANK OF NOVA SCOTIA CO | 74,787 | 63,588 |
| 915 SH BOEING CO BA | 54,450 | 120,542 |
| 360 SH CHEMOURS CO COM CC | 0 | 5,760 |
| 1700 SH CVS HEALTH CORP COM C | 100,308 | 151,283 |
| 2500 SH COCA COLA CO KO | 101,693 | 105,800 |
| 1096 SH COMCAST CORP NEW CL A | 7,322 | 72,709 |
| 1024 SH CREDIT SUISSE GROUP SP | 58,300 | 13,455 |
| 1500 SH DIAGEO ADR EACH REPR 4 | 131,883 | 174,060 |
| 1800 SH DU PONT E I DE NEMOURS | 13,813 | 120,546 |
| 2000 SH ENDURANCE SPECIALTY HL | 0 | 0 |
| 4800 SH ENTERPRISE PRODUCTS PP | 130,659 | 132,624 |
| 5952 SH EXXON MOBIL CORP XOM | 111,594 | 301,291 |
| 39 SH FAIRPOINT COMMUNICATIONS | 70 | 0 |
| 508 SH FRONTIER COMMUNICATIONS | 0 | 2,113 |
| 8500 SH GENERAL ELECTRIC CO G | 13,719 | 242,292 |
| 6500 SH GENERAL MOTORS CORP ES | 81,720 | 0 |
| 2000 SH GENERAL MILLS INC GIS | 69,258 | 127,760 |
| 1500 SH GLAXOSMITHKLINE ADR EA | 71,985 | 64,695 |
| 730 SH GOLDMAN SACHS GROUP INC | 146,575 | 117,727 |
| 100 SH GOOGLE INC CL A GOOG | 0 | 0 |
| 2000 SH HOME DEPOT INC HD | 55,708 | 257,360 |
| 1880 SH HONEYWELL INTL INC HO | 70,978 | 219,189 |
| 3600 SH INTL BUSINESS MACH IB | 61,055 | 522,299 |
| 900 SH ISHARES MSCI EMERGING M | 44,550 | 33,705 |
| 1500 SH ISHARES MSCI EAFE ETF | 119,610 | 88,695 |
| 1000 SH JOHNSON & JOHNSON JNJ | 64,868 | 118,130 |
| 3947 SH KINDER MORGAN INC COM | 163,208 | 91,294 |
| 2400 SH LINCOLN NATIONAL CORP | 12,616 | 112,752 |
| 857 SH MOTOROLA SOLUTIONS INC | 28,244 | 65,372 |
| 3690 SH NORFOLK SOUTHERN CORP | 11,676 | 245,368 |
| 1000 SH NUCOR CORP NUE | 42,958 | 49,450 |
| 5000 SH RAYTHEON COC OM NEW R | 41,797 | 496,194 |
| 1000 SH ROYAL BANK OF CANADA C | 72,348 | 61,960 |
| 5000 SH SECTOR SPDR TR SHS BEN | 99,758 | 96,500 |
| 1100 SH SOUTHERN CO SO | 47,836 | 56,430 |
| 2120 SH VERIZON COMMUNICATIONS | 14,961 | 110,198 |
| 1500 SH WELLS FARGO & CO NEW | 77,753 | 66,420 |
| 1400 SH YUM BRANDS INC YUM | 101,788 | 127,134 |
| 100SH ALPHABET INCCAPSTK CL A | 59,698 | 80,406 |
| 100 SH ALPHABET INCCAPSTK CL C | 0 | 77,729 |
| 695 SH SELECT SECTOR SPDRTRRL | 0 | 22,775 |
| Category/ Item | Listed at Cost or FMV | Book Value | End of Year Fair Market Value |
|---|---|---|---|
| FIDELITY CAPITAL & INCOME (FAGIX) | 111,412 | 108,403 | |
| FIDELITY STRATEGIC INCOME (FSICX) | 141,551 | 115,589 | |
| PIMCO TOTAL RETURN CLASS D (PTTDX) | 129,605 | 128,491 |
| Description | Beginning of Year - Book Value | End of Year - Book Value | End of Year - Fair Market Value |
|---|---|---|---|
| PREPAID EXCISE TAX | 11,832 | 4,863 | 0 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| STATE FILING FEES | 162 | 50 | 0 | 112 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| PAYROLL TAXES | 9,442 | 7,081 | 0 | 2,360 |
| EXCISE TAX | 9,089 | 9,089 | 0 | 0 |
| FOREIGN TAX PAID | 1,245 | 1,245 | 0 | 0 |