| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| KIRCALDIE RANDALL & MCNAB LLC | 1,200 | 0 | 1,200 |
| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| ARCONIC INC 5.55% 02/01/2017, 25000 SHARES | 24,594 | 25,534 |
| BARCLAYS BANK VAR% 6/24/2018, 25000 SHARES | 25,000 | 26,800 |
| FORD MOTOR CR 3.45% 3/208/2021, 50000 SHARES | 50,000 | 49,762 |
| GOLDMAN SACHS 2% 06/16/2021 | 50,000 | 50,407 |
| MFS EMERGING MARKETS DEBT FD, 3272 SHARES | 50,000 | 48,986 |
| HARBOR BOND FUND, 16405 SHARES | 195,974 | 194,889 |
| ISHARES CORE US AGGREGATE BD | 200,200 | 199,895 |
| METROPOLITAN WEST TOTAL RETURN BOND FD 27804 SHARES | 300,000 | 304,331 |
| T ROWE PRICE HIGH YIELD FUND, 22569 SHARES | 150,000 | 150,128 |
| VANGUARD INT TERM CORP, 9560 SHARES | 100,000 | 96,020 |
| VANGUARD ST INVESTMENT GRADE FD, 11531 SHARES | 125,000 | 124,271 |
| WESTERN ASSET CORE PLUS BOND FD, 10584 SHARES | 125,000 | 125,953 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| ADIENT | 0 | 5,702 |
| ALPHABET, 200 SHARES | 101,103 | 161,980 |
| AMAZON, 120 SHARES | 29,741 | 94,778 |
| APACHE, 835 SHARES | 70,046 | 49,875 |
| APPLE, 1200 SHARES | 25,116 | 136,248 |
| BANK OF AMERICA, 6000 SHARES | 46,839 | 99,000 |
| BLACKROCK, 250 SHARES | 36,642 | 85,310 |
| CAPITAL ONE FINANCIAL, 1250 SHARES | 68,569 | 92,550 |
| CERNER, 1000 SHARES | 51,990 | 58,580 |
| CHEVRON, 850 SHARES | 52,596 | 89,038 |
| CHUBB, 662 SHARES | 73,535 | 84,074 |
| CISCO, 2250 SHARES | 49,468 | 69,030 |
| COGNIZANT TECHNOLOGY 1000 SHARES | 63,433 | 51,350 |
| CUMMINS, 600 SHARES | 78,713 | 76,692 |
| CVS, 1400 SHARES | 57,252 | 118,335 |
| DANAHER, 1225 SHARES | 26,041 | 96,224 |
| DUNKIN BRANDS, 1000 SHARES | 30,275 | 48,360 |
| ECOLAB, 675 SHARES | 36,036 | 77,065 |
| EXXON MOBIL, 750 SHARES | 21,715 | 62,490 |
| FACEBOOK, 725 SHARES | 76,697 | 94,968 |
| FISERV, 1000 SHARES | 45,005 | 98,480 |
| FORTIS, 1504 SHARES | 47,399 | 49,406 |
| GENERAL DYNAMICS, 500 SHARES | 74,931 | 75,370 |
| GENERAL ELECTRIC, 4000 SHARES | 51,454 | 116,400 |
| INTEL, 900 SHARES | 21,604 | 31,383 |
| ISHARES NASDAQ BIOTECH INDEX FD, 225 SHARES | 28,077 | 57,753 |
| JOHNSON & JOHNSON, 800 SHARES | 16,897 | 92,792 |
| JOHNSON CONTROLS, 1253 SHARES | 60,282 | 50,521 |
| JP MORGAN CHASE, 1500 SHARES | 30,362 | 103,890 |
| LABORATORY CORP OF AMERICA, 650 SHARES | 46,814 | 81,471 |
| MICROSOFT, 1250 SHARES | 39,764 | 74,900 |
| MONDELEZ INT'L, 2300 SHARES | 56,777 | 103,362 |
| ORACLE, 2350 SHARES | 48,254 | 90,287 |
| PEPSICO, 950 SHARES | 33,974 | 101,840 |
| PFIZER, 1800 SHARES | 28,731 | 57,078 |
| PNC FINANCIAL, 600 SHARES | 44,292 | 57,690 |
| PROCTER & GAMBLE, 975 SHARES | 8,845 | 85,283 |
| SALESFORCE.COM | 50,009 | 50,733 |
| SCHUMBERGER, 850 SHARES | 71,884 | 66,496 |
| STERICYCLE, 350 SHARES | 19,356 | 28,032 |
| TARGET, 925 SHARES | 45,870 | 63,575 |
| THERMO FISHER SCIENTIFIC, 650 SHARES | 33,933 | 95,570 |
| TRAVELERS, 925 SHARES | 49,454 | 100,067 |
| UNDER ARMOUR, 1200 SHARES | 10,644 | 37,320 |
| UNDER ARMOUR, 1208 SHARES | 10,171 | 31,239 |
| UNITED TECHNOLOGIES, 950 SHARES | 22,205 | 97,090 |
| VERIZON COMMUNICATIONS, 315 SHARES | 14,715 | 15,333 |
| VISA | 49,880 | 53,632 |
| BANK OF AMERICA 7.25% PFD, 40 SHARES | 34,889 | 49,240 |
| ISHARES US PREFERRED STOCK ETF | 50,182 | 49,661 |
| SPDR BARCLAYS CONVERTIBLE SECS | 134,253 | 132,609 |
| FIDELITY SMALL CAP DISCOVERY FD, 3264 SHARES | 75,000 | 90,405 |
| JANUS TRITON FD, 2222 SHARES | 35,000 | 50,711 |
| JP MORGAN MID CAP VALUE FD, 3593 SHARES | 100,000 | 131,046 |
| T ROWE PRICE MID-CAP GROWTH FD, 1724 SHARES | 100,000 | 128,845 |
| MFS INT'L FUND, 5988 SHARES | 150,000 | 226,766 |
| ISHARES EDGE MSCI MIN VOL EAFE ETF | 250,430 | 241,730 |
| ISHARES MSCI EMERGING MKTS | 100,346 | 101,429 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| EXCISE TAX, FYE 10/31/16 | 8,535 | 0 | 0 |