| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| TAX PREPARATION FEE | 1,880 | 1,880 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 115 SHS IBM CORP | ||
| 145 SHS AMERIPRISE FINANCIAL | ||
| 205 SHS ANSYS INC | 5,851 | 18,604 |
| 195 SHS DANAHER CORP | 5,425 | 19,695 |
| 165 SHS APPLE INC | 5,572 | 15,774 |
| 17617.001 SHS VANGUARD FIXED | 97,000 | 100,417 |
| 200 SHS CVS CAREMARK CORP | 5,814 | 19,148 |
| 435 SHS COCA COLA CO | ||
| 1000 SHS MORGAN STANLEY CTL TR | 26,115 | 25,620 |
| 190 SHS PEPSICO INC | 7,281 | 20,129 |
| 145 SHS PRAXAIR INC | ||
| 212 SHS PROCTOR & GAMBLE CO | ||
| 240 SHS SCHLUMBERGER LTD | 11,110 | 18,979 |
| 205 SHS STRYKER CORP | ||
| 305 SHS EMERSON ELECTRIC | ||
| 185 SHS ECOLAB INC | ||
| 115 SHS SPDR S & P MIDCAP 400 | 14,892 | 31,306 |
| 105 SHS O'REILLY AUTOMOTIVE | ||
| 190 SHS GILEAD SCIENCES INC | ||
| 1510 SHS ISHARES INV GR CRP BD | 148,900 | 185,330 |
| 285 SHS J P MORGAN CHASE & CO | 9,552 | 17,710 |
| 180 SHS JOHNSON & JOHNSON | ||
| 405 SHS JOHNSON CONTROLS INC | ||
| 260 SHS QUALCOMM INC | ||
| 335 SHS RESMED INC | ||
| 145 SHS STERICYCLE INC | ||
| 190 SHS UNITED TECHNOLOGIES | 11,658 | 19,485 |
| 395 SHS VERIZON COMM INC | ||
| 200 SHS NOVARTIS AG SPR ADR | ||
| 325 SHS CARMAX | 10,521 | 15,935 |
| 20 SHS GOOGLE INC CLASS A | ||
| 365 SHS METLIFE INC | ||
| 435 SHS ORACLE CORP | ||
| 170 SHS CHEVRON CORP NEW | ||
| 200 SHS FISERV INC | 6,626 | 21,746 |
| 115 SHS PERRIGO CO | ||
| 1105 SHS BANK OF AMERICA CORP | ||
| 1000 SHS POWERSHS SENIOR LOAN | 24,882 | 22,970 |
| 2000 SHS KAYNE ANDERSON MLP | 75,322 | 40,700 |
| 170 SHS CELGENE CORP | 14,642 | 16,767 |
| 235 SHS CAPITAL ONE FINANCIAL | 16,851 | 14,925 |
| 20 SHS GOOGLE CL C COM | ||
| 220 SHS WAL-MART STORES INC | ||
| 1500 SHS FIRST TRUST NORTH AME | 41,355 | 37,020 |
| 2343.187 SHS MANNING & NAPIER | ||
| 310 SHS CISCO SYSTEMS INC | ||
| 310 SHS COMCAST CORP CLASS A | 16,969 | 20,209 |
| 300 SHS NATIONAL OILWELL VARGO | ||
| 330 SHS PRA GROUP INC | ||
| 100 SHS ROPER TECH INC | 15,050 | 17,056 |
| 410 SHS ABBOTT LABORATORIES | 15,274 | 16,117 |
| 20 SHS ALPHABET INC CAP STK CL | 5,942 | 13,842 |
| 60 SHS BIOGEN INC | 13,661 | 14,509 |
| 275 SHS BRISTOL-MYERS SQUIBB C | 19,679 | 20,226 |
| 215 SHS CHURCH & DWIGHT CO INC | 21,363 | 22,121 |
| 445 SHS COGNEX CORP | 17,962 | 19,180 |
| 240 SHS EOG RESOURCES INC | 19,404 | 20,021 |
| 175 SHS FACEBOOK INC CL A | 19,600 | 19,999 |
| 620 SHS GENERAL ELECTRIC CO | 18,513 | 19,518 |
| 135 SHS HOME DEPOT INC | 17,116 | 17,238 |
| 670 SHS HOSPITALITY PROPERTIES | 18,366 | 19,296 |
| 610 SHS INTEL CORP | 18,916 | 20,008 |
| 50 SHS METTLER TOLEDO INTERNAT | 17,786 | 18,246 |
| 170 SHS MIDDLEBY CORP | 19,415 | 19,591 |
| 15 SHS PRICELINE GRP INC COM | 17,925 | 18,726 |
| 145 SHS RAYTHEON CO | 19,107 | 19,713 |
| 355 SHS STARBUCKS CORP | 19,291 | 20,278 |
| 685 SHS SUNCOR ENERGY INC | 18,355 | 18,995 |
| 260 SHS TJX COS INC NEW | 19,337 | 20,080 |
| 235 SHS VISA INC CLASS A | 17,580 | 17,430 |
| 340 SHS WELLS FARGO & CO NEW | 15,561 | 16,092 |
| 55 SHS ALLERGAN PLC | 15,013 | 12,710 |
| 245 SHS MEDTRONIC PLC | 20,484 | 21,259 |
| 140 SHS CHUBB LIMITED COM | 17,393 | 18,299 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| MA FORM PC FILING FEE | 35 | 35 | 0 | |
| ADMINISTRATIVE SERVICES | 3,680 | 3,680 | 0 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| INVESTMENT MANAGEMENT FEES | 15,122 | 15,122 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| FOREIGN TAXES | 190 | 190 | 0 | |
| FEDERAL ESTIMATED TAX | 626 | 0 | 0 | |
| FOREIGN TAXES ON QUALIFIED FOR | 97 | 97 | 0 |