| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| ACCOUNTING FEES | 9,655 | 4,827 | 4,828 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 1412.026 SHARES AB DISCOVERY GROWTH FND CL ADV | 7,608 | 12,482 |
| 693.923 SHARES AB DISCOVERY VALUE FUND CL ADV | 7,979 | 12,699 |
| 34 SHARES AETNA INC | 2,676 | 3,676 |
| 94 SHARES ALLSTATE CORP | 6,438 | 5,836 |
| 3 SHARES ALPHABET INC-CL A | 0 | 2,334 |
| 10 SHARES ALPHABET INC-CL C | 2,409 | 7,589 |
| 111 SHARES ALTRIA GROUP INC | 5,383 | 6,461 |
| 42 SHARES AMDOCS LTD | 615 | 2,292 |
| 49 SHARES AMERICAN ELECTRIC POWER | 2,717 | 2,855 |
| 43 SHARES AMPHENOL CORP-CL A | 1,832 | 2,246 |
| 33 SHARES ANSYS INC | 1,538 | 3,053 |
| 26 SHARES ANTHEM INC | 3,005 | 3,625 |
| 101 SHARES APPLE INC | 5,060 | 10,631 |
| 244 SHARES APPLIED MATERIALS INC | 4,623 | 4,555 |
| 51 SHARES BALL CORP | 2,884 | 3,709 |
| 381 SHARES BANK OF AMERICA CORP | 2,427 | 6,412 |
| 983.435 SHARES BERNSTEIN EMERGING MARKETS PORTFOLIO(1) | 1,631 | 22,098 |
| 15195.717 SHARES BERNSTEIN INTERMEDIATE DURATION PORTFOLIO(1) | 32,010 | 197,850 |
| 7040.327 SHARES BERNSTEIN INTERNATIONAL PORTFOLIO(1) | 3,838 | 107,154 |
| 11 SHARES BIOGEN INC | 566 | 3,370 |
| 0 SHARES BOOZ ALLEN HAMILTON HOLDING | 13 | 0 |
| 43 SHARES CAPITAL ONE FINANCIAL CORP | 723 | 3,104 |
| 100 SHARES CF INDUSTRIES HOLDINGS INC | 4,993 | 4,081 |
| 109 SHARES CITIZENS FINANCIAL GROUP | 2,855 | 2,855 |
| 82 SHARES COMCAST CORP-CLASS A | 2,401 | 4,627 |
| 21 SHARES COSTCO WHOLESALE CORP | 993 | 3,392 |
| 57 SHARES CVS HEALTH CORP | 2,194 | 5,573 |
| 52 SHARES DANAHER CORP | 1,464 | 4,830 |
| 62 SHARES DELTA AIR LINES INC | 2,390 | 3,143 |
| 56 SHARES DISCOVER FINANCIAL SERVICES | 3,290 | 3,003 |
| 57 SHARES DOLLAR GENERAL CORP | 3,673 | 4,097 |
| 46 SHARES DR PEPPER SNAPPLE GROUP INC | 2,812 | 4,287 |
| 82 SHARES EBAY INC | 3,251 | 2,253 |
| 48 SHARES EDISON INTERNATIONAL | 2,708 | 2,842 |
| 43 SHARES EOG RESOURCES INC | 3,553 | 3,044 |
| 31 SHARES ESTEE LAUDER COMPANIES-CL A | 2,333 | 2,730 |
| 8 SHARES F5 NETWORKS INC | 905 | 776 |
| 58 SHARES FACEBOOK INC-A | 4,162 | 6,070 |
| 26 SHARES FISERV INC | 1,724 | 2,378 |
| 54 SHARES GAMESTOP CORP-CLASS A | 1,959 | 1,514 |
| 51 SHARES GILEAD SCIENCES INC | 2,016 | 5,161 |
| 42 SHARES HESS CORP | 3,153 | 2,036 |
| 150 SHARES HEWLETT-PACKARD CO | 337 | 2,280 |
| 47 SHARES HOME DEPOT INC | 0 | 6,216 |
| 150 SHARES HP INC | 0 | 1,776 |
| 6 SHARES INTUITIVE SURGICAL INC | 2,722 | 3,277 |
| 80 SHARES ITT CORP | 3,449 | 2,906 |
| 66 SHARES JETBLUE AIRWAYS | 1,517 | 1,495 |
| 44 SHARES JOHNSON & JOHNSON | 0 | 4,520 |
| 16 SHARES KIMBERLY-CLARK CORP | 1,748 | 2,037 |
| 66 SHARES KROGER CO | 0 | 2,761 |
| 17 SHARES L BRANDS INC | 1,609 | 1,629 |
| 33 SHARES L-3 COMMUNICATIONS HOLDINGS | 3,932 | 3,944 |
| 48 SHARES LYONDELLBASELL INDU-CL A | 2,286 | 4,171 |
| 33 SHARES MAGNA INTERNATIONAL INC | 1,730 | 1,338 |
| 23 SHARES MCDONALD'S CORP | 2,215 | 2,717 |
| 13 SHARES MCKESSON CORP | 2,777 | 2,564 |
| 34 SHARES MEDTRONIC PLC | 2,543 | 2,615 |
| 35 SHARES MERCK & CO. INC. | 470 | 1,849 |
| 161 SHARES MICROSOFT CORP | 7,245 | 8,932 |
| 27 SHARES MOBILEYE NV | 1,008 | 1,142 |
| 12 SHARES MONSTER BEVERAGE CORP | 811 | 1,788 |
| 85 SHARES MURPHY OIL CORP | 3,630 | 1,908 |
| 78 SHARES NIKE INC -CL B | 2,018 | 4,875 |
| 25 SHARES NORTHROP GRUMMAN CORP | 4,009 | 4,720 |
| 64 SHARES ORACLE CORP | 2,538 | 2,338 |
| 18396.25 SHARES OVERLAY A PORTFOLIO CLASS 1 | 21,998 | 212,109 |
| 5403.834 SHARES OVERLAY B PORTFOLIO CLASS 1 | 5,614 | 54,741 |
| 49 SHARES PEPSICO INC | 3,503 | 4,896 |
| 151 SHARES PFIZER INC | 0 | 4,874 |
| 96 SHARES PPL CORPORATION | 3,215 | 3,276 |
| 2 SHARES PRICELINE GROUP INC/THE | 2,329 | 2,550 |
| 6 SHARES PUBLIC STORAGE | 1,291 | 1,486 |
| 11 SHARES ROCKWELL COLLINS INC. | 1,029 | 1,015 |
| 69 SHARES ROSS STORES INC | 3,284 | 3,713 |
| 27 SHARES SCHLUMBERGER LTD | 1,059 | 1,883 |
| 51 SHARES SEALED AIR CORP | 2,670 | 2,275 |
| 13 SHARES SERVICENOW INC | 609 | 1,125 |
| 10 SHARES SHERWIN-WILLIAMS CO/THE | 898 | 2,596 |
| 65 SHARES STARBUCKS CORP | 2,446 | 3,902 |
| 53 SHARES SYNCHRONY FINANCIAL | 1,605 | 1,612 |
| 23 SHARES UNION PACIFIC CORP | 0 | 1,799 |
| 22 SHARES UNITED TECHNOLOGIES CORP | 2,602 | 2,114 |
| 44 SHARES UNITEDHEALTH GROUP INC | 5,140 | 5,176 |
| 93 SHARES US BANCORP | 3,921 | 3,968 |
| 34 SHARES VALERO ENERGY CORP | 1,733 | 2,404 |
| 46 SHARES VERIZON COMMUNICATIONS INC | 2,106 | 2,126 |
| 74 SHARES VISA INC - CLASS A SHRS | 428 | 5,737 |
| 60 SHARES VOYA FINANCIAL INC | 2,529 | 2,215 |
| 43 SHARES WALT DISNEY CO/THE | 2,644 | 4,518 |
| 152 SHARES WELLS FARGO & COMPANY | 2,318 | 8,263 |
| 349 SHARES XEROX CORP | 3,735 | 3,710 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| INVESTMENT ADVISORY FEES | 3,609 | 3,609 | 0 | |
| FILING FEE | 15 | 0 | 15 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| FOREIGN TAXES PAID | 248 | 248 | 0 | |
| FEDERAL ESTIMATED TAX PAYMENTS | 527 | 0 | 0 |