| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| 4,750 | 4,750 | 4,750 | 4,750 |
| Identifier | Return Reference | Explanation |
|---|---|---|
| General Explanation Supplemental Information for Form 990-PF | PAGE 10PART XV QUESTION 2ALL INCOME EARNED BY THE TRUST IS DISTRIBUTED TO THE BRUNSWICK AREA STUDENT AID FUND AS REQUIRED BY THE TRUST INSTRUMENT. IT IS UP TO THE STUDENT AID FUND TO DISBURSE MONIES TO INDIVIDUALS. THE MCKENNEY BOOKER EDUCATION TRUST HAS NO INPUT IN WHO RECEIVES SCHOLARSHIPS THUS IT RECEIVES NO APPLICATIONS ETC... |
| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 50000 PETROBRAS INTL FIN NTS 5.375% | 50,177 | 51,625 |
| 50000 G E CAPITAL INTERNOTES 4.85% | 57,241 | 50,906 |
| 50000 FREEPORT MCMORAN CPR 3.55% | 45,115 | 50,125 |
| 50000 AT & T INC NTS 3.90% | 52,227 | 53,374 |
| 50000 KINDER MORGAN INC 4.150% | 50,053 | 53,206 |
| 50000 CITIGROUP INC. | 50,245 | 52,807 |
| 50000 GENERAL ELECTRIC CAP CORP 4.35% | 52,438 | 49,829 |
| 50000 APPLE INC NTS 2.85% | 52,058 | 50,849 |
| 50000 BANK OF AMERICA CORP | 50,207 | 53,415 |
| 50000 GENERAL MOTORS FIN CORP | 49,117 | 51,280 |
| 50000 WELLS FARGO & CO | 51,396 | 55,365 |
| 50000 KINDER MORAN INC | 51,313 | 50,045 |
| 50000 CVS CAREMARK CORP NTS | 50,099 | 53,142 |
| 50000 J P MORGAN CHASE NTS | 50,292 | 55,832 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 1000 S. EXXON MOBIL CORP | 9,967 | 68,480 |
| 4200 S. GENERAL ELECTRIC CO | 9,311 | 34,650 |
| 1500 S. INTEL CORP | 23,373 | 71,115 |
| 1000 S. JOHNSON & JOHNS0N | 66,517 | 128,360 |
| 1000 S. J. P. MORGAN CHASE | 43,083 | 109,860 |
| 1000 S. MERCK & CO | 24,914 | 86,470 |
| 1500 S. MICROSOFT CORP | 5,086 | 206,790 |
| 600 S. PEPSICO INC | 29,215 | 82,038 |
| 750 S. PROCTER & GAMBLE | 23,743 | 90,173 |
| 2825 VERIZON COMMUNICATIONS | 90,595 | 164,302 |
| 1085 S. ISHARES TRUST RUSSELL 2000 VAL I | 62,789 | 123,907 |
| 745 S. ISHARES TRUST RUSSELL 2000 GWTH | 40,951 | 145,052 |
| 1275 S. ISHARES TRUST RUSSELL M VAL IN | 31,673 | 110,441 |
| 1078 S. ISHARES TRUST RUSSELL M GRWTH | 37,672 | 154,316 |
| 900 S. ISHARES MSCI EAFE INDEX FD | 49,158 | 56,889 |
| 1000 S. APPLE INC | 9,471 | 208,740 |
| 70 S. ALPHABET INC CL A | 40,376 | 83,337 |
| 4515 S. FIDUCIARY CLAYMORE MLP | 88,225 | 39,913 |
| 3000 AT & T INC | 88,710 | 105,780 |
| 2600 S. ISHARES MSCI EMERGING MARKETS | 117,569 | 104,494 |
| 1000 S. COCA COLA CO | 25,310 | 55,040 |
| 833 S. DOW CHEMICAL | 29,438 | 35,511 |
| 2000 S. PFIZER INC | 30,300 | 71,100 |
| 500 S. HOME DEPOT INC | 17,644 | 113,955 |
| 400 S. NORFOLK STHN CORP | 19,120 | 69,620 |
| 500 S. BERKSHIRE HATHAWAY | 38,160 | 101,705 |
| 500 S. NIKE INC CL B | 9,814 | 42,250 |
| 2714 S. ADVENT CLAYMORE CONV SECS & INC | 51,653 | 38,837 |
| 1000 S. ENTERPRISE PRODUCTS PARTNER LP | 685 | 28,510 |
| 3000 S TEMPLETON EMERGING MRKT INC FD | 46,563 | 27,510 |
| 21026.221 ALIANCE BERNSTEIN HI INC FD | 188,788 | 172,415 |
| 500 S AMGEN | 44,335 | 104,310 |
| 750 S FACEBOOK | 17,470 | 139,252 |
| 400 S NETFLIX | 13,848 | 117,500 |
| 2000 S ANNALLY CAPITAL MGMT 7.50% | 51,940 | 50,460 |
| 2000 S GOLDMAN SACHS GROUP INC | 47,500 | 43,660 |
| 350 S BOEING COMPANY | 45,334 | 127,431 |
| 105 S AMAZON.COM | 51,200 | 186,510 |
| 350 S MASTERCARD INC CL A | 32,596 | 98,480 |
| 2000 S MORGAN STANLEY PFD 7.125% | 54,460 | 56,960 |
| 1500 CISCO SYSTEMS | 46,180 | 70,215 |
| 600 SALESFORCE.COM | 35,100 | 93,642 |
| 1000 TORONTO DOMINION BANK | 43,950 | 54,190 |
| 600 UNITED TECHNOLOGIES | 58,280 | 78,144 |
| 1500 S BANK OF AMERICA | 24,730 | 41,265 |
| 4000 S FORD MOTOR CO | 44,898 | 36,680 |
| 250 S IDEXX | 40,627 | 72,435 |
| 200 S LOCKHEED MARTIN CORP | 50,517 | 76,822 |
| 400 S NVIDIA | 25,197 | 67,004 |
| 200 S RAYTHEON CO | ||
| 300 S UNITEDHEALTH GROUP INC | 51,915 | 70,200 |
| 1500 S VODAPONE GROUP PLC | ||
| 400 S WEX INC | 43,803 | 81,820 |
| 16725.719 S EATON VANCE FLOATING | 182,049 | 178,296 |
| 1850 S BP PLC SPON | 72,779 | 68,357 |
| 400 S CATERPILLAR INC | ||
| 150 S FEDEX CORP | ||
| 2000 S FREEPORT MCMORAN | ||
| 300 S INTL BUSINESS MACH | 46,188 | 40,659 |
| 500 S PAYPAL HOLDINGS | 33,300 | 54,525 |
| 2500 S PETROLEO BRASILEIRO | ||
| 200 S SPOTIFY TECHNOLOGY | ||
| 1000 S UNDERARMOUR INC CL A | ||
| 550 S UNITED PARCEL SERVICE | 58,947 | 65,263 |
| 250 S 3M CO | 50,460 | 40,430 |
| 40 S BANK OF AMERICA CONV | 52,000 | 58,960 |
| 750 S CITIGROUP INC | 56,467 | 48,263 |
| 700 S ABBVIE INC | 50,060 | 46,018 |
| 500 S BPH GROUP LTD | 24,465 | 24,580 |
| 750 S COVETRUS INC | 27,518 | 9,968 |
| 1000 S CVS HEALTH CORP | 62,042 | 60,920 |
| 500 S. RIO TINTO PLC | 24,420 | 25,290 |
| 100 S. ROKU INC | 9,730 | 15,136 |
| 1000 S. SCHLUMBERGER LTD | 47,515 | 32,430 |
| 50 S. THE TRADE DESK | 11,229 | 12,289 |
| 200 S. THERMO FISHER SCIENTIFIC | 47,916 | 57,412 |
| 125 S. ZOOM VIDEO COMMUNICATIONS | 10,018 | 11,459 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| ADVERTISING | 42 | 42 | 42 | 42 |
| Description | Revenue And Expenses Per Books | Net Investment Income | Adjusted Net Income |
|---|---|---|---|
| Other Investment Income | 2,069 | 2,069 |
| Description | Amount |
|---|---|
| ROUNDING | 3 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| ACCOUNT MANAGEMENT FEES | 34,975 | 34,975 | 34,975 | 34,975 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| 3,301 | 3,301 |