The Securities and Exchange Commission has not necessarily reviewed the information in this filing and has not determined if it is accurate and complete.
The reader should not assume that the information is accurate and complete.

UNITED STATES SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 13F

FORM 13F INFORMATION TABLE

OMB APPROVAL
OMB Number: 3235-0006
Estimated average burden
hours per response: 23.8

COLUMN 1 COLUMN 2 COLUMN 3 COLUMN 4 COLUMN 5 COLUMN 6 COLUMN 7 COLUMN 8
VALUE SHRS OR SH/ PUT/ INVESTMENT OTHER VOTING AUTHORITY
NAME OF ISSUER TITLE OF CLASS CUSIP (x$1000) PRN AMT PRN CALL DISCRETION MANAGER SOLE SHARED NONE
AFLAC Inc COM 001055102 11 125 SH   SOLE   125 0 0
Alps ETF Tr Alerian MLP ETF ALERIAN MLP 00162Q866 334 30,975 SH   SOLE   30,975 0 0
AT&T Inc COM 00206R102 3,168 81,469 SH   SOLE   81,469 0 0
Abbott Labs COM 002824100 346 6,058 SH   SOLE   6,058 0 0
Abbvie Inc Com COM 00287Y109 1,366 14,129 SH   SOLE   14,129 0 0
Affiliated Managers Group Inc Common COM 008252108 40 197 SH   SOLE   197 0 0
Air Products and Chemicals COM 009158106 195 1,189 SH   SOLE   1,189 0 0
Alibaba Group Hldg Ltd Sponsored Ads SPONSORED ADS 01609W102 17 100 SH   SOLE   100 0 0
Alliance Resource Partner LP UT LTD PART 01877R108 15 775 SH   SOLE   775 0 0
Allstate Corp COM 020002101 454 4,335 SH   SOLE   4,335 0 0
Alphabet Inc Class C CAP STK CL C 02079K107 337 322 SH   SOLE   322 0 0
Alphabet Inc Class A CAP STK CL A 02079K305 3,370 3,199 SH   SOLE   3,199 0 0
Altria Group Inc COM 02209S103 957 13,403 SH   SOLE   13,403 0 0
Amazon Com Inc COM 023135106 737 630 SH   SOLE   630 0 0
American Electric Power Co COM 025537101 392 5,325 SH   SOLE   5,325 0 0
American Express Company COM 025816109 363 3,655 SH   SOLE   3,655 0 0
American Tower REIT COM 03027X100 207 1,450 SH   SOLE   1,450 0 0
American Water Works Co Inc COM 030420103 4 49 SH   SOLE   49 0 0
Amgen Inc COM 031162100 225 1,294 SH   SOLE   1,294 0 0
Andeavor Common COM 03349M105 7 65 SH   SOLE   65 0 0
Anheuser Busch Inbev Sa/nv Sponsored ADR SPONSORED ADR 03524A108 3 25 SH   SOLE   25 0 0
Anthem Inc Common COM 036752103 49 218 SH   SOLE   218 0 0
Apache Corp COM 037411105 17 400 SH   SOLE   400 0 0
Apple Incorporated COM 037833100 5,141 30,378 SH   SOLE   30,378 0 0
Applied Materials Inc COM 038222105 15 300 SH   SOLE   300 0 0
Archer Danels Midland COM 039483102 12 300 SH   SOLE   300 0 0
Ashland Global Hldgs COM 044186104 73 1,019 SH   SOLE   1,019 0 0
Atlas Air World Holding COM NEW 049164205 5 85 SH   SOLE   85 0 0
ATMOS Energy Corp COM 049560105 112 1,299 SH   SOLE   1,299 0 0
Automatic Data Processing COM 053015103 16 134 SH   SOLE   134 0 0
BB&T Corp Com COM 054937107 2,048 41,181 SH   SOLE   41,181 0 0
BCE Inc Common New COM NEW 05534B760 7 150 SH   SOLE   150 0 0
BP P.L.C. SPONSORED ADR 055622104 330 7,855 SH   SOLE   7,855 0 0
Bank of America Corporation COM 060505104 625 21,179 SH   SOLE   21,179 0 0
Bank New York Mellon Corp COM 064058100 19 345 SH   SOLE   345 0 0
Baxter International Inc Com COM 071813109 19 300 SH   SOLE   300 0 0
Becton Dickinson & Co COM 075887109 32 150 SH   SOLE   150 0 0
Bed Bath & Beyond Inc Common COM 075896100 2 100 SH   SOLE   100 0 0
Berkshire Hathaway Inc Del Cl B New CL B NEW 084670702 132 665 SH   SOLE   665 0 0
Biogen Incorporated COM 09062X103 56 175 SH   SOLE   175 0 0
Blackrock Inc COM 09247X101 225 438 SH   SOLE   438 0 0
Blackrock Corporate High Yieldfd Inc Common COM 09255P107 11 1,000 SH   SOLE   1,000 0 0
Boeing Company COM 097023105 1,280 4,340 SH   SOLE   4,340 0 0
Brighthouse Finl Inc Common COM 10922N103 8 139 SH   SOLE   139 0 0
Bristol Myers Squibb Co COM 110122108 781 12,750 SH   SOLE   12,750 0 0
British American Tobacco PLC ADR SPONSORED ADR 110448107 313 4,675 SH   SOLE   4,675 0 0
Broadridge Finl Solutions Inc Common COM 11133T103 6 70 SH   SOLE   70 0 0
Brown Forman Corp Class B CL B 115637209 201 2,930 SH   SOLE   2,930 0 0
CDW Corp Common COM 12514G108 5 75 SH   SOLE   75 0 0
C H Robinson Worldwide Inc Common New COM NEW 12541W209 186 2,085 SH   SOLE   2,085 0 0
CME Group Inc Common COM CL A 12572Q105 4 29 SH   SOLE   29 0 0
CSX Corp COM 126408103 281 5,116 SH   SOLE   5,116 0 0
CVS Health Corporation COM 126650100 288 3,975 SH   SOLE   3,975 0 0
California Res Corp COM NEW 13057Q206 1 54 SH   SOLE   54 0 0
Cardinal Health Inc COM 14149Y108 6 100 SH   SOLE   100 0 0
Carnival Corporation UNIT 99/99/9999 143658300 1 10 SH   SOLE   10 0 0
Caterpillar Inc COM 149123101 230 1,460 SH   SOLE   1,460 0 0
Celgene Corporation COM 151020104 613 5,875 SH   SOLE   5,875 0 0
Centene Corp Del Common COM 15135B101 7 70 SH   SOLE   70 0 0
Century Aluminum Co COM 156431108 10 500 SH   SOLE   500 0 0
Chevron Corporation COM 166764100 2,486 19,859 SH   SOLE   19,859 0 0
Cisco Systems Inc COM 17275R102 474 12,370 SH   SOLE   12,370 0 0
Citigroup Inc Com New COM NEW 172967424 555 7,463 SH   SOLE   7,463 0 0
Coca Cola Co COM 191216100 1,732 37,753 SH   SOLE   37,753 0 0
Colgate Palmolive Co COM 194162103 393 5,205 SH   SOLE   5,205 0 0
Comcast Corporation (New) CL A 20030N101 92 2,297 SH   SOLE   2,297 0 0
Conocophillips COM 20825C104 74 1,345 SH   SOLE   1,345 0 0
Corecivic Inc Common COM 21871N101 10 449 SH   SOLE   449 0 0
Corning Incorporated COM 219350105 22 700 SH   SOLE   700 0 0
Cummins Inc COM 231021106 281 1,590 SH   SOLE   1,590 0 0
Cypress Semiconductor Corp COM 232806109 2 100 SH   SOLE   100 0 0
DNP Select Income FD Inc COM 23325P104 60 5,550 SH   SOLE   5,550 0 0
D R Horton Inc Common COM 23331A109 15 291 SH   SOLE   291 0 0
Danaher Corp COM 235851102 685 7,375 SH   SOLE   7,375 0 0
Darden Restaurants COM 237194105 24 250 SH   SOLE   250 0 0
Deere & Company COM 244199105 78 500 SH   SOLE   500 0 0
Delta Air Lines Inc Del Common New COM NEW 247361702 2 36 SH   SOLE   36 0 0
Deluxe Corp Common COM 248019101 4 60 SH   SOLE   60 0 0
Diageo PLC New Spons ADR SPON ADR NEW 25243Q205 664 4,550 SH   SOLE   4,550 0 0
Dick's Sporting Goods COM 253393102 3 100 SH   SOLE   100 0 0
Digital Rlty Tr Inc Common COM 253868103 1 7 SH   SOLE   7 0 0
Disney (Walt) Company COM DISNEY 254687106 1,435 13,345 SH   SOLE   13,345 0 0
Discover Finl Svcs Common COM 254709108 48 625 SH   SOLE   625 0 0
Dollar General Corp COM 256677105 1,458 15,680 SH   SOLE   15,680 0 0
Dominion Energy Inc COM 25746U109 80 993 SH   SOLE   993 0 0
DowDuPont Inc Common COM 26078J100 885 12,429 SH   SOLE   12,429 0 0
Dr Pepper Snapple Group Inc COM 26138E109 4 40 SH   SOLE   40 0 0
Duke Energy Corp New COM NEW 26441C204 737 8,761 SH   SOLE   8,761 0 0
EOG Resources Inc Common COM 26875P101 56 515 SH   SOLE   515 0 0
Ecolab Inc COM 278865100 5 38 SH   SOLE   38 0 0
Emerson Electric Company COM 291011104 38 539 SH   SOLE   539 0 0
Enbridge Inc Common COM 29250N105 14 361 SH   SOLE   361 0 0
Entergy Corporation COM 29364G103 20 250 SH   SOLE   250 0 0
Exelon Corp COM 30161N101 43 1,100 SH   SOLE   1,100 0 0
Express Scripts Holding Co COM 30219G108 357 4,782 SH   SOLE   4,782 0 0
Exxon Mobil Corp COM 30231G102 2,553 30,526 SH   SOLE   30,526 0 0
Facebook Inc CL A 30303M102 1,961 11,112 SH   SOLE   11,112 0 0
Farmers Cap Bk Corp Common COM 309562106 373 9,700 SH   SOLE   9,700 0 0
FedEx Corporation COM 31428X106 5 20 SH   SOLE   20 0 0
Fifth Third Bancorp COM 316773100 346 11,407 SH   SOLE   11,407 0 0
First Tr Fund NYSE Arca Biotechnology Index Fd NY ARCA BIOTECH 33733E203 9 75 SH   SOLE   75 0 0
First Tr Nasdaq ABA Cmnty Bk Index Fund UT COM SHS ETF 33736Q104 37 700 SH   SOLE   700 0 0
Firstenergy Corp COM 337932107 11 350 SH   SOLE   350 0 0
Flowserve Corp Common COM 34354P105 2 54 SH   SOLE   54 0 0
Ford Motor Co COM PAR $0.01 345370860 978 78,325 SH   SOLE   78,325 0 0
Gabelli Dividend & Income Trust COM 36242H104 18 750 SH   SOLE   750 0 0
Gabelli Global Small & Mid Capvalue Tr Com COM 36249W104 1 100 SH   SOLE   100 0 0
General Dynamics Corp COM 369550108 157 770 SH   SOLE   770 0 0
General Electric Co COM 369604103 1,249 71,566 SH   SOLE   71,566 0 0
General Mills COM 370334104 1,483 25,015 SH   SOLE   25,015 0 0
General Motors COM 37045V100 129 3,135 SH   SOLE   3,135 0 0
Gilead Sciences Inc COM 375558103 71 990 SH   SOLE   990 0 0
Glaxosmithkline PLC Sponsored ADR SPONSORED ADR 37733W105 883 24,902 SH   SOLE   24,902 0 0
Goldman Sachs Group Inc COM 38141G104 366 1,435 SH   SOLE   1,435 0 0
Goodyear Tire & Rubr Common COM 382550101 32 1,000 SH   SOLE   1,000 0 0
Grainger W Inc Common COM 384802104 493 2,085 SH   SOLE   2,085 0 0
HCP Inc Common COM 40414L109 9 350 SH   SOLE   350 0 0
HP Inc Common COM 40434L105 8 390 SH   SOLE   390 0 0
Halliburton Co COM 406216101 46 950 SH   SOLE   950 0 0
John Hancock Preferred Income Fund Cf SH BEN INT 41013W108 11 500 SH   SOLE   500 0 0
Hanesbrands Inc Common COM 410345102 4 180 SH   SOLE   180 0 0
Harley Davidson COM 412822108 18 350 SH   SOLE   350 0 0
Hasbro Inc COM 418056107 5 50 SH   SOLE   50 0 0
The Hershey Company COM 427866108 684 6,030 SH   SOLE   6,030 0 0
Hewlett Packard Enterprise Common COM 42824C109 6 390 SH   SOLE   390 0 0
Home Depot Inc COM 437076102 356 1,877 SH   SOLE   1,877 0 0
Honeywell, Inc COM 438516106 147 959 SH   SOLE   959 0 0
Humana Inc COM 444859102 10 40 SH   SOLE   40 0 0
Huntington Bancshares Inc Common COM 446150104 7 477 SH   SOLE   477 0 0
Idacorp Inc COM 451107106 17 182 SH   SOLE   182 0 0
Idex Corp Common COM 45167R104 6 45 SH   SOLE   45 0 0
Illinois Tool Works Inc COM 452308109 169 1,010 SH   SOLE   1,010 0 0
Intel Corporation COM 458140100 3,693 80,003 SH   SOLE   80,003 0 0
Intercontinental Exchange Inc COM 45866F104 1,712 24,270 SH   SOLE   24,270 0 0
International Business Machs COM 459200101 265 1,727 SH   SOLE   1,727 0 0
International Paper COM 460146103 645 11,140 SH   SOLE   11,140 0 0
Interpublic Group Cos Inc Common COM 460690100 4 175 SH   SOLE   175 0 0
I Shares Msci Brazil ETF MSCI BRAZIL ETF 464286400 3 80 SH   SOLE   80 0 0
Ishares Dow Jones Select Divindex Fund SELECT DIVID ETF 464287168 127 1,292 SH   SOLE   1,292 0 0
Isharestr Msci Emerging Mktsindex Fund MSCI EMG MKT ETF 464287234 291 6,168 SH   SOLE   6,168 0 0
Ishares Tr Msci Eafe Index MSCI EAFE ETF 464287465 604 8,589 SH   SOLE   8,589 0 0
Ishares Russell Midcap Index RUS MID CAP ETF 464287499 6 28 SH   SOLE   28 0 0
Ishares Tr Core S&P Mid-Cap ETF CORE S&P MCP ETF 464287507 15 79 SH   SOLE   79 0 0
Ishares Tr North Amern Tech ETF N AMER TECH ETF 464287549 27 160 SH   SOLE   160 0 0
Ishares Tr Russell 1000 Val RUS 1000 VAL ETF 464287598 19 154 SH   SOLE   154 0 0
Ishares Tr S&p Midcap 400 Growth ETF S&P MC 400GR ETF 464287606 4 19 SH   SOLE   19 0 0
Ishares Tr Russell 1000 Growth RUS 1000 GRW ETF 464287614 17 127 SH   SOLE   127 0 0
Ishares Russell 2000 Val Ind RUS 2000 VAL ETF 464287630 57 452 SH   SOLE   452 0 0
Ishares Russell 2000 Growth ETF RUS 2000 GRW ETF 464287648 3 14 SH   SOLE   14 0 0
Russell 2000 Index Fund RUSSELL 2000 ETF 464287655 38 252 SH   SOLE   252 0 0
Ishares Tr Russell 3000 ETF RUSSELL 3000 ETF 464287689 2 13 SH   SOLE   13 0 0
Ishares DJ US Utilities Sctr U.S. UTILITS ETF 464287697 251 1,887 SH   SOLE   1,887 0 0
Ishares Tr S&P Mid Cap 400 Value ETF S&P MC 400VL ETF 464287705 4 25 SH   SOLE   25 0 0
Ishares Tr US Telecommunications ETF US TELECOM ETF 464287713 14 465 SH   SOLE   465 0 0
Ishares Tr Dow Jones Real ES U.S. REAL ES ETF 464287739 15 190 SH   SOLE   190 0 0
Ishares Tr DJ Basic Material U.S. BAS MTL ETF 464287838 23 227 SH   SOLE   227 0 0
Ishares Tr MSCI EAFE Small Cap ETF EAFE SML CP ETF 464288273 28 436 SH   SOLE   436 0 0
Ishares Barclays Intermediate Bond Fund INTRMD CR BD ETF 464288638 54 494 SH   SOLE   494 0 0
ETF Ishares Trust Preferred Stock S&P US PFD STK 464288687 584 15,340 SH   SOLE   15,340 0 0
ETF Ishares Dow Jones US REGNL BKS ETF 464288778 49 1,000 SH   SOLE   1,000 0 0
Ishares Msci Eafe Value Index Fund EAFE VALUE ETF 464288877 42 768 SH   SOLE   768 0 0
Ishares Msci Eafe Growth Index Fund EAFE GRWTH ETF 464288885 27 340 SH   SOLE   340 0 0
Ishares Silver Tr ISHARES 46428Q109 24 1,500 SH   SOLE   1,500 0 0
Ishares Tr Core MSCI EAFE ETF CORE MSCI EAFE 46432F842 149 2,250 SH   SOLE   2,250 0 0
Ishares Inc Core MSCI Emerging Mkts ETF CORE MSCI EMKT 46434G103 22 392 SH   SOLE   392 0 0
J P Morgan Chase & Co COM 46625H100 3,499 32,717 SH   SOLE   32,717 0 0
Johnson & Johnson COM 478160104 2,803 20,059 SH   SOLE   20,059 0 0
Kelloggs COM 487836108 37 537 SH   SOLE   537 0 0
KeyCorp COM 493267108 40 2,000 SH   SOLE   2,000 0 0
Kimberly-Clark Corp COM 494368103 94 776 SH   SOLE   776 0 0
Kinder Morgan Inc Del COM 49456B101 36 2,000 SH   SOLE   2,000 0 0
Kinder Morgan Inc Del Ser A PFD PFD SER A 49456B200 22 596 SH   SOLE   596 0 0
Kohls Corp COM 500255104 30 560 SH   SOLE   560 0 0
Kraft Heinz Co COM 500754106 11 140 SH   SOLE   140 0 0
Lam Resh Corp Common COM 512807108 6 30 SH   SOLE   30 0 0
Lennar Corp Class A CL A 526057104 153 2,427 SH   SOLE   2,427 0 0
Lilly Eli & Co COM 532457108 409 4,846 SH   SOLE   4,846 0 0
Lockheed Martin Corp COM 539830109 10 31 SH   SOLE   31 0 0
Lowes Cos Inc COM 548661107 2,561 27,556 SH   SOLE   27,556 0 0
Mainsource Finl Group Inc COM 56062Y102 73 2,000 SH   SOLE   2,000 0 0
Manulife Finl Corp COM 56501R106 58 2,800 SH   SOLE   2,800 0 0
Marathon Oil Corp Com COM 565849106 9 553 SH   SOLE   553 0 0
Marathon Petroleum Corp COM 56585A102 78 1,182 SH   SOLE   1,182 0 0
Marsh & McLennan Cos Inc Common COM 571748102 43 525 SH   SOLE   525 0 0
Mastercard Inc CL A 57636Q104 54 360 SH   SOLE   360 0 0
McDonalds Corp COM 580135101 217 1,263 SH   SOLE   1,263 0 0
Merck & Co Inc New Com COM 58933Y105 942 16,743 SH   SOLE   16,743 0 0
Metlife Inc COM 59156R108 89 1,751 SH   SOLE   1,751 0 0
Micro Focus Intl PLC Sponsored ADR New SPON ADR NEW 594837304 2 53 SH   SOLE   53 0 0
Microsoft Corp COM 594918104 1,617 18,909 SH   SOLE   18,909 0 0
Microchip Tech Inc COM 595017104 35 400 SH   SOLE   400 0 0
Mondelez International Inc CL A 609207105 329 7,680 SH   SOLE   7,680 0 0
Morgan Stanley COM NEW 617446448 199 3,800 SH   SOLE   3,800 0 0
Motorola Solutions Inc Common New COM NEW 620076307 18 200 SH   SOLE   200 0 0
Netflix Inc Common COM 64110L106 79 410 SH   SOLE   410 0 0
Netgear Inc COM 64111Q104 18 300 SH   SOLE   300 0 0
Nextera Energy Inc COM 65339F101 351 2,245 SH   SOLE   2,245 0 0
Nike Inc Cl B CL B 654106103 350 5,590 SH   SOLE   5,590 0 0
Norfolk Southn Corp COM 655844108 246 1,700 SH   SOLE   1,700 0 0
Northern Trust Corp COM 665859104 24 240 SH   SOLE   240 0 0
Novartis AG Spons ADR SPONSORED ADR 66987V109 25 300 SH   SOLE   300 0 0
Nucor Corp COM 670346105 100 1,565 SH   SOLE   1,565 0 0
Nvidia Corp Common COM 67066G104 19 100 SH   SOLE   100 0 0
Nuveen Diversified Divid & Income Fund Com COM 6706EP105 22 1,800 SH   SOLE   1,800 0 0
Occidental Petroleum Corp COM 674599105 60 809 SH   SOLE   809 0 0
Old National Bancorp COM 680033107 479 27,441 SH   SOLE   27,441 0 0
Omega Healthcare Invst REIT COM 681936100 6 200 SH   SOLE   200 0 0
Oracle Corp COM 68389X105 471 9,970 SH   SOLE   9,970 0 0
Otter Tail Corp Common COM 689648103 40 900 SH   SOLE   900 0 0
Owens Corning New Common COM 690742101 6 70 SH   SOLE   70 0 0
PNC Financial Services Group COM 693475105 322 2,230 SH   SOLE   2,230 0 0
PPG Industries Inc COM 693506107 67 575 SH   SOLE   575 0 0
PPL Corporation Corp COM 69351T106 226 7,293 SH   SOLE   7,293 0 0
Paccar Inc COM 693718108 35 486 SH   SOLE   486 0 0
Palo Alto Networks Inc Common COM 697435105 326 2,250 SH   SOLE   2,250 0 0
Pattern Energy Group Inc Class A CL A 70338P100 34 1,600 SH   SOLE   1,600 0 0
Paychex Inc COM 704326107 405 5,955 SH   SOLE   5,955 0 0
Pepsico Inc COM 713448108 2,051 17,099 SH   SOLE   17,099 0 0
Pfizer Inc COM 717081103 2,420 66,802 SH   SOLE   66,802 0 0
Philip Morris Int Inc COM 718172109 129 1,223 SH   SOLE   1,223 0 0
Powershares ETF Financial Preferred FINL PFD PTFL 73935X229 9 500 SH   SOLE   500 0 0
Powershares Global ETF Tr PFD Portfolio PFD PORTFOLIO 73936T565 639 42,985 SH   SOLE   42,985 0 0
Praxair Inc COM 74005P104 334 2,162 SH   SOLE   2,162 0 0
Procter & Gamble Co COM 742718109 3,614 39,333 SH   SOLE   39,333 0 0
Prospect Cap Corp Common COM 74348T102 13 1,875 SH   SOLE   1,875 0 0
Prudential Financial COM 744320102 381 3,312 SH   SOLE   3,312 0 0
Pultegroup Inc Common COM 745867101 5 142 SH   SOLE   142 0 0
Ralph Lauren Corp Class A CL A 751212101 1 10 SH   SOLE   10 0 0
Regions Financial Corp COM COM 7591EP100 415 23,988 SH   SOLE   23,988 0 0
Rite Aid COM 767754104 4 2,000 SH   SOLE   2,000 0 0
Rockwell Automation Inc COM 773903109 39 200 SH   SOLE   200 0 0
Rockwell Collins Inc COM 774341101 30 220 SH   SOLE   220 0 0
Ross Stores Inc Common COM 778296103 8 100 SH   SOLE   100 0 0
Royal Dutch Shell PLC Sponsored ADR B Shs SPON ADR B 780259107 1,423 20,833 SH   SOLE   20,833 0 0
Royal Dutch Shell PLC SPONS ADR A 780259206 309 4,625 SH   SOLE   4,625 0 0
S&P Global Inc Common COM 78409V104 198 1,167 SH   SOLE   1,167 0 0
S&P 500 Tr UTS Unit 1 Ser TR UNIT 78462F103 100 376 SH   SOLE   376 0 0
SPDR Gold Tr GOLD SHS 78463V107 1,527 12,351 SH   SOLE   12,351 0 0
SPDR Portfolio World EX-US ETF PORTFOLIO DEVLPD 78463X889 28 885 SH   SOLE   885 0 0
ETF SPDR Barclays High Yield Bond BLOOMBERG BRCLYS 78464A417 9 250 SH   SOLE   250 0 0
Spdr Ser Tr S&P Regl Bkg ETF S&P REGL BKG 78464A698 88 1,500 SH   SOLE   1,500 0 0
Salesforce Common Inc COM 79466L302 585 5,725 SH   SOLE   5,725 0 0
Scana Corp New COM 80589M102 18 450 SH   SOLE   450 0 0
Schlumberger LTD COM 806857108 1,082 16,050 SH   SOLE   16,050 0 0
Schwab Charles Corp New Common COM 808513105 405 7,890 SH   SOLE   7,890 0 0
Select Sector Spdr Tr Health Care SBI HEALTHCARE 81369Y209 25 300 SH   SOLE   300 0 0
Energy Sel Sect SPDR FD ENERGY 81369Y506 70 965 SH   SOLE   965 0 0
Sector SPDR Tr Financial SBI INT-FINL 81369Y605 64 2,290 SH   SOLE   2,290 0 0
Senior Hsg PPTYS Tr SH BEN INT 81721M109 3 150 SH   SOLE   150 0 0
Sequential Brands Group Inc NEW COM 81734P107 0 2 SH   SOLE   2 0 0
Shire PLC Sponsored ADR SPONSORED ADR 82481R106 256 1,649 SH   SOLE   1,649 0 0
Skyworks Solutions Inc COM 83088M102 20 215 SH   SOLE   215 0 0
Smucker J M Common New COM NEW 832696405 173 1,395 SH   SOLE   1,395 0 0
Southern Company COM 842587107 378 7,853 SH   SOLE   7,853 0 0
Southwest Airlines Common COM 844741108 38 575 SH   SOLE   575 0 0
Starbucks Corporation COM 855244109 1,226 21,345 SH   SOLE   21,345 0 0
State St Corp COM 857477103 298 3,050 SH   SOLE   3,050 0 0
Stryker Corp COM 863667101 181 1,170 SH   SOLE   1,170 0 0
Sun Life Finl Inc Common COM 866796105 117 2,844 SH   SOLE   2,844 0 0
Suncor Energy Inc New COM 867224107 31 833 SH   SOLE   833 0 0
Sunpower Corp COM 867652406 0 27 SH   SOLE   27 0 0
Suntrust Banks Incorportated COM 867914103 20 315 SH   SOLE   315 0 0
Sysco Corp COM 871829107 39 650 SH   SOLE   650 0 0
TJX Companies Inc COM 872540109 546 7,140 SH   SOLE   7,140 0 0
T-mobile US Inc Common COM 872590104 10 150 SH   SOLE   150 0 0
Target Corp COM 87612E106 147 2,255 SH   SOLE   2,255 0 0
Teva Pharmacuticals Industry SPONSORED ADR 881624209 11 600 SH   SOLE   600 0 0
Thermo Fisher Scientific Inc COM 883556102 74 389 SH   SOLE   389 0 0
Thor Inds Inc Common COM 885160101 7 45 SH   SOLE   45 0 0
3M Company COM 88579Y101 207 880 SH   SOLE   880 0 0
Toronto Dominion Bk Ont Common New COM NEW 891160509 1 19 SH   SOLE   19 0 0
Total S.A. ADR SPONSORED ADR 89151E109 57 1,025 SH   SOLE   1,025 0 0
Toyota Mtr Corp ADR 2 SP ADR REP2COM 892331307 56 440 SH   SOLE   440 0 0
Transcanada Corp COM 89353D107 4 75 SH   SOLE   75 0 0
Tupperware Brands Corp COM 899896104 16 250 SH   SOLE   250 0 0
Tyson Foods Inc Class A CL A 902494103 51 625 SH   SOLE   625 0 0
US Bancorp Del COM NEW 902973304 2,665 49,739 SH   SOLE   49,739 0 0
Unilever PLC ADR SPON ADR NEW 904767704 95 1,725 SH   SOLE   1,725 0 0
Union Pacific Corporation COM 907818108 395 2,945 SH   SOLE   2,945 0 0
United Contl Hldgs Inc Common COM 910047109 2 28 SH   SOLE   28 0 0
United Parcel Service CL B 911312106 1,625 13,638 SH   SOLE   13,638 0 0
United Rentals Inc Common COM 911363109 5 28 SH   SOLE   28 0 0
United Sts Nat Gas Fund Lp Unit Par $0.001 UNIT PAR $0.001 912318201 8 1,375 SH   SOLE   1,375 0 0
United States Oil FD LP UNITS 91232N108 24 2,000 SH   SOLE   2,000 0 0
United Technologies Corp COM 913017109 1,182 9,265 SH   SOLE   9,265 0 0
United Health Group Inc COM 91324P102 402 1,825 SH   SOLE   1,825 0 0
Uniti Group Inc Common COM 91325V108 4 214 SH   SOLE   214 0 0
V F Corp Common COM 918204108 12 167 SH   SOLE   167 0 0
Valero Energy Corp COM 91913Y100 102 1,115 SH   SOLE   1,115 0 0
Valvoline Inc COM 92047W101 70 2,796 SH   SOLE   2,796 0 0
Vaneck Vectors Tr High-yield Mun Index ETF HIGH YLD MUN ETF 92189F361 30 970 SH   SOLE   970 0 0
Vaneck Vectors ETF Short High-yield Mun Index SHORT HIGH YIELD 92189F387 15 615 SH   SOLE   615 0 0
Vanguard Tax-mgd Intl Fd Ftse Dev Mkts ETF FTSE DEV MKT ETF 921943858 11 236 SH   SOLE   236 0 0
Varian Medical Systems, Inc. COM 92220P105 58 525 SH   SOLE   525 0 0
Vectren Corporation COM 92240G101 94 1,450 SH   SOLE   1,450 0 0
Vector Group LTD Common COM 92240M108 25 1,122 SH   SOLE   1,122 0 0
Ventas COM 92276F100 1 11 SH   SOLE   11 0 0
Vanguard Real Estate ETF REIT ETF 922908553 1,228 14,803 SH   SOLE   14,803 0 0
Vanguard Small Cap ETF SMALL CP ETF 922908751 12 81 SH   SOLE   81 0 0
Vanguard Total Stock Market ETF TOTAL STK MKT 922908769 524 3,820 SH   SOLE   3,820 0 0
Verizon Communications Inc Usd 1 COM 92343V104 2,187 41,324 SH   SOLE   41,324 0 0
Visa Inc COM CL A 92826C839 1,293 11,337 SH   SOLE   11,337 0 0
Vodafone Group Plc New Sponsored ADR SPONSORED ADR 92857W308 6 200 SH   SOLE   200 0 0
Wec Energy Group Inc COM 92939U106 37 556 SH   SOLE   556 0 0
Wal Mart Inc COM 931142103 1,486 15,053 SH   SOLE   15,053 0 0
Walgreens Boots Alliance Inc COM 931427108 163 2,242 SH   SOLE   2,242 0 0
Waste Management Inc New COM 94106L109 624 7,235 SH   SOLE   7,235 0 0
Wells Fargo & Co New COM 949746101 2,024 33,360 SH   SOLE   33,360 0 0
Westar Energy Inc COM 95709T100 29 556 SH   SOLE   556 0 0
Western Asset Managed Muns Fdinc Common COM 95766M105 42 3,000 SH   SOLE   3,000 0 0
Western Digital Corp COM 958102105 3 36 SH   SOLE   36 0 0
Western Union Co Com COM 959802109 38 2,000 SH   SOLE   2,000 0 0
Weyerhaeuser Common COM 962166104 9 250 SH   SOLE   250 0 0
The Williams Co Inc COM 969457100 66 2,150 SH   SOLE   2,150 0 0
Windstream Hldgs Inc Common New COM NEW 97382A200 0 184 SH   SOLE   184 0 0
Xilinx INC CORP COMMON COM 983919101 13 200 SH   SOLE   200 0 0
Zimmer Biomet Holdings Inc COM 98956P102 1,809 14,995 SH   SOLE   14,995 0 0
Zoetis Inc Class A CL A 98978V103 3 46 SH   SOLE   46 0 0
Adient PLC Registered Shs ORD SHS G0084W101 2 23 SH   SOLE   23 0 0
Accenture PLC SHS CLASS A G1151C101 87 570 SH   SOLE   570 0 0
Eaton Corporation PLC SHS G29183103 118 1,490 SH   SOLE   1,490 0 0
Johnson Controls International PLC Shs SHS G51502105 845 22,183 SH   SOLE   22,183 0 0
Mallinckrodt PLC Usd SHS G5785G107 0 9 SH   SOLE   9 0 0
Medtronic PLC SHS G5960L103 97 1,202 SH   SOLE   1,202 0 0
Pentair PLC SHS G7S00T104 5 68 SH   SOLE   68 0 0
Logitech International Sa, Apples Namen-akt. SHS H50430232 34 1,000 SH   SOLE   1,000 0 0
TE Connectivity LTD REG SHS H84989104 7 76 SH   SOLE   76 0 0
Royal Caribbean Cruises Ltd Shs COM V7780T103 45 375 SH   SOLE   375 0 0
Broadcom LTD, Singapore Shs SHS Y09827109 188 730 SH   SOLE   730 0 0
Capital Product Partners LP COM UNIT LP Y11082107 7 2,000 SH   SOLE   2,000 0 0