Form990-PF

Department of the Treasury
Internal Revenue Service

Return of Private Foundation
or Section 4947(a)(1) Trust Treated as Private Foundation
bulletDo not enter social security numbers on this form as it may be made public.
bulletGo to www.irs.gov/Form990PF for instructions and the latest information.
OMB No. 1545-0052
2018
Open to Public Inspection
For calendar year 2018, or tax year beginning 01-01-2018 , and ending 12-31-2018
Name of foundation
TRIAL LAWYERS FDN YOUTH ED
 
Number and street (or P.O. box number if mail is not delivered to street address)PO BOX 1501 NJ2-130-03-31
 
Room/suite
City or town, state or province, country, and ZIP or foreign postal code
PENNINGTON, NJ085341501
A Employer identification number

86-6267254
B Telephone number (see instructions)

(609) 274-6834
C bullet
G Check all that apply:

D 1. Foreign organizations, check here............. bullet
2. Foreign organizations meeting the 85%
test, check here and attach computation ...
bullet
E bullet
H Check type of organization:
F bullet
I Fair market value of all assets at end
of year (from Part II, col. (c),
line 16)bullet$1,267,280
J Accounting method:
 
(Part I, column (d) must be on cash basis.)
Part I Analysis of Revenue and Expenses (The total of amounts in columns (b), (c), and (d) may not necessarily equal the amounts in column (a) (see instructions).) (a) Revenue and
expenses per
books
(b) Net investment
income
(c) Adjusted net
income
(d) Disbursements
for charitable
purposes
(cash basis only)
Revenue 1 Contributions, gifts, grants, etc., received (attach schedule)  
2 Check bullet.............
3 Interest on savings and temporary cash investments      
4 Dividends and interest from securities... 39,828 39,023  
5a Gross rents............      
b Net rental income or (loss)  
6a Net gain or (loss) from sale of assets not on line 10 57,881
b Gross sales price for all assets on line 6a 405,177
7 Capital gain net income (from Part IV, line 2)... 57,881
8 Net short-term capital gain......... 0
9 Income modifications...........  
10a Gross sales less returns and allowances  
b Less: Cost of goods sold....  
c Gross profit or (loss) (attach schedule).....    
11 Other income (attach schedule)....... 500 500  
12 Total. Add lines 1 through 11........ 98,209 97,404  
Operating and Administrative Expenses 13 Compensation of officers, directors, trustees, etc. 22,368 8,947   13,421
14 Other employee salaries and wages......   0 0 0
15 Pension plans, employee benefits.......   0 0  
16a Legal fees (attach schedule).........       0
b Accounting fees (attach schedule).......        
c Other professional fees (attach schedule)....       0
17 Interest...............       0
18 Taxes (attach schedule) (see instructions)... 3,697 726   0
19 Depreciation (attach schedule) and depletion... 0 0  
20 Occupancy..............        
21 Travel, conferences, and meetings.......   0 0  
22 Printing and publications..........   0 0  
23 Other expenses (attach schedule)....... 1,748 198   1,550
24 Total operating and administrative expenses.
Add lines 13 through 23.......... 27,813 9,871 0 14,971
25 Contributions, gifts, grants paid....... 76,000 76,000
26 Total expenses and disbursements. Add lines 24 and 25 103,813 9,871 0 90,971
27 Subtract line 26 from line 12:
a Excess of revenue over expenses and disbursements -5,604
b Net investment income (if negative, enter -0-) 87,533
c Adjusted net income (if negative, enter -0-)... 0
For Paperwork Reduction Act Notice, see instructions.
Cat. No. 11289X Form 990-PF (2018)
Form 990-PF (2018)
Page 2
Part II Balance Sheets Attached schedules and amounts in the description column
should be for end-of-year amounts only. (See instructions.)
Beginning of year End of year
(a) Book Value (b) Book Value (c) Fair Market Value
Assets 1 Cash—non-interest-bearing............. 219 99 99
2 Savings and temporary cash investments......... 22,715 22,869 22,869
3 Accounts receivable bullet  
Less: allowance for doubtful accounts bullet     0 0
4 Pledges receivable bullet  
Less: allowance for doubtful accounts bullet        
5 Grants receivable.................      
6 Receivables due from officers, directors, trustees, and other
disqualified persons (attach schedule) (see instructions).....      
7 Other notes and loans receivable (attach schedule) bullet  
Less: allowance for doubtful accounts bullet0      
8 Inventories for sale or use..............      
9 Prepaid expenses and deferred charges..........      
10a Investments—U.S. and state government obligations (attach schedule) 45,225    
b Investments—corporate stock (attach schedule)....... 716,611 Click to see attachment681,293 771,121
c Investments—corporate bonds (attach schedule)....... 208,174 Click to see attachment276,511 269,543
11 Investments—land, buildings, and equipment: basis bullet  
Less: accumulated depreciation (attach schedule) bullet        
12 Investments—mortgage loans.............      
13 Investments—other (attach schedule).......... 222,854 Click to see attachment227,544 203,648
14 Land, buildings, and equipment: basis bullet  
Less: accumulated depreciation (attach schedule) bullet        
15 Other assets (describe bullet)      
16 Total assets (to be completed by all filers—see the
instructions. Also, see page 1, item I) 1,215,798 1,208,316 1,267,280
Liabilities 17 Accounts payable and accrued expenses..........    
18 Grants payable.................    
19 Deferred revenue.................    
20 Loans from officers, directors, trustees, and other disqualified persons    
21 Mortgages and other notes payable (attach schedule)......    
22 Other liabilities (describe bullet)    
23 Total liabilities (add lines 17 through 22).........   0
Net Assets or Fund Balances Foundations that follow SFAS 117, check here bullet
and complete lines 24 through 26 and lines 30 and 31.
24 Unrestricted..................    
25 Temporarily restricted...............    
26 Permanently restricted...............    
Foundations that do not follow SFAS 117, check here bullet
and complete lines 27 through 31.
27 Capital stock, trust principal, or current funds........ 1,215,798 1,208,316
28 Paid-in or capital surplus, or land, bldg., and equipment fund    
29 Retained earnings, accumulated income, endowment, or other funds    
30 Total net assets or fund balances (see instructions)..... 1,215,798 1,208,316
31 Total liabilities and net assets/fund balances (see instructions). 1,215,798 1,208,316
Part III
Analysis of Changes in Net Assets or Fund Balances
1
Total net assets or fund balances at beginning of year—Part II, column (a), line 30 (must agree with end-of-year figure reported on prior year’s return) ...............
1
1,215,798
2
Enter amount from Part I, line 27a .....................
2
-5,604
3
Other increases not included in line 2 (itemize) bulletClick to see attachment
3
96
4
Add lines 1, 2, and 3 ..........................
4
1,210,290
5
Decreases not included in line 2 (itemize) bulletClick to see attachment
5
1,974
6
Total net assets or fund balances at end of year (line 4 minus line 5)—Part II, column (b), line 30 .
6
1,208,316
Form 990-PF (2018)
Form 990-PF (2018)
Page 3
Part IV
Capital Gains and Losses for Tax on Investment Income
(a) List and describe the kind(s) of property sold (e.g., real estate,
2-story brick warehouse; or common stock, 200 shs. MLC Co.)
(b)
How acquired
P—Purchase
D—Donation
(c)
Date acquired
(mo., day, yr.)
(d)
Date sold
(mo., day, yr.)
1 a 1. ABB LTD   2017-12-08 2018-01-08
b 6. AT& T INC   2016-09-20 2018-01-08
c 2. ABN AMRO GROUP   2017-10-11 2018-01-08
d 1. ALIBABA GROUP HOLDING LT   2014-09-26 2018-01-08
e 2. ALIBABA GROUP HOLDING LT   2015-01-29 2018-01-08
1. ALLIANCE GLOBAL   2015-09-15 2018-01-08
1. AMAZON COM INC   2013-03-08 2018-01-08
2. AMERICAN AIRLS GROUP INC   2017-01-31 2018-01-08
1. AMERICAN EXPRESS COMPANY   2013-03-08 2018-01-08
1. AMERIPRISE FINL INC   2013-03-08 2018-01-08
2. AMGEN INC   2013-03-08 2018-01-08
2. ARAMARK HLDGS CORP   2016-07-13 2018-01-08
4. ARES CAP CORP   2013-03-08 2018-01-08
4. ASSA ABLOY AB ADR   2015-09-15 2018-01-08
2. AUTODESK INC COM   2013-03-08 2018-01-08
1. AUTOMATIC DATA PROCESSING INC COMMON   2013-03-08 2018-01-08
1. AVERY DENNISON CORP   2014-12-02 2018-01-08
3. BB SEGURIDADE PARTI-SPON   2015-09-14 2018-01-08
6. BP P L C SPONS ADR   2013-03-08 2018-01-08
1. BHP BILLITON LIMITED   2013-04-01 2018-01-08
2. BRISTOL MYERS SQUIBB CO COM   2017-06-26 2018-01-08
1. BRITISH AMERICAN TOBACCO   2015-09-14 2018-01-08
2. CVS CORP   2016-06-27 2018-01-08
1. CAPITAL ONE FINL CORP COM   2014-06-05 2018-01-08
1. CAPITAL ONE FINL CORP COM   2014-06-10 2018-01-08
2. CARLSBERG AS SPONSOREDAD   2015-12-16 2018-01-08
2. CARNIVAL CORP   2017-06-26 2018-01-08
1. CENTENE CORP DEL   2016-06-28 2018-01-08
1. CERNER CORP COM   2015-11-24 2018-01-08
1. CERNER CORP COM   2015-11-25 2018-01-08
1. CHEMICAL FINL CORP   2016-02-09 2018-01-08
3. CHEVRONTEXACO CORP   2015-06-26 2018-01-08
7. CIELO S A SPONSORED ADR   2017-02-13 2018-01-08
14. CISCO SYS INC   2014-03-18 2018-01-08
3. CITIGROUP INC COM NEW   2014-12-03 2018-01-08
3. CITIZENS FINL GROUP INC   2016-08-02 2018-01-08
5. COCA-COLA CO USD   2012-09-13 2018-01-08
1. COMMSCOPE HLDG CO INC   2014-07-09 2018-01-08
3. CIE FINANCIERE RICHEMONT   2015-09-15 2018-01-08
2. COMPANHIA DE SANEAMENTO BASICO   2015-09-14 2018-01-08
2. COMPASS GROUP PLC SHS   2015-09-15 2018-01-08
1. CONOCOPHILLIPS   2016-10-27 2018-01-08
1. CONTINENTAL AG SPONSORED ADR   2015-09-15 2018-01-08
1. CONTINENTAL RESOURCES   2016-07-15 2018-01-08
2. CROWN HLDGS INC *PP*   2013-03-08 2018-01-08
1. CYRUSONE INC   2017-01-06 2018-01-08
2. DDR CORP COM   2017-08-10 2018-01-08
1. DXC TECHNOLOGY CO   2017-12-18 2018-01-08
2. DAIWA HOUSE IND LTD ADR   2015-09-15 2018-01-08
9. DANONE-SPONS ADR   2013-03-08 2018-01-08
1. DEERE & COMPANY   2016-09-27 2018-01-08
1. DEERE & COMPANY   2016-09-28 2018-01-08
1. DEUTSCHE POST AG SHS   2017-08-11 2018-01-08
1. ENVISION HEALTHCARE CORP   2014-08-12 2018-01-08
5. EXELON CORP   2015-03-02 2018-01-08
4. EXPEDITORS INTL WASH INC COM   2013-03-08 2018-01-08
1. EXPRESS SCRIPTS HLDG CO   2017-12-18 2018-01-08
3. EXTENDED STAY AMERICA   2017-06-26 2018-01-08
3. FACEBOOK INC   2013-03-08 2018-01-08
1. FANUC LTD-UNSP   2016-03-07 2018-01-08
4. FERGUSON PLC ADR   2015-09-15 2018-01-08
1. FIDELITY NATL INFO SVCS   2015-12-04 2018-01-08
1. FIRST AMERICAN FINL CORP   2013-09-26 2018-01-08
5. FIRSTENERGY CORP   2014-10-20 2018-01-08
4. FORD MOTOR CO DEL   2017-12-01 2018-01-08
3. FORUM ENERGY TECHNOLOGS   2017-01-10 2018-01-08
1. GALLAGHER ARTHUR J & CO   2015-03-12 2018-01-08
1. GLAXO SMITHKLINE PLC   2017-05-31 2018-01-08
1. GLOBAL PMTS INC   2013-03-08 2018-01-08
1. GOLDMAN SACHS GROUP INC   2012-12-18 2018-01-08
1. GOLDMAN SACHS GROUP INC   2013-03-15 2018-01-08
1. HD SUPPLY HLDGS INC   2014-02-14 2018-01-08
6. HP INC   2017-03-30 2018-01-08
3. HARTFORD FINL SVCS GROUP INC COM   2015-06-01 2018-01-08
2. HUNTINGTON BANCSHARES INC   2017-01-26 2018-01-08
3. ICICI BK LTD   2017-06-27 2018-01-08
5. J P MORGAN CHASE & CO   2014-10-27 2018-01-08
2. JABIL CIRCUIT INC   2015-07-31 2018-01-08
2. JOHNSON & JOHNSON COM   2016-08-29 2018-01-08
2. KAR AUCTION SERVICES INC   2013-03-08 2018-01-08
1. KASIKORNBANK PCL-UNSPON   2015-09-15 2018-01-08
2. KDDI CORP SHS   2015-09-15 2018-01-08
3. KEYCORP NEW COM   2013-03-08 2018-01-08
2. KIMCO RLTY CORP   2017-08-10 2018-01-08
1. KOC HLDG AS-UNSPON   2015-09-15 2018-01-08
1. LAM RESH CORP COM   2016-02-05 2018-01-08
2. LAUREATE EDUCATION INC   2017-06-29 2018-01-08
2. MGIC INVT CORP WIS COM   2017-12-20 2018-01-08
1. MAKITA CORP ADR NEW   2015-09-15 2018-01-08
2. MARATHON PETROLEUM CORP   2015-06-01 2018-01-08
1. MERCK AND CO INC SHS   2014-02-03 2018-01-08
1. CIE GENERALE DES   2017-04-21 2018-01-08
2. MICROSOFT CORP COM   2014-06-30 2018-01-08
1. MIDDLEBY CORP   2017-11-22 2018-01-08
3. MILACRON HOLDINGS CORP   2015-09-29 2018-01-08
3. MONSTER BEVERAGE SHS   2013-04-10 2018-01-08
3. MONSTER BEVERAGE SHS   2013-04-15 2018-01-08
2. MR PRICE GROUP LTD ADR   2015-09-15 2018-01-08
2. NCR CORP   2013-10-29 2018-01-08
1. NASDAQ STOCK MARKET INC   2014-06-23 2018-01-08
5. NEW RESIDENTIAL INVT   2015-12-18 2018-01-08
1. NEWELL RUBBERMAID INC   2014-04-16 2018-01-08
2. NEXSTAR BROADCASTING GROUP INC   2017-05-30 2018-01-08
1. NORDEA BANK AB-SPON ADR   2017-07-14 2018-01-08
3. NOVARTIS AG SPNSRD ADR   2013-03-08 2018-01-08
3. NOVO NORDISK A/S ADR   2014-03-27 2018-01-08
2. NOVO NORDISK A/S ADR   2014-11-12 2018-01-08
1. NUCOR CORP   2017-02-15 2018-01-08
8. ORACLE CORPORATION   2012-11-02 2018-01-08
1. PNC FINANCIAL SERVICES GROUP INC   2015-08-26 2018-01-08
3. PPL CORP   2014-12-03 2018-01-08
1. PACWEST BANCORP   2014-02-06 2018-01-08
2. TELEKOMUNIKASI IND-ADR W/I   2015-09-14 2018-01-08
3. PFIZER INC COM   2017-12-18 2018-01-08
1. PING AN INS GROUP CO   2017-12-14 2018-01-08
1. POLYONE CORP   2017-04-24 2018-01-08
2. PROCTER & GAMBLE CO COM   2013-03-08 2018-01-08
1. PRUDENTIAL FINL INC   2013-03-20 2018-01-08
2. PRUDENTIAL PLC ADR   2015-09-14 2018-01-08
2. PUBLIC SERVICE ENTERPRISE GROUP INC   2017-01-31 2018-01-08
5. QEP RESOURCES INC SHS   2016-07-15 2018-01-08
5. QUALCOMM INC   2014-11-11 2018-01-08
1. RADIAN GROUP INC   2017-12-20 2018-01-08
2. RED ELECTRICA CORP UNSPN   2015-09-15 2018-01-08
1. RELIANCE STL & ALUM CO   2013-03-08 2018-01-08
2. RELX PLC   2015-09-28 2018-01-08
1. RINGCENTRAL INC   2015-08-18 2018-01-08
1. ROYAL DUTCH SHELL PLC   2013-04-23 2018-01-08
1. RYOHIN KEIKAKU CO LTD   2015-09-15 2018-01-08
5. SEI INVESTMENTS CO   2013-03-08 2018-01-08
1. SAFRAN SA-UNSPON ADR   2017-12-04 2018-01-08
2. SAMPO PLC SHS   2015-09-15 2018-01-08
2. SANLAM LTD SP ADR   2015-09-15 2018-01-08
1. SAP AKTIENGESELLSCHAFT ADR   2016-07-21 2018-01-08
3. SCHLUMBERGER LIMITED COM   2013-03-08 2018-01-08
1. SERVICEMASTER GLOBAL   2014-08-12 2018-01-08
1. SIX FLAGS ENTMT CORP NEW   2017-09-28 2018-01-08
1. SONY CORP ADR AMERN SH NEW   2015-09-14 2018-01-08
1. STATE ST CORP COM   2016-11-23 2018-01-08
2. STATOIL ASA SPONSORED ADR   2016-11-07 2018-01-08
5. SUMITOMO MITSUI-UNSPONS   2013-04-23 2018-01-08
1. SUNCOR ENERGY INC NEW   2016-11-15 2018-01-08
1. SYNCHRONY FINL COM   2015-10-21 2018-01-08
2. SYSCO CORP   2017-03-30 2018-01-08
2. TAIWAN SEMICONDUCTOR ADR   2015-09-14 2018-01-08
2. TARGET CORP   2017-05-31 2018-01-08
1. TELENOR ASA ADR   2015-09-15 2018-01-08
2. TENCENT HOLDINGS LTD ADR   2016-06-23 2018-01-08
1. TOKYO ELECTRON LTD SHS   2017-04-03 2018-01-08
2. TURKCELL ILETISIM HIZMETLERI   2015-09-14 2018-01-08
3. TYSON FOODS INC CL A   2013-07-01 2018-01-08
1. UNILEVER PLC AMER SHS ADR NEW   2015-09-14 2018-01-08
2. UNITED PARCEL SVC INC CL B   2013-03-08 2018-01-08
1. UNITED TECHNOLOGIES CORP   2016-03-23 2018-01-08
3. UNUMPROVIDENT CORP   2013-03-08 2018-01-08
2. VALEO ADR   2015-09-15 2018-01-08
2. VARIAN MED SYS INC   2013-03-08 2018-01-08
5. VEREIT INC   2016-03-16 2018-01-08
3. VERIZON COMMUNICATIONS INC   2017-11-30 2018-01-08
2. VINCI SA ADR   2015-09-15 2018-01-08
4. VISA INC CL A SHRS   2013-03-08 2018-01-08
1. WESTERN DIGITAL CORP   2016-09-27 2018-01-08
1. WOLTERS KLUWER N V SPONSORED ADR   2015-09-15 2018-01-08
2. WPX ENERGY INC   2016-08-17 2018-01-08
1. YUM BRANDS INC   2014-02-12 2018-01-08
1. YUM BRANDS INC   2014-02-13 2018-01-08
3. YUM CHINA HOLDINGS INC   2014-02-14 2018-01-08
3. ATLANTICA YIELD PLC   2017-05-23 2018-01-08
2. BANK OF N T BUTTERFIELD   2017-09-13 2018-01-08
2. EATON CORP PLC   2016-06-14 2018-01-08
1. ESSENT GROUP LTD   2017-12-20 2018-01-08
1. MEDTRONIC PLC SHS   2017-03-02 2018-01-08
3. PENTAIR PLC SHS   2016-05-12 2018-01-08
4. CONSTELLIUM HOLDCO B.V.   2015-08-10 2018-01-08
1. LYONDELLBASELL INDUSTRIE   2016-05-12 2018-01-08
1. YANDEX N V CL A   2017-06-28 2018-01-08
8. CONVATEC GROUP SPONSERED   2017-06-06 2018-01-16
1. CONVATEC GROUP SPONSERED   2017-06-06 2018-01-17
17. CONVATEC GROUP SPONSERED   2017-06-06 2018-01-17
11. CONVATEC GROUP SPONSERED   2017-06-07 2018-01-17
6. CONVATEC GROUP SPONSERED   2017-06-22 2018-01-17
7. CONVATEC GROUP SPONSERED   2017-07-21 2018-01-17
15. CONVATEC GROUP SPONSERED   2017-07-21 2018-01-18
13. FANUC LTD-UNSP   2016-03-07 2018-01-18
24. CITIGROUP INC COM NEW   2014-12-03 2018-01-19
19. CITIZENS FINL GROUP INC   2016-08-02 2018-01-19
27. EXELON CORP   2015-03-02 2018-01-19
5. EXELON CORP   2015-03-04 2018-01-19
1. EXELON CORP   2015-04-30 2018-01-19
11. FIRSTENERGY CORP   2014-10-20 2018-01-19
10. FIRSTENERGY CORP   2014-10-20 2018-01-19
21. FIRSTENERGY CORP   2014-12-03 2018-01-19
4. FIRSTENERGY CORP   2015-02-23 2018-01-19
44. FIRSTENERGY CORP   2016-10-27 2018-01-19
80. FIRSTENERGY CORP   2016-11-23 2018-01-19
10. FIRSTENERGY CORP   2016-12-06 2018-01-19
16. FIRSTENERGY CORP   2017-01-31 2018-01-19
78. HP INC   2017-03-30 2018-01-19
17. J P MORGAN CHASE & CO   2014-10-27 2018-01-19
4000. CONOCOPHILLIPS COMPANY   2016-06-15 2018-01-22
1000. CONOCOPHILLIPS COMPANY   2017-06-27 2018-01-22
7. HD SUPPLY HLDGS INC   2014-02-14 2018-01-23
17. HD SUPPLY HLDGS INC   2014-11-03 2018-01-23
7. HD SUPPLY HLDGS INC   2016-01-05 2018-01-23
5. HD SUPPLY HLDGS INC   2016-06-09 2018-01-23
11. HD SUPPLY HLDGS INC   2016-11-10 2018-01-23
3. HD SUPPLY HLDGS INC   2016-12-05 2018-01-23
1. HD SUPPLY HLDGS INC   2017-06-12 2018-01-23
1. RINGCENTRAL INC   2015-08-18 2018-01-23
4. RINGCENTRAL INC   2015-08-24 2018-01-23
3. RINGCENTRAL INC   2015-08-25 2018-01-23
3. AVERY DENNISON CORP   2014-12-11 2018-01-24
4. ANALOG DEVICES INC   2013-03-08 2018-01-25
29. FANUC LTD-UNSP   2016-03-07 2018-01-25
7. FANUC LTD-UNSP   2016-06-09 2018-01-25
11. GRAND CANYON EDUCATN INC   2015-12-11 2018-01-25
2. GRAND CANYON EDUCATN INC   2016-01-05 2018-01-25
25. TELEKOMUNIKASI IND-ADR W/I   2015-09-14 2018-01-25
24. RELX PLC   2015-09-28 2018-01-25
4. VARIAN MED SYS INC   2013-03-08 2018-01-25
5. ANALOG DEVICES INC   2013-03-08 2018-01-26
3. GRAND CANYON EDUCATN INC   2016-01-05 2018-01-26
2. ANALOG DEVICES INC   2013-03-08 2018-01-29
6. SONY CORP ADR AMERN SH NEW   2015-09-14 2018-01-29
7. SONY CORP ADR AMERN SH NEW   2015-09-14 2018-01-29
2. AMAZON COM INC   2013-03-08 2018-01-30
1. ANALOG DEVICES INC   2013-05-28 2018-01-30
5. ANALOG DEVICES INC   2017-01-27 2018-01-30
21. RELX PLC   2015-09-28 2018-01-30
21. RELX PLC   2015-12-15 2018-01-30
8. RELX PLC   2015-12-16 2018-01-30
8. DEUTSCHE POST AG SHS   2017-08-11 2018-01-31
8. RELX PLC   2015-12-16 2018-01-31
11. RELX PLC   2016-01-05 2018-01-31
14. BRUNSWICK CORPORATION COMMON   2017-04-20 2018-02-02
3. SEI INVESTMENTS CO   2013-03-08 2018-02-02
3. CHECK POINT SOFTWARE TECHNOLOGIES LTD   2015-12-15 2018-02-02
23. CONSTELLIUM HOLDCO B.V.   2015-08-10 2018-02-02
10. BRUNSWICK CORPORATION COMMON   2017-04-20 2018-02-05
3. BRUNSWICK CORPORATION COMMON   2017-04-25 2018-02-05
3. BRUNSWICK CORPORATION COMMON   2017-05-08 2018-02-05
2. BRUNSWICK CORPORATION COMMON   2017-06-12 2018-02-05
40. BRISTOL MYERS SQUIBB CO COM   2017-06-26 2018-02-06
18. CISCO SYS INC   2014-03-18 2018-02-06
22. EXELON CORP   2015-04-30 2018-02-06
32. HP INC   2017-03-30 2018-02-06
140. HP INC   2017-03-31 2018-02-06
30. HP INC   2017-05-31 2018-02-06
13. JOHNSON & JOHNSON COM   2016-08-29 2018-02-06
3000. U.S. TREASURY BOND   2013-03-13 2018-02-08
1000. U.S. TREASURY BOND   2016-10-07 2018-02-09
3. RINGCENTRAL INC   2015-08-25 2018-02-15
4. PENTAIR PLC SHS   2016-05-12 2018-02-15
17. MR PRICE GROUP LTD ADR   2015-09-15 2018-02-16
2. RINGCENTRAL INC   2015-08-31 2018-02-22
5. FIRST AMERICAN FINL CORP   2013-09-26 2018-02-26
1. FIRST AMERICAN FINL CORP   2013-10-08 2018-02-26
4000. FEDERAL NATL MTG ASSN M/T/N   2013-11-07 2018-02-27
1. AMAZON COM INC   2013-03-08 2018-03-01
9. DAIWA HOUSE IND LTD ADR   2015-09-15 2018-03-07
4. CONTINENTAL RESOURCES   2016-07-15 2018-03-08
7. POLYONE CORP   2017-04-24 2018-03-16
29. TAIWAN SEMICONDUCTOR ADR   2015-09-14 2018-03-21
14. MAKITA CORP ADR NEW   2015-09-15 2018-03-22
19. TOKYO ELECTRON LTD SHS   2017-04-03 2018-03-23
4000. HEWLETT-PACKARD CO   2017-01-27 2018-03-26
7. SNAP ON INC   2013-03-08 2018-03-27
1. SNAP ON INC   2014-10-09 2018-03-27
1. SNAP ON INC   2014-10-13 2018-03-27
2. AMERICAN EXPRESS COMPANY   2013-03-08 2018-03-28
9. CISCO SYS INC   2014-03-18 2018-03-28
2. UNITED PARCEL SVC INC CL B   2013-03-08 2018-03-28
3. ALLIANCE DATA SYS CORP   2016-05-31 2018-03-29
3. AMERICAN EXPRESS COMPANY   2013-03-08 2018-03-29
27. CISCO SYS INC   2014-03-18 2018-03-29
2. RINGCENTRAL INC   2015-08-31 2018-03-29
1. RINGCENTRAL INC   2016-01-05 2018-03-29
3. UNITED PARCEL SVC INC CL B   2013-03-08 2018-03-29
1. VARIAN MED SYS INC   2013-03-08 2018-03-29
15. YANDEX N V CL A   2017-06-28 2018-03-29
7. AMERICAN EXPRESS COMPANY   2013-03-08 2018-04-02
26. CISCO SYS INC   2014-03-18 2018-04-02
4. UNITED PARCEL SVC INC CL B   2013-03-08 2018-04-02
1. VARIAN MED SYS INC   2013-03-08 2018-04-02
21. CISCO SYS INC   2014-03-18 2018-04-03
20. UNITED PARCEL SVC INC CL B   2013-03-08 2018-04-03
1. VARIAN MED SYS INC   2013-03-08 2018-04-03
34. CISCO SYS INC   2014-03-18 2018-04-04
1. VARIAN MED SYS INC   2013-03-08 2018-04-04
76. CISCO SYS INC   2014-03-18 2018-04-05
1. VARIAN MED SYS INC   2013-03-08 2018-04-05
21. TELEKOMUNIKASI IND-ADR W/I   2015-09-14 2018-04-06
60. TURKCELL ILETISIM HIZMETLERI   2015-09-14 2018-04-06
1000. U.S. TREASURY BOND   2013-03-13 2018-04-06
1. VARIAN MED SYS INC   2013-03-08 2018-04-09
1. SNAP ON INC   2016-01-05 2018-04-10
4. SNAP ON INC   2016-12-05 2018-04-10
1. SNAP ON INC   2017-02-06 2018-04-10
1. SNAP ON INC   2017-06-02 2018-04-10
1. SNAP ON INC   2017-07-21 2018-04-10
1. SNAP ON INC   2017-10-23 2018-04-10
1. VARIAN MED SYS INC   2013-03-08 2018-04-10
1. VARIAN MED SYS INC   2013-03-08 2018-04-11
1. VARIAN MED SYS INC   2013-04-25 2018-04-12
1. VARIAN MED SYS INC   2013-04-25 2018-04-13
13. KASIKORNBANK PCL-UNSPON   2015-09-15 2018-04-18
27. STATOIL ASA SPONSORED ADR   2016-11-07 2018-04-18
8. ALLIANCE GLOBAL   2015-09-15 2018-04-19
10. ALLIANCE GLOBAL   2015-09-16 2018-04-19
19. CONTINENTAL AG SPONSORED ADR   2015-09-15 2018-04-19
9. ALLIANCE GLOBAL   2015-09-16 2018-04-20
7. ALLIANCE GLOBAL   2015-09-17 2018-04-20
5. ALLIANCE GLOBAL   2015-09-17 2018-04-23
4000. AMERICAN INTL GROUP   2018-01-25 2018-04-23
9. ALLIANCE GLOBAL   2015-09-17 2018-04-24
4. ALLIANCE GLOBAL   2015-09-17 2018-04-25
1. ALLIANCE GLOBAL   2015-09-18 2018-04-25
3. ALLIANCE GLOBAL   2015-09-18 2018-04-26
4000. ORACLE CORP   2017-06-21 2018-04-26
1000. ORACLE CORP   2017-06-28 2018-04-26
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2. ALLIANCE GLOBAL   2015-09-18 2018-04-30
2. ALLIANCE GLOBAL   2016-01-05 2018-04-30
2. AVERY DENNISON CORP   2014-12-11 2018-04-30
48. BRISTOL MYERS SQUIBB CO COM   2017-06-26 2018-04-30
34. BRISTOL MYERS SQUIBB CO COM   2017-08-10 2018-04-30
32. CONOCOPHILLIPS   2016-10-27 2018-04-30
5. F M C CORP COM NEW   2018-01-25 2018-04-30
2. F M C CORP COM NEW   2018-01-25 2018-04-30
5. HUBBELL INC SHS   2017-01-10 2018-04-30
6. MIDDLEBY CORP   2017-11-22 2018-04-30
4. MOHAWK INDS INC   2016-10-21 2018-04-30
26. SYSCO CORP   2017-03-30 2018-04-30
31. SYSCO CORP   2017-03-31 2018-04-30
14. SYSCO CORP   2017-05-31 2018-04-30
14. SYSCO CORP   2017-06-26 2018-04-30
15. TIMKEN CO   2018-01-25 2018-04-30
12. TYSON FOODS INC CL A   2013-07-01 2018-04-30
1. TYSON FOODS INC CL A   2014-06-24 2018-04-30
8. ARAMARK HLDGS CORP   2016-07-13 2018-05-01
4. ARAMARK HLDGS CORP   2016-07-21 2018-05-01
7. COMMSCOPE HLDG CO INC   2014-07-09 2018-05-01
5. COMMSCOPE HLDG CO INC   2014-07-18 2018-05-01
5. COMMSCOPE HLDG CO INC   2014-07-24 2018-05-01
19. EXTENDED STAY AMERICA   2017-06-26 2018-05-01
38. EXTENDED STAY AMERICA   2017-06-29 2018-05-01
5. FIDELITY NATL INFO SVCS   2015-12-04 2018-05-01
7. MASONITE INTERNATIONAL   2017-12-15 2018-05-01
4. MASONITE INTERNATIONAL   2017-12-18 2018-05-01
7. MILACRON HOLDINGS CORP   2015-09-30 2018-05-01
4. MILACRON HOLDINGS CORP   2015-10-02 2018-05-01
3. MILACRON HOLDINGS CORP   2015-10-07 2018-05-01
1. NCR CORP   2013-10-29 2018-05-01
9. NCR CORP   2013-12-04 2018-05-01
6. NEXSTAR BROADCASTING GROUP INC   2017-05-30 2018-05-01
6. OSHKOSH TRUCK CORP   2017-12-04 2018-05-01
1. PVH CORP   2015-03-16 2018-05-01
21. POLYONE CORP   2017-04-24 2018-05-01
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5. RELIANCE STL & ALUM CO   2014-10-27 2018-05-01
1. RELIANCE STL & ALUM CO   2014-11-03 2018-05-01
2. SYSCO CORP   2017-06-26 2018-05-01
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1. AMAZON COM INC   2013-03-08 2018-05-02
5. ENVISION HEALTHCARE CORP   2014-08-21 2018-05-02
4. ENVISION HEALTHCARE CORP   2014-09-24 2018-05-02
4. ENVISION HEALTHCARE CORP   2014-10-14 2018-05-02
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12. EXTENDED STAY AMERICA   2017-06-29 2018-05-02
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3. MILACRON HOLDINGS CORP   2015-10-07 2018-05-02
16. MILACRON HOLDINGS CORP   2015-10-23 2018-05-02
6. MILACRON HOLDINGS CORP   2015-10-30 2018-05-02
1. NCR CORP   2013-12-04 2018-05-02
10. NCR CORP   2014-04-16 2018-05-02
1. NCR CORP   2014-05-02 2018-05-02
3. RELIANCE STL & ALUM CO   2014-11-03 2018-05-02
8. MILACRON HOLDINGS CORP   2015-11-09 2018-05-03
19. KOC HLDG AS-UNSPON   2015-09-15 2018-05-08
16. KOC HLDG AS-UNSPON   2015-09-15 2018-05-09
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4000. STATOIL ASA   2013-05-09 2018-05-15
1000. STATOIL ASA   2017-06-16 2018-05-15
4000. XEROX CORPORATION   2013-03-13 2018-05-15
1000. XEROX CORPORATION   2017-06-20 2018-05-15
95. HUNTINGTON BANCSHARES INC   2017-01-26 2018-05-16
15. HUNTINGTON BANCSHARES INC   2017-03-02 2018-05-16
16. HUNTINGTON BANCSHARES INC   2017-06-12 2018-05-16
5000. AMGEN INC   2014-05-22 2018-05-17
23. CARLSBERG AS SPONSOREDAD   2015-12-16 2018-05-17
14. UNILEVER PLC AMER SHS ADR NEW   2015-09-14 2018-05-17
5. CARLSBERG AS SPONSOREDAD   2015-12-16 2018-05-18
.5 DDR CORP REG SHS   2017-08-11 2018-05-25
21. CARNIVAL CORP   2017-06-26 2018-05-31
43. AT& T INC   2016-09-20 2018-06-01
10. AT& T INC   2017-03-30 2018-06-01
26. EXPRESS SCRIPTS HLDG CO   2017-12-18 2018-06-01
4. JOHNSON & JOHNSON COM   2016-08-29 2018-06-01
8. JOHNSON & JOHNSON COM   2016-09-02 2018-06-01
7. AT& T INC   2017-03-30 2018-06-11
9. ALIBABA GROUP HOLDING LT   2015-01-29 2018-06-11
1. ALPHABET INC SHS CL C   2012-06-29 2018-06-11
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1. AMAZON COM INC   2013-03-08 2018-06-11
2. AMEREN CORP   2018-05-01 2018-06-11
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2. AMERICAN EXPRESS COMPANY   2013-03-08 2018-06-11
5. AMGEN INC   2013-03-08 2018-06-11
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1. ARAMARK HLDGS CORP   2016-08-03 2018-06-11
11. ARES CAP CORP   2013-03-08 2018-06-11
3. ASSA ABLOY AB ADR   2015-09-15 2018-06-11
7. AUTODESK INC COM   2013-03-08 2018-06-11
2. AUTOMATIC DATA PROCESSING INC COMMON   2013-03-08 2018-06-11
1. AVERY DENNISON CORP   2014-12-11 2018-06-11
7. BP P L C SPONS ADR   2013-03-08 2018-06-11
2. BAKER HUGHES INC REG SHS   2016-12-12 2018-06-11
1. BRITISH AMERICAN TOBACCO   2015-09-14 2018-06-11
3. CMS ENERGY CORP   2018-05-01 2018-06-11
3. CVS CORP   2016-06-27 2018-06-11
1. CACI INTERNATIONAL INC CL A   2014-03-25 2018-06-11
1. CANADIAN NATL RY CO   2016-07-25 2018-06-11
1. CAPITAL ONE FINL CORP COM   2014-06-10 2018-06-11
2. CAPITAL ONE FINL CORP COM   2014-06-21 2018-06-11
1. CARNIVAL CORP   2017-06-26 2018-06-11
1. CENTENE CORP DEL   2016-06-28 2018-06-11
8. CERNER CORP COM   2015-11-25 2018-06-11
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2. CHEVRONTEXACO CORP   2015-06-26 2018-06-11
18. CISCO SYS INC   2014-03-18 2018-06-11
6. CITIGROUP INC COM NEW   2014-12-03 2018-06-11
4. CITIZENS FINL GROUP INC   2016-08-02 2018-06-11
15. COCA-COLA CO USD   2012-09-13 2018-06-11
2. COLGATE PALMOLIVE CO COM   2018-03-28 2018-06-11
4. COLGATE PALMOLIVE CO COM   2018-03-29 2018-06-11
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3. COMMSCOPE HLDG CO INC   2014-07-24 2018-06-11
1. CIE FINANCIERE RICHEMONT   2015-09-15 2018-06-11
1. COMPASS GROUP PLC SHS   2015-09-15 2018-06-11
1. CONOCOPHILLIPS   2016-10-27 2018-06-11
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5. CROWN HLDGS INC *PP*   2013-03-08 2018-06-11
1. CYRUSONE INC   2017-01-06 2018-06-11
1. DDR CORP REG SHS   2017-08-10 2018-06-11
2. DXC TECHNOLOGY CO   2017-12-18 2018-06-11
1. DAIWA HOUSE IND LTD ADR   2015-09-15 2018-06-11
50. DANONE-SPONS ADR   2013-03-08 2018-06-11
4. DEERE & COMPANY   2016-09-28 2018-06-11
1. EQUINOR ASA   2016-11-07 2018-06-11
2. EVERSOURCE ENERGY COM   2018-05-01 2018-06-11
5. EXELON CORP   2015-04-30 2018-06-11
11. EXPEDITORS INTL WASH INC COM   2013-03-08 2018-06-11
2. EXPRESS SCRIPTS HLDG CO   2017-12-18 2018-06-11
5. EXTENDED STAY AMERICA   2017-07-05 2018-06-11
2. F M C CORP COM NEW   2018-01-25 2018-06-11
9. FACEBOOK INC   2013-03-08 2018-06-11
3. FACTSET RESH SYS INC   2013-03-08 2018-06-11
2. FIDELITY NATL INFO SVCS   2015-12-04 2018-06-11
2. FIRST AMERICAN FINL CORP   2013-10-08 2018-06-11
2. FISERV INC COM   2013-03-08 2018-06-11
9. FORD MOTOR CO DEL   2017-12-01 2018-06-11
7. FORUM ENERGY TECHNOLOGS   2017-01-10 2018-06-11
1. FRESENIUS SE& CO-SPN ADR   2018-01-31 2018-06-11
2. GALLAGHER ARTHUR J & CO   2015-03-12 2018-06-11
1. GENERAL DYNAMICS CORPORATION COM   2013-03-08 2018-06-11
2. GILDAN ACTIVEWEAR INC SUB VTG SHS   2018-05-16 2018-06-11
3. GLAXO SMITHKLINE PLC   2017-05-31 2018-06-11
1. GLOBAL PMTS INC   2013-03-08 2018-06-11
1. GOLDMAN SACHS GROUP INC   2013-03-15 2018-06-11
4. HARTFORD FINL SVCS GROUP INC COM   2015-06-01 2018-06-11
1. HUBBELL INC SHS   2017-01-10 2018-06-11
3. ICICI BK LTD   2017-06-27 2018-06-11
1. IQVIA HLDGS INC   2016-02-19 2018-06-11
4. J P MORGAN CHASE & CO   2014-10-27 2018-06-11
3. JABIL CIRCUIT INC   2015-07-31 2018-06-11
2. JOHNSON & JOHNSON COM   2016-09-02 2018-06-11
2. KAR AUCTION SERVICES INC   2013-03-08 2018-06-11
1. KAO CORP SHS ADR   2017-07-21 2018-06-11
5. KEYCORP NEW COM   2013-03-08 2018-06-11
2. KIMCO RLTY CORP   2017-08-10 2018-06-11
3. KROGER COMPANY COMMON   2018-01-19 2018-06-11
1. LAM RESH CORP COM   2016-02-05 2018-06-11
4. LAUREATE EDUCATION INC   2017-06-29 2018-06-11
1. LEAR CORP SHS   2015-03-02 2018-06-11
3. MGIC INVT CORP WIS COM   2017-12-20 2018-06-11
1. MAKITA CORP ADR NEW   2015-09-15 2018-06-11
2. MARATHON PETROLEUM CORP   2015-06-01 2018-06-11
1. MASONITE INTERNATIONAL   2017-12-18 2018-06-11
4. MERCK AND CO INC SHS   2014-02-03 2018-06-11
9. MICROSOFT CORP COM   2014-06-30 2018-06-11
1. MIDDLEBY CORP   2017-11-22 2018-06-11
3. MILACRON HOLDINGS CORP   2015-11-09 2018-06-11
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1. MOHAWK INDS INC   2016-10-21 2018-06-11
18. MONSTER BEVERAGE SHS   2013-04-15 2018-06-11
1. MR PRICE GROUP LTD ADR   2015-09-15 2018-06-11
3. NCR CORP   2014-05-02 2018-06-11
1. NASDAQ STOCK MARKET INC   2014-06-23 2018-06-11
10. NEW RESIDENTIAL INVT   2015-12-18 2018-06-11
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5. NOVARTIS AG SPNSRD ADR   2013-03-08 2018-06-11
15. NOVO NORDISK A/S ADR   2014-11-12 2018-06-11
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24. ORACLE CORPORATION   2012-11-02 2018-06-11
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1. PNC FINANCIAL SERVICES GROUP INC   2015-08-26 2018-06-11
4. PPL CORP   2014-12-03 2018-06-11
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1. PACKAGING CORP AMER   2016-06-28 2018-06-11
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1. PERSPECTA INC REG SHS   2017-12-18 2018-06-11
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8. PFIZER INC COM   2017-12-18 2018-06-11
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1. POLYONE CORP   2017-04-25 2018-06-11
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6. PROCTER & GAMBLE CO COM   2013-03-08 2018-06-11
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13. QEP RESOURCES INC SHS   2016-07-15 2018-06-11
5. QUALCOMM INC   2014-11-11 2018-06-11
9. QUALCOMM INC   2015-01-29 2018-06-11
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13. SEI INVESTMENTS CO   2013-03-08 2018-06-11
2. SAFRAN SA-UNSPON ADR   2017-12-04 2018-06-11
12. SCHLUMBERGER LIMITED COM   2013-03-08 2018-06-11
1. SERVICEMASTER GLOBAL   2014-08-12 2018-06-11
2. SIX FLAGS ENTMT CORP NEW   2017-09-28 2018-06-11
3. STARBUCKS CORP COM   2018-03-28 2018-06-11
5. STARBUCKS CORP COM   2018-03-29 2018-06-11
1. STARBUCKS CORP COM   2018-03-29 2018-06-11
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4. SYNCHRONY FINL COM   2015-10-21 2018-06-11
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2. TARGET CORP   2017-05-31 2018-06-11
1. TELENOR ASA ADR   2015-09-15 2018-06-11
1. TENCENT HOLDINGS LTD ADR   2016-06-23 2018-06-11
1. TIMKEN CO   2018-01-25 2018-06-11
3. TURKCELL ILETISIM HIZMETLERI   2015-09-14 2018-06-11
2. TYSON FOODS INC CL A   2014-06-24 2018-06-11
3. US BANCORP DEL   2018-01-19 2018-06-11
1. UBISOFT ENTERTAINMENT   2018-03-23 2018-06-11
1. UNILEVER PLC AMER SHS ADR NEW   2015-09-14 2018-06-11
1. UNION PACIFIC CORP   2017-06-28 2018-06-11
2. UNITED PARCEL SVC INC CL B   2013-03-08 2018-06-11
1. UNITED TECHNOLOGIES CORP   2016-03-23 2018-06-11
1. UNUMPROVIDENT CORP   2013-03-08 2018-06-11
4. VARIAN MED SYS INC   2013-04-25 2018-06-11
9. VEREIT INC   2016-03-16 2018-06-11
4. VERIZON COMMUNICATIONS INC   2017-11-30 2018-06-11
11. VISA INC CL A SHRS   2013-03-08 2018-06-11
6. VISTRA ENERGY CORP   2018-04-30 2018-06-11
2. WEC ENERGY GROUP INC SHS   2018-04-30 2018-06-11
2. WELLTOWER INC   2018-06-01 2018-06-11
3. WESTERN DIGITAL CORP   2016-09-27 2018-06-11
11. WPX ENERGY INC   2016-08-17 2018-06-11
4. YUM BRANDS INC   2014-02-13 2018-06-11
1. YUM BRANDS INC   2014-02-14 2018-06-11
8. YUM CHINA HOLDINGS INC   2014-02-14 2018-06-11
2. ATHENE HLDG LTD CL A   2017-02-08 2018-06-11
8. ATLANTICA YIELD PLC   2017-05-23 2018-06-11
5. BANK OF N T BUTTERFIELD   2017-09-13 2018-06-11
2. EATON CORP PLC   2016-06-14 2018-06-11
1. ESSENT GROUP LTD   2017-12-20 2018-06-11
5. NVENT ELEC PLC REG SHS   2016-05-12 2018-06-11
5. PENTAIR PLC SHS   2016-05-12 2018-06-11
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1. CHECK POINT SOFTWARE TECHNOLOGIES LTD   2015-12-15 2018-06-11
4. CONSTELLIUM HOLDCO B.V.   2015-08-10 2018-06-11
7. CONSTELLIUM HOLDCO B.V.   2015-08-11 2018-06-11
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1. YANDEX N V CL A   2017-06-28 2018-06-11
18. DEUTSCHE POST AG SHS   2017-08-11 2018-06-12
8. DEUTSCHE POST AG SHS   2017-11-22 2018-06-12
4000. GOLDMAN SACHS GROUP INC   2017-03-01 2018-06-13
1000. GOLDMAN SACHS GROUP INC   2017-06-15 2018-06-13
.11 FERGUSON PLC   2016-06-09 2018-06-15
5. CONTINENTAL RESOURCES   2016-07-15 2018-06-18
19. QEP RESOURCES INC SHS   2016-07-15 2018-06-18
18. WPX ENERGY INC   2016-08-17 2018-06-18
1. AMAZON COM INC   2013-03-08 2018-06-20
2. ARAMARK HLDGS CORP   2016-08-03 2018-06-20
4. ARAMARK HLDGS CORP   2016-08-11 2018-06-20
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4. MILACRON HOLDINGS CORP   2015-11-18 2018-06-20
4. MILACRON HOLDINGS CORP   2015-12-11 2018-06-20
1. NCR CORP   2014-05-02 2018-06-20
6. NCR CORP   2014-05-16 2018-06-20
5. NCR CORP   2014-10-17 2018-06-20
5. NCR CORP   2016-01-05 2018-06-20
6. NCR CORP   2017-04-25 2018-06-20
5. NCR CORP   2017-05-02 2018-06-20
9. NCR CORP   2017-05-08 2018-06-20
2. NCR CORP   2017-05-19 2018-06-20
2. NCR CORP   2017-05-23 2018-06-20
6. NCR CORP   2017-06-05 2018-06-20
1. NCR CORP   2017-06-12 2018-06-20
3. NCR CORP   2017-06-28 2018-06-20
3. NCR CORP   2017-10-12 2018-06-20
1. RELIANCE STL & ALUM CO   2016-06-09 2018-06-20
4. RELIANCE STL & ALUM CO   2016-11-10 2018-06-20
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2. NCR CORP   2017-10-12 2018-06-21
4. AMGEN INC   2013-03-08 2018-06-22
6. AMGEN INC   2014-07-01 2018-06-22
1. AMGEN INC   2016-01-05 2018-06-22
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15. CHEVRONTEXACO CORP   2015-06-26 2018-06-22
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15. QEP RESOURCES INC SHS   2016-07-15 2018-06-22
8. TIMKEN CO   2018-01-25 2018-06-22
51. US BANCORP DEL   2018-01-19 2018-06-22
10. WPX ENERGY INC   2016-08-17 2018-06-22
1. F M C CORP COM NEW   2018-01-25 2018-06-26
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9. MILACRON HOLDINGS CORP   2016-01-05 2018-06-26
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37. CARNIVAL CORP   2017-06-28 2018-06-28
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28. DXC TECHNOLOGY CO   2017-12-20 2018-06-28
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29. GLAXO SMITHKLINE PLC   2017-05-31 2018-06-28
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16. GLAXO SMITHKLINE PLC   2017-08-10 2018-06-28
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56. KROGER COMPANY COMMON   2018-01-19 2018-06-28
31. PNC FINANCIAL SERVICES GROUP INC   2015-09-30 2018-06-28
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14. PERSPECTA INC REG SHS   2017-12-20 2018-06-28
16. PHILIP MORRIS INTL INC   2018-04-30 2018-06-28
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10. FORUM ENERGY TECHNOLOGS   2017-03-02 2018-12-11
6. FORUM ENERGY TECHNOLOGS   2017-04-04 2018-12-11
4. FORUM ENERGY TECHNOLOGS   2017-04-06 2018-12-11
10. FORUM ENERGY TECHNOLOGS   2017-07-27 2018-12-11
7. FORUM ENERGY TECHNOLOGS   2017-07-31 2018-12-11
15. FORUM ENERGY TECHNOLOGS   2017-08-30 2018-12-11
46. FRESENIUS SE& CO-SPN ADR   2018-01-31 2018-12-11
1. FRESENIUS SE& CO-SPN ADR   2018-02-16 2018-12-11
26. FRESENIUS SE& CO-SPN ADR   2018-06-27 2018-12-11
2. PVH CORP   2015-10-23 2018-12-11
1. PVH CORP   2016-12-05 2018-12-11
9. POLYONE CORP   2017-04-28 2018-12-11
1. RINGCENTRAL INC   2016-12-05 2018-12-11
15. FORUM ENERGY TECHNOLOGS   2017-08-30 2018-12-12
8. FORUM ENERGY TECHNOLOGS   2017-09-08 2018-12-12
1. SHIRE PHARMACEUTICALS GROUP   2015-09-14 2018-12-17
1. SHIRE PHARMACEUTICALS GROUP   2015-10-20 2018-12-17
1. SHIRE PHARMACEUTICALS GROUP   2016-01-05 2018-12-17
1. SHIRE PHARMACEUTICALS GROUP   2016-02-12 2018-12-17
1. SHIRE PHARMACEUTICALS GROUP   2016-06-09 2018-12-17
3. SHIRE PHARMACEUTICALS GROUP   2016-10-27 2018-12-17
2. SHIRE PHARMACEUTICALS GROUP   2017-01-25 2018-12-17
1. SHIRE PHARMACEUTICALS GROUP   2017-04-20 2018-12-17
3. PVH CORP   2016-12-05 2018-12-18
1. SHIRE PHARMACEUTICALS GROUP   2017-04-20 2018-12-18
3. CENTENE CORP DEL   2016-06-28 2018-12-19
3. CENTENE CORP DEL   2016-06-30 2018-12-19
2. PVH CORP   2016-12-05 2018-12-19
3. PVH CORP   2017-05-26 2018-12-19
1. PVH CORP   2018-08-31 2018-12-19
1. POLYONE CORP   2017-04-28 2018-12-19
3. POLYONE CORP   2017-05-19 2018-12-19
2. POLYONE CORP   2017-06-01 2018-12-19
3. POLYONE CORP   2017-06-05 2018-12-19
8. SIX FLAGS ENTMT CORP NEW   2017-09-28 2018-12-19
6. ANALOG DEVICES INC   2017-01-27 2018-12-21
17. CROWN HLDGS INC *PP*   2013-03-08 2018-12-21
3. CROWN HLDGS INC *PP*   2014-10-09 2018-12-21
3. GLOBAL PMTS INC   2013-03-08 2018-12-21
4. GLOBAL PMTS INC   2013-03-21 2018-12-21
3. OSHKOSH TRUCK CORP   2017-12-04 2018-12-21
2. RINGCENTRAL INC   2016-12-05 2018-12-21
4. SIX FLAGS ENTMT CORP NEW   2017-09-28 2018-12-21
.94 EXPRESS SCRIPTS HLDG CO   2017-12-20 2018-12-24
7. EXPRESS SCRIPTS HLDG CO   2017-12-20 2018-12-24
.06 EXPRESS SCRIPTS HLDG CO   2017-12-20 2018-12-24
.24 EXPRESS SCRIPTS HLDG CO   2018-02-06 2018-12-24
.76 EXPRESS SCRIPTS HLDG CO   2018-02-06 2018-12-24
31. EXPRESS SCRIPTS HLDG CO   2018-02-06 2018-12-24
15. EXTENDED STAY AMERICA   2017-11-15 2018-12-24
12. MILACRON HOLDINGS CORP   2016-12-05 2018-12-24
8. MILACRON HOLDINGS CORP   2016-12-06 2018-12-24
2. MILACRON HOLDINGS CORP   2016-12-07 2018-12-24
4. MILACRON HOLDINGS CORP   2017-05-01 2018-12-24
8. MILACRON HOLDINGS CORP   2017-05-02 2018-12-24
6. MILACRON HOLDINGS CORP   2017-05-08 2018-12-24
6. ARES CAP CORP   2013-03-08 2018-12-26
2. MILACRON HOLDINGS CORP   2017-05-08 2018-12-26
2. MILACRON HOLDINGS CORP   2017-06-12 2018-12-26
7. MILACRON HOLDINGS CORP   2017-09-27 2018-12-26
1. SIX FLAGS ENTMT CORP NEW   2017-09-28 2018-12-26
6. SIX FLAGS ENTMT CORP NEW   2017-09-29 2018-12-26
3. SIX FLAGS ENTMT CORP NEW   2017-10-05 2018-12-26
1. CIGNA CORP REG SHS   2017-12-20 2018-12-28
8. CIGNA CORP REG SHS   2018-02-06 2018-12-28
14. CHEVRONTEXACO CORP   2017-07-28 2018-12-28
5. CONOCOPHILLIPS   2016-10-27 2018-12-28
17. CONOCOPHILLIPS   2016-12-06 2018-12-28
2. GOLDMAN SACHS GROUP INC   2013-03-15 2018-12-28
5. GOLDMAN SACHS GROUP INC   2014-03-18 2018-12-28
25. VERIZON COMMUNICATIONS INC   2017-11-30 2018-12-28
CAPITAL GAIN DIVIDENDS P    
(e)
Gross sales price
(f)
Depreciation allowed
(or allowable)
(g)
Cost or other basis
plus expense of sale
(h)
Gain or (loss)
(e) plus (f) minus (g)
a 28   26 2
b 230   224 6
c 33   31 2
d 190   84 106
e 380   179 201
16   22 -6
1,245   275 970
104   88 16
101   65 36
171   72 99
358   186 172
86   70 16
63   73 -10
42   38 4
222   80 142
118   55 63
119   50 69
26   22 4
258   243 15
48   76 -28
123   113 10
67   53 14
155   187 -32
101   80 21
101   76 25
49   35 14
132   133 -1
105   68 37
70   59 11
70   59 11
53   32 21
383   296 87
54   52 2
557   302 255
224   165 59
132   67 65
230   191 39
38   23 15
27   22 5
21   8 13
43   32 11
57   45 12
57   44 13
55   46 9
115   79 36
59   47 12
18   20 -2
101   96 5
80   51 29
154   132 22
160   83 77
160   84 76
49   40 9
35   50 -15
194   168 26
262   155 107
76   72 4
59   59  
565   84 481
27   16 11
29   26 3
96   65 31
60   25 35
153   175 -22
53   50 3
50   71 -21
63   47 16
37   44 -7
104   24 80
253   127 126
253   155 98
39   22 17
131   105 26
164   124 40
30   28 2
29   27 2
542   292 250
54   39 15
283   240 43
104   40 64
30   20 10
25   22 3
61   29 32
35   41 -6
25   19 6
198   69 129
29   36 -7
29   30 -1
43   30 13
139   104 35
57   53 4
30   25 5
177   84 93
137   117 20
56   54 2
191   54 137
191   57 134
39   30 9
70   74 -4
80   39 41
89   59 30
32   43 -11
149   118 31
12   14 -2
258   206 52
164   119 45
109   88 21
68   65 3
391   252 139
145   87 58
94   100 -6
51   39 12
63   39 24
109   112 -3
21   20 1
45   37 8
183   154 29
118   60 58
103   85 18
99   89 10
53   91 -38
332   339 -7
21   22 -1
22   20 2
89   67 22
47   34 13
48   21 27
69   65 4
63   40 23
370   144 226
27   27  
55   50 5
27   18 9
115   85 30
221   234 -13
53   21 32
66   60 6
49   26 23
100   78 22
45   33 12
46   45 1
38   31 7
39   32 7
122   104 18
85   40 45
134   110 24
23   20 3
113   45 68
49   28 21
20   18 2
245   78 167
56   39 17
257   169 88
133   99 34
169   79 90
78   44 34
222   129 93
38   42 -4
158   153 5
53   33 20
477   160 317
81   59 22
53   32 21
28   22 6
83   53 30
83   52 31
128   62 66
65   61 4
75   67 8
164   114 50
46   47 -1
86   82 4
217   176 41
47   28 19
114   82 32
34   27 7
84   138 -54
10   18 -8
177   293 -116
115   190 -75
63   103 -40
73   116 -43
157   248 -91
373   203 170
1,873   1,316 557
884   423 461
1,026   905 121
190   170 20
38   34 4
323   384 -61
294   343 -49
618   775 -157
118   143 -25
1,294   1,492 -198
2,353   2,516 -163
294   303 -9
471   485 -14
1,843   1,365 478
1,921   993 928
4,195   4,195  
1,049   1,049  
270   156 114
655   492 163
270   207 63
193   181 12
424   405 19
116   120 -4
39   31 8
53   21 32
214   75 139
160   55 105
359   152 207
371   184 187
806   454 352
195   110 85
1,015   421 594
185   77 108
747   482 265
540   408 132
509   259 250
467   230 237
276   115 161
186   92 94
287   158 129
334   181 153
2,821   549 2,272
92   46 46
460   374 86
464   357 107
464   373 91
177   143 34
379   323 56
177   143 34
243   192 51
833   821 12
224   87 137
306   261 45
310   161 149
599   587 12
180   180  
180   173 7
120   122 -2
2,358   2,269 89
705   389 316
787   745 42
662   560 102
2,894   2,497 397
620   565 55
1,674   1,560 114
3,653   3,617 36
1,189   1,326 -137
173   55 118
282   235 47
414   256 158
124   35 89
290   123 167
58   24 34
5,370   5,082 288
1,473   275 1,198
325   230 95
205   183 22
300   258 42
1,286   581 705
694   416 278
916   530 386
4,113   4,211 -98
1,042   573 469
149   120 29
149   114 35
185   129 56
376   194 182
206   169 37
659   650 9
281   194 87
1,139   583 556
124   35 89
62   22 40
314   253 61
123   65 58
593   409 184
636   452 184
1,072   562 510
414   337 77
120   65 55
864   454 410
2,094   1,687 407
119   65 54
1,397   734 663
119   65 54
3,167   1,642 1,525
121   65 56
552   405 147
548   528 20
1,236   1,205 31
119   65 54
147   168 -21
588   679 -91
147   170 -23
147   164 -17
147   150 -3
147   162 -15
120   65 55
119   65 54
121   56 65
121   56 65
336   264 72
701   452 249
100   175 -75
125   219 -94
1,040   831 209
111   197 -86
87   156 -69
61   112 -51
3,988   4,051 -63
111   201 -90
49   89 -40
12   22 -10
37   66 -29
4,056   4,221 -165
1,014   1,054 -40
25   44 -19
25   44 -19
25   34 -9
211   101 110
2,499   2,723 -224
1,770   1,937 -167
2,102   1,427 675
406   457 -51
162   183 -21
516   589 -73
764   704 60
862   783 79
1,626   1,357 269
1,938   1,614 324
875   763 112
875   698 177
652   825 -173
842   312 530
70   36 34
298   280 18
149   144 5
195   158 37
139   117 22
139   115 24
365   377 -12
730   740 -10
491   325 166
423   502 -79
242   290 -48
124   124  
71   68 3
53   52 1
31   37 -6
278   292 -14
378   354 24
428   554 -126
158   98 60
862   775 87
164   150 14
172   143 29
431   320 111
86   67 19
125   100 25
37   52 -15
1,575   275 1,300
189   258 -69
151   202 -51
151   197 -46
38   50 -12
38   50 -12
38   78 -40
189   332 -143
76   127 -51
340   659 -319
151   267 -116
302   320 -18
302   344 -42
189   200 -11
231   234 -3
77   77  
54   52 2
289   296 -7
108   102 6
27   32 -5
266   340 -74
27   30 -3
264   201 63
142   130 12
286   354 -68
246   298 -52
62   74 -12
4,000   4,000  
1,000   997 3
4,000   4,000  
1,000   1,000  
1,438   1,336 102
227   220 7
242   213 29
4,977   5,000 -23
512   405 107
771   551 220
111   88 23
8   10 -2
1,310   1,394 -84
1,397   1,603 -206
325   417 -92
1,982   1,874 108
482   480 2
964   955 9
240   292 -52
1,856   807 1,049
1,122   288 834
1,134   289 845
1,688   275 1,413
112   117 -5
89   88 1
203   129 74
917   465 452
202   150 52
77   72 5
39   36 3
188   201 -13
33   29 4
945   281 664
269   111 158
108   51 57
330   283 47
69   136 -67
50   53 -3
129   141 -12
202   280 -78
170   75 95
84   63 21
97   76 21
194   164 30
61   66 -5
122   68 54
486   476 10
119   63 56
253   197 56
785   389 396
413   329 84
169   89 80
661   572 89
127   142 -15
254   287 -33
63   70 -7
90   69 21
9   7 2
22   16 6
70   45 25
196   137 59
226   197 29
59   46 13
17   19 -2
170   166 4
36   26 10
768   731 37
625   334 291
27   17 10
106   120 -14
200   169 31
847   426 421
158   144 14
108   97 11
179   183 -4
1,713   251 1,462
626   297 329
212   130 82
106   48 58
150   42 108
109   113 -4
89   166 -77
20   22 -2
135   93 42
204   69 135
58   58  
123   133 -10
116   24 92
234   155 79
213   165 48
113   118 -5
25   27 -2
104   67 37
446   234 212
88   59 29
247   239 8
111   40 71
15   13 2
103   49 54
33   41 -8
77   89 -12
184   69 115
61   72 -11
205   112 93
34   46 -12
45   30 15
154   104 50
69   72 -3
250   212 38
909   378 531
104   117 -13
63   49 14
42   30 12
210   196 14
1,004   343 661
19   15 4
94   91 3
95   39 56
182   117 65
76   129 -53
145   118 27
378   343 35
675   663 12
67   65 2
1,153   755 398
75   92 -17
149   87 62
103   133 -30
168   98 70
123   63 60
111   79 32
24   26 -2
26   19 7
292   298 -6
160   164 -4
44   37 7
44   40 4
463   463  
204   119 85
51   44 7
153   237 -84
300   339 -39
540   558 -18
17   22 -5
31   31  
616   869 -253
304   120 184
95   67 28
23   21 2
74   22 52
118   83 35
867   375 492
60   53 7
839   935 -96
59   21 38
142   120 22
169   174 -5
282   288 -6
56   58 -2
8   9 -1
142   130 12
39   20 19
158   110 48
22   20 2
53   23 30
49   55 -6
20   26 -6
143   73 70
156   169 -13
23   18 5
56   39 17
146   109 37
234   169 65
128   99 29
40   26 14
488   225 263
65   75 -10
199   204 -5
1,477   441 1,036
148   137 11
118   129 -11
116   116  
249   176 73
198   123 75
333   210 123
83   53 30
331   167 164
93   101 -8
160   158 2
236   168 68
161   111 50
38   47 -9
137   99 38
225   195 30
57   99 -42
99   87 12
49   28 21
85   48 37
234   164 70
35   27 8
627   726 -99
279   374 -95
3,908   3,995 -87
977   1,009 -32
1   1  
305   229 76
217   346 -129
309   202 107
1,756   275 1,481
76   71 5
152   150 2
203   101 102
171   183 -12
79   59 20
79   52 27
32   30 2
190   190  
158   150 8
158   119 39
190   252 -62
158   212 -54
285   387 -102
63   78 -15
63   80 -17
190   246 -56
32   40 -8
95   119 -24
95   111 -16
92   76 16
369   312 57
201   150 51
62   74 -12
741   372 369
1,112   722 390
185   158 27
371   307 64
1,875   1,478 397
375   288 87
1,250   915 335
330   229 101
121   237 -116
153   103 50
181   273 -92
361   440 -79
2,590   2,878 -288
186   112 74
88   91 -3
38   26 12
169   124 45
263   253 10
268   234 34
52   34 18
167   134 33
736   614 122
3,848   3,952 -104
962   993 -31
915   1,062 -147
2,117   2,446 -329
935   849 86
395   348 47
2,084   2,157 -73
2,244   2,332 -88
1,553   1,441 112
1,147   1,284 -137
40   44 -4
79   90 -11
356   395 -39
950   1,047 -97
633   625 8
870   885 -15
1,600   1,664 -64
4,211   2,765 1,446
136   92 44
266   342 -76
286   370 -84
1,304   1,315 -11
757   551 206
1,178   617 561
346   191 155
84   78 6
209   207 2
1,044   978 66
84   78 6
504   447 57
378   388 -10
553   391 162
593   438 155
293   292 1
228   222 6
326   313 13
98   93 5
298   369 -71
1,892   275 1,617
97   111 -14
232   209 23
1,244   337 907
1,259   338 921
63   59 4
75   88 -13
102   65 37
139   72 67
41   38 3
69   73 -4
539   161 378
34   68 -34
49   47 2
214   280 -66
183   75 108
196   167 29
287   137 150
193   178 15
116   63 53
123   91 32
24   45 -21
441   216 225
210   165 45
121   67 54
230   191 39
131   141 -10
66   71 -5
130   92 38
41   39 2
279   263 16
277   167 110
139   84 55
62   60 2
361   193 168
86   72 14
64   58 6
86   91 -5
723   112 611
217   99 118
107   65 42
56   24 32
9   13 -4
36   71 -35
36   41 -5
30   29 1
118   24 94
230   155 75
72   68 4
51   41 10
64   58 6
115   58 57
28   20 8
124   40 84
64   29 35
61   52 9
49   61 -12
61   59 2
82   90 -8
173   112 61
13   15 -2
67   72 -5
133   106 27
438   168 270
20   18 2
369   114 255
123   38 85
91   58 33
41   86 -45
76   59 17
82   69 13
435   398 37
64   65 -1
579   377 202
70   92 -22
29   33 -4
51   39 12
51   42 9
44   40 4
244   231 13
97   60 37
49   91 -42
327   310 17
20   22 -2
367   435 -68
88   78 10
425   202 223
260   312 -52
60   20 40
135   120 15
105   115 -10
263   281 -18
84   78 6
60   62 -2
83   55 28
48   55 -7
53   56 -3
119   84 35
71   53 18
111   56 55
46   50 -4
212   204 8
563   160 403
67   69 -2
67   65 2
64   58 6
164   101 63
250   158 92
251   146 105
36   21 15
185   169 16
49   51 -2
41   39 2
41   40 1
158   101 57
55   40 15
43   43  
62   90 -28
114   79 35
35   25 10
113   82 31
1,014   1,053 -39
979   997 -18
980   975 5
993   1,006 -13
1,011   1,051 -40
1,010   1,001 9
8,279   9,444 -1,165
2,011   2,015 -4
987   1,005 -18
995   993 2
978   1,019 -41
505   517 -12
715   669 46
92   69 23
122   99 23
61   65 -4
122   115 7
61   75 -14
398   547 -149
245   284 -39
122   149 -27
92   111 -19
71   93 -22
357   385 -28
322   345 -23
484   496 -12
186   44 142
253   206 47
1,264   993 271
2,009   275 1,734
1,085   1,467 -382
588   308 280
667   881 -214
698   490 208
50   106 -56
213   460 -247
571   263 308
285   125 160
285   125 160
342   151 191
1,032   768 264
155   178 -23
543   653 -110
233   282 -49
1,774   2,383 -609
84   108 -24
394   486 -92
2,409   2,049 360
257   178 79
87   79 8
437   396 41
1,054   1,307 -253
438   372 66
502   357 145
335   226 109
613   481 132
139   100 39
418   299 119
522   476 46
479   424 55
218   210 8
305   293 12
110   80 30
441   321 120
642   528 114
254   245 9
27   29 -2
468   552 -84
13   14 -1
3,926   3,991 -65
982   990 -8
9   18 -9
23   46 -23
14   26 -12
59   139 -80
90   165 -75
122   191 -69
354   421 -67
85   78 7
509   510 -1
706   341 365
18   28 -10
143   228 -85
9   14 -5
58   120 -62
67   137 -70
99   137 -38
23   14 9
521   308 213
41   27 14
41   28 13
207   133 74
41   27 14
207   130 77
116   117 -1
116   121 -5
416   180 236
335   173 162
991   1,028 -37
991   1,010 -19
991   1,012 -21
991   1,008 -17
991   994 -3
104   69 35
998   999 -1
2,994   2,996 -2
6   7 -1
411   528 -117
242   274 -32
465   264 201
127   77 50
328   363 -35
1,218   1,173 45
84   83 1
126   129 -3
126   144 -18
84   80 4
126   151 -25
168   165 3
42   44 -2
42   47 -5
1,379   690 689
1,066   1,581 -515
1,150   1,290 -140
115   124 -9
633   665 -32
2,084   2,432 -348
672   796 -124
2,369   2,087 282
113   135 -22
177   213 -36
129   157 -28
65   78 -13
97   121 -24
314   179 135
179   110 69
224   142 82
224   178 46
45   43 2
1,012   1,090 -78
225   241 -16
94   63 31
751   592 159
486   260 226
499   709 -210
140   224 -84
62   112 -50
198   364 -166
692   386 306
412   205 207
234   133 101
240   370 -130
480   747 -267
276   427 -151
731   612 119
559   853 -294
140   221 -81
140   217 -77
70   127 -57
516   660 -144
93   111 -18
1,148   1,366 -218
745   1,002 -257
372   502 -130
1,193   1,412 -219
159   186 -27
159   175 -16
793   535 258
202   144 58
606   445 161
772   345 427
805   781 24
929   1,097 -168
2,750   2,341 409
88   118 -30
659   867 -208
173   193 -20
173   201 -28
86   86  
127   593 -466
51   243 -192
30   128 -98
51   223 -172
30   121 -91
20   83 -63
51   156 -105
36   95 -59
76   165 -89
515   1,011 -496
11   22 -11
291   524 -233
204   183 21
102   105 -3
276   359 -83
85   22 63
77   165 -88
41   99 -58
170   220 -50
170   210 -40
170   198 -28
170   157 13
170   187 -17
509   541 -32
339   333 6
170   173 -3
277   314 -37
167   173 -6
360   205 155
360   212 148
186   209 -23
279   320 -41
93   142 -49
28   40 -12
85   112 -27
57   75 -18
85   115 -30
459   482 -23
504   449 55
725   671 54
128   136 -8
295   71 224
393   96 297
180   277 -97
145   43 102
216   241 -25
45   28 17
339   206 133
6   5 1
23   18 5
37   23 14
1,501   943 558
224   257 -33
140   217 -77
93   144 -51
23   36 -13
47   73 -26
93   137 -44
70   104 -34
89   109 -20
23   35 -12
23   37 -14
80   117 -37
51   60 -9
304   367 -63
152   185 -33
191   182 9
1,525   1,457 68
1,525   1,514 11
308   223 85
1,049   849 200
327   310 17
817   840 -23
1,378   1,272 106
      126
Complete only for assets showing gain in column (h) and owned by the foundation on 12/31/69 (l)
Gains (Col. (h) gain minus
col. (k), but not less than -0-) or
Losses (from col.(h))
(i)
F.M.V. as of 12/31/69
(j)
Adjusted basis
as of 12/31/69
(k)
Excess of col. (i)
over col. (j), if any
a       2
b       6
c       2
d       106
e       201
      -6
      970
      16
      36
      99
      172
      16
      -10
      4
      142
      63
      69
      4
      15
      -28
      10
      14
      -32
      21
      25
      14
      -1
      37
      11
      11
      21
      87
      2
      255
      59
      65
      39
      15
      5
      13
      11
      12
      13
      9
      36
      12
      -2
      5
      29
      22
      77
      76
      9
      -15
      26
      107
      4
       
      481
      11
      3
      31
      35
      -22
      3
      -21
      16
      -7
      80
      126
      98
      17
      26
      40
      2
      2
      250
      15
      43
      64
      10
      3
      32
      -6
      6
      129
      -7
      -1
      13
      35
      4
      5
      93
      20
      2
      137
      134
      9
      -4
      41
      30
      -11
      31
      -2
      52
      45
      21
      3
      139
      58
      -6
      12
      24
      -3
      1
      8
      29
      58
      18
      10
      -38
      -7
      -1
      2
      22
      13
      27
      4
      23
      226
       
      5
      9
      30
      -13
      32
      6
      23
      22
      12
      1
      7
      7
      18
      45
      24
      3
      68
      21
      2
      167
      17
      88
      34
      90
      34
      93
      -4
      5
      20
      317
      22
      21
      6
      30
      31
      66
      4
      8
      50
      -1
      4
      41
      19
      32
      7
      -54
      -8
      -116
      -75
      -40
      -43
      -91
      170
      557
      461
      121
      20
      4
      -61
      -49
      -157
      -25
      -198
      -163
      -9
      -14
      478
      928
       
       
      114
      163
      63
      12
      19
      -4
      8
      32
      139
      105
      207
      187
      352
      85
      594
      108
      265
      132
      250
      237
      161
      94
      129
      153
      2,272
      46
      86
      107
      91
      34
      56
      34
      51
      12
      137
      45
      149
      12
       
      7
      -2
      89
      316
      42
      102
      397
      55
      114
      36
      -137
      118
      47
      158
      89
      167
      34
      288
      1,198
      95
      22
      42
      705
      278
      386
      -98
      469
      29
      35
      56
      182
      37
      9
      87
      556
      89
      40
      61
      58
      184
      184
      510
      77
      55
      410
      407
      54
      663
      54
      1,525
      56
      147
      20
      31
      54
      -21
      -91
      -23
      -17
      -3
      -15
      55
      54
      65
      65
      72
      249
      -75
      -94
      209
      -86
      -69
      -51
      -63
      -90
      -40
      -10
      -29
      -165
      -40
      -19
      -19
      -9
      110
      -224
      -167
      675
      -51
      -21
      -73
      60
      79
      269
      324
      112
      177
      -173
      530
      34
      18
      5
      37
      22
      24
      -12
      -10
      166
      -79
      -48
       
      3
      1
      -6
      -14
      24
      -126
      60
      87
      14
      29
      111
      19
      25
      -15
      1,300
      -69
      -51
      -46
      -12
      -12
      -40
      -143
      -51
      -319
      -116
      -18
      -42
      -11
      -3
       
      2
      -7
      6
      -5
      -74
      -3
      63
      12
      -68
      -52
      -12
       
      3
       
       
      102
      7
      29
      -23
      107
      220
      23
      -2
      -84
      -206
      -92
      108
      2
      9
      -52
      1,049
      834
      845
      1,413
      -5
      1
      74
      452
      52
      5
      3
      -13
      4
      664
      158
      57
      47
      -67
      -3
      -12
      -78
      95
      21
      21
      30
      -5
      54
      10
      56
      56
      396
      84
      80
      89
      -15
      -33
      -7
      21
      2
      6
      25
      59
      29
      13
      -2
      4
      10
      37
      291
      10
      -14
      31
      421
      14
      11
      -4
      1,462
      329
      82
      58
      108
      -4
      -77
      -2
      42
      135
       
      -10
      92
      79
      48
      -5
      -2
      37
      212
      29
      8
      71
      2
      54
      -8
      -12
      115
      -11
      93
      -12
      15
      50
      -3
      38
      531
      -13
      14
      12
      14
      661
      4
      3
      56
      65
      -53
      27
      35
      12
      2
      398
      -17
      62
      -30
      70
      60
      32
      -2
      7
      -6
      -4
      7
      4
       
      85
      7
      -84
      -39
      -18
      -5
       
      -253
      184
      28
      2
      52
      35
      492
      7
      -96
      38
      22
      -5
      -6
      -2
      -1
      12
      19
      48
      2
      30
      -6
      -6
      70
      -13
      5
      17
      37
      65
      29
      14
      263
      -10
      -5
      1,036
      11
      -11
       
      73
      75
      123
      30
      164
      -8
      2
      68
      50
      -9
      38
      30
      -42
      12
      21
      37
      70
      8
      -99
      -95
      -87
      -32
       
      76
      -129
      107
      1,481
      5
      2
      102
      -12
      20
      27
      2
       
      8
      39
      -62
      -54
      -102
      -15
      -17
      -56
      -8
      -24
      -16
      16
      57
      51
      -12
      369
      390
      27
      64
      397
      87
      335
      101
      -116
      50
      -92
      -79
      -288
      74
      -3
      12
      45
      10
      34
      18
      33
      122
      -104
      -31
      -147
      -329
      86
      47
      -73
      -88
      112
      -137
      -4
      -11
      -39
      -97
      8
      -15
      -64
      1,446
      44
      -76
      -84
      -11
      206
      561
      155
      6
      2
      66
      6
      57
      -10
      162
      155
      1
      6
      13
      5
      -71
      1,617
      -14
      23
      907
      921
      4
      -13
      37
      67
      3
      -4
      378
      -34
      2
      -66
      108
      29
      150
      15
      53
      32
      -21
      225
      45
      54
      39
      -10
      -5
      38
      2
      16
      110
      55
      2
      168
      14
      6
      -5
      611
      118
      42
      32
      -4
      -35
      -5
      1
      94
      75
      4
      10
      6
      57
      8
      84
      35
      9
      -12
      2
      -8
      61
      -2
      -5
      27
      270
      2
      255
      85
      33
      -45
      17
      13
      37
      -1
      202
      -22
      -4
      12
      9
      4
      13
      37
      -42
      17
      -2
      -68
      10
      223
      -52
      40
      15
      -10
      -18
      6
      -2
      28
      -7
      -3
      35
      18
      55
      -4
      8
      403
      -2
      2
      6
      63
      92
      105
      15
      16
      -2
      2
      1
      57
      15
       
      -28
      35
      10
      31
      -39
      -18
      5
      -13
      -40
      9
      -1,165
      -4
      -18
      2
      -41
      -12
      46
      23
      23
      -4
      7
      -14
      -149
      -39
      -27
      -19
      -22
      -28
      -23
      -12
      142
      47
      271
      1,734
      -382
      280
      -214
      208
      -56
      -247
      308
      160
      160
      191
      264
      -23
      -110
      -49
      -609
      -24
      -92
      360
      79
      8
      41
      -253
      66
      145
      109
      132
      39
      119
      46
      55
      8
      12
      30
      120
      114
      9
      -2
      -84
      -1
      -65
      -8
      -9
      -23
      -12
      -80
      -75
      -69
      -67
      7
      -1
      365
      -10
      -85
      -5
      -62
      -70
      -38
      9
      213
      14
      13
      74
      14
      77
      -1
      -5
      236
      162
      -37
      -19
      -21
      -17
      -3
      35
      -1
      -2
      -1
      -117
      -32
      201
      50
      -35
      45
      1
      -3
      -18
      4
      -25
      3
      -2
      -5
      689
      -515
      -140
      -9
      -32
      -348
      -124
      282
      -22
      -36
      -28
      -13
      -24
      135
      69
      82
      46
      2
      -78
      -16
      31
      159
      226
      -210
      -84
      -50
      -166
      306
      207
      101
      -130
      -267
      -151
      119
      -294
      -81
      -77
      -57
      -144
      -18
      -218
      -257
      -130
      -219
      -27
      -16
      258
      58
      161
      427
      24
      -168
      409
      -30
      -208
      -20
      -28
       
      -466
      -192
      -98
      -172
      -91
      -63
      -105
      -59
      -89
      -496
      -11
      -233
      21
      -3
      -83
      63
      -88
      -58
      -50
      -40
      -28
      13
      -17
      -32
      6
      -3
      -37
      -6
      155
      148
      -23
      -41
      -49
      -12
      -27
      -18
      -30
      -23
      55
      54
      -8
      224
      297
      -97
      102
      -25
      17
      133
      1
      5
      14
      558
      -33
      -77
      -51
      -13
      -26
      -44
      -34
      -20
      -12
      -14
      -37
      -9
      -63
      -33
      9
      68
      11
      85
      200
      17
      -23
      106
       
2 Capital gain net income or (net capital loss) Bracket If gain, also enter in Part I, line 7
If (loss), enter -0- in Part I, line 7
Bracket 2 57,881
3 Net short-term capital gain or (loss) as defined in sections 1222(5) and (6):
If gain, also enter in Part I, line 8, column (c) (see instructions). If (loss), enter -0-
in Part I, line 8 ...................
Bracket 3  
Part V
Qualification Under Section 4940(e) for Reduced Tax on Net Investment Income
(For optional use by domestic private foundations subject to the section 4940(a) tax on net investment income.)

If section 4940(d)(2) applies, leave this part blank.
Was the foundation liable for the section 4942 tax on the distributable amount of any year in the base period?
If "Yes," the foundation does not qualify under section 4940(e). Do not complete this part.
1 Enter the appropriate amount in each column for each year; see instructions before making any entries.
(a)
Base period years Calendar
year (or tax year beginning in)
(b)
Adjusted qualifying distributions
(c)
Net value of noncharitable-use assets
(d)
Distribution ratio
(col. (b) divided by col. (c))
2017 63,341 1,355,464 0.04673
2016 75,405 1,285,811 0.058644
2015 73,710 1,341,168 0.05496
2014 91,555 1,370,570 0.066801
2013 44,089 1,243,890 0.035444
2
Total of line 1, column (d) .....................
2
0.262579
3
Average distribution ratio for the 5-year base period—divide the total on line 2 by 5.0, or by the number of years the foundation has been in existence if less than 5 years ......
3
0.052516
4
Enter the net value of noncharitable-use assets for 2018 from Part X, line 5......
4
1,377,014
5
Multiply line 4 by line 3......................
5
72,315
6
Enter 1% of net investment income (1% of Part I, line 27b)...........
6
875
7
Add lines 5 and 6........................
7
73,190
8
Enter qualifying distributions from Part XII, line 4,.............
8
90,971
If line 8 is equal to or greater than line 7, check the box in Part VI, line 1b, and complete that part using a 1% tax rate. See the Part VI instructions.
Form 990-PF (2018)
Form 990-PF (2018)
Page 4
Part VI
Excise Tax Based on Investment Income (Section 4940(a), 4940(b), 4940(e), or 4948—see instructions)
1a Exempt operating foundations described in section 4940(d)(2), check here Bullet and enter “N/A" on line 1. Bracket includes lines 1a and 1b
Date of ruling or determination letter:   (attach copy of letter if necessary–see instructions)
b Domestic foundations that meet the section 4940(e) requirements in Part V, check 1 875
hereBulletand enter 1% of Part I, line 27b...................
c All other domestic foundations enter 2% of line 27b. Exempt foreign organizations enter 4% of Part I, line 12, col. (b)
2 Tax under section 511 (domestic section 4947(a)(1) trusts and taxable foundations only. Others enter -0-) 2 0
3 Add lines 1 and 2........................... 3 875
4 Subtitle A (income) tax (domestic section 4947(a)(1) trusts and taxable foundations only. Others enter -0-) 4 0
5 Tax based on investment income. Subtract line 4 from line 3. If zero or less, enter -0- ..... 5 875
6 Credits/Payments:
a 2018 estimated tax payments and 2017 overpayment credited to 2018 6a 1,718
b Exempt foreign organizations—tax withheld at source...... 6b
c Tax paid with application for extension of time to file (Form 8868)... 6c 0
d Backup withholding erroneously withheld ........... 6d  
7 Total credits and payments. Add lines 6a through 6d.............. 7 1,718
8 Enter any penalty for underpayment of estimated tax. Check here if Form 2220 is attached. 8 0
9 Tax due. If the total of lines 5 and 8 is more than line 7, enter amount owed.......Bullet 9  
10 Overpayment. If line 7 is more than the total of lines 5 and 8, enter the amount overpaid...Bullet 10 843
11 Enter the amount of line 10 to be: Credited to 2019 estimated taxBullet0 RefundedBullet 11 843
Part VII-A
Statements Regarding Activities
1a
During the tax year, did the foundation attempt to influence any national, state, or local legislation or did
Yes
No
it participate or intervene in any political campaign? ....................
1a
 
No
b
Did it spend more than $100 during the year (either directly or indirectly) for political purposes? (see Instructions
for definition).................................
1b
 
No
If the answer is "Yes" to 1a or 1b, attach a detailed description of the activities and copies of any materials
published or distributed by the foundation in connection with the activities.
c
Did the foundation file Form 1120-POL for this year?.....................
1c
 
No
d
Enter the amount (if any) of tax on political expenditures (section 4955) imposed during the year:
(1) On the foundation. bullet$   (2) On foundation managers.bullet$  
e
Enter the reimbursement (if any) paid by the foundation during the year for political expenditure tax imposed
on foundation managers.bullet$  
2
Has the foundation engaged in any activities that have not previously been reported to the IRS?.......
2
 
No
If "Yes," attach a detailed description of the activities.
3
Has the foundation made any changes, not previously reported to the IRS, in its governing instrument, articles
of incorporation, or bylaws, or other similar instruments? If "Yes," attach a conformed copy of the changes....
3
 
No
4a
Did the foundation have unrelated business gross income of $1,000 or more during the year?........
4a
 
No
b
If "Yes," has it filed a tax return on Form 990-T for this year?...................
4b
 
 
5
Was there a liquidation, termination, dissolution, or substantial contraction during the year?.........
5
 
No
If "Yes," attach the statement required by General Instruction T.
6
Are the requirements of section 508(e) (relating to sections 4941 through 4945) satisfied either:
  • By language in the governing instrument, or
  • By state legislation that effectively amends the governing instrument so that no mandatory directions
  • that conflict with the state law remain in the governing instrument?................
    6
    Yes
     
    7
    Did the foundation have at least $5,000 in assets at any time during the year? If "Yes," complete Part II, col. (c),
    and Part XV..................................
    7
    Yes
     
    8a
    Enter the states to which the foundation reports or with which it is registered (see instructions)
    bulletTX
    b
    If the answer is "Yes" to line 7, has the foundation furnished a copy of Form 990-PF to the Attorney
    General (or designate) of each state as required by General Instruction G? If "No," attach explanation .
    8b
    Yes
     
    9
    Is the foundation claiming status as a private operating foundation within the meaning of section 4942(j)(3)
    or 4942(j)(5) for calendar year 2018 or the taxable year beginning in 2018? See the instructions for Part XIV.
    If "Yes," complete Part XIV .............................
    9
     
    No
    10
    Did any persons become substantial contributors during the tax year? If "Yes," attach a schedule listing their names
    and addresses. ...............................
    10
     
    No
    Form 990-PF (2018)
    Form 990-PF (2018)
    Page 5
    Part VII-A
    Statements Regarding Activities (continued)
    11
    At any time during the year, did the foundation, directly or indirectly, own a controlled entity within the
    meaning of section 512(b)(13)? If "Yes," attach schedule. See instructions .............
    11
     
    No
    12
    Did the foundation make a distribution to a donor advised fund over which the foundation or a disqualified person had
    advisory privileges? If "Yes," attach statement. See instructions.................
    12
     
    No
    13
    Did the foundation comply with the public inspection requirements for its annual returns and exemption application?
    13
    Yes
     
    Website addressbulletN/A
    14
    The books are in care ofbulletUST-ML A DIVISION OF BANK OF AMERICA NA Telephone no.bullet (609) 274-6834

    Located atbullet1300 MERRILL LYNCH DRIVEPENNINGTONNJ ZIP+4bullet085341501
    15
    Section 4947(a)(1) nonexempt charitable trusts filing Form 990-PF in lieu of Form 1041 —check here .........bullet
    and enter the amount of tax-exempt interest received or accrued during the year ........bullet
    15
     
    16 At any time during calendar year 2018, did the foundation have an interest in or a signature or other authority over YesNo
    a bank, securities, or other financial account in a foreign country? .................
    16   No
    See the instructions for exceptions and filing requirements for FinCEN Form 114. If "Yes", enter the name of the foreign
    country bullet  
    Part VII-B
    Statements Regarding Activities for Which Form 4720 May Be Required
    File Form 4720 if any item is checked in the "Yes" column, unless an exception applies.
    Yes
    No
    1a
    During the year did the foundation (either directly or indirectly):
    (1) Engage in the sale or exchange, or leasing of property with a disqualified person?
    (2) Borrow money from, lend money to, or otherwise extend credit to (or accept it from)
    a disqualified person?......................
    (3) Furnish goods, services, or facilities to (or accept them from) a disqualified person?
    (4) Pay compensation to, or pay or reimburse the expenses of, a disqualified person?
    (5) Transfer any income or assets to a disqualified person (or make any of either available
    for the benefit or use of a disqualified person)?...............
    (6) Agree to pay money or property to a government official? (Exception. Check "No"
    if the foundation agreed to make a grant to or to employ the official for a period
    after termination of government service, if terminating within 90 days.).......
    b
    If any answer is "Yes" to 1a(1)–(6), did any of the acts fail to qualify under the exceptions described in Regulations
    section 53.4941(d)-3 or in a current notice regarding disaster assistance? See instructions ........
    1b
     
    No
    ........bullet
    c
    Did the foundation engage in a prior year in any of the acts described in 1a, other than excepted acts,
    that were not corrected before the first day of the tax year beginning in 2018?.............
    1c
     
    No
    2
    Taxes on failure to distribute income (section 4942) (does not apply for years the foundation was a private
    operating foundation defined in section 4942(j)(3) or 4942(j)(5)):
    a
    At the end of tax year 2018, did the foundation have any undistributed income (lines 6d
    and 6e, Part XIII) for tax year(s) beginning before 2018?.............
    If "Yes," list the years bullet20, 20, 20, 20
    b
    Are there any years listed in 2a for which the foundation is not applying the provisions of section 4942(a)(2)
    (relating to incorrect valuation of assets) to the year’s undistributed income? (If applying section 4942(a)(2)
    to all years listed, answer "No" and attach statement—see instructions.) ..............
    2b
     
     
    c
    If the provisions of section 4942(a)(2) are being applied to any of the years listed in 2a, list the years here.
    bullet20, 20, 20, 20
    3a
    Did the foundation hold more than a 2% direct or indirect interest in any business enterprise at
    any time during the year?......................
    b
    If "Yes," did it have excess business holdings in 2018 as a result of (1) any purchase by the foundation
    or disqualified persons after May 26, 1969; (2) the lapse of the 5-year period (or longer period approved
    by the Commissioner under section 4943(c)(7)) to dispose of holdings acquired by gift or bequest; or (3)
    the lapse of the 10-, 15-, or 20-year first phase holding period? (Use Schedule C, Form 4720, to determine
    if the foundation had excess business holdings in 2018.)..................
    3b
     
     
    4a
    Did the foundation invest during the year any amount in a manner that would jeopardize its charitable purposes?
    4a
     
    No
    b
    Did the foundation make any investment in a prior year (but after December 31, 1969) that could jeopardize its
    charitable purpose that had not been removed from jeopardy before the first day of the tax year beginning in 2018?
    4b
     
    No
    Form 990-PF (2018)
    Form 990-PF (2018)
    Page 6
    Part VII-B
    Statements Regarding Activities for Which Form 4720 May Be Required (continued)
    5a
    During the year did the foundation pay or incur any amount to:
    Yes
    No
    (1) Carry on propaganda, or otherwise attempt to influence legislation (section 4945(e))?
    (2) Influence the outcome of any specific public election (see section 4955); or to carry
    on, directly or indirectly, any voter registration drive?.............
    (3) Provide a grant to an individual for travel, study, or other similar purposes?
    (4) Provide a grant to an organization other than a charitable, etc., organization described
    in section 4945(d)(4)(A)? See instructions................
    (5) Provide for any purpose other than religious, charitable, scientific, literary, or
    educational purposes, or for the prevention of cruelty to children or animals?.....
    b
    If any answer is "Yes" to 5a(1)–(5), did any of the transactions fail to qualify under the exceptions described in
    Regulations section 53.4945 or in a current notice regarding disaster assistance? See instructions ......
    5b
     
     
    .........bullet
    c
    If the answer is "Yes" to question 5a(4), does the foundation claim exemption from the
    tax because it maintained expenditure responsibility for the grant?..........
    If "Yes," attach the statement required by Regulations section 53.4945–5(d).
    6a
    Did the foundation, during the year, receive any funds, directly or indirectly, to pay premiums on
    a personal benefit contract?.....................
    b
    Did the foundation, during the year, pay premiums, directly or indirectly, on a personal benefit contract? ....
    6b
     
    No
    If "Yes" to 6b, file Form 8870.
    7a
    At any time during the tax year, was the foundation a party to a prohibited tax shelter transaction?
    b
    If yes, did the foundation receive any proceeds or have any net income attributable to the transaction? ....
    7b
     
     
    8
    Is the foundation subject to the section 4960 tax on payment(s) of more than $1,000,000 in remuneration or
    excess parachute payment during the year? .................
    Part VIII
    Information About Officers, Directors, Trustees, Foundation Managers, Highly Paid Employees,
    and Contractors
    1 List all officers, directors, trustees, foundation managers and their compensation. See instructions
    (a) Name and address (b) Title, and average
    hours per week
    devoted to position
    (c) Compensation
    (If not paid, enter
    -0-)
    (d) Contributions to employee benefit plans and deferred compensation (e) Expense account,
    other allowances
    UST-MLT A DIVISION OF BANK OF AMER
    ICA NA
    TRUSTEE
    3
    22,368    
    PO Box 1501 NJ2-130-03-31
    Pennington,NJ085341501
    SYVLIA BALLI GOVERNOR
    1
    0    
    551 VISTA DR
    ODEM,TX78370
    JEANETTE CANTU-BAZAR GOVERNOR
    1
    0    
    4313 CLEAR FORK CT
    CORPUS CHRISTI,TX78410
    LAURA YOUNG GOVERNOR
    1
    0    
    811 E AVENUE
    ROBSTOWN,TX78380
    2 Compensation of five highest-paid employees (other than those included on line 1—see instructions). If none, enter “NONE."
    (a) Name and address of each employee paid more than $50,000 (b) Title, and average
    hours per week
    devoted to position
    (c) Compensation (d) Contributions to
    employee benefit
    plans and deferred
    compensation
    (e) Expense account,
    other allowances
    NONE
    Total number of other employees paid over $50,000...................bullet 0
    Form 990-PF (2018)
    Form 990-PF (2018)
    Page 7
    Part VIII
    Information About Officers, Directors, Trustees, Foundation Managers, Highly Paid Employees,
    and Contractors (continued)
    3 Five highest-paid independent contractors for professional services (see instructions). If none, enter "NONE".
    (a) Name and address of each person paid more than $50,000 (b) Type of service (c) Compensation
    NONE
    Total number of others receiving over $50,000 for professional services.............bullet0
    Part IX-A
    Summary of Direct Charitable Activities
    List the foundation’s four largest direct charitable activities during the tax year. Include relevant statistical information such as the number of organizations and other beneficiaries served, conferences convened, research papers produced, etc. Expenses
    1  
    2  
    3  
    4  
    Part IX-B
    Summary of Program-Related Investments (see instructions)
    Describe the two largest program-related investments made by the foundation during the tax year on lines 1 and 2. Amount
    1 PROVIDE SCHOLARSHIP GRANTS TO FULL TIME STUDENTS A REGISTERED TO ATTEND A COLLEGE OR UNIVERSITY. ELIG PERSONS WHO ARE GRADUATING FROM ROBSTOWN HIGH SCHO  
    2  
    All other program-related investments. See instructions.
    3  
    Total. Add lines 1 through 3.........................bullet  
    Form 990-PF (2018)
    Form 990-PF (2018)
    Page 8
    Part X
    Minimum Investment Return (All domestic foundations must complete this part. Foreign foundations,see instructions.)
    1
    Fair market value of assets not used (or held for use) directly in carrying out charitable, etc.,
    purposes:
    a
    Average monthly fair market value of securities...................
    1a
    1,372,684
    b
    Average of monthly cash balances.......................
    1b
    25,300
    c
    Fair market value of all other assets (see instructions)................
    1c
    0
    d
    Total (add lines 1a, b, and c).........................
    1d
    1,397,984
    e
    Reduction claimed for blockage or other factors reported on lines 1a and
    1c (attach detailed explanation) .............
    1e
    0
    2
    Acquisition indebtedness applicable to line 1 assets..................
    2
    0
    3
    Subtract line 2 from line 1d.........................
    3
    1,397,984
    4
    Cash deemed held for charitable activities. Enter 1 1/2% of line 3 (for greater amount, see
    instructions) .............................
    4
    20,970
    5
    Net value of noncharitable-use assets. Subtract line 4 from line 3. Enter here and on Part V, line 4
    5
    1,377,014
    6
    Minimum investment return. Enter 5% of line 5..................
    6
    68,851
    Part XI
    Distributable Amount (see instructions) (Section 4942(j)(3) and (j)(5) private operating foundations and certain foreign organizations check here bullet and do not complete this part.)
    1
    Minimum investment return from Part X, line 6....................
    1
    68,851
    2a
    Tax on investment income for 2018 from Part VI, line 5......
    2a
    875
    b
    Income tax for 2018. (This does not include the tax from Part VI.)...
    2b
     
    c
    Add lines 2a and 2b............................
    2c
    875
    3
    Distributable amount before adjustments. Subtract line 2c from line 1............
    3
    67,976
    4
    Recoveries of amounts treated as qualifying distributions................
    4
    500
    5
    Add lines 3 and 4............................
    5
    68,476
    6
    Deduction from distributable amount (see instructions).................
    6
    0
    7
    Distributable amount as adjusted. Subtract line 6 from line 5. Enter here and on Part XIII, line 1 ...
    7
    68,476
    Part XII
    Qualifying Distributions (see instructions)
    1
    Amounts paid (including administrative expenses) to accomplish charitable, etc., purposes:
    a
    Expenses, contributions, gifts, etc.—total from Part I, column (d), line 26 ..........
    1a
    90,971
    b
    Program-related investments—total from Part IX-B..................
    1b
    0
    2
    Amounts paid to acquire assets used (or held for use) directly in carrying out charitable, etc.,
    purposes...............................
    2
    0
    3
    Amounts set aside for specific charitable projects that satisfy the:
    a
    Suitability test (prior IRS approval required)....................
    3a
    0
    b
    Cash distribution test (attach the required schedule) .................
    3b
    0
    4
    Qualifying distributions. Add lines 1a through 3b. Enter here and on Part V, line 8, and Part XIII, line 4
    4
    90,971
    5
    Foundations that qualify under section 4940(e) for the reduced rate of tax on net investment
    income. Enter 1% of Part I, line 27b. See instructions.................
    5
    875
    6
    Adjusted qualifying distributions. Subtract line 5 from line 4..............
    6
    90,096
    Note: The amount on line 6 will be used in Part V, column (b), in subsequent years when calculating whether the foundation qualifies for
    the section 4940(e) reduction of tax in those years.
    Form 990-PF (2018)
    Form 990-PF (2018)
    Page 9
    Part XIII
    Undistributed Income (see instructions)
    (a)
    Corpus
    (b)
    Years prior to 2017
    (c)
    2017
    (d)
    2018
    1 Distributable amount for 2018 from Part XI, line 7 68,476
    2 Undistributed income, if any, as of the end of 2018:
    a Enter amount for 2017 only....... 41,033
    b Total for prior years:2016, 2015, 20 0
    3 Excess distributions carryover, if any, to 2018:
    a From 2013...... 0
    b From 2014...... 0
    c From 2015...... 0
    d From 2016...... 0
    e From 2017...... 0
    fTotal of lines 3a through e........ 0
    4Qualifying distributions for 2018 from Part
    XII, line 4: bullet$ 90,971
    a Applied to 2017, but not more than line 2a 41,033
    b Applied to undistributed income of prior years
    (Election required—see instructions).....
    0
    c Treated as distributions out of corpus (Election
    required—see instructions)........
    0
    d Applied to 2018 distributable amount..... 49,938
    e Remaining amount distributed out of corpus 0
    5 Excess distributions carryover applied to 2018. 0 0
    (If an amount appears in column (d), the
    same amount must be shown in column (a).)
    6Enter the net total of each column as
    indicated below:
    a Corpus. Add lines 3f, 4c, and 4e. Subtract line 5 0
    b Prior years’ undistributed income. Subtract
    line 4b from line 2b ..........
    0
    c Enter the amount of prior years’ undistributed
    income for which a notice of deficiency has
    been issued, or on which the section 4942(a)
    tax has been previously assessed......
    0
    d Subtract line 6c from line 6b. Taxable amount
    —see instructions ...........
    0
    e Undistributed income for 2017. Subtract line
    4a from line 2a. Taxable amount—see
    instructions .............
    0
    f Undistributed income for 2018. Subtract
    lines 4d and 5 from line 1. This amount must
    be distributed in 2019 ..........
    18,538
    7 Amounts treated as distributions out of
    corpus to satisfy requirements imposed by
    section 170(b)(1)(F) or 4942(g)(3) (Election may
    be required - see instructions) .......
    0
    8 Excess distributions carryover from 2013 not
    applied on line 5 or line 7 (see instructions) ...
    0
    9Excess distributions carryover to 2019.
    Subtract lines 7 and 8 from line 6a ......
    0
    10 Analysis of line 9:
    a Excess from 2014.... 0
    b Excess from 2015.... 0
    c Excess from 2016.... 0
    d Excess from 2017.... 0
    e Excess from 2018.... 0
    Form 990-PF (2018)
    Form 990-PF (2018)
    Page 10
    Part XIV
    Private Operating Foundations (see instructions and Part VII-A, question 9)
    1a If the foundation has received a ruling or determination letter that it is a private operating
    foundation, and the ruling is effective for 2018, enter the date of the ruling....... bullet
     
    b Check box to indicate whether the organization is a private operating foundation described in section or
    2a Enter the lesser of the adjusted net
    income from Part I or the minimum
    investment return from Part X for each
    year listed ..........
    Tax year Prior 3 years (e) Total
    (a) 2018 (b) 2017 (c) 2016 (d) 2015
             
    b 85% of line 2a .........          
    c Qualifying distributions from Part XII,
    line 4 for each year listed .....
             
    d Amounts included in line 2c not used directly
    for active conduct of exempt activities ..........
             
    e Qualifying distributions made directly
    for active conduct of exempt activities.
    Subtract line 2d from line 2c ....
             
    3 Complete 3a, b, or c for the
    alternative test relied upon:
    a “Assets" alternative test—enter:
    (1) Value of all assets ......          
    (2) Value of assets qualifying
    under section 4942(j)(3)(B)(i)
             
    b “Endowment" alternative test— enter 2/3
    of minimum investment return shown in
    Part X, line 6 for each year listed...
             
    c “Support" alternative test—enter:
    (1) Total support other than gross
    investment income (interest,
    dividends, rents, payments
    on securities loans (section
    512(a)(5)), or royalties) ....
             
    (2) Support from general public
    and 5 or more exempt
    organizations as provided in
    section 4942(j)(3)(B)(iii)....
             
    (3) Largest amount of support
    from an exempt organization
             
    (4) Gross investment income          
    Part XV
    Supplementary Information (Complete this part only if the foundation had $5,000 or more in
    assets at any time during the year—see instructions.)
    1Information Regarding Foundation Managers:
    aList any managers of the foundation who have contributed more than 2% of the total contributions received by the foundation
    before the close of any tax year (but only if they have contributed more than $5,000). (See section 507(d)(2).)
    NONE
    bList any managers of the foundation who own 10% or more of the stock of a corporation (or an equally large portion of the
    ownership of a partnership or other entity) of which the foundation has a 10% or greater interest.
    NONE
    2Information Regarding Contribution, Grant, Gift, Loan, Scholarship, etc., Programs:
    Check here bullet
    aThe name, address, and telephone number or e-mail address of the person to whom applications should be addressed:
    ROBSTOWN HIGH SCHOOL FINANCIAL AID
    609 HWY 44
    ROBSTOWN,TX78380
    (361) 387-5999
    bThe form in which applications should be submitted and information and materials they should include:
    INDIVIDUALS SEEKING SCHOLARSHIP FUNDS SHOULD SUBMIT THE APPLICATION FO
    cAny submission deadlines:
    April 15, 2017
    dAny restrictions or limitations on awards, such as by geographical areas, charitable fields, kinds of institutions, or other
    factors:
    ELIGIBLE RECIPIENTS ARE PERSONS WHO ARE GRADUATING FROM ROBSTOWN HIGH SCHOOL OR WHO ARE RESIDENTS
    Form 990-PF (2018)
    Form 990-PF (2018)
    Page 11
    Part XV
    Supplementary Information (continued)
    3 Grants and Contributions Paid During the Year or Approved for Future Payment
    Recipient If recipient is an individual,
    show any relationship to
    any foundation manager
    or substantial contributor
    Foundation
    status of
    recipient
    Purpose of grant or
    contribution
    Amount
    Name and address (home or business)
    aPaid during the year
    Brightwood College
    1620 SOUTH PADRE ISLAND DRIVE
    Corpus Christi,TX78416
    NONE I SCHOLARSHIP 1,000
    Southern Careers Institute
    2422 AIRLINE ROAD
    Corpus Christi,TX78414
    NONE I SCHOLARSHIP 1,000
    Texas A&M University-Kingsville
    Foundation Inc
    PO BOX 2202
    Kingsville,TX783638301
    NONE I SCHOLARSHIP 20,000
    Houston Community College Foundation
    3100 MAIN ST
    Houston,TX770029312
    NONE I SCHOLARSHIP 1,000
    Texas State University Development Found
    601 UNIVERSITY DR
    San Marcos,TX786664684
    NONE I SCHOLARSHIP 1,000
    Texas A&M Foundation
    401 GEORGE BUSH DR
    College Sta,TX778402811
    NONE I SCHOLARSHIP 3,000
    Del Mar College Foundation Inc
    101 BALDWIN BLVD
    Corp Christi,TX784043805
    NONE I SCHOLARSHIP 22,000
    Texas A & M University-Corpus Christi
    Foundation Inc
    6300 OCEAN DR UNIT 5741
    Corp Christi,TX784125741
    NONE I SCHOLARSHIP 16,000
    Texas A&M International University
    5201 UNIVERSITY BOULEVARD
    Laredo,TX78041
    NONE I SCHOLARSHIP 4,000
    Coastal Bend College Foundation
    3800 CHARCO RD
    Beeville,TX781022110
    NONE I SCHOLARSHIP 2,000
    The University of Texas at Austin
    100 WEST DEAN KEETON STREET E3700
    Austin,TX78712
    NONE I SCHOLARSHIP 1,000
    Northeast Texas Community College
    Foundation
    PO BOX 1307
    Mt Pleasant,TX754569991
    NONE I SCHOLARSHIP 1,000
    Tarleton State University Foundation Inc
    BOX T-0950
    Stephenville,TX764020001
    NONE I SCHOLARSHIP 1,000
    Sul Ross State University Foundation
    SRSU BOX C-500
    ALPINE,TX798320001
    NONE I SCHOLARSHIP 1,000
    L C C Education Foundation
    WEST END WASHINGTON STREET
    LAREDO,TX780410000
    NONE I SCHOLARSHIP 1,000
    Total .................................bullet 3a 76,000
    bApproved for future payment
    Total .................................bullet 3b  
    Form 990-PF (2018)
    Form 990-PF (2018)
    Page 12
    Part XVI-A
    Analysis of Income-Producing Activities
    Enter gross amounts unless otherwise indicated. Unrelated business income Excluded by section 512, 513, or 514 (e)
    Related or exempt
    function income
    (See instructions.)
    1Program service revenue: (a)
    Business code
    (b)
    Amount
    (c)
    Exclusion code
    (d)
    Amount
    a
    b
    c
    d
    e
    f
    gFees and contracts from government agencies          
    2 Membership dues and assessments....          
    3 Interest on savings and temporary cash
    investments ...........
             
    4 Dividends and interest from securities....     14 39,828  
    5 Net rental income or (loss) from real estate:
    aDebt-financed property......          
    bNot debt-financed property.....          
    6 Net rental income or (loss) from personal property          
    7 Other investment income.....          
    8 Gain or (loss) from sales of assets other than
    inventory ............
        18 57,881  
    9 Net income or (loss) from special events:          
    10 Gross profit or (loss) from sales of inventory          
    11 Other revenue:
    aRETURN OF PY GRANT
        1 500  
    b
    c
    d
    e
    12 Subtotal. Add columns (b), (d), and (e)..   98,209  
    13Total. Add line 12, columns (b), (d), and (e)..................
    13
    98,209
    (See worksheet in line 13 instructions to verify calculations.)
    Part XVI-B
    Relationship of Activities to the Accomplishment of Exempt Purposes
    Line No.
    DownArrow
    Explain below how each activity for which income is reported in column (e) of Part XVI-A contributed importantly to
    the accomplishment of the foundation’s exempt purposes (other than by providing funds for such purposes). (See
    instructions.)
    Form 990-PF (2018)
    Form 990-PF (2018)
    Page 13
    Part XVII
    Information Regarding Transfers To and Transactions and Relationships With Noncharitable Exempt Organizations
    1
    Did the organization directly or indirectly engage in any of the following with any other organization described in section 501(c) (other than section 501(c)(3) organizations) or in section 527, relating to political organizations?
    Yes
    No
    a
    Transfers from the reporting foundation to a noncharitable exempt organization of:
    (1) Cash...................................
    1a(1)
     
    No
    (2) Other assets.................................
    1a(2)
     
    No
    b
    Other transactions:
    (1) Sales of assets to a noncharitable exempt organization....................
    1b(1)
     
    No
    (2) Purchases of assets from a noncharitable exempt organization..................
    1b(2)
     
    No
    (3) Rental of facilities, equipment, or other assets.......................
    1b(3)
     
    No
    (4) Reimbursement arrangements...........................
    1b(4)
     
    No
    (5) Loans or loan guarantees.............................
    1b(5)
     
    No
    (6) Performance of services or membership or fundraising solicitations................
    1b(6)
     
    No
    c
    Sharing of facilities, equipment, mailing lists, other assets, or paid employees..............
    1c
     
    No
    d
    If the answer to any of the above is "Yes," complete the following schedule. Column (b) should always show the fair market value
    of the goods, other assets, or services given by the reporting foundation. If the foundation received less than fair market value
    in any transaction or sharing arrangement, show in column (d) the value of the goods, other assets, or services received.

    (a) Line No. (b) Amount involved (c) Name of noncharitable exempt organization (d) Description of transfers, transactions, and sharing arrangements
    2a
    Is the foundation directly or indirectly affiliated with, or related to, one or more tax-exempt organizations
    described in section 501(c) (other than section 501(c)(3)) or in section 527? ...........
    b
    If "Yes," complete the following schedule.

    (a) Name of organization (b) Type of organization (c) Description of relationship
    Sign Here
    Under penalties of perjury, I declare that I have examined this return, including accompanying schedules and statements, and to the best of my knowledge and belief, it is true, correct, and complete. Declaration of preparer (other than taxpayer) is based on all information of which preparer has any knowledge.
    Bullet Bullet
    May the IRS discuss this return
    with the preparer shown below
    (see instr.)?
    Signature of officer or trustee Date Title
    Paid Preparer Use Only Print/Type preparer's name Preparer's Signature Date PTIN
    Firm's name SmallBullet
    Firm's EIN SmallBullet
    Firm's address SmallBullet


    Phone no.
    Form 990-PF (2018)
    Additional Data


    Software ID:  
    Software Version:  


    Form 990PF - Special Condition Description:
    Special Condition Description

    TY 2018 InvestmentsCorpBondsSchedule
    Name:
    TRIAL LAWYERS FDN YOUTH ED
    EIN:
    86-6267254
    Name of Bond End of Year Book Value End of Year Fair Market Value
    912810RS9 U.S. TREASURY BOND 4,993 4,509
    94974BGA2 WELLS FARGO & COMPAN 4,020 3,869
    912810RK6 U.S. TREASURY BOND 4,943 4,531
    92857WAQ3 VODAFONE GROUP PLC 4,680 4,192
    00287YAQ2 ABBVIE INC 2,876 2,878
    14040HBT1 CAPITAL ONE FINANCIA 4,999 4,729
    172967KJ9 CITIGROUP INC 5,000 4,935
    30219GAM0 EXPRESS SCRIPTS HOLD 4,201 4,054
    78012KCB1 USD ROYAL BK CANADA 5,012 4,956
    927804FZ2 VIRGINIA ELEC & POWE 4,965 5,021
    026874CY1 AMERICAN INTL GROUP 5,032 5,020
    126408HE6 CSX CORP 4,912 4,549
    25152R2X0 DEUTSCHE BANK AG 2,002 1,936
    404280AK5 HSBC HOLDINGS PLC 4,215 4,136
    822582AD4 SHELL INTERNATIONAL 5,211 5,053
    912810RM2 U.S. TREASURY BOND 9,974 9,981
    9128285B2 U.S. TREASURY NOTE 6,990 7,026
    925524AX8 VIACOM INC 4,828 4,293
    00206RCN0 AT&T INC 4,761 4,708
    031162CP3 AMGEN INC 4,829 4,888
    06367TJX9 BANK OF MONTREAL 4,956 4,829
    14912L6R7 CATERPILLAR INC 4,986 4,970
    37045XBT2 GENERAL MOTORS FINL 5,128 4,602
    913017DB2 UNITED TECHNOLOGIES 4,969 4,980
    91324PAR3 UNITEDHEALTH GROUP 4,698 4,722
    05574LFY9 BNP PARIBAS 1,942 1,965
    06406HCS6 BANK OF NEW YORK MEL 5,068 5,010
    26441CAN5 DUKE ENERGY CORP 1,993 2,003
    3137ABFH9 FHLMC MULTIFAMI CMO 5,613 5,124
    494550BS4 KINDER MORGAN ENER P 5,052 4,955
    581557BJ3 MCKESSON CORP 4,892 4,796
    59156RBB3 METLIFE INC 4,203 4,118
    912810QQ4 U.S. TREASURY BOND 3,598 3,692
    912810RY6 U.S. TREASURY BOND 8,337 8,524
    961214DQ3 WESTPAC BANKING CORP 4,998 4,846
    05565QCP1 BP CAPITAL MARKETS P 4,156 4,037
    20030NBX8 COMCAST CORP 5,018 4,875
    24422ETL3 JOHN DEERE CAPITAL C 3,982 3,924
    31359MGK3 FEDERAL NATL MTG ASS 6,430 6,702
    90131HAQ8 21ST CENTY FOX AMER 4,147 4,107
    037833AZ3 APPLE INC 4,710 4,722
    29273RBD0 ENERGY TRANSFER PART 3,936 3,754
    68389XBC8 ORACLE CORP 4,785 4,785
    686330AH4 ORIX CORP 4,997 4,886
    126650CX6 CVS HEALTH CORP 4,962 4,888
    26884LAE9 EQT CORP 4,819 4,741
    38141GVM3 GOLDMAN SACHS GROUP 5,016 4,934
    58013MEG5 MCDONALD'S CORP 4,011 4,006
    61746BDJ2 MORGAN STANLEY 5,043 4,991
    80283LAN3 SANTANDER UK PLC 4,015 3,956
    87165BAB9 SYNCHRONY FINANCIAL 5,008 4,967
    912810RU4 U.S. TREASURY BOND 2,885 2,917
    035242AM8 ANHEUSER-BUSCH INBEV 5,332 4,637
    036752AG8 ANTHEM INC 5,029 4,901
    29379VBD4 ENTERPRISE PRODUCTS 4,018 3,979
    3137A8PP7 FHLMC MULTIFAMI CMO 5,723 5,112
    459200HF1 IBM CORP 4,567 4,492
    46647PAH9 JPMORGAN CHASE & CO 5,046 4,830

    TY 2018 InvestmentsCorpStockSchedule
    Name:
    TRIAL LAWYERS FDN YOUTH ED
    EIN:
    86-6267254
    Name of Stock End of Year Book Value End of Year Fair Market Value
    783513203 RYANAIR HOLDINGS PLC 1,871 1,427
    80104Q208 SANLAM LTD SP ADR 1,174 1,468
    806857108 SCHLUMBERGER LIMITED 9,695 4,726
    87612E106 TARGET CORP 4,309 5,089
    902973304 US BANCORP DEL 3,047 2,468
    913017109 UNITED TECHNOLOGIES 2,375 2,556
    92840M102 VISTRA ENERGY CORP 2,318 2,312
    95040Q104 WELLTOWER INC 3,083 3,679
    688239201 OSHKOSH TRUCK CORP 1,546 1,104
    715684106 TELEKOMUNIKASI IND-A 880 1,153
    759351604 REINSURNCE GROUP AME 1,602 2,384
    83001A102 SIX FLAGS ENTMT CORP 990 890
    83569C102 SONOVA HOLD AG UNSPO 811 656
    87165B103 SYNCHRONY FINL COM 1,319 985
    902494103 TYSON FOODS INC CL A 5,020 4,753
    90348R102 UBISOFT ENTERTAINMEN 1,599 1,471
    G0176J109 ALLEGION PLC SHS 1,636 1,514
    M22465104 CHECK POINT SOFTWARE 1,594 1,950
    01609W102 ALIBABA GROUP HOLDIN 8,439 15,078
    088606108 BHP BILLITON LIMITED 3,220 3,235
    166764100 CHEVRONTEXACO CORP 10,196 9,682
    191216100 COCA-COLA CO USD 6,597 8,097
    20441A102 COMPANHIA DE SANEAME 446 863
    375916103 GILDAN ACTIVEWEAR IN 1,382 1,457
    436440101 HOLOGIC INC 607 617
    447011107 HUNTSMAN CORP 2,834 1,871
    478160104 JOHNSON & JOHNSON CO 9,874 9,808
    61174X109 MONSTER BEVERAGE SHS 3,694 9,352
    66987V109 NOVARTIS AG SPNSRD A 9,430 9,439
    717081103 PFIZER INC COM 7,854 9,516
    759530108 RELX PLC 2,583 2,442
    786584102 SAFRAN SA-UNSPON 2,700 2,899
    803054204 SAP AKTIENGESELLSCHA 3,062 3,385
    87944W105 TELENOR ASA 1,952 2,014
    88032Q109 TENCENT HOLDINGS LTD 2,842 3,750
    91529Y106 UNUMPROVIDENT CORP 3,609 3,526
    92852T201 VIVENDI SHS UNSP ADR 2,474 2,318
    92939U106 WEC ENERGY GROUP INC 2,441 2,632
    98212B103 WPX ENERGY INC 2,674 2,531
    G0408V102 AON PLC 1,780 2,762
    N22035104 CONSTELLIUM HOLDCO B 1,680 1,531
    N53745100 LYONDELLBASELL INDUS 6,429 5,655
    02079K305 ALPHABET INC SHS 2,807 8,360
    025816109 AMERICAN EXPRESS COM 2,289 3,336
    03076C106 AMERIPRISE FINL INC 2,735 3,340
    03524A108 ANHEUSER-BUSCH INBEV 3,129 2,040
    045387107 ASSA ABLOY AB ADR 2,721 2,501
    136375102 CANADIAN NATL RY CO 1,148 1,334
    194162103 COLGATE PALMOLIVE CO 6,568 5,535
    20449X401 COMPASS GROUP PLC SH 2,054 2,529
    212015101 CONTINENTAL RESOURCE 1,865 1,728
    29446M102 EQUINOR ASA 1,254 1,524
    30303M102 FACEBOOK INC 3,067 14,420
    48238T109 KAR AUCTION SERVICES 1,359 2,195
    518613203 LAUREATE EDUCATION I 1,980 2,012
    560877300 MAKITA CORP ADR NEW 1,913 2,146
    575385109 MASONITE INTERNATION 1,505 941
    68389X105 ORACLE CORPORATION 14,606 14,177
    74733V100 QEP RESOURCES INC SH 2,520 1,160
    780259206 ROYAL DUTCH SHELL PL 4,001 3,962
    72341E304 PING AN INS GROUP CO 2,291 1,982
    73179P106 POLYONE CORP 783 601
    744320102 PRUDENTIAL FINL INC 6,152 5,953
    74435K204 PRUDENTIAL PLC ADR 3,710 3,077
    750236101 RADIAN GROUP INC 838 622
    887389104 TIMKEN CO 1,961 1,605
    911312106 UNITED PARCEL SVC IN 2,458 2,828
    92220P105 VARIAN MED SYS INC 2,907 5,326
    92826C839 VISA INC CL A SHRS 5,820 18,472
    958102105 WESTERN DIGITAL CORP 3,706 1,849
    000375204 ABB LTD 1,782 1,312
    109696104 BRINKS CO 2,081 1,746
    12514G108 CDW CORP 543 567
    126650100 CVS CORP 5,829 4,914
    172967424 CITIGROUP INC COM NE 12,553 10,776
    174610105 CITIZENS FINL GROUP 5,911 5,262
    23636T100 DANONE-SPONS 8,115 7,941
    30161N101 EXELON CORP 5,766 7,216
    302491303 F M C CORP COM NEW 2,417 2,071
    37940X102 GLOBAL PMTS INC 1,178 1,753
    485537401 KAO CORP SHS 1,135 1,326
    521865204 LEAR CORP SHS 4,212 4,669
    670346105 NUCOR CORP 3,483 2,901
    75886F107 REGENERON PHARMACEUT 10,104 10,085
    76680R206 RINGCENTRAL INC 327 824
    904767704 UNILEVER PLC AMER SH 1,695 2,195
    971375126 WILLSCOT CORP 2,236 1,291
    988498101 YUM BRANDS INC 3,296 5,791
    G81276100 SIGNET JEWELERS LTD 1,456 508
    N97284108 YANDEX N V CL A 1,510 1,313
    018581108 ALLIANCE DATA SYS CO 2,013 1,351
    02079K107 ALPHABET INC SHS 2,798 8,285
    053015103 AUTOMATIC DATA PROCE 1,216 2,885
    05541J103 BB SEGURIDADE PARTI- 1,297 1,312
    05722G100 BAKER HUGHES INC REG 1,948 688
    23304Y100 DBS GROUP HLDGS LTD 1,554 2,022
    30040W108 EVERSOURCE ENERGY CO 2,496 2,732
    31502A204 FERGUSON PLC 1,788 1,707
    372303206 GENMAB A/S SHS 731 610
    38141G104 GOLDMAN SACHS GROUP 6,875 6,515
    458140100 INTEL CORPORATION 8,995 8,823
    46266C105 IQVIA HLDGS INC 1,541 2,207
    493267108 KEYCORP NEW COM 2,289 2,764
    512807108 LAM RESH CORP COM 1,577 2,587
    56585A102 MARATHON PETROLEUM C 4,773 5,606
    58933Y105 MERCK AND CO INC SHS 2,700 3,897
    62476L207 MR PRICE GROUP LTD 813 1,007
    62482R107 MR COOPER GROUP INC 2,771 1,809
    59410T106 CIE GENERALE DES 1,749 1,333
    631103108 NASDAQ STOCK MARKET 1,067 1,958
    64828T201 NEW RESIDENTIAL INVT 2,252 2,799
    65558R109 NORDEA BANK ABP SHS 2,409 1,628
    69351T106 PPL CORP 6,555 5,921
    907818108 UNION PACIFIC CORP 2,825 3,594
    977874205 WOLTERS KLUWER N V S 1,503 2,641
    G0772R208 BANK OF N T BUTTERFI 3,390 2,916
    G5960L103 MEDTRONIC PLC SHS 3,071 3,366
    G6700G107 NVENT ELEC PLC REG S 590 651
    020002101 ALLSTATE CORP COM 558 578
    031162100 AMGEN INC 10,259 11,875
    125896100 CMS ENERGY CORP 2,437 2,582
    204319107 CIE FINANCIERE RICHE 1,244 1,161
    30224P200 EXTENDED STAY AMERIC 762 574
    369550108 GENERAL DYNAMICS COR 950 1,572
    45104G104 ICICI BK LTD 2,231 2,552
    46625H100 J P MORGAN CHASE & C 8,168 13,081
    49338L103 KEYSIGHT TECHNOLOGIE 2,400 2,607
    501044101 KROGER COMPANY COMMO 3,180 2,970
    552848103 MGIC INVT CORP WIS C 754 544
    594918104 MICROSOFT CORP COM 4,299 9,852
    651229106 NEWELL RUBBERMAID IN 2,297 967
    742718109 PROCTER & GAMBLE CO 7,245 8,732
    74340W103 PROLOGIS INC 2,018 1,820
    747525103 QUALCOMM INC 8,775 8,195
    81761R109 SERVICEMASTER GLOBAL 685 992
    874039100 TAIWAN SEMICONDUCTOR 1,334 2,399
    928662501 VOLKSWAGEN AG-UNSP 2,453 2,200
    G0684D107 ATHENE HLDG LTD 2,790 2,310
    G1151C101 ACCENTURE PLC SHS 2,673 3,102
    G29183103 EATON CORP PLC 5,025 5,081
    G3198U102 ESSENT GROUP LTD 698 513
    032654105 ANALOG DEVICES INC 1,125 1,202
    04010L103 ARES CAP CORP 3,276 3,100
    052769106 AUTODESK INC COM 3,660 11,704
    125523100 CIGNA CORP REG SHS 1,640 1,709
    149123101 CATERPILLAR INC 6,285 5,591
    23283R100 CYRUSONE INC 2,750 2,644
    234062206 DAIWA HOUSE IND LTD 1,790 2,194
    256677105 DOLLAR GENERAL CORP 599 648
    40434L105 HP INC 5,111 4,440
    443510607 HUBBELL INC SHS 1,180 993
    485785109 KASIKORNBANK PCL-UNS 871 907
    49446R109 KIMCO RLTY CORP 3,197 2,300
    499049104 KNIGHT-SWIFT 1,202 852
    608190104 MOHAWK INDS INC 2,206 1,287
    670100205 NOVO NORDISK A/S ADR 8,480 8,247
    718172109 PHILIP MORRIS INTL I 3,616 2,937
    G0177J108 ALLERGAN PLC 7,107 5,480
    G0751N103 ATLANTICA YIELD PLC 2,965 2,783
    023608102 AMEREN CORP 2,350 2,609
    03852U106 ARAMARK HLDGS CORP 1,737 1,391
    045055100 ASHTEAD GROUP PLC SH 395 503
    127190304 CACI INTERNATIONAL I 1,239 2,449
    142795202 CARLSBERG AS SPONSOR 1,550 1,636
    15135B101 CENTENE CORP DEL 1,235 1,960
    156782104 CERNER CORP COM 6,048 5,611
    20030N101 COMCAST CORP NEW CL 6,834 5,959
    20825C104 CONOCOPHILLIPS 1,072 1,372
    244199105 DEERE & COMPANY 4,683 8,204
    303075105 FACTSET RESH SYS INC 2,596 5,003
    31680Q104 58 COM INC CL A 1,636 1,084
    337738108 FISERV INC COM 929 1,764
    416515104 HARTFORD FINL SVCS G 3,905 3,600
    466313103 JABIL CIRCUIT INC 2,093 2,677
    65336K103 NEXSTAR BROADCASTING 2,853 3,382
    695263103 PACWEST BANCORP 2,009 1,464
    744573106 PUBLIC SERVICE ENTER 2,689 3,071
    756568101 RED ELECTRICA CORP U 2,340 2,507
    775109200 ROGERS COMMUNICATION 2,663 2,666
    780259107 ROYAL DUTCH SHEL PLC 5,545 4,555
    78392U105 RYOHIN KEIKAKU CO LT 2,231 2,502
    784117103 SEI INVESTMENTS CO 4,789 6,745
    79588J102 SAMPO PLC SHS 2,609 2,392
    855244109 STARBUCKS CORP COM 8,151 9,016
    86562M209 SUMITOMO MITSUI-UNSP 2,621 2,025
    867224107 SUNCOR ENERGY INC NE 2,826 2,377
    92339V100 VEREIT INC 3,283 2,653
    92343V104 VERIZON COMMUNICATIO 8,418 9,333
    927320101 VINCI SA 1,338 1,682
    98850P109 YUM CHINA HOLDINGS I 2,502 3,319
    00206R102 AT& T INC 11,388 8,847
    00373L102 ABN AMRO GROUP 1,850 1,428
    023135106 AMAZON COM INC 3,855 18,024
    02376R102 AMERICAN AIRLS GROUP 3,689 2,601
    053611109 AVERY DENNISON CORP 795 1,258
    055622104 BP P L C SPONS ADR 9,103 8,873
    109194100 BRIGHT HORIZONS FAMI 536 557
    14040H105 CAPITAL ONE FINL COR 8,588 7,559
    163731102 CHEMICAL FINL CORP 2,807 2,526
    171778202 CIELO S A SPONSORED 2,209 765
    17275R102 CISCO SYS INC 12,384 17,765
    228368106 CROWN HLDGS INC *PP* 2,969 2,411
    302130109 EXPEDITORS INTL WASH 5,148 8,784
    31620M106 FIDELITY NATL INFO S 1,784 2,871
    363576109 GALLAGHER ARTHUR J & 1,563 2,432
    37045V100 GENERAL MOTORS CO 4,701 3,880
    500458401 KOMATSU LTD NEW 1,430 1,077

    TY 2018 InvestmentsOtherSchedule2
    Name:
    TRIAL LAWYERS FDN YOUTH ED
    EIN:
    86-6267254
    Category/ Item Listed at Cost or FMV Book Value End of Year Fair Market Value
    543495741 LOOMIS SAYLES AT COST 227,544 203,648

    TY 2018 OtherDecreasesSchedule
    Name:
    TRIAL LAWYERS FDN YOUTH ED
    EIN:
    86-6267254
    Description Amount
    MUTUAL FUND TIMING DIFFERENCE 3
    PURCHASE OF ACCRUED INTEREST C/O TO NEXT 53
    GAIN ON CY SALES NOT SETTLED AT YEAR END 472
    COST BASIS ADJUSTMENT 1,446


    TY 2018 OtherExpensesSchedule
    Name:
    TRIAL LAWYERS FDN YOUTH ED
    EIN:
    86-6267254
    Description Revenue and Expenses per Books Net Investment Income Adjusted Net Income Disbursements for Charitable Purposes
    OTHER INVESTMENT EXPENSES 198 198   0
    OTHER NON-ALLOCABLE EXPENSE - 1,550 0   1,550


    TY 2018 OtherIncomeSchedule2
    Name:
    TRIAL LAWYERS FDN YOUTH ED
    EIN:
    86-6267254
    Description Revenue And Expenses Per Books Net Investment Income Adjusted Net Income
    RETURN OF PY GRANTS PAID 500 500  


    TY 2018 OtherIncreasesSchedule
    Name:
    TRIAL LAWYERS FDN YOUTH ED
    EIN:
    86-6267254
    Description Amount
    PURCHASE OF ACCRUED INTEREST C/O FROM PY 96


    TY 2018 TaxesSchedule
    Name:
    TRIAL LAWYERS FDN YOUTH ED
    EIN:
    86-6267254
    Category Amount Net Investment Income Adjusted Net Income Disbursements for Charitable Purposes
    FOREIGN TAXES 723 723   0
    FEDERAL TAX PAYMENT - PRIOR YE 1,253 0   0
    FEDERAL ESTIMATES - PRINCIPAL 1,718 0   0
    FOREIGN TAXES ON NONQUALIFIED 3 3   0