| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| ACCOUNTING | 4,269 | 0 | 0 | 0 |
| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 1335 sh Legg Mason Inc | 33,375 | 32,440 |
| 252 sh Medley Capital Co. 6125 *23MH30 | 6,243 | 6,187 |
| 1000 AT&T Inc | 25,000 | 25,380 |
| 2000 Nextera Energy Cap Hldg Inc 5.65% | 50,000 | 50,740 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 222 sh Alcoa Corp | 4,307 | 6,252 |
| 32 sh Amgen Inc | 5,425 | 6,079 |
| 328 sh Apple Inc | 18,844 | 62,304 |
| 666 sh Arconic Inc | 12,450 | 12,727 |
| 60 sh Automatic Data Processing Inc | 5,201 | 9,584 |
| 3600 sh Bank of America Corp 6.2% CC | 90,000 | 93,168 |
| 1200 sh BB&T Corporation 5.85% | 30,000 | 30,204 |
| 153 sh Berkshire Hathaway Cl B New | 16,402 | 30,736 |
| 15 sh Blackrock Inc | 5,419 | 6,411 |
| 200 sh Boeing Company | 18,365 | 76,284 |
| 300 sh Caterpillar Inc | 25,240 | 40,647 |
| 119 sh Chevron Corp | 14,274 | 14,658 |
| 46 sh Chubb Ltd | 5,359 | 6,444 |
| 174 sh Consolidated Edison Ltd | 10,093 | 14,757 |
| 153 sh Costco Wholesale Corp | 16,636 | 37,047 |
| 79 sh Eaton Corp | 5,135 | 6,364 |
| 92 sh Exxon Mobil Corp | 8,416 | 7,434 |
| 434 sh Facebook Inc CL A | 16,492 | 72,343 |
| 286 sh General Mills Inc | 13,395 | 14,800 |
| 186 sh Honeywell International Inc | 12,682 | 29,559 |
| 667 sh Intel Corp | 14,116 | 35,818 |
| 259 sh JP Morgan Chase & Co | 13,835 | 26,219 |
| 2670 sh JP Morgan Chase & Co 6.15% BB | 66,750 | 70,168 |
| 276 sh Kraft Heinz Co. | 13,279 | 9,011 |
| 63 sh L Brands Inc | 5,251 | 1,738 |
| 213 sh Merck & Co Inc | 10,122 | 17,715 |
| 47 sh Nextera Energy Inc | 4,891 | 9,086 |
| 300 sh Pfizer Inc | 8,576 | 12,741 |
| 61 sh Philip Morris Int'l Inc | 5,333 | 5,392 |
| 64 sh Prudential Financial Inc | 5,582 | 5,880 |
| 34 sh Raytheon Co | 3,665 | 6,191 |
| 266 sh Sotheby's CL A | 10,254 | 10,041 |
| 4825 sh Time Warner Inc New | ||
| 200 shWells Fargo & Co New | 8,408 | 9,664 |
| 586 sh Weyerhauser Co | 17,660 | 15,435 |
| 25 Analog Devices Inc | 1,487 | 2,632 |
| 2 Vanguard nat Res Inc | 1 | |
| 59 VNR Fin Corp WTS | 2 | |
| 14,836 sh AT&T | 252,382 | 465,257 |
| 18 sh Garrett Motion Inc | 138 | 265 |
| Resideo Technologies Inc | 381 | 598 |
| 2000 sh Bank of America Co 5.875% Ser-HH | 50,000 | 51,840 |
| 4000 sh Keycorp 5.65% Ser-F | 100,000 | 98,600 |
| 2000 sh Public Storage 5.60% Ser H | 50,000 | 51,480 |
| 5.5%-K US Bank Corp | 100,000 | 101,640 |
| Category/ Item | Listed at Cost or FMV | Book Value | End of Year Fair Market Value |
|---|---|---|---|
| 470 sh Ares Capital Corp | AT COST | 8,471 | 8,056 |
| 203 sh Energy Sel Sect SPDR Fd | AT COST | 16,558 | 13,422 |
| 340 sh Health Care Sel Sect SPDR Fd | AT COST | 16,614 | 31,195 |
| 600 sh Hercules Capital Inc | AT COST | 8,434 | 7,596 |
| 300 sh Ishares Latin America 40 ETF | AT COST | 13,201 | 9,969 |
| 320 sh Ishares MSCI Emerging Markets ET | AT COST | 14,087 | 13,734 |
| 300 sh Ishares MSCI EMU ETF | AT COST | 10,076 | 11,580 |
| 800 sh KCAP Financial Inc | AT COST | 8,027 | 2,896 |
| 666 sh Pennant Park FLTG RT Cap Ltd | AT COST | 9,547 | 8,531 |
| 666 sh Blackrock TCP Capital Corp | AT COST | 10,529 | 9,444 |
| 440 sh Utilities Sel Sect SPDR Fund | AT COST | 16,838 | 25,595 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| EXCISE TAX | 2,000 |