| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| ZBS GROUP | 4,500 | 3,375 | 1,125 | 0 |
| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| JP MORGAN CHASE 4.625% 50,000 SHARES | 54,251 | 51,914 |
| TD AMERITRADE 2.95% 50,000 SHARES | 49,869 | 50,543 |
| UNITED HEALTH GROUP 3.35% 50,000 SHARES | 51,585 | 51,272 |
| WESTPAC BANKING 50,000 | 48,286 | 49,516 |
| BANK NOVA SCOTIA 50,000 | 49,220 | 49,991 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 750 SHARES JOHNSON & JOHNSON CO | 4,504 | 98,363 |
| J.P. MORGAN CHASE & CO 1,100 SHARES | 17,194 | 116,556 |
| 450 SHARES 3M COMPANY | 11,302 | 71,887 |
| 1,000 SHARES PROCTOR & GAMBLE | 12,385 | 102,910 |
| PEPSICO 1,150 SHARES | 20,354 | 147,200 |
| 1200 SHARES EXXON MOBIL | 19,274 | 84,924 |
| 1100 SHARES MICROCHIP TECHNOLOGY INC | 21,216 | 88,033 |
| 900 SHARES NORTHERN TR CORP COM | 49,331 | 76,968 |
| 750 SHARES QUALCOMM INC COM | 31,198 | 50,115 |
| 2300 SHARES CHARLES SCHWAB CORP | 37,494 | 95,703 |
| 2500 SHARES PFIZER | 63,300 | 103,800 |
| 1200 SHARES COLGATE PALMOLIVE CO | 10,316 | 83,544 |
| US BANCORP 1,250 SHARES | 24,325 | 62,750 |
| 500 SHARES ACCENTURE | 15,689 | 89,035 |
| CELGENE 500 SHARES | 10,278 | 46,895 |
| 600 SHARES CHEVRON | 41,158 | 68,310 |
| 950 SHARES DANAHER CORP | 17,582 | 125,410 |
| PAYCHEX 1,000 SHARES | 24,610 | 85,790 |
| ROCHE HLDG 2,400 SHARES | 42,678 | 78,912 |
| 1200 SHARES COGNIZANT TECH SOL | 45,919 | 74,316 |
| 1500 SHARES EAST WEST BANCORP | 32,917 | 64,080 |
| 750 SHARES NICE SYSTEMS LTD ADR | 27,717 | 104,887 |
| 550 SHARES PHILIP MORRIS | 36,000 | 42,421 |
| 1000 SHARES CAPITAL ONE 6% PFD | 25,317 | 25,160 |
| 800 SHARES CERNER CORP | 31,859 | 55,976 |
| 1000 SHARES SL GREEN REALTY 6.5% PFD | 25,556 | 26,040 |
| 1000 SHARES ABOTT LABORATORIES | 37,428 | 76,130 |
| DUKE ENERGY CORP 650 SHARES | 47,236 | 55,646 |
| 550 SHARES WABTEC | 36,094 | 34,309 |
| 1000 SHARES VERIZON COMMUNICATN | 48,988 | 54,350 |
| AMGEN INCORPORATED 225 SHARES | 34,631 | 37,507 |
| APPLE INC 350 SHARES | 39,415 | 61,275 |
| CHUBB 550 SHARES | 57,440 | 80,338 |
| CINTAS 400 SHARES | 34,292 | 88,732 |
| GILEAD SCIENCES 350 SHARES | 37,756 | 21,787 |
| GILEAD SCIENCES 300 SHARES | 20,479 | 18,675 |
| LOWES CO 475 SHARES | 40,409 | 44,308 |
| UNITED TECHNOLOGY 450 SHARES | 50,580 | 56,835 |
| VISA INC 700 SHARES | 55,746 | 112,931 |
| WALT DISNEY 375 SHARES | 36,774 | 49,515 |
| CVS HEALTH CORP 650 SHARES | 51,569 | 34,040 |
| FORTIVE CORPORATION- 850 SHARES | 23,095 | 64,728 |
| BLACK ROCK INC 75 SHARES | 39,363 | 31,167 |
| UNITED TECHNOLOGY CORP 100 SHARES | 13,455 | 12,630 |
| BB&T CORP 1000 SHARES | 24,978 | 24,690 |
| ACTIVISION 850 SHARES | 40,205 | 36,865 |
| BERSHIRE HATHAWAY 225 SHARES | 43,962 | 44,420 |
| PARTNERRE 1000 SHARES | 25,342 | 25,650 |
| CISCO 950 SHARES | 41,107 | 49,429 |
| Category/ Item | Listed at Cost or FMV | Book Value | End of Year Fair Market Value |
|---|---|---|---|
| WEYERHAEUSER 1700 SHARES | AT COST | 26,418 | 38,760 |
| AMERN TOWER CORP 500 SHARES | AT COST | 25,935 | 104,385 |
| 2000 SHARES JP MORGAN CHASE ALERIAN | AT COST | 54,011 | 48,540 |
| 4495.599 DOUBLELINE TOTAL RETURN | AT COST | 51,075 | 47,788 |
| 1600 SHARES ISHARES 1-3 TR BOND | AT COST | 84,324 | 84,896 |
| 1800 SHARES VANGUARD FTSE EMERGING | AT COST | 47,181 | 73,152 |
| OSTERWEIS STRATEGIC 4,981.872 SHARES | AT COST | 55,000 | 55,199 |
| VANGUARD INTERM TERM 3906.78 SHARES | AT COST | 37,830 | 38,325 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Filing Fees | 250 | 188 | 62 | |
| Investment expenses | 38,068 | 28,551 | 9,517 | |
| Postage | 250 | 188 | 62 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| EXCISE TAX ON INVESTMENTS | 1,059 | 794 | 265 | |
| FOREIGN TAXES | 1,273 | 955 | 318 |