| Monthly update: Oil started out the month hot, but ended cold again. May as well get used to waiting. 
 DVK: sensiblestocks.com
 
 ...............Current Value Prior Value Period Change %Change Estimated Income Estimated Yield
 
 Sept. Totals.. $301,944.55.. $314,855.88.. ($12,911.33)... (4.1)%.. $18,439.65.. 6.1%
 Oct. Totals... $318,330.91.. $301,944.55.. $16,386.36..... 5.4%.... $18,571.27.. 5.8%
 
 Since Jan. 1, 2015:
 
 Nasdaq 4727 to 5054 =................ 6.9%
 DVK SS $81,250 to $82,291 =...... 1.28%
 S+P 500 2058 to 2079 =.............. 1.02%%
 Dow 17833 to 17,664 = ................ -.94%
 My IRA $344,503 to $318,330 = .. -7.8%
 BRK.A $223,600 to $204,596 =...... -8.5%
 
 Since inception Jan. 1, 2010:
 
 Nasdaq 2269 to = 5054 ............. +127.44% (includes total 4.70 yield for 2010 thru 2014 )
 BRK.A 99,200 = to $204,596= ...+106.24%
 DVK SS $41,706 to $82,291 =... +97.31%
 S+P 500 1115 to 2079 =............ +95.64% (includes total 9.19 yield for 2010 thru 2014 )
 Dow 10428 to = 17,664 ...............+80.84% (includes total 11.45 yield for 2010 thru 2014 )
 My IRA $178,517 to $318,330 = +78.32%
 
 Bottom line, estimated income:
 
 End Jan. 2010 $11,134
 End Dec. 2010 $13,160
 End Dec 2011 $14,836
 End Dec. 2012 $17,371
 End Dec. 2013 $18,563
 End Dec. 2014 $22,093
 End Oct. 2015. $18,571
 
 Oct. dividends: $1,199.34
 
 Actual dividends received:
 2010 total $12,317
 2011 total $14,160
 2012 total: $16,497
 2013 total: $19,421
 2014 total: $20,564
 2015 total: $16,098
 
 Dividends:
 
 10/30/2015  01:24:12  QUALIFIED DIVIDEND (OGE) 68.75  ---
 10/30/2015  01:20:31  QUALIFIED DIVIDEND (BGS) 59.50  ---
 10/30/2015  01:19:14  ORDINARY DIVIDEND (LTC) 54.00  ---
 10/30/2015  01:18:44  ORDINARY DIVIDEND (UTG) 15.13  ---
 10/23/2015  01:07:50  QUALIFIED DIVIDEND (AMNF) 19.00  ---
 10/16/2015  01:47:08  PARTNERSHIP DISTRIBUTION (BBEP) 16.66  ---
 10/15/2015  00:00:01  ORDINARY DIVIDEND (MPW) 319.00  ---
 10/15/2015  00:00:01  QUALIFIED DIVIDEND (OXY) 189.00  ---
 10/15/2015  00:00:01  ORDINARY DIVIDEND (O) 76.20  ---
 10/14/2015  00:00:01  QUALIFIED DIVIDEND (PM) 229.50  ---
 10/09/2015  00:00:01  QUALIFIED DIVIDEND (MO) 113.00  ---
 10/01/2015  02:19:42  QUALIFIED DIVIDEND (KO) 39.60
 
 Trades:
 
 10/22/2015  13:57:48  Bought 43 MPLX @ 35.75 -1,545.25  ---
 10/22/2015  13:47:50  Sold 400 BBEP @ 2.4401 968.02  ---
 10/15/2015  11:04:42  Bought 120 MPLX @ 39.01 -4,689.20  ---
 10/02/2015  15:46:29  Sold 45 PG @ 72.26 3,243.64  ---
 10/02/2015  14:40:46  Sold 24 SOUHY @ 4.72 105.27  ---
 
 2015 trading costs $976
 
 Holdings - cash $517 Not listing "other" holdings: SDRL and KMI+.
 
 
 | Symbol 
 
 | Company   Name 
 
 | #   of shares held 
 
 | Annual   Dividend Per Share 
 
 | Total   Dividend 
 
 |  | AMLP 
 
 | Alerian   MLP ETF 
 
 | 200 
 
 | 1.19 
 
 | 238 
 
 |  | AMNF 
 
 | Armanino   Foods of Distinction 
 
 | 1,000 
 
 | 0.076 
 
 | 76 
 
 |  | BBL 
 
 | BHP   Billiton PLC 
 
 | 60 
 
 | 2.48 
 
 | 148 
 
 |  | BGS 
 
 | B&G   Foods Inc. 
 
 | 170 
 
 | 1.40 
 
 | 238 
 
 |  | CCP 
 
 | Capital   Care Properties 
 
 | 360 
 
 | 2.28 
 
 | 820 
 
 |  | CLMT 
 
 | Calumet   Specialty Products Partners LP 
 
 | 574 
 
 | 2.74 
 
 | 1572 
 
 |  | CVX 
 
 | Chevron   Corporation 
 
 | 192 
 
 | 4.28 
 
 | 822 
 
 |  | GIS 
 
 | General   Mills, Inc. 
 
 | 43 
 
 | 1.64 
 
 | 71 
 
 |  | HP 
 
 | Helmerich   & Payne, Inc. 
 
 | 55 
 
 | 2.75 
 
 | 151 
 
 |  | JNJ 
 
 | Johnson   & Johnson 
 
 | 90 
 
 | 3.00 
 
 | 270 
 
 |  | KO 
 
 | Coca   Cola 
 
 | 120 
 
 | 1.32 
 
 | 158 
 
 |  | KMI 
 
 | Kinder   Morgan, Inc. 
 
 | 1,000 
 
 | 2.04 
 
 | 2040 
 
 |  | LTC 
 
 | LTC   Properties Inc 
 
 | 300 
 
 | 2.16 
 
 | 648 
 
 |  | MO 
 
 | Altria   Group Inc. 
 
 | 200 
 
 | 2.08 
 
 | 416 
 
 |  | MPLX 
 
 | MPLX   LP 
 
 | 163 
 
 | 1.88 
 
 | 306 
 
 |  | MPW 
 
 | Medical   Properties Trust Inc. 
 
 | 1,450 
 
 | 0.88 
 
 | 1276 
 
 |  | NRF 
 
 | NorthStar   Realty Corp. 
 
 | 446 
 
 | 1.60 
 
 | 714 
 
 |  | O 
 
 | Realty   Income Corp. 
 
 | 400 
 
 | 2.286 
 
 | 914 
 
 |  | OGE 
 
 | OGE   Energy Corp 
 
 | 250 
 
 | 1.10 
 
 | 275 
 
 |  | OHI 
 
 | Omega   Healthcare Investors Inc 
 
 | 88 
 
 | 2.24 
 
 | 197 
 
 |  | OXY 
 
 | Occidental   Petroleum Corporation 
 
 | 252 
 
 | 3.00 
 
 | 756 
 
 |  | PM 
 
 | Phillip   Morris Company 
 
 | 225 
 
 | 4.08 
 
 | 918 
 
 |  | SO 
 
 | Southern   Company 
 
 | 88 
 
 | 2.10 
 
 | 190 
 
 |  | SPAN 
 
 | Span-America   Medical Systems Inc 
 
 | 145 
 
 | 0.64 
 
 | 92 
 
 |  | STR 
 
 | Questar   Corporation 
 
 | 150 
 
 | 0.84 
 
 | 126 
 
 |  | T 
 
 | AT&T,   Inc. 
 
 | 250 
 
 | 1.88 
 
 | 470 
 
 |  | TIS 
 
 | Orchids   Paper Products Company 
 
 | 200 
 
 | 1.40 
 
 | 280 
 
 |  | UTG 
 
 | Reaves   Utility Income F 
 
 | 100 
 
 | 1.815 
 
 | 182 
 
 |  | VGR 
 
 | Vector   Group Ltd. 
 
 | 472 
 
 | 1.60 
 
 | 755 
 
 |  | VTR 
 
 | Ventas,   Inc. 
 
 | 350 
 
 | 2.92 
 
 | 1022 
 
 |  | VZ 
 
 | Verizon 
 
 | 250 
 
 | 2.26 
 
 | 565 
 
 |  | WMB 
 
 | Williams   Companies Inc 
 
 | 235 
 
 | 1.98 
 
 | 465 
 
 |  | WPZ 
 
 | Williams   Partners L.P. 
 
 | 360 
 
 | 3.40 
 
 | 1224 
 
 |  | Total 
 
 | Starting   port. value 01/01/2010 = $178,518 
 
 | 
 
 | YOC   10.303% 
 
 | 18,394 
 
 | 
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