| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| ACCOUNTING | 2,475 | 2,475 |
| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| ANHEUSER BUSCH 7.75% - 18K | ||
| ANHEUSER BUSCH 7.75% 32K | ||
| NUCOR CORP 5.75% - 100,000 SHS | ||
| BANK OF AMERICA 5.2% 50,000SHS | 47,193 | 48,700 |
| EBAY INC 2.60% 50000.00 SHARES | 48,244 | 47,809 |
| ANHEUSER BUSCH 2.5% - 50K | 48,481 | 47,503 |
| EMC CORP 2.65% 50K | 50,107 | 48,684 |
| APPLE INC 50000 SHARES | 50,147 | 49,854 |
| MORGAN STANLEY NTS B/E | 50,195 | 49,581 |
| BANK OF AMERICA B/E 06.100% | 50,225 | 50,783 |
| UNITED HEALTH GROUP INC. 50000 SHARE | 50,716 | 49,436 |
| TRANSCANADA PIPELINES 50000 SHARES | 51,448 | 50,177 |
| OCCIDENTAL PETRO 4.1% 50K | 51,806 | 50,688 |
| AT& T NTS B/E 05.200% | 51,993 | 51,126 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| ABB LTD - 1100 SHARES | 20,001 | 22,308 |
| ABB LTD SPON ADR - 900 SHARES | 21,104 | 18,252 |
| ABBOTT LABS - 500 SHARES | 10,780 | 37,025 |
| ABBOTT LABS - 500 SHARES 1/29/13 | 16,611 | 37,025 |
| ABBVIE INC COM - 500 SHARES | ||
| ABBVIE INC COM - 500 SHARES | 18,958 | 47,135 |
| ACAP STRATEGIC - 7999.853SHS | 112,110 | 123,580 |
| ADOBE SYSTEMS INC 375SHS | 39,867 | 94,084 |
| ALLSTATE CORPORATION 2000 SHARES | ||
| ALPHABET INC CL A - 50 SHARES | 14,609 | 55,483 |
| ALPHABET INC CL C - 75 SHARES | 21,787 | 82,082 |
| AMEREN 500 SHARES | 22,409 | 34,310 |
| AMERICAN FUNDS NEW WORLD F-1 | 25,629 | 47,747 |
| AMERICAN TOWER CORP REIT - 500SHS | 72,799 | 82,245 |
| BANK OF AMERICA CAP, 6.45% - 4000 S | 96,066 | 101,800 |
| BANK OF AMERICA 1,000 P SHARES | ||
| BANK OF AMERICA 6.45% - 1,000 SHARES | 21,993 | 25,450 |
| BANK OF NOVA SCOTIA - 500 SHARES | 22,906 | 27,190 |
| BP - 500 SHARES | 21,638 | 20,175 |
| BRIGHTHOUSE FINANCIAL - 90 SHS | ||
| BRISTOL MYERS SQUIBB - 1000 SHARES | ||
| CAPITAL ONE FINANCIAL 2000 SHARES | 50,453 | 49,240 |
| CELGENE CORP 500 SHARES | ||
| CHEVRON TEXACO CORP - 400 SHARES | 16,474 | 47,576 |
| COCA COLA-2000 SHARES | 21,074 | 50,400 |
| COGNIZANT TECH 1,000SH | 57,668 | 71,230 |
| COMCAST 1000SHS | 27,755 | 39,010 |
| DARDEN RESTAURANTS INC - 200 SHARES | 7,804 | 22,108 |
| DARDEN RESTAURANTS INC - 500 SHARES | 20,810 | 55,270 |
| DIAGEO PLC NEW - 400 SHARES | 21,998 | 57,740 |
| DOWDUPONT INC - 1,000SHS | 43,059 | 57,850 |
| EMERSON ELEC 1,000 SHARES | 52,225 | 67,520 |
| ENTERGY CORP NEW - 300 SHARES | 22,143 | 26,118 |
| FIRST EAGLE GLOBAL FUND - 2243.59 SH | 91,005 | 122,163 |
| HARTFORD FINCL 500 SHS | 10,760 | 22,095 |
| HARTFORD FINCL SERVICE - 1,000 SHARE | 17,534 | 44,190 |
| HILTON WORLDWIDE HOLDINGS, INC 500SH | 26,169 | 37,770 |
| ILLINOIS TOOL WORKS - 300 SHARES | 14,532 | 41,715 |
| ISHARES CORE S&P SMALL-CAP ETF 700SH | 47,560 | 55,510 |
| JP MORGAN CHASE & CO - 500 SHARES | ||
| JP MORGAN CHASE & CO - 500 SHARES | 21,703 | 55,595 |
| LORD ABBETT FLOATING RATE FUND C - 5 | 50,005 | 46,914 |
| MCDONALDS CORP - 300 SHARES | 22,547 | 56,553 |
| MERCK & CO - 500 SHARES | 14,916 | 39,670 |
| MERCK - 500 SHARES | 21,986 | 39,670 |
| METLIFE - 1000 SHARES | ||
| NESTLE - 500 SHARES | 24,670 | 42,610 |
| NEWMONT MINING 500 SHARES | ||
| NEWMONT MINING CORP - 500 SHARES | ||
| OCCIDENTAL PETROLEUM CRP - 300 SHARE | 21,988 | 21,081 |
| PEPSICO - 200 SHARES | 9,617 | 24,388 |
| PEPSICO-500 SHARES | 26,474 | 60,970 |
| PFIZER - 1000 SHARES | 15,878 | 46,230 |
| PFIZER INC - 1,000 SHARES | 37,056 | 46,230 |
| PROCTOR & GAMBLE - 1,400 SHARES | 29,226 | 94,510 |
| PRUDENTIAL FINANCIAL INC - 2000 SHAR | 50,000 | 47,780 |
| PUTNAM SHORT TERM DURATION INCOME FU | 148,712 | 148,699 |
| QUALCOMM INC - 500 SHARES | 21,011 | 29,130 |
| QUALCOMM INC - 500 SHARES | 24,506 | 29,130 |
| REGIONS BANK - 30,000 SHARES | 301,253 | 148,050 |
| SALESFORCE.COM 350SHS | 25,905 | 49,966 |
| STATE STREET CORP 6.00% 2000 SHARES | 51,921 | 49,700 |
| THOMSON REUTERS 907 SHS | 24,897 | 45,640 |
| UNITED TECHNOLOGIES - 400 SHARES | 20,865 | 48,736 |
| UNITEDHEALTH GROUP 200 SHARES | 10,813 | 56,272 |
| WALT DISNEY CO DISNEY.COM 500SHS | 50,471 | 57,745 |
| WELLS FARGO PREFERRED 1800SHS | 50,597 | 46,998 |
| WISDOMTREE SMALLCAP DIVID ETF - 1,20 | 48,829 | 50,112 |
| Description | Amount |
|---|---|
| BOOK/TAX CAPITAL GAIN DIFFERENCE | 182,283 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| EXPENSES | ||||
| FEES | 226 | 226 | ||
| BANK CHARGES | 1 | |||
| OFFICE SUPPLIES & EXPENSE | 21 | |||
| PROGRAM EXPENSES | 2,727 |
| Description | Revenue And Expenses Per Books | Net Investment Income | Adjusted Net Income |
|---|---|---|---|
| SECURITIES LITIGATION | 15 | 15 |
| Description | Beginning of Year - Book Value | End of Year - Book Value |
|---|---|---|
| EXCISE TAX PAYABLE | 3,520 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| FOREIGN TAXES | 1,651 | 1,651 | ||
| EXCISE TAX | 5,915 |