| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Audit and tax fees | 44,031 | 22,015 | 0 | 22,016 |
| Bookkeeping | 39,425 | 19,713 | 0 | 19,712 |
| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 697,922 Eaton Vance Income Fd of Boston | 4,066,408 | 3,685,028 |
| 720,349 PIMCO All Asset All Auth Fund | 7,404,367 | 5,705,161 |
| 127,276 Templeton Global Bond Fund | 1,620,048 | 1,438,219 |
| 1,003,840 Vanguard ST Corp Bd Idx Fd Adm | 10,831,520 | 10,480,090 |
| 84,119 Vanguard ST Inf-Pr Sec Idx Fd Adm | 2,078,741 | 2,019,699 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 1,055 3M Co | 98,927 | 201,020 |
| 4,240 ACI Worldwide Inc | 76,967 | 117,321 |
| 5,160 Advanced Disposal Services Inc | 120,523 | 123,530 |
| 8,670 Allscripts Healthcare Solutions | 125,446 | 83,579 |
| 3,370 Altra Industrial Motion Corp | 91,654 | 84,756 |
| 2,645 Altria Group Inc | 40,413 | 130,637 |
| 1,995 Amn Healthcare Services Inc | 77,237 | 113,037 |
| 134,865 Artisan International Fd Inv | 3,433,086 | 3,660,226 |
| 7,305 AT&T Inc | 192,667 | 208,485 |
| 7,120 BancorpSouth Bank | 128,319 | 186,117 |
| 5,685 BCE Inc | 246,431 | 224,728 |
| 4,450 BMC Stock Holdings Inc | 96,703 | 68,886 |
| 275 Boeing Co | 11,948 | 88,688 |
| 4,910 Brooks Automation Inc | 123,287 | 128,544 |
| 1,940 Brunswick Corp | 84,840 | 90,113 |
| 9,670 Callon Petroleum Co | 97,093 | 62,758 |
| 740 Carters Inc | 72,300 | 60,399 |
| 247,625 Causeway Internatl Val Inst | 3,345,829 | 3,370,174 |
| 2,000 Central Garden And Pet Co | 56,664 | 62,500 |
| 1,925 Chevron Corp | 135,777 | 209,421 |
| 1,570 Chubb Ltd | 157,491 | 202,813 |
| 5,695 Cisco Systems Inc | 111,764 | 246,764 |
| 3,355 Conocophillips | 149,977 | 209,184 |
| 5,605 Corning Inc | 119,354 | 169,327 |
| 7,670 CVB Financial Corp | 128,499 | 155,164 |
| 4,950 Dana Inc | 95,242 | 67,469 |
| 123,826 DFA Emerging Mkts Portfolio | 3,364,266 | 3,193,497 |
| 178,496 DFA US Small Cap Portfolio | 4,823,683 | 5,310,245 |
| 1,220 Diageo PLC ADR | 52,295 | 172,996 |
| 4,795 DowDuPont Inc | 179,202 | 256,437 |
| 830 Eastgroup Properties Inc | 48,630 | 76,136 |
| 1,900 Eli Lilly & Co | 54,097 | 219,868 |
| 750 EMCOR Group Inc | 28,732 | 44,767 |
| 1,780 Entegris Inc | 16,872 | 49,653 |
| 1,980 ESCO Technologies Inc | 83,620 | 130,581 |
| 2,905 Exxon Mobil Corp | 214,956 | 198,092 |
| 2,890 FCB Financial Holdings | 172,649 | 128,771 |
| 1,260 Forward Air Corp | 87,639 | 69,111 |
| 2,420 Genuine Parts Company | 107,078 | 232,368 |
| 2,360 Gibraltar Industries Inc | 89,208 | 83,992 |
| 4,130 Glacier Bancorp Inc | 144,933 | 163,631 |
| 4,350 Glatfelter | 95,315 | 42,456 |
| 233,374 Hartford Global Real Asset Fund | 2,424,444 | 1,930,002 |
| 2,770 HB Fuller Company | 131,660 | 118,196 |
| 4,815 HCP Inc | 120,677 | 134,483 |
| 2,600 Horace Mann Educators | 55,325 | 97,370 |
| 3,280 HSBC Holdings PLC ADR | 157,551 | 134,841 |
| 2,740 IberiaBank Corporation | 151,345 | 176,127 |
| 345 ICU Medical Inc | 34,853 | 79,222 |
| 2,610 Independent Bank Corp/Ma | 83,515 | 183,509 |
| 745 Ingevity Corporation | 28,760 | 62,349 |
| 1,440 Integer Holdings Corporation | 112,971 | 109,814 |
| 3,305 Intel Corporation | 80,777 | 155,104 |
| 770 J&J Snack Foods Corporation | 63,656 | 111,334 |
| 1,890 Johnson & Johnson | 115,273 | 243,905 |
| 5,340 Johnson Controls International PLC | 236,074 | 158,331 |
| 258,998 JPM GMO Benchmark-Free III | 6,856,143 | 6,485,319 |
| 2,280 JPMorgan Chase & Co | 105,365 | 222,574 |
| 1,400 Kimberly-Clark Corporation | 71,668 | 159,516 |
| 4110 Knoll Inc | 67,700 | 67,733 |
| 535 Lancaster Colony Corp | 46,156 | 94,620 |
| 3,950 LA-Z-Boy Inc | 69,159 | 109,455 |
| 590 Lithia Motors Inc | 31,428 | 45,035 |
| 310 Littelfuse Inc | 19,906 | 53,159 |
| 5,900 Magnolia Oil & Gas Corp | 70,631 | 66,139 |
| 5,910 Matador Resources Co | 143,711 | 91,782 |
| 3,440 Merck & Co Inc | 111,768 | 262,850 |
| 3,120 Methode Electronics Inc | 105,248 | 72,665 |
| 1,070 Mge Energy Inc | 39,190 | 64,157 |
| 1,820 Microsoft Corp | 34,330 | 184,857 |
| 1,740 Minerals Technologies Inc | 108,999 | 89,332 |
| 880 MKS Instruments Inc | 26,858 | 56,857 |
| 8,720 Mueller Water Products Inc | 83,191 | 72,121 |
| 900 Murphy USA Inc | 61,667 | 68,976 |
| 3,010 Natus Medical Inc | 117,785 | 102,430 |
| 1,595 Nextera Energy Inc | 82,130 | 277,243 |
| 2,985 Novartis AG | 227,382 | 256,143 |
| 1,430 One Gas Inc | 71,522 | 113,828 |
| 1,010 Oxford Industries Inc | 93,377 | 71,750 |
| 4,990 Pebblebrook Hotel Trust | 128,619 | 141,267 |
| 5,695 Pfizer Inc | 167,992 | 248,587 |
| 3,040 Philip Morris International | 159,369 | 202,950 |
| 6,490 Physicians Realty Trust | 81,816 | 104,035 |
| 1,900 Plexus Corp | 111,617 | 97,052 |
| 820 Portland General Electric Co | 25,011 | 37,597 |
| 3,590 QTS Realty Trust Inc | 139,378 | 133,009 |
| 1,280 Raytheon Company | 86,375 | 196,288 |
| 690 Rogers Corp | 62,927 | 68,351 |
| 2,975 Royal Dutch Shell | 210,113 | 178,321 |
| 5,140 Select Energy Services Inc | 79,221 | 32,485 |
| 2,630 Selective Insurance Group | 126,880 | 160,272 |
| 2,310 Semtech Corp | 94,719 | 105,960 |
| 3,255 Siemens AG | 217,862 | 182,540 |
| 910 Standex International Corp | 50,359 | 61,134 |
| 2,340 Stoneridge Inc | 84,870 | 57,681 |
| 3,685 Suntrust Banks Inc | 236,410 | 185,871 |
| 1,550 Synnex Corp | 154,399 | 125,302 |
| 1,470 Travelers Cos Inc | 61,599 | 176,033 |
| 3,450 Unilever NV | 62,122 | 185,610 |
| 2,220 US Ecology Inc | 56,770 | 139,816 |
| 384,349 Vanguard Dev Mkt Indx Adm | 4,565,661 | 4,596,815 |
| 92,608 Vanguard Growth Index Fund Adm | 3,683,171 | 6,398,281 |
| 82,239 Vanguard Inst Index Fund Inst | 11,931,357 | 18,713,457 |
| 490 Visteon Corp | 59,020 | 29,537 |
| 2,855 Walgreens Boots Alliance Inc | 189,245 | 195,082 |
| 3,930 Wells Fargo & Co | 221,242 | 181,094 |
| 3,835 Welltower Inc | 141,499 | 266,187 |
| 553,621 Westwood Income Opportunity Fund | 7,394,122 | 7,800,520 |
| 3,590 Wolverine World Wide Inc | 96,403 | 135,184 |
| Category/ Item | Cost/Other Basis | Accumulated Depreciation | Book Value | End of Year Fair Market Value |
|---|---|---|---|---|
| Land | 70,560 | 70,560 | 37,604 |
| Category/ Item | Listed at Cost or FMV | Book Value | End of Year Fair Market Value |
|---|---|---|---|
| Aspect US Institutional Ltd Div Fund | AT COST | 2,382,168 | 3,884,019 |
| Davidson Kempner Institutional Ptrs LP | AT COST | 4,126,028 | 4,132,358 |
| Double Black Diamond Ltd | AT COST | 3,500,000 | 3,637,089 |
| GS Distressed Opportunities Fund IV | AT COST | 231,540 | 190,084 |
| GS Mezzanine Partners 2006 Offshore | AT COST | 15,089 | 18,266 |
| GS Vintage Fund V Offshore | AT COST | 348,575 | 377,654 |
| GS West Street Spc Series 6 | AT COST | 156,198 | 118,759 |
| GSCP V Inst'l AIV LP | AT COST | 113,697 | 33,812 |
| Hancock Timberland VII Inc | AT COST | 697,845 | 663,265 |
| Mount Kellett Capital Partners (Cayman) | AT COST | 445,561 | 72,978 |
| MSREF V Offshore Investors International | AT COST | 818,155 | 94,424 |
| MSREF VI Offshore Investors Intl | AT COST | 781,264 | 15,493 |
| THL Equity VI Access Offshore LP | AT COST | 555,971 | 377,117 |
| Whitehall Street Int'l RE Corp 2005 | AT COST | 95,193 | 122,161 |
| Whitehall Street Int'l RE Corp 2008 | AT COST | 6,740 | 6,468 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| General governance and counsel | 3,473 | 0 | 0 | 3,473 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Insurance | 8,910 | 8,910 | ||
| K-1 expenses | 131,545 | 131,545 | ||
| Royalty production costs | 990 | 990 |
| Description | Revenue And Expenses Per Books | Net Investment Income | Adjusted Net Income |
|---|---|---|---|
| Passthrough K-1 income | 387,318 | 387,666 | |
| Royalty income | 12,535 | 12,535 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Grants administration | 108,000 | 0 | 0 | 108,000 |
| Investment management fees | 267,090 | 267,090 | 0 | 0 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Ad valorem tax | 207 | 207 | ||
| Excise tax | 127,000 | |||
| Foreign tax | 9,835 | 9,835 | ||
| Production tax | 980 | 980 |