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Form 990-PF Return of Private Foundation or Section 4947(a)(7) Nonexempt Charitable Trust
DmMmmlofmsT.ury Treated as a Private Foundation infernal a ..en � s swims Note The organization may be able to use a copy o/ this return to satisfy state repor
Fotcalendar Year 2001,nrtaiyear beginning JUL 1, 2001 ,andending JUb
«aaNO ,
2001
Use the IHS Name of organization A Employer Identification number
label Otherwise, ORACE C CABE FOUNDATION (/~OC v 75-2402852
print r+umoa .nasves, c(arPO DwnumDerlfrtalilaiwtEdrveredbaVSelsCdmv) RooMwlle B Telephone number orrype /O NORTHERN TRUST BANK OF TEXAS NA -5 ( 312 ) 630-6000
See Specific Instructions City or town, state, and ZIP code C n e.mmnw wpwnm ~ o~ai~ a.ck ns.
0 S LASALLE ST - CHICAGO IL 60675 Di Foreign organiutions,check here t H Check type of organization 0 Section 501(c)(3) exempt private foundation z ai°,s°n~ ie amen °p ~uo~ 5x f~~ ~
Section 4947(a)(1) nonexempt chantable trust 0 Other taxable private foundation E It private foundation status was terminated I Fair market value of all assets at end of year J Accounting method EXI Cash 0 Accrual under section 507(6)(1)(A), check here
(from Pan 11, cot (c), line 16) D Other (specify) F If the toundaLOn is in a 60-month termination " S 40 480 104 . (Part l, column (0 must beoncash bavs) under section 507 (b )( I I' ll ) . check here 10, Part j Analysis of Revenue and Expenses (a) Revenue and (d) Disbursements
(The total of amounts in columns (b) expenses per (h) Net investment ( c) Adlusted net for chantable (c), end (d) may not necessary equal books income income purposes the amounts in column (al ) N/A (cash basis only)
1 Contributions, gifts, gams, etc , received CnsY " O A fire 1pnNem snm retained bamdi SCi B
2 Distributions from split-interest trusts Interest on=. end tempony s
3 `acn Imc4 Dividends and interest from securities 8990fl,751 . B99, 751 . 5a Gross rents b (Net wM Inconre, or rose)
Be Net gain or rose) from "a Of sessaft not on
n 0 .)
STATEMENT 1 0 line 10 <2,193,082 .>
b Gross san. pin. I.,Wi as"M an lin. Ga <2,193,082 .>
1
7 Capital gan net noorne (from Part N line 2) 0
8 Net short-term capital gain 9 Income modifications
10a GrosaaNelaareturns nM slim..
b Less Cost of goods sold
o Gross profit or (loss) ii Othermcome <446 . 1 , 861 . STATEMENT 2
` 12 Total nddlines ithrou gh n <1 , 293 , 777 . > 901 , 612 . 13 Componuuon of omcen, einecmn "stairs, et 0 " 0 " O
14 Other employee salaries and wages 15 Pension plans, employee benefits a 153 Legalises
as STMT 3 10 , 202 . 5,101 . 5 , 101 . ig E s STMT 4 418 922 . 365,331 . 53 , 591 . E~ine~pr~ks~ona f
rest N 17 Inte
~~ 2II03 ,~D O ~ STMT 5 4 , 957 . 4 , 95 7 . 0 . ~'$ r ~ 19 De reciation and e lion
-Occupancy ~"' 2V ~'.iravel~co~lter~n_ces�a 0 meetings 4 7 , 4 4 8 . 0 . 4 7 , 4 4 8 . 22 Pnntinp and Dublicalions 23 Other expenses STMT 6 7 , 716 . 0 . 7 , 716 . 24 Total operating and administrative
n expenses Addlines l3through 23 489 245 . 375,389 . 113,856 . 0 25 Contributions gifts,grants paid 2 , 058 , 525 . ' ' 2 , 058 , 525 .
26 Total expenses and disbursements nddlines 2aand25 2 , 547 , 770 . 375 389 . 2 , 172 , 381 .
27 Subtract line 26 from line 12 ~ . d E- of revenue ma e~pemm era disbunvrenb ~ < 3 , 81 i' 5 4 7
o Net Investment income w nemuve mtar o-) 526 223 c Ad justed net income Nnea.we ent> a) N/A''
~r~'i z;.'oz LHA For Paperwork Reduction Act Notice, see the Instruction : Form 990-PF (2001) ~ 1
19,30109 758395 75-2402852 2001 .08000 HORACE C CABE FOUNDATION 75-24021
(a) Book Value (b) Book Value (c) Fair Market Value
1,340, 750 . 460 923 . 460,923 . L.. . .., : ..... .i..w .. . ., s... ....... . . ..P.:+ ...w9r.Jrui.7.a . .w
----
3 , 953 , 074 . 5 , 716 , 81-9 . 5 , 858,551 . 25 675 312 . 22 325 393 . 31 246 344 . 4 , 630 , 858 . 2 1` 865069 . 2,921 , 664a
251 002 .
Organizations that follow SFAS 117, cheek here P. U and complete lines 24 through 26 and lines 30 and 31
d 24 Unrestricted
S 25 Temporarily restricted m 28 Permanency restricted
Organizations that do not follow SFAS 117, check here ll~ and complete lines 27through 31
w0 27 Capital stock, trust principal, or current funds y 28 Paid-in or capital surplus, or land, bldg , and equipment fund
29 Retained earnings, accumulated income, endowment, or other funds 90 Total net asset: or tend balances 2
579 .1 31,361 .825
,zasn m x4m
2 15230109 758395 75-2902852 2001 .08000 HORACE C CABE FOUNDATION 75-24021
Form 99o-PF(2001) HORACE C CABE FOUNDATI
Balance Sheets °m°"""'°~""°"°°'~~°°°'°p'°" m~~caarnaa~.~onsmry
1 Cash -nondnterast-6eannp 2 Savings and temporary cash investments 3 Accounts receivable 101
less allowance for doubtful accounts 0 Pledges receivable 1
Less allowance for doubtful accounts 5 Grants receivable 8 Recervabtes due from officers . directors, trustees, and other
disqualified persons 7 omaiwftmawnsmmnoe
Less allowance for doubtful accounts ~ 8 Inventories for sale or use
q 9 Prepaid expenses and deterred charges d 10a Investments-US and state government obligations STMT 9
o Investments -corporate stock STMT 10 c Investments -corporate bonds STMT 11
17 m,emms maouumqs.naevao=cbids IesuwwmaeyemCm
12 Investments - mortgage loans 13 Investments - other td Land, buildings, and equipment basis
lgumrxoarp~w 1111.
15 Other assets (descnhe10' STATEMENT 12
17 Accounts payable and accrued expenses 18 Grants payable
m 19 Deterred revenue ZD Imia LvmoRrwn, Oirtclorf, truatem end oNa UiaquW1fieO persona
m 21 Mortgages and other notes payable
22 Other liabilities (descn6e
2
<411 , 417 . ~ <6,379
35,439,579 . 31 .361,825
0 .1 0
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 (mush agree with end-of-year figure reported on pnor year's return)
2 Enter amount from Part I, line 27a 3 Other increases not included in line 2 (itemize) " SEE STATEMENT 7 4 Add lines 1, 2, and 3 5 Decreases not included m line 2 (itemize) " SEE STATEMENT B fi Total net assets or fund balances at end of veer (line 4 minus line 51- Part II . column Ibl . line 30
.>
40,480,104 .
<3,841,547 .>
v. 990-PF Room
(a) List and describe the kind(s) of property solo (e g , real estate, 2-s tory brick warehouse, o r common st a ck 200 shs MLC Co )
;,'E ATTACHED SCHEDULES
(e) Gross sales price (0 Depreciation allowed (p) Cost or other basis (or allowable) plus expense otsale
(q Gams Col (h) gam minus col (k), but not less than -0-) or
Losses (from col (h))
in column (h) and owned by the foundation an 12/!1/69 (p Adjusted basis (k) ExcesS(1 of col (i) as of 17131159 over col ), A any (I) F M V 3S Of 12/3789
I Part Y I Qualification Under Section 4940(e) for Reduced Tax on Net Investment (For optional use by domestic private foundations subject to the section 4940(a) tax on net investment income )
It section 4940(d)(2) applies, leave this part blank
B Enter qualifying distributions from Pad %1I, line 4 ~ B I L , 1 / b , b 6 -/ .
II line 8 is equal to or greater than line 7, check the box in Part VI, line 1 b, and complete that part using a 1% tax rate See the Part VI instructions
vow 990-PF amp izaszi m a~02
3 15230109 758395 75-2402852 2001 .08000 HORACE C CAGE FOUNDATION 75-24021
Forth 99o-PF
assets
75-2402852 Pag
low acquve0 (cData acqwred (d) Date sold Purchase (c) Date , day, r ay, yr ) Donation Y 1 (mo
. 4
(h) Gain or (loss) (e) plus (f) minus (p)
<2
2 Capital gain net income or (net capital loss) ~ If ?loss),
also enter in Part I, line 7 1 If (loss), enter -0-m Part I, tine 7 1
3 Net short-term capital pain or (loss) as defined in sections 7222(5) and (6) It pain, also enter in Part I, line 8, column (c) If (loss) . enter-0- in Part I . line 8
.>
Was the organization liable for the section 4942 tax on the Oistri0uta61e amount of any year in the base periods EJ Yes M No If Yes; the organization does not quality under secUan 49401e1 Do not complete this part 1 Enter the appropriate amount in each column for each year, see instructions before making any entries
raiann, . a)ntable-use assets Distribution ra~o � Base p nod years ~~~n~ ~ Adjusted qualifying ( distributions Net value of nonch fcol fhldivided hvcol fell
2 Total of line 1, column (0) 2 .2b 93191 3 Average distribution ratio for the 5-year base period -drvi0e the total online 2 by 5, or by the number of years
the foundation has been in existence it less than 5 years 3 I .0518638
4 Enter the net value of nancnantable-use assets for 2001 from Part X, line 5 1 a I 43,675,369 .
5 Multiply line 4 by line 3
6 Enter 1% of net investment income (t% of Part I, line 27b) I 6 1 5,26
7 Addlines5and6 1 7 1 2,270,433 .
Form 990-PF(2o01) HORACE C CABE FOUNDATION Part"YI . Excise Tax Based on Investment Income (Section 4940(a), 4940(b), 49401
to Exempt operating foundations described m section 4940(0)(2), check here " L-j and enter 1V/A' on line 1 Date of ruling letter (attach copy of ruling letter if necessary-see Instructions)
b Domestic organizations that meet the section 4940(e) requirements in Part V, check here " 0 and enter 1% of Part I, line 27b
c All other domestic orpanrsahons enter 2% of line 27b Exempt foreign organizations enter 4`X o1 Part I, line 12, cal (b) 2 Tax under section 517 (domestic section 4947(a)(1) trusts and taxable foundations only Others enter-0-) 3 Add lines 7 and 2 4 Subtitle A (income) tax (domestic section 4947(a)(1) trusts and taxable foundations only Others enter -0-) 5 Tax based on Investment Income Subtract line 4 from line 3 It zero or less, enter -0- 5 CreOrts/Payments a 2001 estimated tax payments and 2000 overpayment credited to 2001 6a 6 Exempt foreign organizations " tax withhold at source 6h e Tax paid with application for extension of time to file (Form 8868) tie d Backup withholding erroneously withheld fid
7 Total credits and payments Add lines 6a th rough 6d 8 Enter any penalty for underpayment of estimated tax Check here D d Form 2220 is attached 9 Tax due lithe total of lines Sand 8 is more than line 7, enter amount owed
70 Overpayment If line 7 is more than the total of lines 5 and 8, enter the amount overpaid 11 Enter the amount of line 10 to be Credited to 2002 estimated tai " 16,555 . I Heft
-7 27,079 .
1110. 1110.
4 15230109 758395 75-2402852 2001 .08000 HORACE C CABE FOUNDATION 75-24021
75-2402852 Page e or 4948 - see instructions)
` Y , , s
~~10~ 524 .
.. ~. "Ha.' .,~.. ..F
~z ~ 0 . s 10,524 .
.., .,
1 a During the tax year, did the organization attempt to influence any national, state, or local legislation or did d participate or intervene in Yes NO anypolitical wmpaiqn? 'la X
h Did it spend more than $700 during the year (either directly or indirectly) far political purposes (see instructions for definition) 1 b X
If the answer is 'Yes' to 1 a or 1 D, attach e deleted descnption o/ the activities end copies of any materials published or , distributed by the organization in connection with the activities
o Did the organization file Form 1120-POL for this yea( 7 c ̀ ~ X E Enter the amount (d any) of lax on political expenditures (section 4955) imposed during the year ' `
(1 ) On the organization " S 0 . (2) On organization managers " $ 0 . e Enter the reimbursement (if any) paid by the organization during the year for political expenditure tax imposed on organization
managers " $ 02 Has the organization engaged in any activities that have not previously been reported to the IRS V 2 X~ j
If 'Yes,' attach a detailed description of the activities 3 Has the organization made any changes, not previously reported to the IRS, in its governing instrument, articles of incorporation, or
bylaws, or other similar instruments l1 'Yes,"attach a conformed copy o1 the changes 3^ V X 4a Did the organization have unrelated business gross income of E7,000 or more during the year? 4a X h I1 Yes; has d filed a tax retain on Farm 990-T fog this years N/A Oh
5 Was there a liquidation, termination, dissolution, or substantial contraction during the yeah 5 X 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 instruments ~ 6 ~ 'X 7 Did the organization have at least E5,000 in assets al any lime during the year? 7 X
If "Yes,' complete Pert 11, cot (c), and Part XV 8a Enter the states to which the foundation reports or with which it is registered (see instructions) ~
TEXAS b It the answer is -Yes' to line 7, has the organization tumished a copy o1 Form 99o-PF to the Attorney General (or designate)
of each state as required by General Instruction G9 11 'No,' attach explanation ~Bb X
9 Is the organization claiming status as a private operating foundation within the meaning of section 4942(1)(3) or 4942(j)(5) for calendar year 2001 or the taxable year beginning in 2001 (see instructions for Part %1V)? If 'Yes,* complete Part XIV ' 9 ` V X` j
10 Did any persons become substantial contributors during the tax years 10 X
11 'Yes,' attach e schedule listing their names and addresses 11 X 11 Did the organization compy with the public inspection requirements for its annual retains and exemption application?
web site address " N/A 12 Theeoaksaraincaraof " NORTHERN TRUST BANK OF TEXAS NA Telephone nolo, (312)630-6000
Lorateaat "C/O 50 S LASALLE ST - CHICAGO, IL ZiP+4 .60675 13 Section 4947(a)(1) nonexempt charitable trusts filing Form 99PPF in lieu of Form 1041 - Check here 10. E3
and enter the amount of tax-exempt interest received or accrued du ring the year 10-1 13 1 NBA
of zsa'ax yam 990-PF pool)
7s- 99o-PF 5
File Form 4720 N any Item is checked m the 'Yes" column, unless an exception applies Yes No 1 a During the year did the organization (either directly or indirectly) ~ y
(1) Engage in the sale or exchange, or leasing of properly with a disqualified persons 0 Yef D No `_ ^¬ (Z) Borrow money from, land money to, or otherwise extend credit to (or accept n (ram)
a disqualified persons D Ye: ~ No ~`'~~^ ` (3) Furnish goods, services, or facilities to (or accept them from) a disqualified persons D Yes o No ` (0) Pay compensation to, or pay or reimburse the expenses of, a disqualified person? 0 Ye: OX No , (5) Tanster any income or assets to a disqualified person (ar make any of erttier available
for the benefit or use o1 a disqualified person)? ED Yes ~ No (6) Agree to pay money or property to a government official? (Exception Check 'No'
d the organization agreed to make a grant to or to employ the official for a period otter ' termination o1 government service . A terminating within 90 days ) =Yes X No
b If any answer is *Yes' to 1a(1)-(6), did any of tie acts tail to quality under the exceptions described in Regulations s section 53 4941(dp3 or in a current notice regarding disaster assistance (see page 19 of tie instructions) N/A l b V m Organizations relying on a current notice regarding disaster assistance check here ~ 0 °
e Did the organization engage In a poor 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 20017 7c ' ^ X ̀
2 Taxes on failure to distribute income (section 4942) (does not apply for years the organization was a private operating foundation defined in section 4942(j)(3) or 4942(j)(5)) '
a At the end of tax year 2001, did the organization have any undistributed income (lines 6d and 6e, Part 1(111) for tax year(s) beginning before 2001? ~ ' Yes OX No If Yes,' list the years
b Are there any years listed In 2a for which the organization is not applying the provisions of section 4942(a)(2) (relating to incorrect valuation of assets) to the years undistributed incomes (It applying section 4942(a)(2) to all years listed, answer Woo and attach statement-see instructions) N/A ~2U V '
e It the provisions of section 4942(a)(2) are being applied to any of the years listed in 2a, list the years here
3a Did the organization hold more than a 2% direct or indirect interest in any business enterprise at any lime during the years 0 Yes ~X No
6 It Yes; did R have excess business holdings m 2001 as a result of (1) any purchase by the organization or disqualified persons after May 26, 1969, (2) the lapse of the 5-year period (or longer penod approved by the Commissioner un0er section 4943(c)(7)) to OisDOSe of holdings acquired by gift or bequest, or (9) the lapse of the 10-, 15-, or 20-year first phase holding period? (Use Schedule C, Form 4720, to determine N the organization had excess business holdings in 2001) N /A 3b
Ale Did the organirabon invest during the year any amount in a manner that would jeopardize its the nlable purpases? Oa X b Did the organization make any investment m a prior year (but after December 31, 1969) Nat could jeopardize it charitable purpose that
had not been removed from jeopardy before tie first day of the tax year beginning in 20017 d6 X 58 During tea year did the organization pay or incur any amount to
(1) Carry on propaganda, or otherwise attempt to influence legislation (section 4945(e))ol 0 Yes X] No (2) Influence the outcome of any specific public election (sea section 4955), or to carry on, directly or indirectly,
any voter registration dme9 , Yes OX No " (3) Provideaprantloanindrvidualfortrovel,study,orothersimilarpurposes? DYes OX No (4) Provide a grant to an organization other than a charitable, etc , organization described in section `
509(a)(1),(2),or(3),orsection4940(dN2)9 Yes OX No = (5) Provide for any purpose other than religious, charitable, scientific, literary, or educational purposes, or for
the prevention of cruelty to children or animals 0 Yes OX No ` 6 If any answer is Yes'to Sa(1H5), did airy of the transactions fad to quality under the exceptions described in Regulations >11
section 53 4945 or in a current notice regarding disaster assistance (see Instructions)? N/A 5h Organizations relying on a current notice regarding disaster assistance check here 0~
c II the answer is 'Yes' to question Sa(4), does the organization claim exemption from the tax because it maintained expenditure responsibility for the grants N/A 0 Yes EJ Nn 14
1/'Yes,' attach the statement required by Regulations section 53 4945-5(dj 6a Did the organization, during the year receive any funds directly or indirectly, to pay premiums on
a personal benefit contracts =Yes ~X Na ` D Did the organization, during the year, pay premiums, directly or indirectly, on a personal benefit contract? 6D X
If you answered 'Yes' to 66, also file Form 8870 ~i FoRn 990-PF Rmq
7775x7 of Zap
5 15230109 758395 75-2402852 2001 .08000 HORACE C CABE FOUNDATION 75-24021
Form 990-PF(2001) HORACE C CAGE FOUNDATION 75-2402852 Page e Information About Officers, Directors, Trustees, Foundation Managers, Highly Paid Employees, and Contractors
1 List all officers . directors . trustees . foundation managers and then comxnsation
on line 1) If none, enter "NONE'
Title and average hoursQerweek - (c) Compensation (a) Name and address at each employee paid more than $50,000
enter "NONE " of service
DALLAS
4
FoRn 990-PF (2001)
75-24021 6
2001 .08000 HORACE C CAGE FOUNDATION 15230109 758395 75-2402852
(a) Name and address (b) Title, and average (c) Gi
fours Derweekdevoted (II to oosdion e
Total number of other employees paid over E50,000 3 Five highest-paid independent contractors for professional services If
(a) Name and address of each person paid more than E50.000
List the foundation's four largest direct charitable actrvrties during the tax year Include relevant statistical information such as the number of organizations and other beneficiaries served, conferences convened, research papers produced, etc
t N/A
2
3
0 .
ro (e) Expense "~ accoun~,other
allowances
87,911 .
145 .788 .
Expenses
FOpfi99o-PF(200i) HORACE C CABE FOUNDATION 75-2402852 Paper
Pmt pC-B Summary of Program-Related Investments
hoes 1 and 2 investments
2
4,286 . 4 .286 . Add lines 1
P8R X Minimum Investment Return (All domestic foundations must complete this part Foreign foundations, see Instructions )
1 Fair market value of assets pat used (or held for use) directly In carrying out charRable, etc , purposes a Avenge mouthy fair market value of securities b Avenge of mouthy cash balances c Fair market value of all other assets 0 Total (add lines 1a, b, and c) e Reduction claimed for blockage or other factors reported on lines 1a and
1 c (attach duelled explanation) 1 e 2 Acquisition indebtedness applicable to line 7 assets 3 Subtract line 2 from line 1d d Cash deemed held for charitable activities Enter 1 112% of line 3 (tar greater amount, see instructions) 5 Net value of noncharlta6le-ute a :seta Subtract line 41rom line 3 Enter here and on Part V, line 4
0 0 .
10,5
0 .
Part X11 Qualifying Distributions (see instructions)
1 Amounts gab (including administrative expenses) to accomplish charitable, etc , purposes . a Expenses, contributions, gifts etc -toGt tram Part I, column (d), line 26 ta, 2 , 172 , 381
6 Propramrelate0investments -Total from Part IX-B 16 4 , 286 . 2 Amounts paid to acquire assets used (or held for use) directly in carrying nut charitable, etc , purposes 2 3 Amounts set aside for specific Charitable projects that satisfy the a Suitability test (poor IRS approval required) 3a 6 Cash distribution test (attach the required schedule) 3h
4 Qualifying it lstrl6ution : Add lines to through 3b Enter here and on Part V, line 8, and Part XIII, line 4 d 2,176 , 667 . 5 Organizations that quality under section 4940(e) for the reduced rata of tax on net investment
income Enter 1 % of Part I, line 27b 5 06 Adjusted qualifying distributions Subtract line 5 from line 4 ( 6 ~ 2,176,6 _67 .
Note The amount online 6 will be used in Pert V, column (b), in subsequent years when calculating whether the foundation qualifies for the section 4940(e) reduction o! tar in those veers
7 15230109 758395 75-2402852 2001 .09000 HORACE C CABE FOUNDATION 75-24021
Describe the i
All other program-related investments See Instructions 3FORGONE INTEREST ON 4$ W
~ ~ Dlstnbutable Amount (see instructions) (Section 4942(1)(3) and (I)(5) private operating foundations and certain foreign organizations check here . 0 and do oat complete this part )
1 Minimum investment return tram Part X, line 6 1 2a Tax on investment income for 2001 from Part VI, line 5 2a 10,524 . b Income tax for 2001 (This does not include the tax tram Part VI 2b c Add lines 2a and 2b 2c
3 DistnbuUble amount before adjustments Subtract line 2c tram line 1 3 Ca Recoveries of amounts treated as qualifying distributions 4a 0 .' b Income distributions from section 4947(a)(2) trusts 4b 0 . c Add lines 4a and 4b 4
Add lines 3 and 4c I 5 I 5 Deduction from distnDutaDle amount (see instructions) 6 7 Dl:inbutahle amount as a0mste0 Subtract line 6 from tine 5 Enter here and on Part X111 . line 1 I 7 I
,zass, ai-z4m
Fog 990-PF pooi)
Form 990-PF(200t) HORACE C CABE FOUNDATION 75-2402852 Page B
~q Undistributed Income (see fnscruetions)
(a) (h) (e) (d) Corpus Years prior to 2000 2000 2001
1 Distnbuta6le amount .a mrzooifrom Part xi,line 7 2 1 173 1, 244 . UnOL+bIbubE i.mq II WY . m of Oie na a1200P `
a Enter amount for 2000 only
3 E~ 7bMWUOna wrywsllmY.m2001 ~ + `
a From 1996 " hFrom i9s7 156 , 713 .
eFrom 7998 396 , 837 . dFrom 1999 235 , 99 6 . e From 2000 ~ - ` liatal otlines 3athrough e 789 546 .
` ~ ~ y ° ` 4 Qualifying distributions for 2001 from Part x11,line 4 " E 2 176 667 .`,
a Applied to 2 0 00 . but not more than line 2a ~ 0
h Applied to undistributed income of prior ears (Election required " see instructions) ~
0
"
`~ ~ ` 2 1` 173 1, 244 .
0 .
0 . ~ `
0 . °~
0 .
0` ;
0 .
0 . `~
792,969 .-,
Fm� 990-PF Rroil
177571 01 24 02
15230109 758395 75-2402852 8
2001 .08000 HORACE C CABE FOUNDATION 75-24021
Y e Treated as distributions out of corpus (Election required - see instructions)
d Applied to 2001 dislnDuWUle amount e Remaining amount distributed out o1 corpus
5 E~ aismwuon.wm"seowieomzaoi of en ertwnl vqva in eolurtn (~o, 0ie aenw wnounl moat a mown In column fall
B Enter the net total of each column as Indicated below
7 Corpus Fns 11rim 8t ac, via 4n suevect lin . s
D Prior years' undistnbuted income Subtract line 4D from line 2b
e Enter the amount of poor years' undistributed income for which a notice o1 deficiency has been issued, or on which tie section 4942(a) tax has been previously assesses
d Subtract line tic from line 6b Taxable amount-see instructions
eUndistributed income for2000 Subtract line 4a from line 2a Taxable amount-see instr
t Undistributed income for 2007 Subtract lines 4d and 5 from line 1 This amount must be distributed in 2002
7 Amounts treated as distributions out of corpus to satisfy requirements imposed by season 170(b)(1 )(E) or 4942(8)(3)
B Excess OistnbuGOns carryover from 1996 not applied on line 5 or tine 7
9 Excess distributions carryover to 2002 Subtract tines 7 and 8 from line 6a
10 Analysis of line 9 a Excess from 1997 156 , 713 bExcess from i998 396,837 c Excess from 11999 d Excess from 2000
` ~ I
1 a If the foundation has received a ruling or determination letter that R a a private opeaLnp foundation, and the ruling is effective for 2001, enter the data of the ruling
D Check box to indicate whether the organization is a mate o erahn foundation describe 2 a Enter the lesser of the adjusted net Tax year
110. L ton Prior 3 yeas
(e) 1999 2000
each year listed c 'SupporC attematrve 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
iz7sei .oi aao7 9 FamBBO-PF Rood 15230109 758395 75-2402852 2001 .08000 HORACE C CABE FOUNDATION 75-24021
Pout VII-A,
income from Part t or the minimum la) 2001
investment retain from Part X for each year listed
6 85% of line 2a a Cualdyinp distributions from Part XII,
line 4 for each year listed d Amounts included m line 2c not used directly for active conduct of exempt activities
e OualAyinp distributions made directly for acute 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) 0 'EndowmenC al ternative test -
Enter 2/d of minimum investment retain shown in Part X, line 6 for
pl dot XY~ Supplementary Information (Complete this part only if the organization had $5,000 or more in assets at any time during the year-see page 26 of the instructions .)
1 Information Regarding Foundation Managers. a List any managers of the foundation who have contributed more than 2% of the total contributions received 6y the foundation before the close of any tax
year (but only d they have contributed more than $5,000) (See section 507(d)(2) )
NONE o List any managers of the foundation who own 10% or more of the stock of a corporation (or an equally large portion of the ownership ate partnership or
other entity) al which the foundation has a 10% or greater interest
NONE 2 Information Regarding Contribution, Grant, Grit, Loan, Scholarship, etc , Programs:
Check here 1 ~X d the organization only makes contributions to preselected charitable organizations and does not accept unsolicited requests for funds If the organization makes gAts grants, etc (see instructions) to individuals or organizations under other conditions, complete items 2a, b, c and 0
a The name, address, and telephone number of tie person to whom applications should De addressed
D The forth in which applications should be submitted and information and materials they should include
a Any submission deadlines
0 My restrictions or limitations on awards, such as by geographical areas, charitable fields, kinds of institutions, or other factors
75-240285 Form 990-PF
izuaiAi z4-m F��,980-PF Rmil
15230109 758395 75-2402852 2001 .08000 HORACE C CARE FOUNDATION 75-24021 10
Enter gross amounts unless otherwise indicated unrewiea ousiness income 17.nua .a .ecnon 512 . sia w514 a
Business (b) ~o~ del (0) Related or exempt 1 Program service revenue code Amount ~, Amount function Income
a h c d e 1 p Fees and contracts from government agencies
2 Membership dues and assessments 3 Interest on savings and temporary cash
investments a DnndenOSandinterest from securities 14 899,751 . 5 Net rental income or (loss) from real estate a Debt financed property b Not debt-financed property
6 Net rental income or (loss) from personal property
7 Other Investment income 14 <446 .> 8 Gain or (loss) from sales of assets other
than inventory 18 <2 , 193,082 . > 9 Net income or (loss) from special events
10 Gross profit or (loss) from sales of inventory 11 Other revenue
a b e d e
12 Subtotal Addcolumns (d),(d),and(e) ~ ~ 0 .1 ] <1,293,777 . 0 . 73Total Addline 72,columns (b),(d),and(e) " 19 <1,293,777 . : (Sea worksheet in line 13 instructions to venN calculations 1
art XVI-B Relationship of Activities to the Accomplishment of Exempt Purposes
15230109 758395 75-2402852 2001 .08000 HORACE C CABE FOUNDATION 75-24021
Form 990-PF(200t) HORACE C CABE FOUNDATION 75-2402852 page 11 par( XS11=A Analysis of Income-Producing Activities
Form 99o-PF(200t) HORACE C CABS FOUNDATION 75-2402852 pa et2 Ps~t J(VII Information Regarding Transfers To and Transactions and Relationships With Noncharitable
Did the organization directly or indirectly engage in any of tie following with any other organization described in section 501(c) of the Code (other than section 501(c)(3) organizations) or m section 527, relating to political organizations? Transfers from the reporting organization to a nonchantable exempt organization of
(1) Sales of assets to a nonchantable exempt organization 1 b( l ) (2) Purchases of assets from a noncharRable exempt organization 1b (2 ) (3) Rental of facilities, equipment, or other assets 16 3 (4) Reimbursement arrangements 1b( 4 ) (5) Leans or loan guarantees I b(5 ) (6) Performance of services or membership or tundrzisinq solicitations 1b 6 Sharing of facilities . equipment, mailing lists, other assets, or paid employees 1 p 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 repownp organization It the organization racerved less than fair market value m any transaction or sharing arrangement, show m
X
2a Is the organization directly or indirectly affiliated with, or related to, one or more tax-exempt organizations described in section 501(c) of the Code (other than section 501(c)(3)) or m section 527 0 Yes OX No
15230109 758395 75-2402852 2001 .08000
(1) Cash (2) Otherassets Other Transactions
Name
Unad pmNOS a yd. p . I aerJYS Nit I 1we aX~i w ooniplete D n of Prep~ (otna man tezE
m ' SipnaWre of officer or trustee x
a Preparers ' y 9 ̀ o signature ,
a am wmsm m~awus Np~ ~+,~~ a~ nmw~owcw ,C%OT5~0 S
CHICAGO,
123821 m z.-0z
raNm . InduEmp exdnpaiyhp sMe7ulaa end sGGnnnts and N Rio OM[ of my krowladpe e'q War, It Is ", oortaci, fiduciary) Is ~ m al InfmneCon of wh~ pnperv ha emu IupWappn
'RUST BANK OF LASALLE ST L-IL 60675
Page 1
HORACE C CABE FOUNDATION CHARITABLE GRANTS MADE DURING FYE 6/30/02
DATE PAID TO AMOUNT
7/12/01 HOT SPRINGS FILM FESTIVAL $100,000 00 HOT SPRINGS, ARKANSAS
7/12/01 1'E7CARKANA MUSEUMS SYSTEM $50,00000 TEXARKANA, TEXAS
7/12/01 ARKANSAS SHERIFF'S RANCHES $150,000 00 BATESVILLE,ARKANSAS
7/12/01 COMMUNITY FAMILY ENRICHMENT CEN S75,00000 ARKADELPHIIA, ARKANSAS
7/12/U1 BROOK HII.L SCHOOL $27,50000 BULLARD,TEXAS
7/12/01 PRESBYTERIAN MEDICAL CENTER $130,00000 DALLAS, TEXAS
7/12/01 YOUNG AUDIENCES OF TYLER $15,00000 TYLER, TEXAS
7/12/01 DALLAS ALL SPORTS ASSOCIATION $25,00000 DALLAS, TEXAS
7/12/01 FOUNDATION FOR RESPONSIBLE 7'ELEVI S26,50000 [RUING, TEXAS
7/12/01 CHLELDRENS VILLAGE $50,00000 TYLER, TEXAS
7/12/01 CAMP ALDERSGATE $250,00000 LITTLE ROCK, ARKANSAS
7/12/01 CATTLE BARON'S BAIL $1,500 00 DALLAS, TEXAS
7/13/01 WII.DWOOD PARK FOR PERFORMING ART $15,00000 LITTLE ROCK , ARKANSAS
7/13/01 PRESBYTERIAN HEALTHCARE FOUNDAT $1,00000 DALLAS, TEXAS
7/13/01 JUNIOR LEAGUE OF LITTLE ROCK $5,00000 LITTLE ROCK. ARKANSAS
7/20/01 WOIvIENS MUSEUM S2,50000 DALLAS, TEXAS
7/31/01 GURDON ISD - ATHLETIC DEPARTMENT $4,00000 GURDON, P.RKANSAS
8/1/01 BOY SCOUTS OF AMERICA - CADDO COU $124,00000 TEXARKANA, TEXAS
9/4/01 FIRST UNITED METHODIST CHURCH $75,00000 TEXARKANA,TEXAS
9/24/Ol SALVATION ARMY $100,00000 i"EXARKANA, TEXAS
Page 2
HORACE C CABE FOUNDATION CHARITABLE GRANTS MADE DURING FYE 6/30/02
DATE PAID TO AMOUNT
10/16/01 CASA OF NORTHEAST TEXAS $10,00000 TEXARKANA,TEXAS
10/17/01 OUR LADY OF PERPETUAL HELP SCHOOL $10,00000 DALLAS, TEXAS
10/17/01 ST ANTHONY'S SCHOOL & COMMUNITY C $5,000 00 DALLAS, TEXAS
10/17/01 RCJNMN WJ THERAPEUTIC CENTER $38,00000 TEXARKANA,TEXAS
10/17/01 HABITAT FOR HUMANITY - GARLAND CN $10,00000 HOT SPRINGS, ARKANSAS
10/17/01 COURAGE HOUSE $10,000 00 ARKADEKPHIA, ARKANSAS
10/17/01 TEXAS FRAGILE FAMILIES $10,00000 DALLAS, TEXAS
10/l7/Ol EAST TEXAS CRISIS CENTER $10,00000 TYLER, TEXAS
10/17/01 CENTRAL ARKANSAS DEVELOPMENT CN $10,00000 GLJRDON, ARKANSAS
10/17/01 SEPTEMBER 11TH FUND $12,00000 NEW YORK, NEW YORK
10/23/01 MARCH OF DIIvIES $10,00000 DALLAS, TEXAS
10/23/01 IvIARCH OF DIIvES $5,00000 DALLAS, TEXAS
10/23/01 HUMANE SOCIETY OF DALLAS $1,00000 DALLAS, TEXAS
10/30/01 TYLER STREET CHRISTIAN ACADEMY $10,00000 DALLAS, TEXAS
11/15/01 BRYAN'S HOUSE $50000 DALLAS, TEXAS
11/15/Ol LEUKEMIA & LYMPHOMA SOCIETY $1,50000 DALLAS TEXAS
11/27/01 FIRST UNITED METHODIST CHURCH S1,00000 GURDON,ARKANSAS
(/16/02 FIRST PRESBYTERIAN YOUTH BLDG FUN $10,00000 TYLER, TEXAS
1/16/02 AMERICAN PARKINSONS DISEASE ASSN S1,00000 PLANO,TEXAS
1/16/02 DISCOVERY SCIENCE PLACE $1,00000 TYLER TEXAS
" HORACE C CABE FOUNDATION
CHARITABLE GRANTS MADE DURING FYE 6/30/02
DATE PAID TO AMOUNT
1/16/02 HABITAT FOR HUMANITY $1,00000 TYLER, TEXAS
1/16102 HUMANE SOOTY $1,00000 TYLER, TEXAS
1/16/02 INTERNATIONAL RESCUE COMMITTEE $1,00000 HAGERSTOWN, MARYLAND
1/16/02 MERCY SHIPS $1,00000 GARDEN VALLEY, TEXAS
1/16/02 TISD FOUNDATION $1,00000 TYLER, TEXAS
1/16/02 YOUNG LIFE OF TYLER $1,00000 TYLER, TEXAS
1/l6/02 YWAMT'YL,ER $1,00000 TYLER, TEXAS
1/16/02 LITERACY COUNCIL OF TYLER $1,00000 TYLER, TEXAS
1/30/02 ST ANTHONY'S SCHOOL $3,50000 DALLAS, TEXAS
1/30/02 ST ANTHONY'S SCHOOL $1,75000 DALLAS, TEXAS
2/20/02 ST ANTHONY'S SCHOOL & COMMUNITY C $5,00000 DALLAS, TEXAS
2/20/02 STEVENS YWCA $10,00000 LITTLE ROCK, ARKANSAS
2/20/02 OUR FRIENDS PLACE $5,00000 DALLAS, TEXAS
2/20/02 EAST TEXAS FOOD HANK $29,50000 TYLER, TEXAS
2/28/02 ST .ANTHONY'S SCHOOL $3,50000 DALLAS, TEXAS
2/28/02 BAYI.OR 1-IEALTHCARE SYSTEM $50,00000 DALLAS TEXAS
2/28/02 ROTARY FOUNDATION $16,00000 EVANSTON, ILLINOIS
2/28/02 DALLAS ROTARY CLUB FOUNDATION $1,00000 DALLAS, TEXAS
2/28/02 SALVATION ARMY WOMENS AUXILIARY $1,50000 DALLAS, TEXAS
2128/02 WEST POINT FUND $50000 WEST POINT, NEW YORK
Page 3
Page 4
HORACE C CABE FOUNDATION CHARITABLE GRANTS MADE DURING FYE 6/30/02
DATE PAID TO AMOUNT
3/12/02 MDA / A1.S BENEFIT $1,00000 DALLAS, TEXAS
3/12/02 CONTINENTAL SOCIETIES $50000 DALLAS, TEXAS
3/12/02 OUR LADY OF PERPETUAL HELP SCHOOL $50000 DALLAS, TEXAS
3/12/02 SOUTHWESTERN MEDICAL FOUNDATION $25,000 00 DALLAS, TEXAS
3/12/02 CITY OF STAMPS $75,00000 STP.MPS,ARKANSAS
3/12/02 BETHLEHEM CENTER $5,00000 DALLAS, TEXAS
3/12/02 EAST DALLAS COMMUNITY SCHOOL $10,00000 DALLAS, TEXAS
3/12/02 SALVATION ARMY $7,000 00 TE7CARKANA, TEXAS
3/12/02 TRINITY RIVER IvfISSION $4,00000 DALLAS, TEXAS
3/12/02 WESLEY-RANKIN COMMUNITY CENTER $4,00000 DALLAS, TEXAS
3/12/02 DALLAS FOUNDATION - PSYCHOANALYS $5,00000 DALLAS, TEXAS
3/12/02 INTERNATIONAL JUSTICE IvIISSION $1,000 00 WASHINGTON DC
3/12/02 ORANGE CAMP FIRE COUNCIL. $4,00000 ORANGE, TEXAS
4/4102 AMERICAN PARKINSONS DISEASE ASSN $1,00000 DALLAS, TEXAS
4/4/02 AMERICAN PARKINSONS DISEASE ASSN S1,00000 DALLAS, TEXAS
4/4/02 AMERICAN PARKINSONS DISEASE ASSN $1,00000 DALLAS TEXAS
4/11/02 AMERICAN PARKINSONS DISEASE ASSN $10,00000 DALLAS, TEXAS
4/11/02 JUII.LIARDSCHOOL $5,00000 NEW YORK, NEW YORK
4/11/02 PRESTON HOLLOW PRESBYTERIAN CHUR $5,00000 DALLAS, TEXAS
4/11/02 AMERICAN PARKINSONS DISEASE ASSN $1,00000 DALLAS, TEXAS
Page 5
" aORACE C CABE FOUNDATION CHARITABLE GRANTS MADE DURING FYE 6/30/02
DATE PAID TO AMOUNT
4/17/02 ST ANTHONY'S SCHOOL $50,00000 DALLAS, TEXAS
A/17/02 DALLAS CHII.DRENS ADVOCACY CENTE $1,00000 DALLAS, TEXAS
4/!7/02 BIG D CHARITY HORSE SHOW $1,000 00 DALLAS, TEXAS
4/17/02 BRYAN'S HOUSE $2,500 00 DALLAS, TEXAS
4/17/02 SALESMANSHIP CLUB $1,200 00 DALLAS, TEXAS
4/22/02 AMERICAN PARKINSONS DISEASE ASSN $1,00000 DALLAS, TEXAS
4/26/02 BOY SCOUTS OF AMERICA - QUAPAW CO $125,00000 LITTLE ROCK, ARKANSAS
4/26/02 AVON 3 DAY CANCER WALK $50000 DALLAS, TEXAS
4/26/02 AVON 3 DAY CANCER WALK 51,150 00 DALLAS, TEXAS
4/26/02 AVON 3 DAY CANCER WALK $60000 DALLAS, TEXAS
5/7/02 HAYI.OR / RICHARDSON MEDICAL CENTE $1,00000 RICIIARDSON, TEXAS
5/7/02 DALLAS ROTARY CLUB FOUNDATION $75000 DALLAS, TEXAS
5/24/02 DALLAS PREGNANCY RESOURCE CENTS $7,00000 DALLAS, TEXAS
5/24/02 YOUNG LIFE PROCESSING CENTER $7,00000 COLORADO SPRINGS, COLORADO
5/24/02 EPVI+ORTH CHURCH ASSOCIATION S2,500 00 LUDiNGTON, MICHIGAN
S/24/02 FIRST UNITED METHODIST CHURCH $5,00000 TEXARKANA,TEXAS
5/24/02 UAMS FOUNDATION FOR AGING $5,00000 TEXARKANA, TEXAS
5/24/02 WATERSPRINGS RANCH $2,00000 TEXARKANA,TEXAS
5/24/02 1 iAR VEST T'EJ(ARKANA $1,00000 TE}CARKANA . TEXAS
5/24/02 RIJNNIN WJ THERAPEUTIC CENTER $1,00000 TEXARKANA, "TEXAS
Page 6
BORACE C CABE FOUNDATION
CHARITABLE GRANTS MADE DURING FYE 6/30/02
DATE PAID TO AMOUNT
5/24/02 ST JAMES DAY SCHOOL $1,00000 "I'EXARKANA, TEXAS
6/5/02 OPPORTUNITIES INC $2,50000 TEXARKANA, TEXAS
6/5/02 SANTA CLARA UNIVERSITY $2,50000 SAN JOSE, CALIFORNIA
6/5/02 WILD ANIMAL ORPHANAGE S1,00000 SAN ANTONIO, TEXAS
6/5/02 VICTORY HOUSE $1,00000 DALLAS, TEXAS
6/5/02 EPRA $75000 NEW YORK, NEW YORK
6/17/02 CABS PUBLIC LIBRARY $5,00000 GURDON,ARKANSAS
G/17/02 FOUKE ELEMENTARY SCHOOL $3,525 00 FOUKE,ARKANSAS
6/17/02 ARTS PARTNERS YOUNG AUDIENCES $12,50000 DALLAS, TEXAS
6/17/02 DALLAS ALL SPORTS ASSOCIATION S30,00000 DALLAS, TEXAS
6117/02 DRESS FOR SUCCESS S5,00000 LITTLE ROCK, ARKANSAS
6/17/02 ROCKIN C RANCH $35,00000 LINDALE, TEXAS
6/17/02 HOOKS LITTLE LEAGUE BASEBALL $3,50000 HOOKS, TEXAS
6/17/02 HABITAT FOR HUMANITY $12,00000 LITTLE ROCK, ARKANSAS
G/17/02 EDUCATIONAL FIRST STEPS $4,00000 DALLAS, TEXAS
6/17/02 [ARTS AND HORSES $5,00000 LOVELAND,COLORADO
6/17/02 ALLENSPARK FIRE PROT'ECT'ION DISTRIC $2,00000 ALLENSPARK,COLORADO
6/19/02 BUCICNER FAMILY SERVICES $1,40000 DALLAS, TEXAS
G/19/02 CARE $1,30000 DALLAS, TEXAS
G/19/02 ROGERS WILDLIFE REHAB CENTER S1,300 Ou FIUTCHINS, TEXAS
HORACE C CABE FOUNDATION CHARITABLE GRANTS MADE DURING FYE 6/30/02
DATE PAID TO AMOUNT
6/19/02 DALLAS CHD.DRENS ADVOCACY CENTS $1,30000 DALLAS, TEXAS
6/19/02 BAPTIST HEALTH FOUNDATION $5,00000 LITHE ROCK, ARKANSAS
6/19/02 GURDON ISD $10,00000 GURDON,ARKANSAS
6/19/02 INSTITUTE OF CULTURAL AFFAIRS $250 00 CMCAGO, ILLINOIS
6/19/02 NINE GATES PROGRAMS $25000 CORTE MADRE, CALIFORNIA
6/19/02 PLANNED PARENTHOOD OF DALLAS $50000 DALLAS, TEXAS
6/19/02 DOVE FOUNDATION $50000 NELLYSFORD, VIRGINIA
Page 7
HORACE C CABE FOUNDATION 75-2402852
FORM 990-PF GAIN OR (LOSS) FROM SALE OF ASSETS STATEMENT 1
MANNER DATE ACQUIRED ACQUIRED DATE SOLD
PURCHASED
0 .
CAPITAL GAINS DIVIDENDS FROM PART IV
TOTAL TO FORM 990-PF, PART I, LINE 6A
FORM 990-PF OTHER INCOME
DESCRIPTION
ACCRUED / DEFERRED INCOME SOFT DOLLAR REIMBURSEMENTS
TOTAL TO FORM 990-PF, PART I, LINE 11, COLUMN A
AMOUNT
<2,307 .> 1,861 .
<446 .>
13 STATEMENT S) 1, 2, 3 15230109 758395 75-2402852 2001 .08000 HORACE C CABE FOUNDATION 75-24021
(A) DESCRIPTION OF PROPERTY
SEE ATTACHED SCHEDULES
GROSS COST OR SALES PRICE OTHER BASIS
c2,193,082 .> 0 .
(D) (E) EXPENSE OF
SALE DEPREC .
(F)
GAIN OR LOSS
0 . <2,193,082 .>
0 .
<2,193,082 .>
STATEMENT 2
FORM 990-PF ACCOUNTING FEES STATEMENT 3
(A) (B) (C) (D) EXPENSES NET INVEST- ADJUSTED CHARITABLE
DESCRIPTION PER BOOKS MENT INCOME NET INCOME PURPOSES
GREIER, REEVES & LAWLEY 10,202 . 5,101 . 5,101 .
TO FORM 990-PF, PG 1, IN 16B 10,202 . 5,101 . 5,101 .
FORM 990-PF OTHER EXPENSES STATEMENT 6
(C) (D) ADJUSTED CHARITABLE NET INCOME PURPOSES
0 . 7,716 . 7,716 .
14 STATEMENT S) 4, 5, 6 2001 .08000 HORACE C CABE FOUNDATION 75-24021 15230109 758395 75-2402852
HORACE C CABE FOUNDATION 75-2402852
FORM 990-PF OTHER PROFESSIONAL FEES STATEMENT 4
(A) (B) (C) (D) EXPENSES NET INVEST- ADJUSTED CHARITABLE
DESCRIPTION PER BOOKS MENT INCOME NET INCOME PURPOSES
PAUL HARRIS, FOUNDATION CONSULTANT 37,600 . 0 . 37,600 . MARY STACY, FOUNDATION CONSULTANT 4,200 . 0 . 4,200 . NORTHERN TRUST BANK OF TEXAS - IMAS 87,911 . 79,120 . 8,791 . FAYEZ SAROFIM s CO - IMAS 140,423 . 140,423 . 0 . GARDNER LEWIS - IMAS 145,788 . 145,788 . 0 . DONNA BERRY, FOUNDATION CONSULTANT 3,000 . 0 . 3,000 .
TO FORM 990-PF, PG 1, LN 16C 418,922 . 365,331 . 53,591 .
FORM 990-PF TAXES STATEMENT 5
(A) (B) (C) (D) EXPENSES NET INVEST- ADJUSTED CHARITABLE
DESCRIPTION PER BOOKS MENT INCOME NET INCOME PURPOSES
FOREIGN TAXES PAID ON INVESTMENTS 4,957 . 4,957 . 0 .
TO FORM 990-PF, PG 1, LN 18 4,957 . 4,957 . 0 .
DESCRIPTION
FOUNDATION OFFICE EXPENSES
TO FORM 990-PF, PG 1, LN 23
(A) EXPENSES PER BOOKS
7,716 .
NET INVEST-MENT INCOME
0 . 7,716 .
FORM 990-PF U .S . AND STATE/CITY GOVERNMENT OBLIGATIONS STATEMENT 9
TOTAL STATE AND MUNICIPAL GOVERNMENT OBLIGATIONS
TOTAL TO FORM 990-PF, PART II, LINE 10A
CORPORATE STOCK
BOOK VALUE
22,325,393 .
22,325,393 .
DESCRIPTION
SEE ATTACHED
TOTAL TO FORM 990-PF, PART II, LINE lOB 31,246,344 .
15 STATEMENT S) 7, 8, 9, 10 15230109 758395 75-2402852 2001 .08000 HORACE C CABE FOUNDATION 75-24021
HORACE C CABE FOUNDATION 75-2402852
FORM 990-PF OTHER INCREASES IN NET ASSETS OR FUND BALANCES STATEMENT 7
DESCRIPTION AMOUNT
YEAR END ADJUSTMENT FOR AMORTIZATION / ACCRETION 13,816 .
TOTAL TO FORM 990-PF, PART III, LINE 3 13,816 .
FORM 990-PF OTHER DECREASES IN NET ASSETS OR FUND BALANCES STATEMENT 8
DESCRIPTION AMOUNT
ACCRUED / DEFERRED GAINS / LOSSES 23 . PROGRAM RELATED INVESTMENT REMOVED FROM RECORD 250,000 .
TOTAL TO FORM 990-PF, PART III, LINE 5 250,023 .
U .S . OTHER DESCRIPTION GOVT GOV T
SEE ATTACHED X
TOTAL U .S . GOVERNMENT OBLIGATIONS
FORM 990-PF
BOOK VALUE
5,716,819 .
5,716,819 .
5,716,819 .
FAIR MARKET VALUE
5,858,551 .
5,858,551 .
5,858,551 .
STATEMENT 10
FAIR MARKET VALUE
31,246,344 .
HORACE C CABE FOUNDATION 75-2402852
FORM 990-PF CORPORATE BONDS STATEMENT 11
DESCRIPTION
SEE ATTACHED
TOTAL TO FORM 990-PF, PART II, LINE lOC
BOOK VALUE
2,865,069 .
2,865,069 .
STATEMENT 12 OTHER ASSETS FORM 990-PF
FAIR MARKET DESCRIPTION BOOK VALUE VALUE
SEE ATTACHED - PENDING TRADES <6,379 .> <7,378 .>
TOTAL TO FORM 990-PF, PART II, LINE 15 <6,379 .> <7,378 .>
FORM 990-PF PART VIII - LIST OF OFFICERS, DIRECTORS STATEMENT 13 TRUSTEES AND FOUNDATION MANAGERS
EMPLOYEE COMPEN- BEN PLAN EXPENSE SATION CONTRIB ACCOUNT
TITLE AND A\7RG HRS/WK
PRESIDENT 0 . 0 .
0 .
0 .
0 .
0 .
0 . 0 .
0 . 0 .
DIRECTOR 0 . 0 . 0 .
16 STATEMENT S) 11, 12, 13 2001 .08000 HORACE C CABE FOUNDATION 75-24021 15230109 758395 75-2402852
FAIR MARKET VALUE
2,921,664 .
2,921,664 .
NAME AND ADDRESS
CHARLES LEE "SANDY" CABE
DALLAS, TEXAS
MARIANNE C LONG
TEXARKANA, TEXAS
LUCILLE T COOK
TE}CARKANA, TEXAS
CHARLES L CABE, JR
TEl{ARRANA, TEXAS
LUCY L CABE
TEXARRANA, TEXAS
VICE PRES / TREAS 0 .
SECRETARY 0 .
DIRECTOR 0 .
0 . 0 .
0 . 0 .
HORACE C CABE FOUNDATION 75-2402852
WILLIAM SLICKER DIRECTOR 0 . 0 . 0 . 0 .
TEXARKANA, TEXAS
THOMAS H CABE DIRECTOR 0 . 0 . 0 . 0 .
DALLAS, TEXAS
TOTALS INCLUDED ON 990-PF, PAGE 6, PART VIII 0 . 0 . 0 .
17 STATEMENT S) 13 15230109 758395 75-2402852 2001 .08000 HORACE C CABE FOUNDATION 75-24021
OMB NO 15,Sq1~
2001 Form 2220 Underpayment of Estimated Tax by Corporations o.P~i of me rAS..y " See separate Instructions ~ A,.,_ . . ~ " Attach to the corooration" s tai return FORM 990-F
Employer identification number Name
HORACE C CABE FOUNDATION I 75-2402852 Note In most roses, the corporation does not need to file Forth 2220 (See Part I below for exceptions ) The IRS will figure any penalty owed and bill the corporation It
the corporation does not need to file Form 2220, d may still use it to figure the penalty Enter the amount from line 36 an the estimated fax penalty line a1 the
- Check the boxes below file Form 2220, If
1 I?SJ The corporation is using the annualized income installment method 2 ~ The corporation is using the adjusted seasonal installment method 9 ~ The corporation is a 'large corporation' flpuring it first required installment based on the prior years tax Note The corporation also must file Form 2220 A h has a suspended research credit allowed for the currant year (see the instructions for line 4) or 4 is an
B Enter the smaller of line 6 or line 7 If the corporation must skip line 7 enter the amount Trom line 6 9 Installment due dates Enter in columns (a) through (d) a i
the 15th day of the 4th (Form 990-PF tilers Use 5th month), 6th, 91h, and 12th months of the corporation's tax year Exception Enter October 1, 2001, instead of September 15, 2001 . 9 11/15/01 12 /02
10 Required Installment : N the box on line 7 and/or tine 2 above is checked, enter the amounts from Schedule line 40 It the fax on line 3 (but not 1 or 2) is checked, see instructions for the amounts to enter It none of these poxes are checked, enter 25% of line B above in each column
11 Estimated tax paid or credited for each period (see instructions) For column (a) only, enter the amount from line 11 on line 15 Complete lines 12 through 78 of one column before going to the next column
12 Enter amount, A any, from line 18 of the preceding column
13 Add lines 11 and 12 ld Add amounts on lines 16 and 17 of the preceding
column 15 Subtract line 14 from line 13 It zero or less, enter-0- 16 If the amount on line 15 is zero, subtract line 13 from
line 14 Otherwise . enter-0- 17 Underpayment Ii line 15 is less than or equal to line
10, subtract tine 15 from line 10 Then go to line 12 of the next column Otherwise, go to line 18
18 Overpayment II tine 10 is less than tine 15, subtract Ii
3 .
.. , ..
6 . 20,239 .
0 . T
95 .1 23,236 . 20 .239 .
,~ JWA For Paperrork Reduction Act Notice, see separate Instructions 113 Form 2220 (2001) 15230109 758395 75-2402852 2001 .08000 HORACE C CAGE FOUNDATION 75-24021
I Total tax (sae instructions)
5a Personal holding company tax (Schedule PH (Forth 1120), line 26) included online 4 h Look-back interest included on line 4 under section 460(D)(2) for completed long-term
contracts or of section 167(g) for property depreciated under the income forecast method
c Credit for Federal tax paid on fuels (see instructions) I 5c I d Total Add lines 5a through Sc 6 Subtract line Sri from line 4 It the result is less than $500, do not complete or file this form The corporation does
not owe the penalty 7 Enter the tax shown on the corporation's 2000 income tax retain Caution See instructions before completing
this tine
0,524 .
32,921 .
FORM 990-PF Form 2220(2001) HORACE C CABE FOUNDATION 75-2402H52 page 2
Figuring the Penalty
38 Penalty Add columns (a) through (d), of line 35 Enter tie total here and on Form 1120, line 33, Forth 1120-A, line
" For underpayments paid alter March 37, 2002 For lines 28, 30, 32, and 34, use the penalty interest rate for each calendar quarter, which the IRS will determine during the first month m the preceding quarter These rates are published quarterly in an IRS News Release and in a revenue ruling in the Internal Revenue Bulletin To obtain the information on the Internet, access the IRS Web Site at rww In go v You ca n a lso call 1-800-829-1040 to pet interest rate information
JWA
,izmz 02-0,.m 19 15230109 758395 75-2402852 2001 .08000 HORACE C CABE FOUNDATION 75-24021
19 Enter the date of payment or the 15th day of the 3rd month after the close of the tax year, whichever is earlier (see Instructions) (Form 990-PF and Form 990-T filers Use 5th month Instead 013b manta )
20 Number of days from due date of installment on line 9 to the date shown on line 19
21 Numbaroldays online 20after 4/1Y1001enEbdon7/12001
22 UMYpS/IIINIIMline 771 NY~OIEMOnII(1"I1 S9X 365
23 NunEr of Eeye on Ilne 70 aM 62001 W bebie 1/12002
24 Undipymmlonllna77a NumESOlEr:aonline 7Ja7% YS
25 Number of oaya online Io after 17llt/t001 and before Ul/100t
26 UnOerpryment online 179 NUmMOfEwaonline 25 a6% 365
27 Numbv of Evya online 20 after 7q72007 end! Eebn 7/1/[002
28 Undspeymnt m line 17x Numbr of OM on Itne 77 x 0A 365
29 Numea of eye on line 70 inn 8/=002 and before 1d7/t007
30 UnOaiprymentonline l7a NUmEeralEevaonlinel9 a'% JfiS
31 Nu~of dya on Ilne 20 Md 9/JQ4~ uM belon 1A2007
32 UnESpyrtviton line 17x NumbcolEwe On Lns31 a'% 385
33 Numbsoldqaonnne20@Rx17/J1/t00ZeMbebn7/162007
36 UnCSpryment on line 17x Number ofdsn,e online A% 765
35 Add lines 22, 24, 26, 28, 30, 32, and 34
Farm 2220 2001
HORACE C CABE FOUNDATION 75-2402852 FSh
1 FORM 990-PF Page 3 A1 Annualized Income Installment Method and/or the Adjusted Seasonal Installment Method Under Section 6655(e)
(see Instructions)
Form 11205 filer Far lines 2, 14,15, and 16, below, taxable income refers to excess net passive income or the amount on which tax is imposed under section 1374(a) (or the corresponding provisions of Dnor law), whichever applies
Part I - Annualized Income Installment Method a o o d
* * First 2 First 3 First 6 First- 9 1 Annualiution enods see instructions 1 months months months months 2 Enter taxable income for each annualrution penod (see
i
72 Add tie amounts in all preceding columns of line 40 (sea 3 instructions 12 1 , 394 . 1 3 , 84
13 Annualized Income Installments Subtract line 12 from brut itzero oriess .enter -0- 13 1,394 . 2,449 . 2997
Part 11 - Adjusted Seasonal Installment Method (Caution : use this method only d the base period percentage for any 6 consecutive menus is at lean 70% See instructions for more information ) ,
First 9 First 6 First 4
17 Divide the amount in each column on line 14a 6y the amount in column (d) on line 16a
18 Orvide the amount in each column on line 14b by lie amount in column (d) an line 16b
19 Omda the amount in each column an line 14c 6y the amount in column Id1 on line 16c
iixezi JWA 02.C)1~ 15230109 758395 75-2402852
Form 2220 (2001) 75-24021 2001 .08000 HORACE C CABE FOUNDATION
instructions ) 2 46 , 453 . 96 , 077 . 228 , 000
9 AnnualiraGonamounh (see instructions 3 6 .000000 4 .000000 2 .00000
a Annualized taxable income multiply line 2b line 3 e 278 718 . 384 308 . 456 , 000 5 Figure the fax on the amount in each column on line 4
usurp the instructions for Form 7120, Schedule J, line 3 ortnecomparable lineottneGxretum 5 5 , 574 . 7 , 686 . 9 , 120
6 Enter other taxes for each payment period (see
5 .574 .1 7,686 .1 9 .120 B For each penod, enter the same type of credits as allowed
on Form 2220, lines 4 and Sc (see Instructions) 9 Total tax attar credits Subtract line 8 from line 7 If
5,574 .1 7,686 .1 9 .120
1,394 .1 3,843 .1 6,840
14 Enter taxable income for the following periods
15 Enter fixable income for each period for the tax year
7B Enter taxable income for the following penods
First 3 First S First 8
346,247 .
1 .333333
461,663 .
23
9,233 .
9,233 .
9,233 .
2,393 .
First 11
Entire year
HORACE C CABE FOUNDATION FORM 990-PF
a) First 4 First 6 I First 9
23 Figure the tax on the amount on line 22 using the instructions for Form 1120, Schedule J, line 3 (or the comparable line of the velum)
20 Divide the amount in columns (a) through (c) on line I6a by the amount in column (d) on line 16a
25 Drvide the amount in columns (a) through (c) on line 16b by the amount m column (d) on line 16b
26 Divide lie amount in columns (a) through (c) on line 16c
29 Multiply the amount in columns (a) through (c) of line 23 by columns (a) through (c) of line 28 In column (0), enter the amount from line 23 column (d)
30 Enter other taxes for each payment penod (see
32 For each period, enter the same type of credits as allowed an Farm 2220 lines 4 and Sc (sae instructions)
33 Total tax after credits Subtract line 32 from line 31 11 zero or lass enter -0-
34 Add the amounts in all preceding columns of line 40 (see instructions)
35 Adducted seasonal Installments Subtract line 34 from line 33 II zero or less, enter -0-
PoA 111 . Rnmurnrl Inciallmanlc
2nd 3rd :ailment insUllrt
2,449 . 2 .
38 It only one of the above parts is completed, enter the amount in each column from line 13 or line 35 If both parts are completed, enter the smaller of the amounts in each column tram line 13 or line 35 36 1 , 394
37 Enter 25% of line 8 on page 1 of Form 2220 in each column (Note 'Large corporations' see the instructions for line 70 for the amounts to enter 37 2- , 6-3-1-
38 Subtract line 40 of the preceding column from line 39 of the p recedin g column 38
2,631 . 2,631 . 2 , 631
1,237 . 1,419
,uezz az-0,-0x 21 15230109 758395 75-2402852 2001 .08000 HORACE C CABE FOUNDATION 75-24021
15t
75-2402852 Page 4
101
Entire year
i
4th
2
39 nddlines 37 and 38 39 2,631 . 3,868 . 4,050 . 3,684 . 40 Required Installments Enter the smaller of line 36 or
line 39here aneanpage 7otForm 2220line f0 40 1,394 . 2,449 . 2,997 . 2,393 . JWA Form 2220 2001
** ANNUALIZED INCOME INSTALLMENT METHOD USING STANDARD OPTION
21 11481108 758395 75-2402852 2001 .06000 HORACE C CAGE FOUNDATION 75-24021
Fdnm 8868 I Application for Extension of Time To File an 0> Exempt Organization Return OMB No 1545 1709
Depernnnt of Ne Trwuy inWnd wvmue smim " File a separate application for each return
" If you are filing for an Automatic 3-Month Extension, complete ony Part I and check this box 10.91 " If you are filing for an Additional (not automates) 3-Month Extension, complete only Part II (on page 2 of this form) Note. Do not complete Part II unless you have already been granted en automatic 3-month extension on a previously filed Form 8888
Pte'! I Automatic 3-Month Extension of Time - Only submit original (no copies needed
Note Form 9B0-T corporations requesting en automatic 6-month extension - check this box and complete Part I ony All other corporations (including Form 990-C filers) must use Form 7004 to request en extension of time to file Income tex returns Partnerships, REMICs end hosts must use Form 8736 to request en extension o! Mme to Me Form 1065, 7066, or 1041
Type or Name of Exempt Organization Employer identification number pool
HORACE C CABE FOUNDATION 75-2402852 Fl. 0y Vie aye date ro, Number, street, and room or suite no If a P O box, see instructions filing your C/0 NORTHERN TRUST BANK OF TEXAS NA NO . L-5 return See instructions City, town or post office, state, and ZIP code For a foreign address, see instructions
50 S LASALLE ST - CHICAGO, IL 60675
Check type of return to be filed(file a separate application for each return)
0 Forth 990 ~ Form 990-T (corporation) 0 Form 4720 Forth 990-BL ~ Form 990-T (sec 401(a) or 408(a) trust) ~ Form 5227 Form 990 EZ ~ Form 990 T (trust other than above) 0 Form 6069
0 Form 990 PF ~ Form 1041~A 0 Form 8870
" If the organization does not have an once or place of business in the United States, check this box 1 0 " If this is for a Group Retum,enter the organization's tour digit Group Exemption Number (GEN) If this is for the whole group, check this box " = Ii it is for part of the group, check this box 1 0 and attach a list with the names and EINs of all members the extension will cover
1 I request an automatic 3-month (6-month, for 990-7 corporation) extension of time until FEBRUARY 18, 2003 to file the exempt organization return for the organization named above The extension is for the organization's return for " El calendar year- or " OX tax year beginning JUL 1, 2001 , and ending JUN 30, 2002
2 II this tax year is for less than 12 months, check reason ~ Initial return E::] Foal return 0 Change in accounting period
3a If this application is for Form 990-BL, 990~PF, 990.T, 4720, or 6069, enter the tentative tax, less any nonrefundable credits See instructions $ 10,921 .
b If this application is for Form 990-PF or 990-T, enter any refundable credits and estimated tax payments made Include any poor year overpayment allowed as a credit $ 27,079 .
c Balance Due Subtract line 3b from line 3a Include your payment with this form, or, A required, deposit with FrD coupon or, rf required, by using EFfPS (Electronic Federal Tax Payment System) See instructions $ 0 .
Signature and Verification
Under penalti of p ury, I d tiara that I have examined this forth, including accompanying schedules and statements, and to the best of my knowledge and belief, it is true, cor ct, an e, and t I am authorized to prepare this form
Signal urL"
co I
~ t
Title " 2ND VICE PRESIDENT Date " I LHA ror Pa a rk tie n Act Notice, see instruction ortn 68 (12 .2000)
,z~i 07- 16 .01
TO~fAL NS OF 6/30/02 ..', ,~ (k2!1 93 821
HORACE C CABE FOUNDATION SALES SUMMARY FOR FYE 6/30/02
ACCOUNT # NET GAINS / LOSSES
26-07082 $88,191
($2,339,546) 26-07083
26-07084 $114,501
22-07096 ($56,227)
PAGE I
DATE SOLD/ SALES COST DESCRIPTION OF PROPERTY ACQUIRED PROCEEDS BASIS GAIN/LOSS
SHORT TERM CAPITAL GAINS AND LOSSES
UNITED AIRLS PASS THRU TRS 2000-1 PASSTHRU CTF CL A-1 7 783% DUE 07-01-2015 BED
PAR VALUE 1,010 90 SOLD 07-02-01 1,010 90 1,019 63 8 73- ACQUIRED OB-OB-00
UNITED STATES TREAS NTS DTD 08/15/1999 6 0X DUE 08-15-2009 REG
PAR VALUE 55 .000 00 SOLO 07-09-01 57,470 .70 55,252 54 2 .218 16 ACQUIRED 08-31-00
FORD MTR CR CO NT 7 SX DUE D3-15-2005 BED
PAR VALUE : 130,000,00 SOLD 07-09-01 135,786 .30 135,040 .97 745 33 ACQUIRED 03-01-41
UNITED STATES TREAS NTS DTD 00878 5.75X DUE 11-15-2005 BED
PAR VALUE 5.000 00 SOLO 07-11-01 5,181 25 5,182 11 0 .86- ACQUIRED 04-17-01
UNITED STATES TREAS NTS DTD 00887 4 625% DUE 05-15-2006 REG
The Northern Trust Company 50 South LaSalle Street, Chicago, Illinois 60675
(312) 630-6000
02308 ACCOUNT N0 . 26-07082 HORACE C . CABE FOUNDATION SSB70 JSK FIXED ACCOUNT
FEDERAL SCHEDULE OF GAINS AND LOSSES ACCOUNT TRANSACTIONS TAXABLE DURING THE PERIOD
07-01-01 THROUGH 06-3D-02
PAGE 2
GATE SOLD/ SALES COST DESCRIPTION OF PROPERTY ACQUIRED PROCEEDS BASIS_ GAIN/LOSS
PAR VALUE 50,000 .00 SOLD 07-11-01 49 .646 49 49 .796 87 150 .38- ACQUIRED 06-26-01
FNMA NT 5 .625% DUE OS-14-2004 BED
PAR VALUE : 75,000 00 SOLD 07-16-91 76,555 66 74 .305 .50 2.250 16 ACQUIRED 12-07-DO
DOW CHEM CO NT DTI 02/O8/2001 6 125% DUE 02-01-211 BED
PAR VALUE- 25 .000 00 SOLD 07-16-01 24 .573 75 24,557 00 16 .75 ACQUIRED 02-13-01
UNITED STATES TREAS NTS STD 0879 5 75% DUE 11-15-2005 BED
PAR VALUES 15 .000 00 SOLO 07-19-01 156,205 .08 155,168 .70 1,036 38 ACQUIRED 04-17-01
ATLANTIC RICHFIELD CO NT 5 9% DUE 04-15-2009 BED
PAR VALUE 10,000 00 SOLD 07-19-01 10,029 10 14,048 32 19 22- ACQUIRED O1-OB-O1
DOW CHEM CO NT DTD 02/08/2001 6 125% DUE 02-01-2011 BED
The Northern Trust Company 50 South LaSalle Street, Chicago, Illinois 60675
(]12) 630-6000
02308 ACCOUNT NO 26-07082 HORACE C, CASE FOUNDATION 55870 JSK FIXED ACCOUNT
FEDERAL SCHEDULE OF GAINS AND LOSSES ACCOUNT TRANSACTIONS TAXABLE DURING THE PERIOD
07-01-01 THROUGH 06-30-02
PAGE 3
DATE SOLD/ SALES COST DESCRIPTION OF PROPERTY ACQUIRED PROCEEDS BASIS GAIN/LOSS
PAR VALUE : 5,000 .00 SOLD 07-19-01 4,953 45 4,911 40 42 .05 ACQUIRED 02-13-01
TIME WARNER INC 8 11% DUE 08-15-2006 REG
PAR VALUE, 20,000 .00 SOLD 07-19-01 21,893 .20 21,292 12 601 08 ACQUIRED 12-21-00
UNITED TECHNOLOGIES CORP CORP 6 .35X DUE 03-01-2011 BED
PAR VALUE 25 .000 00 SOLD 07-19-01 25 .515 00 24,941 00 374 .00 ACQUIRED 02-21-01
VIACOM INC 7 75X DUE 06-01-2405 REG
PAR VALUES 35 .000 00 SOLD 07-19-01 37,601 90 36,674 .10 927 80 ACQUIRED 01-11-01
WASHINGTON HUT BK FA CHATSWORTH CALIF GLOBAL MEDIUM TERM SUB BK NTS BOOK ENTRY TRANCHE p SB 00001 6 875% DUE 06-15-2011 BED
PAR VALUE : 60,000 00 SOLD 07-19-01 61,290 00 59 .889 60 1 .400 40 ACQUIRED 06-13-01
FNMA POOL 0 585617 7 0X DUE 05-01-2031 REG
The Northern Trust Company 50 South LaSalle Street, Chicago, Illinois 60675
(312) 630-6000
02109 ACCOUNT NO 26-07082 HORACE C CABE FOUNDATION SS870 JSK FIXED ACCOUNT
FEDERAL SCHEDULE OF GAINS AND LOSSES ACCOUNT TRANSACTIONS TAXABLE DURING THE PERIOD
07-01-01 THROUGH 06-30-02
PAGE 4
DATE SOLD/ SALES COST DESCRIPTION OF PROPERTY ACQUIRED PROCEEDS BA GAIN/LOSS
PAR VALUES 4 .882 .10 SOLD D7-25-01 4,882 ]0 4,921 .77 39 67- ACQUIRED 04-30-01
FNMA POOL 0 0580516 5 5X DUE 04-01-2016 REG
PAR VALUE : 1 .035 39 SOLD 07-25-01 1 .035 59 1 .007 56 27 83 ACQUIRED 04-11-01
UNION PAC CORP 6 625% NTS DUE 02-D1-2008 BED
PAR VALUE 25 .000 00 SOLD 07-27-01 25,474 50 25,154 .56 319 94 ACQUIRED 03-14-D1
UNITED STATES TREAS NTS DTD 00887 4 625% DUE OS-15-20U6 REG
PAR VALUE 45 .00 00 SOLD 07-31-01 45 .217 97 45,210 93 7 04 ACQUIRED 07-31-01
CITIGROUP INC NT DTU 12/06/2000 6 75% DUE 12-01-2005 BED
PAR VALUE- 90,000 00 SOLO 07 " 31-01 94,823 10 89 .772 30 5,050 so ACQUIRED 11 .30-OD
UNION PAC CORP 6 625% NTS DUE 02-01-2008 BED
The Northern Trust Company 50 South LaSalle Street, Chicago, Illinois 60675
(312) 630-6000
02308 ACCOUNT N0 . 26-07082 HORACE C CABE FOUNDATION SS870 JSK FIXED ACCOUNT
FEDERAL SCHEDULE OF GAINS AND LOSSES ACCOUNT TRANSACTIONS TAXABLE DURING THE PERIOD
07-01-01 THROUGH 06-30-02
The Northern Trust Company 50 South LaSalle Street, Chicago, Illinois 60675
(312) 630-6000
HORACE C CAGE FOUNDATION FIXED ACCOUNT
FEDERAL SCHEDULE OF GAINS AND LOSSES ACCOUNT TRANSACTIONS TAXABLE DURING THE PERIOD
07-O1-D1 THROUGH 06-30-02
02308 ACCOUNT NO 26-07082 SSB70 JSK
PAGE 5
GATE SOLO/ DESCRIPTION OF PROPERTY ACQUIRED
PAR VALUE 25 .000 .00 SOLD 07-31-01 ACQUIRED 01-22-01
PAR VALUE 20,000 .00 SOLO 07-31-01 ACQUIRED 03-14-01
HOUSEHOLD FIN CORP NT 8 OY. DUE 05-09 .2005 BED
PAR VALUES 65,000 00 SOLD OB-O1-O1 ACQUIRED 01-04-01
UNITED STATES TREAS NTS DTD 00887 4 .625 :6 DUE 05-15-2006 REG
PAR VALUE . 65,000 OD SOLD OB-O1-O1 ACQUIRED OB-O1-O1
UNITED STATES TREAS NTS DTD 00878 5 75R DUE 11-15-2005 BED
PAR VALUE : 25,000 00 SOLO OB-O1-O1 ACQUIRED 04-17-01
FNMA POOL f1 0580516 5 .5% DUE 04-01-2016 REG
PAR VALUE 196,189 60 SOLD 00-03-01 ACQUIRED 04-11-01
MORGAN STANLEY GLOBAL NT OTO 04/25/2001 6 1% DUE 04-15-2006 BED
SALES COST PROCEEDS BASIS GAIN/LOSS
25,648 .00 25,015 28 632 .72
20,518 .40 20 .123 .48 394 92
70,712 20 68 .402 .00 2 .110 20
65 .152 .34 65 .141 66 10 .68
26,041 01 25,899 .91 141 10
191 .534 30 190 .917 01 613 09
The Northern Trust Company 50 South LaSalle Street, Chicago, Illinois 60675
(312) 630-6000
HORACE C CABE FOUNDATION FIXED ACCOUNT
FEDERAL SCHEDULE OF GAINS AND LOSSES ACCOUNT TRANSACTIONS TAXABLE DURING THE PERIOD
D7-O1-D1 THROUGH 06-30-02
02308 ACCOUNT NO 26-07082 55870 JSK
PAGE 6
DATE SOLO/ SALES COST DESCRIPTION OF PROPERTY --Af,GUIRED PROCEEDS BASIS GAIN/LOSS
PAR VALUE 35,000 00 SOLD 08-06-01 35 .455 00 34,966 40 488 60 ACQUIRED 04-18-01
PAR VALUES 50 .000 00 SOLD 08-06-01 50,650 .00 50,008 58 641 42 ACQUIRED 04-23-01
TRW INC TRW 7 62570 DUE 03-15.2006 BED
PAR VALUE, 35 .000 00 SOLO 08-07-01 36,780 45 34,968 15 1,812 30 ACQUIRED 03-07-01
SBC COMMUNICATIONS INC SBC COMMUNICATIONS INC 6 25% DUE 03-15-2011 BED
PAR VALUE 45,000 00 SOLD 08-10-01 45,222 30 44,680 95 541 .35 ACQUIRED 03-12-01
KINDER MORGAN ENERGY PARTNERS L P KINDERMORGAN ENERGY NTS NCL 6 75% DUE 03-15-2011 BED
PAR VALUE 15,000 .00 SOLD 08-15-01 15 .158 85 14,955 75 203 10 ACQUIRED OS-07-01
UNITED STATES TREAS NiS DTD 30/3l/1997 5.75% DUE 10-31-2002 REG
PAR VALUE 345 .000 00 SOLD 08-21-01 353,732.82 348,478 31 5,254 51 ACQUIRED 02-14-D1
FNMA PREASSIGN 00034 6 75% DUE 08-15.2002 BED
PAGE 7
DATE SOLD/ SALES COST DESCRIPTION OF PROPERTY ACQUIRED PROCEEDS BASIS GAIN/LOSS
PAR VALUE 3 .000 .00 SOLD OB-21-O1 30 .911 .10 30,006 30 904 80 ACQUIRED OB-22-00
PAR VALUE : 80,000 00 SOLO 08-21-01 82 .429 60 81 .802 45 627 15 ACQUIRED D3-19-01
UNITED STATES TREAS NTS 6 125% DUE 08-15-2007 REG
PAR VALUE 15 .000 00 SOLD 08-22-01 16,106 84 15248 56 858 28 ACQUIRED 11-15-00
UNITED STATES TREAS NTS DTD 00887 4 .625% DUE 05-15-2006 REG
PAR VALUE 10,000 00 SOLD 08-22-01 10,064 06 9.984 38 79 68 ACQUIRED 08-07-01
ALCOA INC NT 6 5% DUE 06-01-2011 BED
PAR VALUE 20,000 .00 SOLD 08-23-01 24,632 .40 19,979 .20 653 20 ACQUIRED 05-17-01
PAR VALUE 25 .U00 00 SOLD 08-23-01 25 .790 50 25,183 23 607 27 ACQUIRED 07-16-01
FNMA NT 5 625% DUE 05-14-2004 BED
PAR VALUE 140,000 DO SOLD 09-23-01 144,275 60 137,520.02 6,755 58 ACQUIRED 11-28-D4
UNITED STATES TREAS NTS 6 .125% DUE 08-15-2007 REG
The Northern Trust Company 50 South LaSalle Street, Chicago, Illinois 60675
(312) 670-6000
02308 ACCOUNT NO 26-07082 HORACE C CAGE FOUNDATION 55870 JSK FIXED ACCOUNT
FEDERAL SCHEDULE OF GAINS AND LOSSES ACCOUNT TRANSACTIONS TAXABLE DURING THE PERIOD
07-01-01 THROUGH 06-30-02
PAGE e
DATE SOLD/ SALES COST DESCRIPTION OF PROPERTY ACQUIRED PROCEEDS BAS I S GAIN/LOSS
PAR VALUE : 70,000 00 SOLD 08-27-01 75,105 08 71,159 94 3 .945 14 ACQUIRED 11-15-00
UNITED STATES TREAS NTS DTD 00878 5 75 :C DUE 11-IS-2005 BED
PAR VALUE : 90,000 .00 SOLD OB-27-O1 94,443 .75 93 .201 10 1 .242 .65 ACQUIRED 04-17-01
INTERNATIONAL PAPER CO NT DTD OB/27/2001 6 .75;0 DUE 09-01-2011/08-i1-2011 BED
PAR VALUE 15 .000 00 SOLD 08-27-01 15,108 00 15,000 44 108 00 ACQUIRED OB-22-41
SPRINT CAP CORP Ni 7 125X DUE 01-30-2006 BED
PAR VALUE : 40,000 00 SOLD 08-27-01 41,579 .20 40 .710 56 868 84 ACQUIRED 06-19-01
FNMA POOL 0 585617 7 OX DUE 05-01-2031 REG
PAR VALUE 3,197 12 SOLO 08-27-01 3,197.12 3 .223 10 25 98- ACQUIRED 04-30-01
FNMA POOL p 0500516 5 .5% DUE 04-01-2016 REG
The Northern Trust Company 50 South LaSalle SVat, Chicago, IWnoia 60675
(312) 630-6000
02308 ACCOUNT NO 26-07082 HORACE C CASE FOUNDATION SS870 JSK FIXED ACCOUNT
FEDERAL SCHEDULE OF GAINS AND LOSSES ACCOUNT TRANSACTIONS TAXABLE DURING THE PERIOD
07-01-01 THROUGH 06-i0-02
PAGE 9
DATE SOLD/ SALES COST DESCRIPTION OF PROPERTY ACQUIRED PROCEEDS BASIS GAIN/LOSS
PAR VALUE- 1 .786 42 SOLD 08-27-01 1,786 42 1,738 41 48 01 ACQUIRED 04-11-01
UNITED STATES TREAS NTS 6 125% DUE 08 .15-2007 REG
PAR VALUE 185.000 00 SOLD 08-28-01 199,359 18 188,061 .37 11 .297 81 ACQUIRED 11-15-DO
CONSOLIDATED NAT GAS CO SR NT 2001 SER A 6 85Y, DUE 04-15.2011/44-17-2001 BED
PAR VALUE : 60,000 .00 SOLD 09-05-01 61 .641 .00 59,919 00 1 .722 00 ACQUIRED 04-11-01
FNMA NT 5 625% DUE 05-14-2004 BED
PAR VALUE . 20 .000 40 SOLD 09-05-01 20 .578 .12 19,649 .89 928 23 ACQUIRED I1-2B-00
MBNA AMER BK NATL ASSN MEDIUM TERM SR NT TRANCHE 0 SR 00009 6 5% DUE 06-20-2006 BED
PAR VALUE 10,000 00 SOLO 09-05-01~ 10,060 .60 9.957 20 103 .40 ACQUIRED 06-14-01
WEYERHAEUSER CO NT 6 OX DUE 08-01-2006/07-31-2006 BED
The Northern Trust Company SO South LaSalle Street, Chicago, Illinois 60675
(312) 630-6000
02308 ACCOUNT NO 26-07082 HORACE C CABE FOUNDATION 55870 JSK FIXED ACCOUNT
FEDERAL SCHEDULE OF GAINS AND LOSSES ACCOUNT TRANSACTIONS TAXABLE DURING THE PERIOD
07-01-01 THROUGH 06-30-02
PAGE 10
DATE SOLD/ SALES COST DESCRIPTION OF PROPERTY ACQUIRED PROCEEDS BASIS GAIN/LOSS
PAR VALUE : 45,000 00 SOLD 09-05-01 45,242 .55 44,923 50 319 05 ACQUIRED 07-31-01
US AWYS PASS THRU TRS SERIES 2000-3 CLASS-G 7 89% DUE 09-01-220 BED SINKING FUND 09-01 .2002
PAR VALUE- 357 06 SOLD 09-06-01 357 06 357 06 0 .00 ACQUIRED ]0-26-00
OLJ COML MTG CORP COML MTG PASSTHRU CTF 98-CGI CL A-IB 6 41X DUE 06-10-2031 REG
PAR VALUE . 15,000 .00 SOLD 09-07-01 15,627 .54 15,215 28 412 26 ACQUIRED 07-16-01
**FNMA TBA POOL p9999999 B OX DUE 10-14.2029 REG
PAR VALUE 225 .000 00 SOLD 09-19-01 235,863 28 235 .019 53 843 75 ACQUIRED 09-19-01
UNITED STATES TREAS NTS DTD 10/31/1997 5 75% DUE 10-31-2002 REG
PAR VALUE 50,000 00 SOLD 09-19-01 51,726 57 50,454 71 1,271 86 ACQUIRED 02-14-01
ALCOA INC 7 .375% DUE 08-01-2010 BED
The Northern Trust Company 50 South LaSalle Street, Chicago, Illinois 60675
(312) 630fi000
02308 ACCOUNT N0 . 26-0782 HORACE C CABE FOUNDATION 55870 JSK FIXED ACCOUNT
FEDERAL SCHEDULE OF GAINS AND LOSSES ACCOUNT TRANSACTIONS TAXABLE DURING THE PERIOD
07-01-01 THROUGH 06-30-02
PAGE 11
DATE SOLO/ SALES COST DESCRIPTION OF PROPERTY ACQUIRED PROCEEDS BASIS GAIN/LOSS
PAR VALUE 15 .000 .00 SOLD 09-19-01 16,342 .35 16,330 .64 11 71 ACQUIRED OB-23-41
STORA ENSO CORP NT 7 375% DUE OS-15-20L1 8E0
PAR VALUE 15,400 00 SOLD 09-19-01 15,931 .95 14,922 15 1 .009 80 ACQUIRED 05-17-01
FNMA POOL 4 585617 7 0X DUE 05-01-2031 REG
PAR VALUE . 130 .582 30 SOLD 09-20-01 134 .173 11 131,643 08 2.530 03 ACQUIRED 04-30-01
UNITED STATES TREAS NTS SX DUE 09-15-2011 REG
PAR VALUE 15,000 00 SOLD 09-21-01 15 .356 25 15 .356 25 0 00 ACQUIRED 09-19-01
PAR VALUE : 15 .000 00 SOLD 09-21-01 15,356 .25 15,346 80 9 37 ACQUIRED 09-25-01
FNMA NT 5.625% DUE 05-14-2004 BED
PAR VALUE 10 .000 00 SOLD 09-21-01 10,481 .19 9 .827 92 653 .27 ACQUIRED 11-2B-OR
UNITED STATES TREAS NTS DTD 00887 4 625% DUE 05-15-2006 REG
The Northern Trust Company 50 South LaSalle Street, Chicago, Illinois 60675
(312) 630-6000
02308 ACCOUNT NO 26-07082 HORACE C CABE FOUNDATION SS870 JSK FIXED ACCOUNT
FEDERAL SCHEDULE OF GAINS AND LOSSES ACCOUNT TRANSACTIONS TAXABLE DURING THE PERIOD
47-01-01 THROUGH 06-30-a2
PAGE 12
The Northern Trust Company 50 South LaSalle Street, Chicago, Illinois 60675
(312) 630-6000
02308 ACCOUNT NO 26-07082 HORACE C CAGE FOUNDATION SS870 JSK FIXED ACCOUNT
FEDERAL SCHEDULE OF GAINS AND LOSSES ACCOUNT TRANSACTIONS TAXABLE DURING THE PERIOD
07-O1-dl THROUGH 06-30-D2
DATE SOLD/ SALES COST DESCRIPTION OF PROPERTY ACQUIRED PROCEEDS BASIS GAIN/LOSS
PAR VALUE 90,000 .00 SOLD 09-25-01 93,086 .72 92,367 .47 719 25 ACQUIRED 09-13-01
UNITED STATES TREAS NTS 5% DUE 08-15-2011 REG
PAR VALUE 15,000 00 SOLO 09-25-01 15 .146 88 15 .349 .22 2 .54- ACQUIRED 09-19-01
ABITIBI-CONSOLIDATED FIN L P NT DTO 07/26/1999 7 875X DUE 08-01-2009/07-26-1999 BED
PAR VALUE 15 .000 .00 SOLD 09-25-01 15 .146 55 15,597 .12 450 57- ACQUIRED OB-27-O1
FNMA POOL M 585617 7 0Y. DUE 05-01-2031 REG
PAR VALUE 2 .367 i1 SOLD 09-25-01 2 .367 .31 2,367 .31 0 00 ACQUIRED 04-30-01
ALCOA INC 7 375% DUE 08-01-2010 BED
PAR VALUE 30 .000 00 SOLD 09-26-01 32 .707 .20 32 .656 88 50 32 ACQUIRED OB-23-O1
FNMA POOL ri 585617 7.0% DUE 05-01-2031 REG
PAGE 13
DATE SOLD/ SALES COST DESCRIPTION OF PROPERTY ACQUIRED PROCEEDS BASIS GAIN/LOSS
PAR VALUE . 236,134 27 SOLD 09-26-01 243,624 15 238,072 12 5,552 03 ACQUIRED 04-30-D1
BRISTOL MYERS SQUIBB CO NT 4 75% DUE 10-01-2006 BED
PAR VALUE . 90,000 00 SOLD 10-02-01 90,734 40 89,761 .50 972 90 ACQUIRED 09-25-01
J P MORGAN CHASE & CO NT 6 75% DUE 02-01-2011 BED
PAR VALUE : 10,000 00 SOLD 10-02-01 10,591 .40 10 .057 77 533 63 ACQUIRED 07-09-01
J P MORGAN CHASE 8 CO NT 6 75% DUE 02-01-2011 BED
PAR VALUE 35,000 00 SOLD 30-02-01 37 .018 .45 15,202 .21 1,816 24 ACQUIRED 07-09-01
UNITED STATES TREAS NTS DTD 00887 4 625% DUE 05-15-2006 REG
PAR VALUE . 145,000 00 SOLD 30-03-01 150,618 75 148,810 .01 1 .808 74 ACQUIRED 09-13-01
UNITED STATES TREAS NTS DTD 00887 4 .625 :6 DUE OS-15-2006 REG
The Northern Trust Company 50 Sough LaSalle Street, Chicago, Illinois 60675
(312) 630-6000
02308 ACCOUNT NO 26-07082 HORACE C . CABE FOUNDATION S5870 JSK FIXED ACCOUNT
FEDERAL SCHEDULE OF GAINS AND LOSSES ACCOUNT TRANSACTIONS TAXABLE DURING THE PERIOD
07-01-01 THROUGH 06-30-02
PAGE 14
DATE SOLD/ SALES COST DESCRIPTION OF PROPERTY ACQUIRED PROCEEDS BASI S GAIN/LOSS
PAR VALUE 90,000 00 SOLD 10-03-01 93,466 41 93,235 .57 210 .84 ACQUIRED 10-02-01
UNITED STATES TREAS NTS DTD 00887 4 .625% DUE 05-15-2006 REG
PAR VALUE 15 .000 00 SOLO 10-10-01 15499 22 15,392 68 106 54 ACQUIRED D9-13-01
UNITED STATES TREAS NTS 5% DUE 08-15-2011 REG
PAR VALUE 30,000 .00 SOLO IO-10-01 30,937 .50 30,694 40 243 l0 ACQUIRED 09-26-01
PAR VALUE 45,000 .00 SOLO 10-10-01 46,406 25 46,718 .60 312 35- ACQUIRED 1D-02-O1
FNMA PREASSIGN 00067 4 75% DUE 03-15-2004 BED
PAR VALUE : 35 .000 00 SOLD 30-10-01 36,190 .82 36,153 95 36 87 ACQUIRED 10-02-01
COMCAST CABLE COMMUNICATIONS INC NOTES 6 875% DUE 06-15-2009 BED
PAR VALUE 30,000 00 SOLO 10-15-01 51 .025 70 29,905 .80 1 .119 90 ACQUIRED D5-30-01
NRG ENERGY INC 7 75% DUE 04-01-2011/Oi-31-2011 BED
The Northern Trust Company 50 South LaSalle Street, Chicago, Illinois 60675
(3I2) 630-6000
02508 ACCOUNT NO 26-07082 HORACE C CASE FOUNDATION S5870 JSK FIXED ACCOUNT
FEDERAL SCHEDULE OF GAINS AND LOSSES ACCOUNT TRANSACTIONS TAXABLE DURING THE PERIOD
07 " U1-01 THROUGH 06-30-02
PAGE 15
DATE SOLO/ SALES COST DESCRIPTION OF PROPERTY ACQUIRED PROCEEDS BASIS GAIN/LOSS
PAR VALUE 15 .000 00 SOLD 10-15-01 15,824 .85 14,964 10 864 75 ACQUIRED 04-02-01
DYNEGY HLDGS INC SR NT 6 875% DUE 04-01-2011 BED
PAR VALUE 10 .000 00 SOLD 10-15-01 10,193 50 9.976 00 217 50 ACQUIRED Oi-15-O1
FNMA PREASSIGN 00067 4 75% DUE 03 .15-2004 BED
PAR VALUE 40 .000 00 SOLO 10-16-07 41,328 00 41 .318 80 9 20 ACQUIRED 10-02-01
FNMA NT 5 625% DUE 05-14-2004 BED
PAR VALUE 15,000 00 SOLD 10-17-01 15,797 .46 14,723 24 1 .074 .22 ACQUIRED 11-16-00
PAR VALUE 60,000 .00 SOLD 10-17-01 63,189 .85 58,992 .74 4,197 11 ACQUIRED 11-28-00
FNMA NT 5 625% DUE OS-14-2004 BED
PAR VALUE 75 .000 00 SOLD 10-22-01 79 .042 97 73,618 67 5.424 30 ACQUIRED 11-16-00
FNMA NT 5 .625X DUE 05-14-20U4 BED
The Northern Trust Company SO South LaSeIle Street, Chicago, Illmois 60675
(312) 630-6000
02308 ACCOUNT NO 26-07082 HORACE C CABE FOUNDATION SSB70 JSK FIXED ACCOUNT
FEDERAL SCHEDULE OF GAINS AND LOSSES ACCOUNT TRANSACTIONS TAXABLE DURING THE PERIOD
07-01-01 THROUGH 06-30-02
PAGE 16
DATE SOLD/ SALES COST DESCRIPTION OF PROPERTY ACQUIRED PROCEED,, BASIS GAIN/LOSS
PAR VALUES 25 .000 .00 SOLD 30-22-01 26,346 .68 24,539 56 1 .807 12 ACQUIRED 11-16-00
FNMA NT 5 625% DUE 05-14-2004 BED
PAR VALUE- 15,000 00 SOLD IO-22-01 15,809 .18 14,723 .73 1,035.45 ACQUIRED 11-16-00
FNMA PREASSIGN 00067 4 75% DUE D3-15-2004 BED
PAR VALUE 150,000 00 SOLO 10-22-01 155,085.00 154,858 26 246 74 ACQUIRED 30-02-O1
BELLSOUTH CORP NT 5 OX DUE 30-15-2006/
PAR VALUE 30,000 00 SOLD 10-25-01 50,151 .80 29 .952 50 219 .30 ACQUIRED 10-22-01
FNMA POOL p 585617 7 0X DUE 05-01-2031 REG
PAR VALUE 848 07 SOLD 30-25.01 848 07 854 95 6 96- ACDUIREO 04-30-01
FNMA POOL 0 545259 7 5X DUE 12-01-2029 REG
The Northern Trust Company 50 South LaSalle Street, Chicago, Illmots 60675
(312) 670.6000
02308 ACCOUNT N0 . 26-07082 HORACE C CABE FOUNDATION 55970 JSK FIXED ACCOUNT
FEDERAL SCHEDULE OF GAINS AND LOSSES ACCOUNT TRANSACTIONS TAXABLE DURING THE PERIOD
07-01-01 THROUGH 06-30-02
PAGE 17
GATE SOLD/ SALES COST DESCRIPTION OF PROPERTY ACQUIRED PROCEEDS BASIS_ CAIN/LOSS
PAR VALUE 18,781 92 SOLD 10-25-01 18,781 92 19 .539 91 557 99- ACQUIRED DB-21-01
BELLSOUTH CORP NT 5 4X DUE ID-15-2006/
PAR VALUE- 10 .000 00 SOLD 10-26-01 10 .054 .90 9,977 .50 77 .40 ACQUIRED 10-22-01
BELLSOUTH CORP NT 5 OX DUE 10-15-2006/
PAR VALUE 30,000 00 SOLD 10-29-01 30,170 .10 29 .932 50 237 60 ACQUIRED 30-22-01
BELLSOUTH CORD NT 5 OX DUE 10-15-2006/
PAR VALUE : 20,000 00 SOLO 10-30-01 20,160 60 19,955 00 205 60 ACQUIRED 1D-22-O1
BSCH ISSUANCES LTD SUB NT OTU 09/14/2000 7 625% DUE 09-14-2010 BED
PAR VALUE- 30,000 00 SOLD 11-01-01 32,773 80 32,059 08 714 72 ACQUIRED 08-28-01
DLJ COML MTG CORP COML MTG PASSTHRU CTF 98-CG1 CL A-1B 6 .41X DUE 06-30-2031 REG
The Northern Trust Company 50 South LaSalle Street, Chicago, Illinois 60675
(71]) 630-6000
02308 ACCOUNT NO 26-07082 HORACE C CAGE FOUNDATION SSB70 JSK FIXED ACCOUNT
FEDERAL SCHEDULE OF GAINS AND LOSSES ACCOUNT TRANSACTIONS TAXABLE DURING THE PERIOD
07-01-01 THROUGH 06-30-02
PAGE is
DATE SOLD/ SALES COST DESCRIPTION OF PROPERTY ACQUIRED PROCEEDS BASI S GAIN/LOSS
PAR VALUE 95,000 00 SOLD 11-02-01 101,564 65 96,363 .45 5,201 .20 ACQUIRED 07-16-01
BSCH ISSUANCES LTD SUB NT DTD 09/14/2000 7 625% DUE 09-14-2010 BED
PAR VALUE . 5,000 .00 SOLD 11-02-01 5,446 20 5 .280 15 166 05 ACQUIRED Oi-14-O1
PAR VALUE 20 .000 00 SOLD 11-02-01 21,784 80 21 .189 07 595 73 ACQUIRED 03-20-01
PAR VALUE- 5.000 00 SOLD 11-02-01 5.446 .20 5.342 91 103 29 ACQUIRED OB-2B-O1
CMO PNC MTG ACCEP CORP SER 1999-CM1 COML MTG PASSTHRU CTF A-1B DUE 12-10-2031 BED
PAR VALUES 85,000 00 SOLO 11 .02-01 94,605 .67 86,162 11 8,441 56 ACQUIRED 11-21-00
CMO NATIONSLINK FOG CORP COML MTG PASSTHRU CTF 1998-2 CL A-2 6 476% DUE 07-20-2008 BED
PAR VALUE 135.000 00 SOLD 11-02-01 144,571 29 142,168 .67 2,402 62 ACQUIRED 09-20-01
CMO GMAC COML MTG SEC INC MTG PASS THRU CTF 1999-C1 CL A-2 6 175Y. DUE 05-15-2033 BED
The Northern Trust Company 50 South LaSalle Street, Chicago, Illinois 60675
(312) 630-6000
02308 ACCOUNT NO 26-07082 HORACE C . CABE FOUNDATION SSB70 JSK FIXED ACCOUNT
FEDERAL SCHEDULE OF GAINS AND LOSSES ACCOUNT TRANSACTIONS TAXABLE DURING THE PERIOD
07-01-01 THROUGH 06-30-02
PACE 19
DATE SOLD/ SALES COST DESCRIPTION OF PROPERTY ACQUIRED PROCEEDS BASIS GAIN/LOSS
PAR VALUE 110,000 .00 SOLD 11-02-01 115.753 .51 109,656 .25 6,097 .26 ACQUIRED 07-16-01
UNITED STATES TREAS NTS 5% DUE 08-15-2011 REG
PAR VALUE 10,000 .00 SOLO 11-08-01 10,595 .31 5,629 60 4,965 71 ACQUIRED 10 .15-01
PAN VALUE- 45,000 . 00 SOLD 11-OB-O1 47,678 .91 47,693 .46 14 55- ACQUIRED 11-02-01
FNMA POOL a 545259 7 5:G DUE 12-01-2029 REG
PAR VALUE 408,074 36 SOLD 11-00-01 426.055 14 420,192 53 5.862 61 ACQUIRED 08-21-01
FNMA POOL p 0608840 6 5% DUE 09-01-2031 REG
PAR VALUE . 234,275 05 SOLD 11-08-01 240,644 .40 237,711 .48 2.912 92 ACQUIRED D9-26-O1
FIRSTENERGV CORP NT SER 8 6 45% DUE 11-15-2011/11-14 .2011 BED
PAR VALUE 55,000 00 SOLD 11-09-01 55 .120 45 54,808 05 312 .40 ACQUIRED 11-08-01
ALCAN INC FORMERLY ALCAN ALUM LTD TO 03/01/2001 ALCAN INC 6 45% DUE 03-15-2411 BED
The Northern Trust Company 50 South LaSalle Street, Chicago, Illinois 60675
(3I1) 630-6000
02308 ACCOUNT NO 26-07082 HORACE C . CAGE FOUNDATION SS870 JSK FIXED ACCOUNT
FEDERAL SCHEDULE OF GAINS AND LOSSES ACCOUNT TRANSACTIONS TAXABLE DURING THE PERIOD
07-01-01 THROUGH 06-3D-02
PAGE 20
DATE SOLD/ SALES COST DESCRIPTION OF PROPERTY ACQUIRED PROCEEDS BASIS GAIN/LOSS
PAR VALUE- 20,000 00 SOLD 11-13-01 21,116 40 19,949 60 1,166 80 ACQUIRED 03-20-01
BB6T CORP 6 S% DUE 08-01-2011 BED
PAR VALUE 25,000 00 SOLD 11-13-01 26,358 50 24,869 75 1,488 75 ACQUIRED 07-27-01
ERP OPER LTD PARTNERSHIP 6 95% DUE 03-02-2011 BED
PAR VALUES 5,000 00 SOLD 11-13-01 5.207 55 4,988 60 218 95 ACQUIRED D2-27-01
MGM GRAND INC 6 95% DUE 02-01-2005 REG
PAR VALUE- 10 .00 00 SOLD 11-13-01 9 .883 70 10,112 .68 228 98- ACQUIRED 08-22-01
MIRAGE RESORTS INC NT 6 625X DUE 02-01-2005 REG
PAR VALUE 15,000 00 SOLD 11-13-01 14 .657 40 14,790 30 132 90- ACQUIRED 06-07-01
ROYAL KPN NV FORMERLY ROYAL PTT NEOERLAND NV TO 07/06/1998 7.5X DUE 10-01-2005 BED
The Northern Trust Company 50 South LaSalle Street, Chicago, Illinois 60675
(312) 630-6000
02308 ACCOUNT NO 26-07082 HORACE C CABE FOUNDATION SS870 JSK FIXED ACCOUNT
FEDERAL SCHEDULE OF GAINS AND LOSSES ACCOUNT TRANSACTIONS TAXABLE DURING THE PERIOD
07-01-01 THROUGH 06-30-02
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22-07096 $3,294,113 $5,146,882
I- TOTAL AS~,OF,4/36/02
HORACE C CABE FOUNDATION FMV / COST BASIS SUMMARY
FOR FYE 6/30/02
ACCOUNT FMV
26-07082 $9,158,036
26-07083 $8,778,049
26-07084 $19,249,906
COST
$8,960,708
$8,523,636
$8,730,599
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-7 PorlifolioStateinent Account number 2607082
I Account Name H6RACE C CABE FND-FIXED 30 JUN 2002
Asset Detail Page 6 of 43 Description Unrealized Accrued Market value Estimated Asset ID Shares/PAR value Market value Market price Cost gain/loss income/expense including accruals annual income
Generated by The Northern Trust Company from periodic data on l5 Jul 02
Fixed Income Government ageticies FNIJIA PRFASSIGN 00136 4 375 10-15 2006 31359MLH4 13000000 13067340
FNMA PREASSIGN 00147 4 75 01 02-2007 31359MLU5 95 00000 9561005
FNMA PREASSIGN 00154 6 01-10-201VOI-18-2005 31359MMBS 22000000 22261800
FNMA PREASSIGN 001711 5 05-14 2007105-14-2004 31359MMZ3 12000000 121 231 20
FNWA 6 12 15-2005 3135DMGM9 42500000 453 691 75
FNMA 6 625 DUE 11 15-2010 REG 31359MGJG 41000000 448,195 60
Total government agencies 3,494.532 25
Corporate honds INTL SK FOR RECON & DEV NT DTD 04/3012001 4 75 DUE 04-30 2004 BED 459056OH3 19000000 196,05340
BRIT TELECOMMUNICATIONS P L C NIT 8 125 DUE 12 15-2010 BED 11 1021AD3 4000000 43931 20
ALCOA INC NT 5 075 DUE 08 01-2008 BED 013817ACS 15 00000 15 85295
APACHE CORP NT DTO 04/11/2002 6 25 DUE 04-15-20IV04-14 2012 BED 03741 IAQ8 2000000 2067000
BK AMER CORP GLOBAL NT 7 8 DUE 02 15 2010 BED 060505ADB 4000000 44 69840
BOEING CAP CORP SR NIT 7 1 DUE 09-27 2005BEO 097014ASO 4500000 48 811 95
CALIBER SYS INC NT 7 8 DUE 08-01-2006 REG 129894AAS 25 ODD DO 2740050
CITIGROUP INC SUB NIT 7 25 DUE 10 01-2010BEO 172967AZ4 4500000 48 59685
The Northern Trust Company
100518 127 823 68 284972 1 20069 131 874 09 568750
100643 93 844 80 1 766 05 2243 71 97 854 56 4 512 50
101 190 220049 70 2568 30 5 976 GG 228 594 G6 13 20000
101026 119,08680 2 14440 78333 122 014 53 a 00000
106 751 452,61431 1 07744 97333 454 66508 25 50000
109 316 43921099 8,984 61 1 301 45 451 49705 37 162 50
3,415,766 15 78,76610 46,48644 3,641,018 69 190531 25
103 186 194 537 20 1,516 20 1 52923 19758263 902500
109 620 40641 22 3 289 08 144 44 44 07584 3 250 00
104 353 15 755 25 - 10230 73 43 15,72639 881 25
103350 1985760 81240 277 77 20 94777 1 25000
Ill 746 42704 36 1 994 04 4 27266 48,971 06 3 12000
108471 44,992 35 381960 834 24 49646 19 3 19500
109602 26 100 06 1 30044 812 5D 28,21300 1 05000
107993 46,953 76 1 643 09 1,721 67 5031872 3 2132 50
Fixed Income
Corporate bonds
CONOCO FDG CO NT 5 45 DUE 10 15-2008/10-11-2001 BEO 20825UAA2 4500000 46 100 25 102 445 44 935 20 1 IGS 05 517 75 46 61800 2 452 50
CONS NAT GAS CO CONS NAT'L GAS 5 375 DUEI 1 01-2006 BEO 2090158012 2500000 25,218 50 100074 24 984 50 234 00 22395 25 442 45 1 343 75
COUNTRYWIDE HOME LNS INC NOTE 5 5 DUE 08-01-2000 BED 22237LL03 45,00000 45,601 50 101 470 44 77275 88875 1 031 25 413 692 75 2 47500
DEERE & CO GLOBAL NT 6 95 DUE 04-25-2014BEO 244 IGSBBO 1500000 16014 60 IOG 764 14985 15 1 02945 214 2D 16228 So 1 042 50
DELTA AIR LINES INC DEL PASS THRU TRS PASS THRU 2000 1 CL A-2 7 57 DUE 5-18-12 247367APO 1500000 15 800 25 105 335 1500000 Sao 25 135 62 1593587 1 135 so
DOMINION RES INC DEL REMARKETABLE NT SERE 7 82 DUE 09-16-2014109 15 2004 BED PUT 2574COACO 3000000 31 83960 106 132 30309 27 1,53033 69076 3253036 2 34G 00
DPL INC SR NT 8 25 DUE 03-01-2007 BED 233203AE9 4000000 4376360 109409 43485 60 27000 1 10000 44 86300 330000
DUKE ENERGY FIELD SVCS LLC NT 7 875 DUE 08-16 2010 BED 2043OXASS 2000000 2091060 104 553 1997680 93320 59062 21 501 22 1 575 00
EOP OPER LTD PARTNERSHIP EOP OPER LP 7 75 DUE 11-15-2007111-14-2007 BED 268766BTS 1500000 TO 55340 110 356 15 588 3T 96509 14B 54 IG 701 94 1 162 so
ERP OPER LTD PARTNERSHIP EOTY RESDNTL PROP CPN 6 025 3115/12 6 625 3-15-12 BEO 26884AAN3 1000000 10 25020 102502 992660 323 60 196 90 10447 10 662 50
Fl. PWR S, LT CO FLA PWR & LT 1ST MTG 0 875 DUE 12-01-205 BED .341081DZ7 500000 5 370 10 107402 4 979 90 39020 28 64 5399 74 343 75
FORD MTR CR CO FORD MTR CR CO CPN 6 5 MAT 1/25/07 6 5 DUE 01-25 2007 BEO 345387TXI 10000000 100 14900 100 149 9947500 G74 00 2.6 16 G6 102 9GS 66 6 50000
FORD MTR CR CO GLOBAL LANDMARK SECS-GLOBLS 6 875 DUE 02 01-2006 BEO 345397TR4 5000000 51 509 50 103019 5087006 63944 1 432 29 52 941 79 3 437 50
FORD MTR CR CO NT 5 9 DUE 01 12-2009 BED 345397SG9 5000000 47 38400 94 768 46 45900 92500 1 361 38 48 745 38 290000
GANNETT CO INC NT 0 375 DUE 04-01-2012 BED 304725AC5 1000000 10,440 90 104 409 9 954 90 48600 18947 10 63037 G37 50
GEN MTRS ACCEP CORP GENL MOTORS ACCEPT CORP 6 125 DUE 09-15-20OG BED 370425RW2 4500000 4551705 101 149 4498995 G28 20 all 56 46 32861 2 756 25
The Northern Trust Company Generated by The Northern Trust Company from periodic data on 15 Jul 02
Portfqljoj Siateinent,' Account number 2607082 14' -Accoutit Name HORACE C CABE FND-FIXED
30 JUN 262 Z
Asset Detail Page 7 of 43
Description Unrealized Accrued Market value Estlmated Asset ID Shares/PAR value Market value Market prlce Cost gain/loss Incometexpense IncludIng accruals annual Income
Fixed Income
Corporate bonds
GEN MTRS ACCEP CORP NT DTD 09/12/2001 6 875 DUE 09-15 2011 EEO 370425RXO 105,00000 104,13900 99 180 105 254 31 - 1 115 31 2 125 52 106 264 52 7 218 75
GOLDMAN SACHS GROUP INC NT DTD 01/10/2001 6 87S DUE 01-15-2011 BED 30141GAZ7 3000000 31,174 50 103915 30787 20 38730 951 04 32 12554 2,062 50
HSEHD FIN CORP NIT DTD 061171199B 0 4 DUEOS-17 2008 REG 441012FY5 35,00000 35 420 70 101 202 3500000 42070 07 11 35507 81 2 24000
KRAFT FOODS INC NT 6 25 DUE OG-01-2012 BED 50075NAH7 3500000 36 104 60 103 156 34 9116 00 1 11860 249 13 36353 73 2 187 50
KROGER CO KROGER CO DUE 6 2 MAT 6/15/12 6 2 DUE 06-15 2012 BED 601044CDI 1500000 15004 95 100033 14 991 30 1365 36 16 15041 11 93000
MARSHALL & ILSLEY CORP MEDIUM TERM NTS BTRANCHE 9 TR 00140 5 75 DUE 09-01 2006 57183HFVB 4500000 46 34505 102 989 44 970 30 1 374 75 B62 49 47 20754 2587 50
MFADWESTVACO CORP 6 05 DUE 04-01-2012 BED 583334AAS 15 ODO w )5597 75 103985 14,900 70 G97 05 254 02 15851 77 1 027 50
MORGAN STANLEY DEAN WITTER & CO GLOEAL NT 4/25/01 6 75 DUE 4.15-11 BED 61744GGM5 40,00000 41 26320 103 158 39 57940 1 68380 57000 41 833 20 2 70000
PHILLIPS PETE CO NT 8 5 DUE 05-25 2005 BED 718507SPO 3000000 33 544 20 111 814 32,13395 1 410 25 255oo 33799 20 2 55000
PRAXAIR INC PRAKAIR NEW DEAL 6 375 DUE 04-01 21312 BED 74005PAJ3 20,00000 2080640 104032 19 91020 896 20 361 24 21 167 64 1 27500
PROGRESS ENERGY INC SR NT 6 75 DUE 03-01-2006 BED 7432G3ACO 2500000 26237 50 104 950 24 977 25 1 260 25 5625o 2680000 1 68750
PVrPL CONTI. CABLEVISION INC 0 3 SR NT DUE 05 15-2006 REG 211177AM2 5,00000 4973 20 99464 5 354 07 - 381 67 5302 5026 22 41500
REED ELSEVIER CAP INC NIT 6 125 DUE 08-01-2006 BED 758202AA3 2500000 26 218 25 104 073 24 9B9 25 1 22900 63802 2685627 1 531 25
SAFEWAY INC NT 7 DUE 09-15 2002 BED 766514AX7 90 000 00 90,78300 100 870 so 24S D6 53704 1 854 99 92637 99 6 30000
TARGET CORP TARGET CORP 5 275 JUN 15 09 87012EA.)5 15'am 00 14 998 05 99 987 14,99580 2 25 28 87 15024 92 806 25
TECO ENERGY INC 7 2 DUE 05-01-2011 BED 872375AC4 2500000 26 287 25 105 149 24,933 25 1 354 00 30000 26 587 25 1 80000
The Northern Trust Company Generated by The Northern Trust Company from periodic data on 15 Jul 02
1 Portfolio- Statement -Accouht number 2607082
L 30 JUN
1 2002
Account Name HORACE'C CASE FND-FIXED
Asset Detail Page 8 of 43 Description Unrealized Accrued Market value Estimated AssetIO Shares/PAR value Market value Market price Cost gain/loss InCDme/expense including accruals annual income
Government mortgage backed securities FNMAPOOL953599875DUEOGOI-2031 REG 31384WNM8 96,911 17 101,66272 t04 903 ISO 681 G3 Sol 09 G05 69 102 26841 7 268 34
GNMAII POOIL # 0003249 SER 2032 6 DUE 08 20 2032 REG 36202DTEI 90,00000 89 903 70 99893 88903 13 1 000 57 45o all 90 353 70 5 40000
Total government mortgage backed securities 191 .66642 189,58476 198166 1,05569 19262211 12,66834
Asset backed securities ADVANTA MTG LN TR 2000-1 A4 8 61 DUE 03-25 2028 BED 00755WHG4 25 DOO 00 27 52225 110089 27 003 91 518 34 17937 27 701 62 2 152 50
BMWVEH OWNER TR 2002-AAST BKD NT CL A-2283DUE 12 25-2004 BED 055959ASB 4500000 45 25695 100571 44 999 44 257 51 21 22 45 278 17 1 273 50
CITIBANK CR CARD ISSUANCE TR SER 2002-A3CL As 4 4 DUE 05 15-2007 BED 17305EAYI 70,00000 71 045 10 101 493 70,817 58 227 52 342 22 71,387 32 3 08000
CMO LB UBS COMIL MTG TR 2000 C3 COML MTG PASSTHRU CTF CL A-2 7 05 DUE 05-15-2025 52 1 08RAT 1 90,00000 103076 10 114 529 99 10942 3,960 Go 397 50 10347360 7 15500
The Northern Trust Company Generated by The Northern Trust Company from periodic data on 15 Jul 02
cc Porl 'A' ount number 2607082 fic!1io'~'-Stdtetneqt,,', Aci6o tk Name HORACE C CABE FND-FIXED 30 JUN 2002' w
Asset Detail Page 9 of 43 Descrll3tlon Unrealized Accrued Market value Estimated A35etlD Shares/PAR value Market value Market price Cost gaintloss Income/expense including accruals annual income
Fixed Income Corporate bonds TXU EASTN FOG CO GTD SR NT 6 45% 1510512005 873169AF3 20 000 DO 20,532 80 102 664 1948600 1 046 80 164 83 2069763 1 29000
UNILEVER CAP CORP NT 6 875 DUE 11-01-2005 BED 004764AF4 000 0 OD 108 523 000 000 744 79 744 79 000
VALERO ENERGY CORP NEW VALERO ENRGY 6 075 0 875 DUE 04 15 2012 BED 91013YAD2 2000000 2071720 103586 1995000 76720 290 27 21 007 47 1 37500
VIACOM INC SR NT 6 4 DUE 01-30-2006 BED 925524ANO 20 000 00 20 843 2D 104 216 21 096 80 - 243 60 530 88 21 3900H 1,28000
WELLS FARGO BK NA 8 45 DUE 02-01 2011 BED 84074RAF4 8000000 8382960 104 787 8230827 1 521 33 268750 86 517 10 5 16000
WEYERHAEUSER CO NT 0 DUE 08-01-2008/07-31-2006 BEO 9G21GaAX2 1500000 15.41040 102 736 14 01585 494 55 37500 15 785 40 90000
Total corporate bonds 1,708,529 10 1,667,890 35 40,63875 35,14220 1,743,671 30 107.32775
4854551 01634 26988 49 730 73 3 238 65
33 85293 1 575 12 16878 35 59693 202545
Generated by The Northern Trust Company from periodic data on 15 Jul 02
PoWfolio.-Sfattment -30 JUN 2002
Asset Detail Description Asset ID Shares/PAR value Market value Market price
Fixed Income Asset backed securities CONTINENTAL AIRLS PASS THRU TRS 6 563 DUE 08-15-2013 BED 210805DPD 1000000 1031400 103 140
DISTR FINL SVCS RV TR 1899 .3 NT CIL A 4 8 65 DUE 03-15-2011 BED 25475MAR5 4683590 48 161 35 102630
HONDA AUTO RECEIVABLES 2002,1 OWNER TR HONDA AUTO 3 5 DUE 10 17 2005 BED 4381 ISACI 2000000 20 17900 100895
HONDA AUTO RECEIVABLES 2002 1 OWNER TR NT CIL A-4 4 22 DUE 04 16 2007 BED 4381 ISAD9 5000000 5060900 101 218
HSEHD AUTOMOTIVE TR HAT 2002-1 A2 CPN 275 DUE 5/17/05 2 75 DUE 05-17-2005 BED 44170CAP 1 5500000 55 22880 100 416
MENA CR CARD MASTER NT TR MBNAM02 6 3 8 DUE 11-15-2007 BED 55264TA24 5500000 5505005 100091
MENA MASTER CR CARD TR It 5 8 DUE 12-15-2005 BEO 55262TDH3 3500000 36232 70 103 522
PPILL TRAh!~ITION So LLC SFR t999-I ED VARRATE CL A-6 6 96 12-26 2007 BEO 6935DEAF7 7000000 75874 40 108392
RESDNTL FOG MTG SECS 11 INC 2001~1-12 HOME LN CL A-1-3 5 67 06-25 2014 BED 76110VFU7 2500000 25,678 50 102 714
RESDNTL FDG MTG SECS 11 INC 2001 .1113 A-t 2 5 33 05 25 2012BEO 76110VGJI 4000000 40 711 60 101779
TOYOTA AUTO RECEIVABLES 2002-B A2 2 79 12-15-2004 BED 89232WABB 8000000 8040000 100500
US AWYS PASS THRU TRS SER 2000-3 CLASS-G7 89 DUE 09-01 2020 BED SF 03-01-2002 90332UAL7 968081 10 186 72 105 226
Total asset backed securities 755,52652
Non-government backed c.m.o.s CMO BANC AMER COMIL MTG INC 2000-2 7 197 DUE 09 15-2032 BED 05947USS3 4500000 49,460 85 iog 913
CMO BANC AMER COMIL MTG INC 2001-PBI PASSTHRU CTIF CIL A-2 5 787 5.11-35BE 05947UCF3 3500000 3542805 101 223
The Northern Trust Company
Account number 2607082. Accouni Nane HORACE C CABE FND-FIXED
Page 10 of 43 Unrealized Accrued Market value Estimated
Cost gain/loss income/expense including accruals annual income
1000000 31400 8386 10397 86 G56 30
48 19554 - 34 19 13842 413 2DD 77 3 114 59
20075 7B 103 22 0 00 20 17900 70000
4998751 621 49 9377 50702 77 2 11000
5499563 233 17 12604 55354 84 1,512 50
54 969 14 8091 2079 55 07D 84 000
36 215 43 17 27 90 22 36 322 92 2 030 00
75 39306 4111 34 81 20 75 955 GO 4 872 00
25543 51 134 99 118 12 25 796 62 1 417 50
40 27D 96 44064 17766 40 809 26 2 132 OD
70997 14 402 86 99 20 80499 20 2232 00
9 68081 50591 254 60 10441 32 763 62
747,25486 8,27166 2,23319 757,75971 35201 70
)!ortfo1ib'-ShqteYn, diti Account number 2607082 Account Name HORACE C CABE FND-FIXED
30 JUN,2002
Asset Detail Page I I of 43
Description Unrealized Accrued market value Estimated ASSetlD Shares/PAR value Market value Market price Cost gatn/loss Income/expense inciUding accruais annual income
Fixed Income Non-government backed c.ni.o.s CIVIO COML MTG AST TR 99 C I A3 6 84 EXPECTED MAT 9-17 10 DUE 1-17-32 BED 201730AC2 9000000 9640530 107 117 94 433 20 1 972 10 33200 GO 737 30 5,97G 00
CMO CR SUISSE tST BSTN MTG SECS CORP COMIL PASSTHRU 2000-Cl A-2 7 545 4-15-10 22540ASN9 GO 000 00 67 111 90 111 853 65718 75 1 393 05 251 50 G7 3G3 30 4 527 00
CMO CR SUISSE IST BSTN MTG SECS CORP 2001-1 CIL I-A 2 7 DUE 05-25-2031 BED 22540AN87 81 084 12 8391395 103490 0302258 801 37 472 09 84 386 94 5 675 89
CMO GMAC COML MTG SEC INC MTG PASS THRU CTF 1099 Cl CIL A 2 6 175 DUE 05 15-2033 381849ET5 3000000 31 404 00 104 680 3088965 514 35 154 37 31 55937 1 852 50
CIVIO LB COML CONDUIT MTG TR 1099-Cl MTG PASSTHRU CTF CL A-2 6 78 DUE 0&15 2031 501773CS2 1500000 1G 15695 107713 15859 26 297 69 84 75 16241 70 1 017 00
CMO RESDNTL FOG MTG SECS I INC IVITG PASS SER 2001-SO CL A-5 6 75 04 25 2031 BED 761 IOYW73 7587068 77720 47 102446 77 GO 1 48 124 99 42677 7B 153 24 5 121 27
Total non-government backed c m o s 457 .60737 "9,923 36 7.68401 2,16104 469,76841 29,43376
Total fixed Income 8,73D,214 20 8,581,887 92 19832628 108,62771 8,888,841 91 48084780
Other Assets Miscellaneous &&& 2 0325% INTEREST IN JOHN J 999938277
&&& 12 AUSTRALIAN COINS 929912827
ARKANSAS CAPITAL CORPORATION OD9993462
Total miscellaneous
Total other assets
ELLINGTON TRUST 1 00 1 00
1 00 1 00
COMMON STOCK 1000 1 00
300
3 00
1 00 0 on coo 1 00 0 00 1 000
The Northern Trust Company Generated by The Northern Trust Company from periodic data on 15 Jul 02
1 000 004 0 16 000 1 OD 000
1 000 1 00000 BOB 00 000 1 00 0 DO
1,00184 .99884 000 300 000
1,001 134 -99884 000 300 000
PoitfpU64tateineyd "Account number 2607082 Account'Name HORACE-C CASE FNID-IFIXED
30 JUN 2002
Asset Detail Page 12 of 43 Descriptlon Unrealized Accrued Market value Estimated Asset(D SharesIPAR value Market value Market price Cost gain/loss Income/expense Including accruals annual income
Cash and Cash Equivalents Short term investment funds
MFB NTHN INSTL FDS DIVERSIFIED AST PORTFOLIO 865278107 392 31269 39231269 000 77731 39309000 5 924 55
Total short [am Investirnent funds 392,31269 392,31269 000 77731 393,09000 5,92455
Total cash and cash equivalents 392,31269 392,31269 000 77731 393,09000 6,92455
Generated by The Northern Trust Company from periodic data on 15 Jul 02
I
Adjustments To Cash Pending trade purchases United States dollar
Total pending trade purchases
Pending trade sales United States dollar
Total pending trade sales
Other receivables United States dollar
Total other receivables
Total adjustments to cash
Total
The Northern Trust Company
44236269 - 442362 69 000 000 - 442 362 6D 000
442,36269 .442,36269 000 000 .442,36269 000
427 612 15 427 612 15 000 000 427 612 15 0 00
427,61215 427,61215 000 000 427,61215 000
256 37 256 37 000 000 256 37 000
26637 25637 000 000 25637 000
.14.49417 -14,49417 000 000 - 14,49417 000
91158,035 72 B.SW.708 28 197,32744 109,405 D2 9,267,440 74 486,77234
The Northern Trust Company Generated by The Northern Trust Company from periodic data on 15 Jul 02
Siatenteid , Account number 2607083 toftilio. ,-r ~Account,Name HORACE C CASE FND-CARDNER
30 JUN 2062
Asset Detail Page 4 of 19 Description Unrealized Accrued Market value Estimated Asset ID Shares/PAR value Market value Market price Cost gain/loss Incomelexpense including accruals annual income
Equities Common stock CELESTICA INC SUB VTG SHS ISIOIOIOS 3 40000 77 214 00 22710 13109181 53 87781 000 77 21400 0 00
GLOBAL SANTA FIE CORP G3930EIGI 600000 164,10000 27 350 20686900 42 76800 ID5 00 IG4 29500 79000
ADR TEVA PHARMACEUTICAL INDS LTD ADR ISIN NUSB8t6242098 881024209 2 80000 19366200 66 780 133773 38 59 88862 0 00 103 60200 72500
GRUPO TELEVISA SA SPONS GDR 4004OJ208 3 80000 14204400 37 380 138 74589 3,298 11 000 142 04400 1 621 39
ADR CHARTERED SEMICONDUCTOR MFG LTD AOR 16133RIOS 490000 9804900 20010 155 192 38 57 143 38 0 GO 98 049 00 000
ADVANCED FIBRE COMMUNICATIONS INC COM 00764AI05 4 50000 74 430 00 16 540 116 710 08 42 28090 000 74 43a oo a cc
AMAZON COM INC COM 023135100 11 70000 190 12500 16 250 197001 27 6 876 27 0 00 190 12500 0 00
AMERICREDIT CORP COM 0306ORIOI 4 40000 123,420 00 2a 050 167 954 IS 44,534 16 0 00 123 42000 0 DO
AMKOR TEC14 INC COM 031GS2100 740000 4602800 a 220 164 904 29 1 IS 87G 29 0 00 4602800 0 Oc
ANDRX GROUP COM 034553107 370000 09 7BD 00 26970 230 170 55 130381 55 0 OD 99 78900 0 OC
SIOMET INC COM 090613100 3 275 DO as 81600 27 120 22 211 13 66 60687 000 88 Ole 00 327 50
BLOCK H S, R INC COM 093671105 6 40000 29536000 46 150 162 769 94 132 59006 1 024 00 296 384 00 4 608 Oc
BLOCKBUSTER INC CIL A CIL A ISIN AJUS093679 1068 093670108 6 10000 16409000 26900 163 419 61 67039 0 00 16409000 488 Oc
BSTN SCIENTIFIC CORP COM 101137107 530000 155 39600 29 320 127 29089 28 105 11 000 15539600 0 Oc
CADENCE DESIGN SYS INC COM 127307108 1090000 175 70900 16 120 25238978 - 76681 78 000 175 70B 00 0 Oc
CENDANT CORP COM STK 151313103 9,40000 149,27200 15 BBO 170 541 25 21 269 25 a 00 149 272 00 0 Oc
Market value Market price Cost
Acc~aunlt number 2607083 Account Name'HORACE C CABE W-GARDNER
Page 5 of 19 Unrealized Accrued market value Estimated gain/loss income/axpensei including accruals annual income
I
The Northern Trust Company Generated by The Northern Trust Company from periodic data on 15 Jul 02
Portfolio Statemefit-30 Jt)N 2002
Asset Detail Description Asset ID Shares/PAR value
Equities Common stock CHECKFREE CORP NEW COM 162BI3109 4 60000
CLEAR CHANNEL COMMUNICATIONS INC COM 184502102 3 GOD 00
D R HORTON INC COM 23331AI09 a 45000
DEERE I CO COM 244199105 340000
ELECTR ARTS COM 285512109 1,70000
EMC CORP COM 268846102 9 20000
EMULEX CORP COM NEW 292475209 3 700 GO
EQUIFAX INC COM 2D4429105 4 500 00
EXPRESS SCRIPTS INC COM 302182100 1,00000
FAIRCHILD SEMICONDUCTOR INTL INC CIL A 303726103 5 10000
FEDT INVESTORS INC CL 8 314211103 3 500 OC
GEMSTAR-TV GUIDE INTL INC COM 36869WI06 8 Soo Oil
HARMAN INTL INDS INC NEW 413088109 2,50000
HCA INC COM 404119109 5 20000
HEALTHSOUTH CORP COM STK 421924101 33,90000
ICN PHARMACEUTICALS INC NEW COM 448924100 5,900 00
71 94400 15640 98,662 05 26718 05 000 71 94400 000
115 272 00 32 020 11090304 4 368 96 000 11527200 000
167,893 50 29030 13903706 28,85944 ODD 767893 50 7 548 DO
162 86000 47900 156 223 50 G 636 so 74800 163609 00 2 992 ao
1 12,285 00 68050 8980981 22475 19 000 112 2115 00 000
6946000 7550 35 195 10 34 2414 90 000 69 460 00 000
33 287 00 22510 126030 18 42743 18 000 83 287 00 000
121 500 00 27000 136056 77 14 55677 000 121 50000 36000
50,11000 50 110 37702 71 12,407 29 000 50 11000 000
123930 00 24 300 11620346 7 726 54 000 123 D30 00 000
12099500 34 570 111 77881 9 216 19 000 12099500 79800
4581500 5 390 188,43763 142,62263 000 45,81500 000
123 12500 49250 108070 10 15054 00 000 123 12500 25000
247 00000 47 500 99 95457 14704543 000 24700000 41600
433581 00 12 790 264 548 76 169,032 22 000 433,581 00 000
142.83900 24 210 169911 77 27,072 77 000 142 83900 1 82900
The Northern Trust Company Generated by The Northern Trust Company from periodic data on 15 Jul 02
,P0#-tfq1i6,S1&teMeW,, -Account number 2607083 Acco' nt u Name
, HORACEX CABE FND-CARDNER
30 JUN 2002
Asset Detail Page 6 of 19 Description Unrealized Accrued Market value Estimated Asset ID Shares/PAR value Market value Market price Cost gain/loss income/expense including accruals annual income
rc - qUItICS
Common stock INTEGRATED DEVICE TECH INC COM 458118106 3 70000 67 11900 19 140 125 58296 58 46496 D Do 67 118 00 000
INTL RECTIFIER CORP COM 460254105 330000 00 195 Do 29 150 146 33435 50 13935 000 Be 19500 000
JONES APPAREL GROUP INC COM 480074103 1530000 573 75000 37 500 294 21045 27953955 000 573 75000 000
LENNAR CORP COM 520057104 2 80000 171 36000 61 200 131714 56 39 64544 0 00 171 36000 14000
LSI LOGIC CORP COM 502181102 080000 7700000 8750 115,118 11 38 Ila 11 0 DO 77 00000 0 00
MATTEL INC COM 577081102 860000 181 28800 21 080 140 11840 41 16960 0 00 181 29800 43000
MEDAREX INC COM 583910101 14,40000 106 84800 7 420 203 3SI 42 96 50342 0 00 100 84B 00 0 00
MIRANT CORP COM GD4075108 1560000 11388000 7300 19787033 83990 33 0 00 113 88000 0 00
MOODYS CORP COM 015369105 a 50000 323 37500 49750 16649605 156878 95 0 00 323 37500 1 170 00
NOVELLUS SYS INC COM 670008101 260000 88 400 00 34000 0449350 3 BOG 50 0 00 80 40000 0 00
OVERTURE SVCS INC COM STK 69039RI00 7,40000 too 560 00 24 400 165 506 is 15 .053 82 0 00 180 56000 0 00
OLOGIC CORP COM 747277101 4 70000 17907000 38 100 176 597 85 2472 15 000 17907000 0 00
QUALCOMM INC COM 747525103 4,10000 112 70900 27 49a 21630692 10359792 0 00 1 f2 709 GO 0 00
RITE AID CORP COM 767754104 27 20000 63 92000 2350 11936005 55,44005 0 00 6392000 12 51200
SEMTECH CORP 816850101 340000 9078000 26 700 93 118 13 2,339 13 0 00 0078000 0 00
SMURFIT-STONE CONTAINER CORF COM 832727101 800000 123 36000 15420 141 11057 17 750 57 0 00 123 360 00 0 00
Asset Detail Page 7 of 19
Descriptlon Unrealized Accrued Market value Estimated AssetlD ShareslPAR value Market value Market price cost gain/loss incomelexpensis Including accruals annual income
r r, 1. quities
Common stock
SPX CORP COM 794835 ;04 20000 105 75000 117 500 101 87370 3 876 30 000 105,75000 000
ST JUDE MED INC COM 790849103 530000 391,40500 73 850 15351825 237886 75 0 00 391 40500 000
SUN K41CROSYSTEMS INC COM STX $ 00067 PAR 866810104 1230000 61 62300 5010 83,267 30 21 644 30 0 00 61 62300 a 00
T HQ INC COM NEW 072443403 4 60000 137 17200 29820 163 15821 2598621 000 137 172 00 000
TIDEWATER INC COM 686423102 370000 121 80400 32920 15978931 3799531 000 121 80400 2 22000
TRANSKARYOTIC THERAPIES INC COM 893735100 4 20000 151 41000 36050 128587 31 22 822 G9 000 151 41000 000
UTSTARCOM INC COM 918070100 6 20000 12505400 20 170 124 00000 1 054 00 a 00 12505400 0 00
VARIAN SEMICONDUCTOR EOUIPTMENT ASSOCS INC COM 9222D7105 290000 08 39700 33930 13D 733 28 32 33628 0 00 98397 00 0 00
WILLIS GROUP HOLDINGS COM G90655108 9,90000 32580900 32 910 186,75756 139051 44 000 32580900 0 00
ZIMMER HUDGS INC COM 98956PS02 640000 228224 00 35660 1 .42,714 74 3550928 000 22B 224 00 000
Total common stock 8,725,662 50 8,471,250 14 254,41236 1,96700 8,727 .629 50 33,21488
Total equities 8,725,662 50 8,471,250 14 254,41236 1,86700 8,72762950 33,21488
The Northern Trust Company Generated by The Northern Trust Company from periodic data on 15 Jul 02
Po'rtfofid StWethent -ACOOunt number 2607083 iccount Nanie HORACE
, C CABE FND-GARDNER
30 JUN 2002 7 J1 --- --- ----
The Northern Trust Company Generated by The Northern Trust Company from periodic data on 15 Jul 02
I
Portfqfio; Stateineilid A . ccount number 2607083
'bu" Acc Wt Naff'~'e'J~0,?ACE C CABE FND-GARDNER 30 JUN 2002
Asset Detail Page 8 of 19 Dascription Unrealized Accrued market value Estimated Assetll) Shares/PAR value Market value Market price Cost gain/loss incomelexpense Including accruals annual income
Cash and Cash Equivalents Short term investment funds MFB NTHN INSTL FOS DIVERSIFIED AST PORTFOLIO 665278107 4527277 45272 77 000 95 21 45,3137 98 683 69
Total short term Investment funds 45,27277 45,27277 000 9521 45,36798 68369
Total Cash and cash equivalent$ 45,27277 45,27277 000 9521 45,36798 68369
Adjustments To Cash Pending trade purchases United States dollar
- 11090304 - 110 90304 000 000 - 110,903 04 0 00
Total pending trade purchases -11090304 -110.90304 000 000 -110,90304 000
Pending trade sales United States dollar
118,016 53 11001653 000 000 118016 53 000
Total pending trade sales 116,01653 118,01653 000 000 118.01653 000
Total adjustments to cash 7,11349 7,11349 000 000 7,11349 000
Total . : 6.778 .048 78 B.523,636 40 254,41236 2,08221 8.780,110 97 33,09857
Account number 2607084 Account Name HORACE C CABE FND-SAROFIM
Page 4 of 18 Unrealized Accrued Market value Estimated
Cost gainlioss incomelexpense including accruals annual income
P0kifjQ40,'§iaiqtnen't,'~ 30AUN 2002
Asset Detail Description Asset ID Shares/PAR value Market value Market price
The Northern Trust Company Generated by The Northern Trust Company from periodic data on 15 Jul 02
Equities Coinnion stock ADR NEWS CORP LTD ADR NEW 052487703 600000 13758000
ROYAL DUTCH PETRO N Y REGISTRY SH PAR N 1 25 GLDR 780257604 720000 397944 00
ADR NESTLE S A SPONSORED ADR REPSTG REG SH 641069406 340000 198 19960
ADR ROCHE HLDG LTD SPONSORED ADR ISIN #US771195104 771105104 1 30000 98 276 10
ADR BP P L C FORMERLY BP AMOCO P L C TO 05/ SPONSORED ADR BP PLC 055622104 500000 252 45o aO
ABBOTT LAB COM 0028241GO 700000 263 550 00
AMER EXPRESS CO COM 025016109 3 60000 13075200
AMER INTL GROUP INC COM 026874107 694800 47408204
ANHEUSER BUSCH COS INC COM 035229103 50SO00 25250000
BELLSOUTH CORP COM STIK 079860102 7 500 00 23G 25000
CHEVRONTEXACO CORP COM 166764100 4 50000 398 25000
ClQC0 SYS INC COM 1727SR102 1600000 223 20000
CITIGROUP INC COM 172967101 22333 00 865 403 75
COCA COLA CO COM 191216100 2800000 1 568000 00
ELI LILLY & CO COM S32457108 80000 45 12000
EMERSON ELEC CO COM 201011104 3 600 00 1 D2 63G 00
22 930 120259 58 17321 42 000 137 58000 318 00
55270 187645 50 210 298 50 000 397 944 00 9 158 40
5B 294 66 72500 131 474 60 000 198 19960 2 781 20
75 597 49562 50 48713 60 000 98 278 10 871 00
50490 244 25000 8 20000 000 252 450 00 6 75000
37 G50 95 595 ao 16796500 000 2133 55000 6 580 OD
36320 163 42200 - 32,67000 0 00 13075200 1 152 00
69 230 172 297 50 301 7134 54 000 474 06204 1 306 22
50000 5653776 195 962 24 000 252 50000 3 63600
31 500 276026 75 - 39 77675 000 236 25000 600000
68500 250 22855 148 021 45 000 398 25000 12 60000
13 950 413 84990 190649 90 000 223 20000 000
38 750 166553 24 698,95051 000 865 403 75 16079 76
56 000 589652 50 978 347 50 5 60000 1 573 60000 22 40000
56 400 68,991 84 - 23 871 84 000 45 120 00 B92 00
53 510 1013 358 00 86 27800 000 192 63600 5 5110 00
Go 096 1;9 00 OBE GEZ 1 00 M 91 LL Ggi SLL ce oss Oro oss Ell 00 Oro EZZ L 00 000 U L010giBiL V400 :)Nl SOD SINHON dl-IlHd
00 BOE EZ 00005 L LS I coo 91 L 1 0 GVE 1 08 zoo zzz 000 9E OOOOS tL5 L 00006 00 Cot 18041 L V400 ON1 H3ZIJd
00 OZE 1 00069 ezi 000 EE 8899 L9 106 zz I OSE Cz 00 069 sZL 00005 9 BoloveSS9 NOD d8O:) NHincts xlc;jHoN
000 00 GCO 096 00 0 00 OLE Lot - 00000600 OOL 09 00 oco 89E 00006 0 VOLBL6069 V400 d'dOZ) L~JOSOIdDlffl
00 09C Ll 00 9ZO OE9 00060 9 00 OLE OVO 00 ZZ6 LBI ol's 09 00 966 M 00 oov ~L LOIIEE60S V400 ONI 03 1 NObElVY
00 ozi 9 00 o0z 89C 00 0 09 LOS Z9Z 09 Z99 901 OOL 69 00 ooz 89C 000009 801MOSS HOO :)Nl S31NVdV4OD '111H M"C)Dh
00 OBV'v cc 000 9BE 000 OL LGO is OE Z06 occ 009 96 00000 9HE 00 000 v UOISPLIZ9 ONI S,00 NVNN3-1 ON V HSNVVf
00 1791 91 00 ag Uo 1 000 09 109 OES 09090661 09Z zS 00 ZZ9 GZO L 00001 at 00109LBLO VIOD NOSNHOr I NOSNHOr
00 09E at ca O~6 LSO 000 05 Z I I LU 09 L06 OS9 OU CC 00 OZG LSO 00003 CL OOIHSZ99P V400 0:) V 3SVH :) NVO1,10V d r
00 000 E 00 000 09E 000 SL 89Z LEL - SL 896 L61, 000 ZL 00 000 OSE 000009 loloongv V400 d'dOD SH :)VV4 SS3Nisne UNI
00 OOL Z 00 9z9 L19 000 BE 890 v9z Z9 LBO ESE OLZ BL 00 US L19 00 008 Cc 00100189P dV :) dHO:) 13INI
00 9LE E 00 scs 891 000 00 OS6 SL Do 989 ZS OEZ SC 00 qu,sq 1 00009 0 9019158cl, NIS VYO:) DNI UNI 113MA3NOH
00 89S oz 00 Z89 SLO t 00 evo,q OZ V06 179L 9z Oro Lot oso ez 00 SOB UO 1 00006 Be 1:011,0969C 11103 03 3313 NBE)
00 009 01 00 000 OG9 00 0 09 UP OEV 09 LOS 691 OSL EL 00 000 06; 000008 6OL989CLE NIS WOO VV9NJ
00 080 C 00 ooz 00 0 91 Zze 6 - 91 M EZZ We 19 00 ooz'olz CO 009 C LOCOOrCiC V400 DIA OynHJ
00 VZO Sz 00 VZO EL I 1 00 a 98 tZ6 OL9 90 660 sEb OZ6 or 00 lv~o Cl t L 00 OOZ LZ zol E)IEZQC V400 d1100 119OVY NOXX3
-pols u0tutuoz) samnbg
awooui lenuue slennoe Burpnl3ul asu2dxQ/ewooui ssol/mob IS03 aDlid janjeVy gnleA JQjJUV4 Onleft dVd/S0JeLfS --
(31 lQssV palewlIS3 anleA la4jerq panj33V PaZfieajun u0ndl-josed
St jo 9 aBEd pup(l 1;)Ssv
ZOOZ Nnr oc wyouys-aNA 38V3 3;33VH0~-GWBN jUnOa t,q0Z09Z jaqwnu junctooV do
Zo Inr 91 uct elep otpoijad uJ04 Auedwoo jsnj.L ujaqJJON aq.L Aq pajejauaE) Suudwoj IsnjjL ujaq)joN aqL
Ponfolio Sta' teifiefit :' Acmunt number 2607084 A:ccount Name HORACE C CASE FND-SAROFIM
30 JUN 2002
Asset Detail Page 6 of 18 Description Unrealized Accrued Market value Estimated Asset ID Shares/PAR value Market value Market price Cost gain/loss income/expense IncludIng accruals annual income
Equities Common stock PROCTER & GAMBLE CO COM 742718109 6.50000 58045000 09300 161 328 08
SEC COMMUNICATIONS INC COM 78387G 103 808800 246 684 00 30500 238 16903
SMUCKER J M CO COM NEW 8326DO405 13000 4 43690 34 130 1 273 17
TX INSTRS INC COM 882508104 10 70000 25359000 23 700 46,351 06
UNITED PARCEL SVC INC CL B 911312106 4 500 00 27797500 61 750 276488 75
WAL-MART STORES INC COM 931142103 1600000 080 16000 55010 210 48000
WALGREEN CO COM
000
000
000
000
000
1 20000
000
35,77200
000
000
3 163 73
207238 94
1 39625
66968000
931422109 19 20000 741,69600 38630 9381900 647,87700
Total common stock 18,695,433 39 8,394,214 68 10 501,218 71
Preferred stock ADR NEWS CORP LTD SPONSORED ADR REPSTG PFD LTD 852487802 300000 59,25000 19 75D 52 29642 6,953 5B
Total preferred stock 59,26000 52,29642 6,95358
59,25000
5925000
411 00
411 00
Convertible equity FORD MTR CO CAP TR 11 TR ORIGINATED PFD SECS 345395200 5,00000 281 25000 56 250 270 114 50 11 13550 4 062 50 28531250 16 25000
Total convertible equity 281,25000 270,11450 11,13550 406250 285,31250 1625000
Total equities 19,235,933 39 8,716,625 60 10,519,307 79 39,83450 19,275,767 89 37067032
The Northern Trust Company Generated by The Northern Trust Company from periodic data on 15 Jul 02
419 121 92
0 514 97
580,45000
246684 00
4 43690
253 5DO 00
277 875 00
88 1 3110 00
741 696 00
18,031,205 39
10,66000
0 73504
83 20
909 so
3 42000
4 80000
2 784 00
354,00932
P6rtfolio _Staterhent Account number 2607084 Account Name,140RACE C CASE FND-SAROFIM
Page 7 of 18 lunreaflzed Accrued Market value Estimated
Cost gain/loss income/expense including accruals annual income
30 JUN 2002
Market value Market price
The Northern Trust Company Generated by The Northern Trust Company from periodic data on 15 Jul 02
Asset Detail Description Asset ID Shares/PAR value
Cash and Cash Equivalents Short term investment funds MF8 NTHN INSTL Fos DIVERSIFIED AST PORTFOLIO 665278107
Total short temn Investment funds
Total cash and cash equivalents
Total I
13973 00 13 97300 000 2545 13,99845 21101
13,97300 13,97300 000 2545 13,99845 2111 011
13,97300 13,97300 000 2545 13,99845 211 01
19,249,906 39 8,730,598 50 10,519,307 79 30,85995 19,2R9,766 34 370,811111 34
Account number 2207095 Account Name HORACE C CABE FND-NORTRUST
Poafolio Statemetit 30 JUN 2002
Asset Detail Descriptlon Asset ID Shares/PAR value Market value Market price
Equities
Common stock MFB NORTHN FOS INTL GROWTH EOTY FD 665162509 4 Ill 439 24 3284,74803 7 B50
Total common stock 3,284,748 03
Total equities 3,284,748 03
Page 4 of 12 Unrealized Accrued Market value Estimated
Cost gain/loss Income/expense including accruals annual income
5 137 51662 - 1 852 76859 000 3 284 748 03 84 106 29
5,137,516 62 - 1,852,768 59 000 3,28474803 84,10629
5137,51662 - 1,852,768 59 000 3,284,748 03 84,10629
The Northern Trust Company Generated by The Northern Trust Company from periodic data on 15 Jul 02
Cash and Cash Equivalents Short term Investment funds INVESTED DAILY CASH BALANCES DIVERSIFIED 000996AAS
Total short term investment funds
Total cash and cash equivalents
Total
I
9,364 91 9,364 91 000 1920 9384 11 200 59
9,38491 9,36491 000 1920 9,38411 20059
9,36491 9,36491 000 1920 938411 20059
3,294,112 94 5,146,881 53 - 1,852,768 59 1920 3,294,1132 14 84,30687