| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 250 SHS. 3M CORP | 29,444 | 43,698 |
| 500 SHS. ABBVIE INC | 40,255 | 53,575 |
| 4000 SHS. AMARIN CORP | 46,947 | 19,560 |
| 400 SHS. AMERICAN EXPRESS | 24,774 | 48,364 |
| 1725 SHS. BANK OF AMERICA | 16,860 | 52,285 |
| 875 SHS. BRISTOL MYERS SQUIBB | 40,414 | 54,276 |
| 4350 SHS. CENTURYLINK INC | 50,893 | 42,413 |
| 540 SHS. CHEVRON CORP | 56,899 | 45,603 |
| 1450 SHS. CISCO SYSTEMS | 29,076 | 64,888 |
| 565 SHS. CITIGROUP INC | 40,163 | 34,838 |
| 700 SHS. COCA COLA CO | 22,816 | 38,388 |
| 7000 SHS. CORBUS PHARMACEUTICALS | 48,361 | 8,750 |
| 850.333 SHS. DOW INC | 37,377 | 47,175 |
| 700 SHS. ENERGY SELECT SECTOR | 25,466 | 26,530 |
| 670 SHS. EXXON MOBIL | 35,866 | 27,617 |
| 195 SHS. FACEBOOK INC | 11,075 | 53,266 |
| 4000 SHS. GENERAL ELECTRIC | 37,177 | 43,200 |
| 4000 SHS. HERCULES CAP INC | 44,631 | 57,680 |
| 300 SHS. HOME DEPOT | 6,737 | 79,686 |
| 390 SHS. IBM | 36,084 | 49,093 |
| 450 SHS. JP MORGAN CHASE | 16,498 | 57,182 |
| 700 SHS. MERCK & CO | 18,780 | 57,260 |
| 200 SHS. MICROSOFT | 4,974 | 44,484 |
| 885 SHS. MORGAN STANLEY | 19,433 | 60,649 |
| 90 SHS. NVIDIA GROUP | 14,147 | 46,998 |
| 328 SHS. PPG INDUSTRIES | 10,048 | 47,304 |
| 500 SHS. PAYCHEX | 23,365 | 46,590 |
| 350 SHS. P&G | 1,249 | 48,699 |
| 1125 SHS. TG THERAPEUTICS INC | 21,573 | 58,523 |
| 600 SHS. WESTERN DIGITAL | 45,700 | 33,234 |
| 3100 SHS. ROYCE VALUE TRUST INC | 43,302 | 50,034 |
| Description | Amount |
|---|---|
| ADJUSTMENT TO FUND BALANCE | 51,033 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| NET INVESTMENT INCOME TAX | 4,461 | 0 | 0 |