Case File
efta-efta00806635DOJ Data Set 9OtherBAINCO
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DOJ Data Set 9
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efta-efta00806635
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BAINCO
International
Investors
Avram Noam Chomsky IRA Rollover with
Other Assets
As of 12/31/2017
Appraisal - All Assets
Account Appraisal
Units
Cost Basis
Price
Ending Value
Allocation
Yield
Projected
Income
Avram Noam Chomsky IRA Rollover with Other Assets
■ Equities
■ Communication Services
AT&T INC COM
400.00
13,545.20
38.88
15,552.00
0.62 %
5.14 %
800.00
VERIZON COMMUNICATIONS INC COM
700.00
33,138.98
52.93
37,051.00
1.49%
4.46%
1.652.00
■ Total Communication Services
46,684.18
52,603.00
2.11%
4.66%
2.452.00
■ Consumer Discretionary
AMAZON COM INC COM
30.00
17,840.09
1,169.47
35,084.10
1.41 %
0.00 %
0.00
COMCAST CORP NEW CL A
600.00
20,187.45
40.05
24,030.00
0.96 %
1.57 %
378.00
DISNEY WALT CO COM
400.00
16,601.16
107.51
43,004.00
1.72 %
1.56 %
672.00
HOME DEPOT INC COM
50.00
3,787.98
189.53
9,476.50
0.38 %
1.88 %
178.00
TJX COS INC NEW COM
100.00
A578.55
76.46
7,646.00
0.31 %
1.63 %
125.00
■ Total Consumer Discretionary
62,995.23
11%240.60
4.78%
1.13%
1,353.00
Consumer Staples
COCA COLA CO COM
500.00
17,148.75
45.88
22,940.00
0.92 %
3.23 %
740.00
KRAFT HEINZ CO COM
400.00
16,245.15
77.76
31,104.00
1.25 %
3.22 %
1,000.00
PROCTER AND GAMBLE CO COM
350.00
20,119.96
91.88
32,158.00
1.29%
3.00%
965.44
Total Consumer Staples
53,513.86
86,202.00
3.46%
3.14%
2,705.44
Energy
EOG RES INC COM
300.00
20,032.52
107.91
32,373.00
1.30 %
0.62 %
201.00
EXXON MOBIL CORP COM
500.00
42,372.95
83.64
41,820.00
1.68 %
3.68 %
1,540.00
SCHLUMBERGER LTD COM
250.00
19,422.17
67.39
16,847.50
0.68 %
2.97 %
500.00
Total Energy
81,827.64
91,040.50
3.65%
2.46%
2,241.00
■ Financials
BANK AMER CORP COM
1,500.00
13,854.20
29.52
44,280.00
1.78%
1.63%
720.00
GMT CORP COM
600.00
16,868.10
49.72
29,832.00
1.20 %
2.65 %
792.00
BERKSHIRE HATHAWAY INC DEL CL B NEW
100.00
14,376.32
198.22
19,822.00
0.79 %
0.00 %
0.00
BLACKROCK INC COM
50.00
7,952.39
513.71
25,685.50
1.03 %
1.95 %
500.00
EFTA00806635
BAINCO
1111(111, 1n,
Avram Noam Chomsky IRA Rollover with
Other Assets
As of 12/31/2017
Appraisal - All Assets
Account Appraisal
Units
Cost Basis
Price
Ending Value
Allocation
Yield
Projected
Income
CHUBB LIMITED COM
40.00
2,977.00
146.13
5,845.20
0.23%
1.94%
113.60
FINANCIAL SELECT SECTOR SPDR FUND
3,000.00
58,600.35
27.91
83,730.00
3.36%
1.48%
1,237.42
FLEETCOR TECHNOLOGIES INC COM
150.00
4,012.57
192.43
28,864.50
1.16 %
0.00 %
0.00
MARSH & MCLENNAN COS INC COM
450.00
16,229.83
81.39
36,625.50
1.47 %
1.84 %
675.00
US BANCORP DEL COM NEW
700.00
19,830.30
53.58
37,506.00
1.50 %
2.24 %
840.00
VISA INC COM CL A
200.00
2,944.44
114.02
22,804.00
0.91 %
0.68 %
156.00
N Total Financials
157,645.50
334.994.70
13.43%
1.50%
5,034.02
E Healthcare
ABBVIE INC COM
300.00
9,333.53
96.71
29,013.00
1.16 %
2.94 %
852.00
BIOGEN INC COM
75.00
27,976.78
318.57
23,892.75
0.96 %
0.00 %
0.00
BIOVERATIV INC COM
37.00
2,322.25
53.92
1,995.04
0.08 %
0.00 %
0.00
BRISTOL MYERS SQUIBB CO COM
500.00
27,734.85
61.28
30,640.00
1.23 %
2.61 %
800.00
CELGENE CORP COM
300.00
11,910.67
104.36
31,308.00
1.26 %
0.00 %
0.00
DANAHER CORP DEL COM
100.00
5,509.97
92.82
9,282.00
0.37 %
0.60 %
56.00
JOHNSON & JOHNSON COM
200.00
13,158.36
139.72
27,944.00
1.12 %
2.40 %
672.00
MERCK & CO INC COM
500.00
22,664.95
56.27
28,135.00
1.13%
3.41 %
960.00
E Total Healthcare
120,611.36
182.209.79
7.31%
1.83%
3,340.00
El Industrials
FORTIVE CORP COM
50.00
1,714.28
72.35
3,617.50
0.15 %
0.39 %
14.00
GENERAL ELECTRIC CO COM
600.00
13,182.00
17.45
10,470.00
0.42 %
2.75 %
288.00
INDUSTRIAL SELECT SECTOR SPDR FUND
400.00
25,360.70
75.67
30,268.00
1.21 %
1.77 %
535.15
UNITED PARCEL SERVICE INC CL 8
200.00
15,178.46
119.15
23.830.00
0.96%
2.79 %
664.00
a Total Industrials
55,435.44
68.185.50
2.73 %
2.20 %
1.501.15
E Information Technology
ALPHABET INC CAP STK CL A
25.00
6,607.43
1,053.40
26.335.00
1.06 %
0.00 %
0.00
ALPHABET INC CAP STK CL C
75.00
21,385.84
1,046.40
78,480.00
3.15 %
0.00 %
0.00
ANSYS INC COM
200.00
16,179.93
147.59
29,518.00
1.18 %
0.00 %
0.00
BROADCOM LTD SHS
100.00
21.929.35
256.90
25,690.00
1.03 %
2.72 %
700.00
EFTA00806636
BAINCO
International
Investors
Avram Noam Chomsky IRA Rollover with
Other Assets
As of 12/31/2017
Units
Cost Basis
Price
CISCO SYS INC COM
FACEBOOK INC CL A
■ Total Information Technology
Materials
MATERIALS SELECT SECTOR SPDR FUND
Total Materials
■ Utilities
NEXTERA ENERGY INC COM
■ Total Utilities
■ Diversified International Equities
ISHARES MSCI INDIA INDEX FUND
VANGUARD FTSE ALL-WORLD EX US INDEX FUND
VANGUARD FTSE DEVELOPED MARKETS ETF
■ Total Diversified International Equities
■ Total Equities
Fixed Income
1,200.00
22,788.84
38.30
400.00
10,437.80
176.46
99,329.19
700.00
26568.99
60.53
26568.99
200.00
22,304.09
156.19
22,304.09
800.00
23,400.32
36.07
1,500.00
48481.37
54.72
2,800.00
10%489.58
44.86
181,371.27
W
908,286.7%r
Taxable Bonds
CALIFORNIA ST 6.2%10/01/2019
100,000.00
105,095.16
107.18
KANSAS CITY MO SPL OBLIG 3.15% 08/01/2018
100,000.00
100,215.27
100.78
OAKLAND CALIF PENSION OBLIG 3.8% 12/15/2021
100,000.00
9%360.21
103.29
ORACLE CORP 5.75% 04/15/2018
100,000.00
101218.62
101.15
PEPSICO INC 5%06/01/2018
200,000.00
19%856.86
101.30
VANGUARD FIXED INCOME SECS FD STRM INVGRA AD
9,429.00
100,522.15
10.63
Total Taxable Bonds
706,268.27
Total Axed Income
■ Cash & Equivalents
Cash
CASH
706,26827
358.50
358.50
1.00
Appraisal - All Assets
Account Appraisal
Ending Value
Allocation
Yield
Projected
Income
45,960.00
70,584.00
276,567.00
42,371.00
1.84%
2.83 %
11.09%
1.70%
3.03%
0.00 %
0.76%
1.66%
1,392.00
0.00
2,092.00
704.34
42,371.00
1.70 %
1.66 %
704.34
31,238.00
1.25 %
2.52 %
786.00
31,238.00
1.25 %
2.52 %
786.00
28,856.00
1.16 %
1.09 %
314.31
82,080.00
3.29%
2.66%
2,182.35
125,608.00
5.04 %
2.77 %
3,479.00
236,544.00
9.49 %
2.53 %
5,975.66
1,521,196.09
61.00%
1.85%
28,184.61
108,707.78
4.36%
5.70%
6,200.00
102,086.75
4.09 %
3.09 %
3,150.00
103,450.33
4.15 %
3.67 %
3,800.00
102,343.92
4.10 %
2.81 %
2,875.00
203,409.56
8.16 %
2.46 %
5,000.00
100,230.24
4.02 %
2.09 %
2,095.05
720,228.57
28.88 %
3.21 %
23,120.05
720,22837
28.88 %
3.21 %
23,120.051
0.01 %
0.00 %
0.00
358.50
EFTA00806637
BAINCO
International
Investors
Avram Noam Chomsky IRA Rollover with
Other Assets
As of 12/31/2017
Appraisal - All Assets
Account Appraisal
Units
Cost Basis
Price
Ending Value
Allocation
Yield
Projected
Income
Total Cash
358.50
358.50
0.01 %
0.00 %
0.00
Money Markets
RESERVE INSURED DEPOSITS
127,421.01
127,421.30
1.00
127,421.30
5.11%
0.00%
0.00
Total Money Markets
127,421.30
127421.30
5.11 %
0.00%
0.00
■ Total Cash & Equivalents
127,779.80
127.779.80
5.12 %
0.00%
0.00
Alternative Investments
■ Hard Assets
SPDR GOLD TRUST SHARES
400.00
4%224.00
123.65
49460.00
1.98 %
0.00 %
0.00
■ Total Hard Assets
4%224.00
49460.00
1.98 %
0.00 %
0.00
■ Venture Capital
372 RF ID CVT II LP (Tego Convertible Debt)
25O00.00
25O00.00
1.00
25.000.00
1.00%
aca %
0.00
372 RF ID CVT LP (Tego Convertible Debt)
50000.00
50000.00
1.00
50000.00
2.01 %
0.00 %
0.00
■ Total Venture Capital
75000.00
75000.00
3.01 %
0.00 %
0.00
Total Alternative Investments
124,224.00
121460.00
4.99 %
0.00 %
0.00
Total Avram Noam Chomsky IRA Rollover with Other Assets
1,866,558.82
2,493464.46
100.00 %
2.06 %
51,304.66
EFTA00806638
BAINCO
1, I
111 r". Ii
Appraisal - All Assets
Carol Chomsky Non-Exempt Marital Trust
Account Appraisal
As of 12/31/2017
Units
Cost Basis
Price
Ending Value
Allocation
Yield
Projected
Income
Carol Chomsky Non-Exempt Marital Trust
■ Equities
■ Healthcare
HEALTH CARE SELECT SECTOR SPDR FUND
97.00
6,780.03
82.68
8,019.96
5.39%
1.47%
118.05
■ Total Healthcare
6,780.03
8,019.96
5.39 %
1.47 %
118.05
■ Diversified US Equities
ISHARES EDGE MSCI MIN VOL USA ETF
355.00
15,734.49
52.78
18,736.90
12.59%
1.77%
331.04
ISHARES EDGE MSCI USA QUALITY FACTOR ETF
591.00
35,172.77
82.90
48,993.90
32.92%
1.76%
861.54
SPDR. 500 ETF
184.00
34,721.42
266.86
49,102.24
32.99%
1.80%
883.59
■ Total Diversified US Equities
85,628.68
116,833.04
78.51 %
1.78 %
2,076.18
■ Diversified International Equities
ISHARES CORE MSCI TOTAL INTERNATIONAL STOCK ETF
125.00
6,188.44
63.08
7,885.00
5.30%
2.41 %
189.64
VANGUARD FTSE ALL-WORLD EX US INDEX FUND
172.00
7,204.38
54.72
9,411.84
6.32%
2.66%
250.24
■ Total Diversified International Equities
13,392.82
17,296.84
11.62 %
2.54 %
439.88
■ Equity Puts
PUT (OEF) ISHARES TR - M100 06/21/2019 CO $105
1.00
473.09
3.80
380.00
0.26%
0.00%
0.00
PUT (OEF) ISHARES TR - M10012/21/2018 (lit) $110
1.00
400.61
3.80
380.00
0.26%
0.00%
0.00
■ Total Equity Puts
873.70
760.00
0.51 %
0.00 %
0.00
■ Total Equities
106,675.23
142,909.84
96.03 %
1.84 %
2,634.10
■ Cash & Equivalents
Money Markets
RESERVE INSURED DEPOSITS
2,571.87
2,571.88
1.00
2,571.88
1.73%
0.00%
0.00
Total Money Markets
2,571.88
2.571 88
1.73%
0.00%
0.00
■ Total Cash & Equivalents
2,571.88
■
2,571.88
1.73 %
0.00%
0.00
Alternative Investments
SINE
■ Hard Assets
SPDR GOLD TRUST SHARES
27.00
3,402.77
123.65
3.338.55
2.24 %
0.00 %
0.00
■ Total Hard Assets
3,402.77
3,338.55
2.24 %
0.00 %
0.00
EFTA00806639
BAINCO
rn,ui'ni,il
Total Alternative Investments
Total Carol Chomsky Non-Exempt Marital Trust
Appraisal - All Assets
Carol Chomsky Non-Exempt Marital Trust
Account Appraisal
As of 12/31/2017
Units
Cost Basis
Price
Ending Value
Allocation
Yield
Projected
Income
3.402.77
3.338.55
2.24%
0.00 %
0.00
112,649.88
148,820.27
100.00 %
1.77 %
2,634.10
EFTA00806640
BAINCO
International
Investors
Carol S. Chomsky Exempt Marital Trust with
Other Assets
As of 12/31/2017
Appraisal - All Assets
Account Appraisal
Units
Cost Basis
Price
Ending Value
Allocation
Yield
Projected
Income
Carol S. Chomsky Exempt Marital Trust with Other Assets
■ Equities
■ Communication Services
VERIZON COMMUNICATIONS INC COM
200.00
9,520.00
52.93
10,586.00
0.37 %
4.46 %
472.00
■ Total Communication Services
9,520.00
10,586.00
0.37 %
4.46 %
472.00
■ Consumer Discretionary
AMAZON COM INC COM
40.00
26,979.96
1,16347
46,778.80
1.61 %
0.00%
0.00
COMCAST CORP NEW CL A
200.00
6,174.00
40.05
8,010.00
0.28 %
1.57 %
126.00
DISNEY WALT CO COM
200.00
21,433.00
107.51
21,502.00
0.74%
1.56%
336.00
HOME DEPOT INC COM
200.00
15,882.00
189.53
37306.00
1.31 %
1.88%
712.00
TJX COS INC NEW COM
200.00
13.768.00
76.46
15,292.00
0.53 %
1.63 %
250.00
■ Total Consumer Discretionary
84,236.96
129,48820
4.47 %
1.10 %
1,424.00
U Consumer Staples
COCA COLA CO COM
100.00
4,041.00
45.88
4,588.00
0.16%
3.23%
148.00
PROCTER AND GAMBLE CO COM
400.00
24,346.00
91.88
36,752.00
1.27%
3.00%
1,103.36
Total Consumer Staples
28,387.00
41,340.00
1.43 %
3.03 %
1,251.36
Energy
EOG RES INC COM
200.00
18,347.74
107.91
21,582.00
0.74 %
0.62 %
134.00
EXXON MOBIL CORP COM
175.00
13,418.12
83.64
14,637.00
0.50 %
3.68 %
539.00
SCHLUMBERGER LTD COM
150.00
10,544.27
67.39
10,108.50
0.35 %
2.97 %
300.00
■ Total Energy
42,310.13
46,327.50
1.60 %
2.10 %
973.00
■ Financials
BANK AMER CORP COM
600.00
10,422.00
29.52
17,712.00
0.61 %
1.63 %
288.00
BB&T CORP COM
400.00
14,681.00
49.72
19,888.00
0.69 %
2.65 %
528.00
BERKSHIRE HATHAWAY INC DEL CL B NEW
150.00
21,561.48
198.22
29,733.00
1.03 %
0.00%
0.00
BLACKROCK INC COM
25.00
8,896.50
513.71
12,842.75
0.44 %
1.95 %
250.00
CHUBB LIMITED COM
200.00
20,533.00
146.13
29,226.00
1.01%
1.94%
568.00
FINANCIAL SELECT SECTOR SPDR FUND
2,000.00
39,071.40
27.91
55,820.00
1.93 %
1.48 %
824.94
EFTA00806641
BAINCO
InI11nl,ui~ ~i l,il
Carol S. Chomsky Exempt Marital Trust with
Other Assets
As of 12/31/2017
Appraisal - All Assets
Account Appraisal
Units
Cost Basis
Price
Ending Value
Allocation
Yield
Projected
Income
MARSH & MCLENNAN COS INC COM
300.00
16,185.00
81.39
24,417.00
0.84 %
1.84 %
450.00
US BANCORP DEL COM NEW
400.00
16,635.00
53.58
21,432.00
0.74 %
2.24 %
480.00
VISA INC COM CL A
100.00
6,889.00
114.02
11,402.00
0.39%
0.68%
78.00
II Total Financials
154,874.38
222,472.75
7.67 %
1.56 %
3,466.94
• Healthcare
ABBVIE INC COM
350.00
9,451.87
96.71
33,848.50
1.17 %
2.94 %
994.00
BRISTOL MYERS SQUIBB CO COM
400.00
22,189.08
61.28
24,512.00
0.85 %
2.61 %
640.00
CELGENE CORP COM
200.00
23,550.91
104.36
20,872.00
0.72 %
0.00 %
0.00
DANAHER CORP DEL COM
100.00
6,548.59
92.82
9,282.00
0.32%
0.60%
56.00
JOHNSON & JOHNSON COM
200.00
11,869.00
139.72
27344.00
0.96%
2.40%
672.00
MERCK & CO INC COM
300.00
15,550.00
56.27
16,881.00
0.58%
3.41 %
576.00
UNITEOHEALTH GROUP INC COM
150.00
8,249.82
220.46
33,069.00
1.14%
1.36%
450.00
• Total Healthcare
97,409.27
166,408.50
5.74%
2.04%
3,388.00
• Industrials
FORTIVE CORP COM
300.00
14,765.46
72.35
21,705.00
0.75%
0.39%
84.00
HONEYWELL INTL INC COM
200.00
19,504.20
153.36
30,672.00
1.06 %
1.94 %
596.00
INDUSTRIAL SELECT SECTOR SPDR FUND
400.00
25,360.70
75.67
30,268.00
1.04%
1.77%
535.15
RAYTHEON CO COM NEW
100.00
17,864.63
187.85
18,785.00
0.65 %
1.70 %
319.00
XPO LOGISTICS INC COM
200.00
13,466.89
91.59
18,318.00
0.63%
0.00%
0.00
IN Total Industrials
90,961.88
119,748.00
4.13 %
1.28 %
1,534.15
IN Information Technology
ALPHABET INC CAP STK CL C
50.00
28,182.25
1,046.40
52,320.00
1.80 %
0.00 %
0.00
ANSYS INC COM
200.00
17,942.00
147.59
29,518.00
1.02 %
0.00 %
0.00
APPLE INC COM
1,700.00
21,825.57
169.23
287,691.00
9.92%
1.49%
4,284.00
BROADCOM LTD SHS
125.00
28,084.26
256.90
32,112.50
1.11 %
2.72 %
875.00
CISCO SYS INC COM
675.00
11,323.12
38.30
25,852.50
0.89%
3.03%
783.00
FACEBOOK INC CL A
275.00
23,898.12
176.46
48,526.50
1.67 %
0.00 %
0.00
MICROSOFT CORP COM
4,800.00
93,384.00
85.54
410,592.00
14.16%
1.96%
8,064.00
EFTA00806642
BAINCO
II II( it link)] it il
Iii\ r!flitirs
Carol S. Chomsky Exempt Marital Trust with
Other Assets
As of 12/31/2017
Appraisal - All Assets
Account Appraisal
Units
Cost Basis
Price
Ending Value
Allocation
Yield
Projected
Income
■ Total Information Technology
224,639.32
886,612.50
30.58 %
1.58 %
14,006.00
Materials
MATERIALS SELECT SECTOR SPDR FUND
300.00
14.595.24
60.53
18,159.00
0.63 %
1.66 %
301.86
2 Total Materials
14,595.24
18,159.00
0.63 %
1.66 %
301.86
■ Utilities
NEXTERA ENERGY INC COM
300.00
33.459.52
156.19
46,857.00
1.62 %
2.52 %
1.179.00
■ Total Utilities
33,459.52
46,857.00
1.62 %
2.52 %
1,179.00
■ Diversified International Equities
ISHARES MSC I INDIA INDEX FUND
700.00
20,476.96
36.07
25,249.00
0.87%
1.09%
275.02
VANGUARD FTSE ALL-WORLD EX US INDEX FUND
1,200.00
54,004.71
54.72
65,664.00
2.26%
2.66%
1,745.88
VANGUARD FTSE DEVELOPED MARKETS ETF
1,600.00
57,550.53
44.86
71,776.00
2.48%
2.77%
1.988.00
■ Total Diversified International Equities
132,032.20
162,689.00
5.61 %
2.46 %
4,008.90
■ Equity Puts
PUT (OEF) ISHARES TR - I.100 06/21/2019 Crp $105
14.00
6,511.28
3.80
5,320.00
0.18%
0.00%
0.00
PUT (OEF) ISHARES TR - .100 12/21/2018 tf. $110
14.00
5,496.56
3.80
5,320.00
0.18 %
0.00 %
0.00
■ Total Equity Puts
12,007.84
10,640.00
0.37 %
0.00 %
0.00
■ Total Equities
924,433.74
1.861.32%05
64.19 %
1.72 %
32,005.22
Fixed Income
Taxable Bonds
VANGUARD FIXED INCOME SECS FD STRM INVGRA AD
9,345.79
100,015.00
10.63
99345.79
3.43 %
2.09 %
2,076.56
Total Taxable Bonds
100,015.00
99,345.79
3.43%
2.09%
2,076.56
Tax-Exempt Bonds
CHICAGO ILL WTR REV 4.25%11/01/2018
40,000.00
40,711.57
102.12
41,126.21
1.42%
4.13%
1,700.00
GREENE CNTY OHIO WTR SYS REV 5.25%12/01/2021
65,000.00
72,389.06
112.05
73,104.80
2.52%
4.67%
3,412.50
MASSACHUSETTS BAY TRANSN AUTH 5.25% 07/01/2018
100,000.00
102,158.03
101.89
104,500.42
3.60 %
5.02 %
5,250.00
MASSACHUSETTS ST 5%08/01/2020
100,000.00
109,424.75
108.37
110,435.44
3.81 %
4.53%
5,000.00
MIAMI-DADE CNTY FLA WTR & SWR 5%10/01/2018
40,000.00
41.088.88
102.60
41,535.24
1.43%
4.82%
2.000.00
Total Tax-Exempt Bonds
365,772.29
370,702.11
12.79 %
4.68 %
17,362.50
EFTA00806643
BAINCO
International
Investors
Carol S. Chomsky Exempt Marital Trust with
Other Assets
As of 12/31/2017
Appraisal - All Assets
Account Appraisal
Units
Cost Basis
Price
Ending Value
Allocation
Yield
Projected
Income
Total Fixed Income
465,787.29
470,047.90
1611 %
4.14 %
19,439.06
K Cash & Equivalents
Cash
CASH
311.75
311.75
1.00
311.75
0.01 %
0.00%
0.00
Total Cash
311.75
311.75
0.01 %
0.00 %
0.00
Money Markets
RESERVE INSURED DEPOSITS
27,088.21
27,088.31
1.00
27,088.31
0.93%
0.00%
0.00
Total Money Markets
27,088.31
27,088.31
0.93 %
0.00 %
0.00
[ ■ Total Cash & Equivalents
V,400.06
27,400.06
0.94 %
0.00 %
0.00
[ L Alternative Investments
Hard Assets
SPUR GOLD TRUST SHARES
200.00
25,287.57
123.65
24,730.00
0.85%
0.00%
0.00
Total Hard Assets
25,287.57
24,730.00
0.85 %
0.00 %
0.00
Total Alternative Investments
2%287.57
24,730.00
0.85 %
0.00 %
0.00
L Other
■ Notes Receivable
Cambridge Home Promissory Note
516,000.00
516,000.00
1.00
516,000.00
17.80 %
0.00 %
0.00
■ Total Notes Receivable
516,000.00
516,000.00
17.80 %
0.00 %
0.00
L Total Other
516,000.00
516,000.00
17.80%
0.00%
0.00
Total Carol S. Chomsky Exempt Marital Trust with Other Assets
1,958,908.66
2,899,507.01
100.00 %
1.77 %
51,444.28
EFTA00806644
BAINCO
International
Investors
Gull Haven Lane LLC
As of 12/31/2017
Appraisal - All Assets
Account Appraisal
Units
Cost Basis
Price
Ending Value
Allocation
Yield
Projected Income
Gull Haven Lane LLC
■ Other
=Mr
■ Real Estate
Welifleet Home
■ Total Real Estate
■ Total Other
Total Gull Haven Lane LLC
900,000
900.000.00
1.00
90O000.00
100.00 %
0.CO %
0.00
900.000O0
900,000.00
100.00 9$
0.00 %
0.00
900,000.00
900000.00
100.00 %
0.00 %
0.00
900,000.00
900,000.00
100.00 cYo
0.00 %
0.00
EFTA00806645
BAINCO
Investors
International
Appraisal - All Assets
Noam Chomsky Inherited IRA
Account Appraisal
As of 12/31/2017
Units
Cost Basis
Price
Ending Value
Allocation
Yield
Projected
Income
Noam Chomsky Inherited IRA
■ Equities
■ Communication Services
AT&T INC COM
100.00
3,386.30
38.88
3,888.00
0.96 %
5.14 %
200.00
■ Total Communication Services
3,386.30
3,888.00
0.96%
5.14%
200.00
■ Consumer Discretionary
AMAZON COM INC COM
10.00
5,955.70
1,169.47
11,694.70
2.88 %
0.00 %
0.00
DISNEY WALT CO COM
100.00
4,153.79
107.51
10,751.00
2.65 %
1.56 %
168.00
HOME DEPOT INC COM
100.00
8,075.43
189.53
18,953.00
4.67 %
1.88 %
356.00
TIX COS INC NEW COM
200.00
10,030.24
76.46
15.292.00
3.77 %
1.63 %
250.00
■ Total Consumer Discretionary
28,215.16
56.690.70
13.98 %
1.37 %
774.00
-1 Consumer Staples
COCA COLA CO COM
200.00
6,859.50
45.88
9,176.00
2.26 %
3.23 %
296.00
Total Consumer Staples
6,859.50
9.176.00
2.26%
3.23%
296.00
Energy
EOG RES INC COM
100.00
5,266.14
107.91
10,791.00
2.66 %
0.62 %
67.00
EXXON MOBIL CORP COM
100.00
8,490.59
83.64
8,364.00
2.06 %
3.68 %
308.00
Total Energy
13,756.73
19.155.00
4.72%
1.96%
375.00
■ Financials
BANK AMER CORP COM
400.00
3,877.80
29.52
11,808.00
2.91%
1.63%
192.00
BB&T CORP COM
200.00
5,629.70
49.72
9,944.00
2.45 %
2.65 %
264.00
BERKSHIRE HATHAWAY INC DEL CL B NEW
125.00
17,968.90
198.22
24,777.50
6.11 %
0.00 %
0.00
US BANCORP DEL COM NEW
200.00
5,672.80
53.58
10,716.00
2.64 %
2.24 %
240.00
VISA INC COM CL A
200.00
0.00
114.02
22,804.00
5.62 %
0.68 %
156.00
■ Total Financials
33,149.20
80,049.50
19.73%
1.06%
852.00
■ Healthcare
ABBVIE INC COM
100.00
3,119.50
96.71
9,671.00
2.38 %
2.94 %
284.00
BIOGEN INC COM
25.00
6,747.29
318.57
7,964.25
1.96%
0.00%
0.00
EFTA00806646
BAINCO
Init
ti
iu I
II1
•
n`•
Appraisal - All Assets
Noam Chomsky Inherited IRA
Account Appraisal
As of 12/31/2017
Units
Cost Basis
Price
Ending Value
Allocation
Yield
Projected
Income
BIOVERATIV INC COM
12.00
544.92
53.92
647.04
0.16 %
0.00 %
0.00
BRISTOL MYERS SQUIBB CO COM
100.00
5,551.77
61.28
6,128.00
1.51 %
2.61 %
160.00
DANAHER CORP DEL COM
100.00
5,509.98
92.82
9,282.00
2.29 %
0.60 %
56.00
JOHNSON & JOHNSON COM
100.00
6,582.68
139.72
13,972.00
3.44 %
2.40 %
336.00
UNITEDHEALTH GROUP INC COM
100.00
5,499.88
220.46
22,046.00
5.43 %
1.36 %
300.00
■ Total Healthcare
33,556.02
69,710.29
17.19%
1.63%
1,136.00
■ Industrials
FORTIVE CORP COM
200.00
10,180.31
72.35
14,470.00
3.57 %
0.39 %
56.00
GENERAL ELECTRIC CO COM
100.00
2,618.99
17.45
1,745.00
0.43 %
2.75 %
48.00
HONEYWELL INTL INC COM
100.00
4,025.00
153.36
15,336.00
3.78 %
1.94 %
298.00
■ Total Industrials
16,824.30
31,551.00
7.78 %
1.27 %
402.00
■ Information Technology
ALPHABET INC CAP STK CL C
25.00
17,845.64
1,046.40
26,160.00
6.45 %
0.00 %
0.00
FACEBOOK INC CL A
100.00
10,242.02
176.46
17,646.00
4.35 %
0.00 %
0.00
■ Total Information Technology
28,087.66
43,806.00
10.80 %
0.00 %
0.00
-1 Materials
MATERIALS SELECT SECTOR SPDR FUND
300.00
14,421.36
60.53
18,159.00
4.48 %
1.66 %
301.86
Total Materials
14,421.36
18,159.00
4.48%
1.66%
301.86
■ Diversified International Equities
ISHARES MSCI INDIA INDEX FUND
300.00
8,783.56
36.07
10,821.00
2.67 %
1.09 %
117.87
VANGUARD FTSE ALL•WORLD EX US INDEX FUND
200.00
0.00
54.72
10,944.00
2.70%
2.66%
290.98
VANGUARD FTSE DEVELOPED MARKETS ETF
300.00
12,304.57
44.86
13,458.00
3.32 %
2.77 %
372.75
■ Total Diversified International Equities
21,088.13
35,113.00
8.68 %
2.22 %
781.60
■ Total Equities
199,34436
367,408.49
90.58 %
1.39 %
5,118.46
■ Cash & Equivalents
Cash
CASH
62.00
62.00
1.00
62.00
0.02 %
0.00 %
0.00
Total Cash
62.00
62.00
0.02%
0.00%
0.00
EFTA00806647
BAINCO
International
Investors
Appraisal - All Assets
Noam Chomsky Inherited IRA
Account Appraisal
As of 12/31/2017
Units
Cost Basis
Price
Ending Value
Allocation
Yield
Projected
Income
Money Markets
RESERVE INSURED DEPOSITS
13,434.20
13,434.23
1.00
13,434.23
3.31 %
0.00 %
0.00
Total Money Markets
13,434.23
13,434.23
3.31 %
0.00 %
0.00
K Total Cash & Equivalents
13,496.23
13,496.23
3.33 %
0.00 %
0.00
Alternative Investments
Hard Assets
SPDR GOLD TRUST SHARES
200.00
25,334.69
123.65
24,730.00
6.10 %
0.00 %
0.00
M Total Hard Assets
25,334.69
24,730.00
6.10 %
0.00 %
0.00
Total Alternative Investments
25,334.69
24,730.00
6.10 %
0.00 %
0.00
Total Noam Chomsky Inherited IRA
238,175.28
405,634.72
100.00 %
1.26 %
5,118.46
EFTA00806648
BAINCO
International
Investors
Noam Chomsky Revocable Trust with Other
Assets
As of 12/31/2017
Noam Chomsky Revocable Trust with Other Assets
■ Cash & Equivalents
Money Markets
RESERVE INSURED DEPOSITS
Total Money Markets
Appraisal - All Assets
Account Appraisal
Units
Cost Basis
Price
Ending Value
Allocation
Yield
Projected
Income
9.478.33
9,478.35
1.00
9,478.35
12.94%
0.00 %
0.00
9,478.35
9,478.35
12.94 %
0.00 %
0.00
=
9,478.35 a=
9,478.35
12.94%
0.00%
0.00
anla
100.000.00
10,000.00
0.10
10,000.00
13.65%
0.00 %
0.00
10,000.00
10,000.00
13.65%
0.00 %
0.00
10,000.00
10,000.00
13.&S %
0.00%
0.00
-516,000.00
-516,000.00
1.00
-516,000.00
-704.32 %
0.00 %
0.00
-516,000.00
-516,000.00
-704.32 %
0.00 %
0.00
1,108,784.00
1,108,784.00 1.00
1,108,784.00
1,513.44%
0.00 %
0.00
1,108,784.00
1,108,784.00
1,513.44%
0.00 %
0.00
-539,000.00
-539,000.00
1.00
-539,000.00
-735.71 %
0.00 %
0.00
-539,000.00
-539,000.00
-735.71 %
0.00 %
0.00
53,784.00
53,784.00
73.41 %
0.00%
0.00
73,262.35
73,262.35
100.00 %
0.00 %
0.00
■ Total Cash & Equivalents
EI• Alternative Investments
■ Venture Capital
500 NRI LP (Signal Data Corp - Nexus)
■ Total Venture Capital
Total Alternative Investments
■ Other
■ Notes Payable
Cambridge Home Promissory Note
■ Total Notes Payable
■ Real Estate
Cambridge Home
■ Total Real Estate
■ Real Estate Mortgage
Cambridge House Mortgage
■ Total Real Estate Mortgage
■ Total Other
Total Noam Chomsky Revocable Trust with Other Assets
EFTA00806649
BAINCO
International
Investors
Important Information and Disclosures:
Bainco does not perform any valuation services and the information reported herein is not based on any portfolio valuation performed by Bainco. Publicly traded securities
managed by Bainco, which are held in custody by Pershing LLC, are priced daily using independent pricing services. The values of all other assets are shown on your statement as
a courtesy, and are for informational purposes only. Such assets are valued at cost or based on information supplied by the client or external managers and have not been
independently verified. You should not rely on these values, without further verification, for any purpose, including decisions about investments, tax or otherwise. Bainco charges
a management fee which is automatically debited from the appropriate account as instructed by the client. Such fee is debited each quarter by the custodian and is shown in the
account activity section of the monthly statement issued by the custodian. We encourage you to compare custodial statements with your Bainco advisory reports. If you have
any questions, please direct them to your client service team.
EFTA00806650
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