Shareholders Buying 

GM

Name Shares
Bought
% Total
Shares Held
% Chg from
Prior Port
% Total
Assets
Date of
Portfolio
Star Rating
T. Rowe Price Equity Income 4,660,006 0.31 New 0.64 12/31/2013
Vanguard Total Stock Mkt Idx 3,744,841 1.24 23.54 0.21 03/31/2014
Franklin Income A 2,230,000 0.15 New 0.11 12/31/2013
Blackrock Eq Idx Fund CF 1,612,903 0.12 New 0.18 06/30/2013
T. Rowe Price Value 1,350,000 0.28 47.54 0.93 12/31/2013
Harris Assoc. Equity & Income CIT 1,102,000 1.14 6.91 3.4 12/31/2013
Oakmark Equity & Income I 1,102,000 1.14 6.91 3.4 12/31/2013
PIMCO EqS® Long/Short Institutional 1,100,000 0.07 New 4.47 12/31/2013
Federated Clover Value A 1,015,000 0.07 New 3.93 12/31/2013
Metropolitan Ser BlackRock Lg Cap Val A 798,600 0.05 New 1.63 12/31/2013
Fidelity Spartan® 500 Index Inv 717,683 0.34 15.10 0.28 02/28/2014
Vanguard Value Index Inv 673,593 0.24 21.33 0.45 03/31/2014
Franklin Convertible Securities A 672,732 0.04 New 1.68 12/31/2013
FDP Ser Franklin Temp Ttl Ret FDP Inv A 660,339 0.00 99900.00 0.01 11/30/2013
PIMCO Dividend and Income Builder A 535,507 0.06 142.42 2.41 12/31/2013
T. Rowe Price High-Yield 484,500 0.03 New 0.2 12/31/2013
Oakmark Global I 418,600 0.20 15.87 3.8 12/31/2013
Vanguard Instl Ttl Stk Mkt Idx InstlPls 412,100 0.14 22.09 0.21 03/31/2014
Franklin Balanced A 412,080 0.03 New 0.88 12/31/2013
Franklin Income Securities Cl2 384,539 0.03 New 0.22 12/31/2013