Giordano Fund

Portfolio Holdings as of 1/31/2010

Ticker Cusip Description Shares Market Value
AA 013817101 Alcoa Inc. 3,000.000 $38,190.00
BRKL 11373M107 Brookline Bancorp, Inc. 4,000.000 $40,040.00
COP 20825C104 ConocoPhillips 1,100.000 $52,800.00
CPSI 205306103 Computer Programs and Systems, Inc. 1,600.000 $60,208.00
CVX 166764100 Chevron Corportation 1,000.000 $72,120.00
EM050112 EM050112 Empire Corporation 05/01/12 275,000.000 $275,000.00
FMPXX 316175207 Fidelity Money Market Inst. Fund 59 23,709.920 $23,709.92
GE 369604103 General Electric Company 2,000.000 $32,160.00
HD 437076102 The Home Depot, Inc. 2,000.000 $56,020.00
JNJ 478160104 Johnson & Johnson 1,300.000 $81,718.00
LLY 532457108 Eli Lilly & Company 2,000.000 $70,400.00
MDT 585055106 Medtronic, Inc. 2,000.000 $85,780.00
MRK 58933Y105 Merck & Co., Inc. 2,000.000 $76,360.00
NUE 670346105 Nucor Corporation 1,400.000 $57,120.00
OLN 680665205 Olin Corporation 4,000.000 $66,000.00
PAYX 704326107 Paychex, Inc. 2,500.000 $72,475.00
RSW 78355W767 Rydex Inverse 2x S&P 500 ETF 1,000.000 $60,620.00
RTN 755111507 Raytheon Company 2,000.000 $104,860.00
SNA 833034101 Snap-On, Inc. 2,000.000 $81,760.00
TRV 89417E109 Travelers Group, Inc. 2,000.000 $101,340.00
WFC 949746101 Wells Fargo & Company 3,100.000 $88,133.00

Totals 338,709.920 $1,596,813.92