| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| ACCOUNTING | 8,000 | 4,000 | 4,000 |
| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| BARCLAYS PLC - 45,000 SHARES | 45,183 | 44,672 |
| BANK OF MONTREAL - 50,000 SHARES | 50,238 | 49,525 |
| CITIGROUP INC - 50,000 SHARES | 49,403 | 49,546 |
| TOYOTA MOTOR CREDIT CORP - 50,000 SHARES | 50,425 | 49,421 |
| AMERICAN EXPRESS CREDIT - 50,000 SHARES | 49,283 | 49,475 |
| LLOYDS BANK PLC - 55,000 SHARES | 55,217 | 54,304 |
| JP MORGAN CHASE & CO - 50,000 SHARES | 53,447 | 50,901 |
| DOW CHEMICAL CO - 50,000 SHARES | 53,080 | 50,889 |
| WESTPAC BKG CORP - 30,000 SHARES | 30,246 | 29,617 |
| INTERCONTINENTALEXCHANGE - 50,000 SHARES | 51,703 | 49,752 |
| RABOBANK NEDERLAND NY - 55,000 SHARES | 56,169 | 54,046 |
| ROYAL BANK OF CANADA - 50,000 SHARES | 49,264 | 49,427 |
| ANHEUSER-BUSCH INBEV FIN - 45,000 SHARES | 44,836 | 44,253 |
| TELEFONICA EMISIONES SAU - 25,000 SHARES | 27,431 | 25,909 |
| APPLE INC - 50,000 SHARES | 50,897 | 49,414 |
| NBC UNIVERSAL MEDIA LLC - 45,000 SHARES | 48,546 | 46,124 |
| HSBC HOLDINGS PLC - 45,000 SHARES | 48,996 | 46,535 |
| TORONTO-DOMINION BANK - 25,000 SHARES | 24,957 | 24,463 |
| GENERAL DYNAMICS CORP - 50,000 SHARES | 49,652 | 50,040 |
| CREDIT SUISSE NEW YORK - 50,000 SHARES | 49,042 | 49,366 |
| MORGAN STANLEY - 50,000 SHARES | 49,357 | 48,801 |
| SIMON PROPERTY GROUP LP - 50,000 SHARES | 50,902 | 51,183 |
| GOLDMAN SACHS GROUP INC - 50,000 SHARES | 53,514 | 52,351 |
| A T & T INC - 50,000 SHARES | 50,364 | 49,138 |
| BANK OF NOVA SCOTIA - 50,000 SHARES | 48,812 | 48,909 |
| VERIZON COMMUNICATIONS - 50,000 SHARES | 48,882 | 49,474 |
| B B & T CORPORATION - 50,000 SHARES | 49,080 | 49,153 |
| B P CAP MARKETS AMERICA - 50,000 SHARES | 51,774 | 49,567 |
| ASTRAZENECA PLC - 50,000 SHARES | 49,841 | 47,962 |
| US BANCORP - 50,000 SHARES | 49,382 | 49,320 |
| WELLS FARGO & COMPANY - 50,000 SHARES | 47,971 | 48,213 |
| P N C BANK NA - 50,000 SHARES | 49,996 | 48,427 |
| JOHN DEERE - 50,000 SHARES | 47,941 | 47,921 |
| INTEL CORP - 50,000 SHARES | 49,352 | 49,249 |
| BANK OF AMERICA CORP - 50,000 SHARES | 49,599 | 49,243 |
| ORACLE CORP - 50,000 SHARES | 49,967 | 48,766 |
| CVS HEALTH CORP - 50,000 SHARES | 50,153 | 49,465 |
| UNITED PARCEL SERVICE - 45,000 SHARES | 43,696 | 43,780 |
| GLAXOSMITHKLINE CAPITAL - 50,000 SHARES | 49,766 | 50,191 |
| SHELL INTERNATIONAL FIN - 50,000 SHARES | 49,763 | 50,558 |
| FLORIDA ST BRD OF ADMIN FIN CO - 45,000 SHARES | 45,000 | 44,816 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| ALLERGAN PLC - 40 SHARES | 6,624 | 5,346 |
| ATLASSIAN CORPORATION PLC - 90 SHARES | 4,709 | 8,008 |
| EATON CORP PLC - 120 SHARES | 6,959 | 8,239 |
| INGERSOLL-RAND PLC - 174 SHARES | 10,156 | 15,874 |
| MARVELL TECHNOLOGY GROUP LTF - 290 SHARES | 5,455 | 4,695 |
| MEDTRONIC PLC - 160 SHARES | 13,822 | 14,554 |
| ABBOTT LABORATORIES - 80 SHARES | 3,102 | 5,786 |
| ADOBE SYSTEMS INC - 41 SHARES | 3,364 | 9,276 |
| ALIGN TECHNOLOGY INC - 27 SHARES | 3,919 | 5,655 |
| ALPHABET INC - 22 SHARES | 14,615 | 22,989 |
| AMAZON.COM INC - 23 SHARES | 12,249 | 34,545 |
| AMERICAN INTERNATIONAL CROUP INC - 120 SHARES | 4,755 | 4,729 |
| AMERICAN TOWER CORPORATION - 112 SHARES | 11,227 | 17,717 |
| ANADARKO PETROLEUM CORP - 260 SHARES | 17,014 | 11,398 |
| APPLE INC - 124 SHARES | 13,046 | 19,560 |
| BANK OF AMERICA CORPORATION - 700 SHARES | 10,779 | 17,248 |
| BIOGEN IDEN INC - 18 SHARES | 6,185 | 5,417 |
| THE BOEING COMPANY - 27 SHARES | 9,475 | 8,708 |
| BOSTON SCIENTIFIC CORPORATION - 130 SHARES | 4,880 | 4,594 |
| BRISTOL-MEYERS SQUIBB COMPANY - 105 SHARES | 6,448 | 5,458 |
| C S X CORP - 240 SHARES | 9,283 | 14,911 |
| CVS HEALTH CORPORATION - 120 SHARES | 9,157 | 7,862 |
| CELANESE CORP - 115 SHARES | 7,373 | 10,347 |
| CHEVRON CORPORATION - 113 SHARES | 10,498 | 12,293 |
| CISCO SYSTEMS INC - 450 SHARES | 20,989 | 19,499 |
| COMCAST CORP CL A - 460 SHARES | 14,239 | 15,663 |
| COMERICA INC - 140 SHARES | 13,142 | 9,617 |
| CONSTELLATION BRANDS INC-A - 48 SHARES | 6,774 | 7,719 |
| CORNING INC - 350 SHARES | 10,600 | 10,574 |
| COSTCO WHSL CORP NEW - 49 SHARES | 7,157 | 9,982 |
| DEERE & CO - 82 SHARES | 10,494 | 12,232 |
| THE WALT DISNEY COMPANY - 134 SHARES | 13,771 | 14,693 |
| DOWDUPONT INC - 150 SHARES | 7,409 | 8,022 |
| EXACT SCIENCES CORP - 50 SHARES | 2,465 | 3,155 |
| EXELON CORP - 320 SHARES | 8,578 | 14,432 |
| FACEBOOK INC - 164 SHARES | 20,139 | 21,499 |
| GILEAD SCIENCES INC - 110 SHARES | 7,846 | 6,881 |
| HOME DEPOT INC - 81 SHARES | 9,286 | 13,917 |
| HONEYWELL INTL INC - 112 SHARES | 11,167 | 14,798 |
| ILLINOIS TOOLS WKS INC - 100 SHARES | 8,887 | 12,669 |
| ILLUMINA INC - 25 SHARES | 7,978 | 7,498 |
| INTERCONTINENTALEXCHANGE GROUP - 140 SHARES | 6,565 | 10,546 |
| JP MORGAN CHASE & CO - 170 SHARES | 16,835 | 16,595 |
| JOHNSON & JOHNSON - 108 SHARES | 14,566 | 13,937 |
| LAM RESH CORP - 55 SHARES | 8,439 | 7,489 |
| M G M MIRAGE - 410 SHARES | 12,513 | 9,947 |
| MARATHON PETROLEUM CORP - 140 SHARES | 11,704 | 8,261 |
| MERCK & CO INC - 220 SHARES | 12,865 | 16,810 |
| MICROSOFT CORPORATION - 241 SHARES | 17,302 | 24,478 |
| MICRON TECHNOLOGY INC - 170 SHARES | 6,387 | 5,394 |
| MONDELEZ INTERNATIONAL - 370 SHARES | 14,891 | 14,811 |
| MONSTER BEVERAGE CORPORATION - 179 SHARES | 8,270 | 8,810 |
| NETFLIX COM IN - 18 SHARES | 6,365 | 4,818 |
| NEXTERA ENERGY INC - 88 SHARES | 14,116 | 15,296 |
| NIKE INC CLASS B STOCK - 220 SHARES | 13,132 | 16,311 |
| NUCOR CORP - 70 SHARES | 2,889 | 3,627 |
| PFIZER INC - 390 SHARES | 14,371 | 17,024 |
| PHILIP MORRIS INTERNATIONAL INC - 186 SHARES | 15,573 | 12,417 |
| PIONEER NATURAL RESOURCES COMPANY - 54 SHARES | 6,707 | 7,102 |
| THE PROCTER & GAMBLE COMPANY - 50 SHARES | 4,598 | 4,596 |
| QUALCOMM INC - 280 SHARES | 15,711 | 15,935 |
| SVB FINANCIAL GROUP - 48 SHARES | 8,493 | 9,116 |
| SALESFORCE.COM/INC - 63 SHARES | 4,485 | 8,629 |
| SCHWAB CHARLES CORP NEW - 240 SHARES | 7,192 | 9,967 |
| SPLUNK INC - 38 SHARES | 2,220 | 3,984 |
| STATE STREET CORP - 160 SHARES | 12,686 | 10,091 |
| SYNCHRONY FINANCIAL - 460 SHARES | 12,505 | 10,792 |
| T-MOBILE US INC - 120 SHARES | 7,639 | 7,633 |
| TEXAS INSTRUMENTS INC - 144 SHARES | 15,438 | 13,608 |
| UNITEDHEALTH GROUP INC - 79 SHARES | 10,526 | 19,681 |
| VALERO ENERGY CORP NEW - 92 SHARES | 4,896 | 6,897 |
| VERIZON COMMUNICATIONS - 250 | 13,407 | 14,055 |
| VISA INC-CLASS A SHRS - 151 SHARES | 11,986 | 19,923 |
| VOYA FINANCIAL INC - 220 SHARES | 6,192 | 8,831 |
| WORLDPLAY INC - 140 SHARES | 8,779 | 10,700 |
| YUM! BRANDS INC - 180 SHARES | 10,658 | 16,546 |
| BNY MELLON INCOME STOCK FUND - 66,267 SHARES | 569,213 | 508,266 |
| ISHARES RUSSELL 2000 INDEX FUND - 1,500 SHARES | 196,454 | 200,850 |
| DREYFUS INTERNATIONAL SMALL CAP FUND - 5,465 SHARES | 70,723 | 64,702 |
| DREYFUS INTERNATIONAL STOCK FUND - 15,389 SHARES | 216,323 | 258,221 |
| DREYFUS DIVERSIFIED EMERGING MKTS FUND - 2,843 SHARES | 51,794 | 58,301 |
| EQUINIX INC - 25 SHARES | 10,584 | 8,814 |
| SEQUOIA INCOME FUND - 3,886 SHARES | 590,344 | 513,730 |
| ADVANTAGE DYNAMIC TOTAL RETURN FUND - 9,646 SHARES | 150,000 | 143,151 |
| ASG MANAGED FUTURES STRATEGY FUND - 17,104 SHARES | 150,000 | 154,960 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| INVESTMENT ADVISORY FEES | 28,734 | 28,734 | 0 |