| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Accounting and Tax Preparation | 4,915 | 0 | 0 | 4,880 |
| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| Accrued Interest | 4,668 | 4,668 |
| PNC Financial S 6.87% Due 5/15/19 | 25,348 | 25,348 |
| Advanced Auto Parts 5.75% Due 5/1/20 | 25,676 | 25,676 |
| General Electric 5.55% Due 5/4/20 | 35,555 | 35,555 |
| Hillshire Brands 4.1% Due 5/4/20 | 35,239 | 35,239 |
| Kellog Co 4% Due 12/15/20 | 25,361 | 25,361 |
| Thermo Fisher SCI 4.5% Due 3/1/21 | 25,437 | 25,437 |
| Host Hotels 6% Due 10/1/21 | 26,293 | 26,293 |
| Express Scripts, 4.75% Due 11/15/21 | 25,701 | 25,701 |
| Verisk Analytic 4.125% Due 9/12/22 | 25,278 | 25,278 |
| Morgan Stanley 4.875% Due 11/1/22 | 25,748 | 25,748 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| Accrued Dividends | 1,521 | 1,521 |
| Honeywell International 285 Sh | 37,654 | 37,654 |
| Ingersoll Rand Cl A NEWF 400 Sh | 22,806 | 22,806 |
| Johnson & Johnson 600 Sh | 77,430 | 77,430 |
| Mcdonalds Corp 225 Sh | 39,953 | 39,953 |
| Microsoft Corp 570 Sh | 57,895 | 57,895 |
| Nestle SA Reg B ADR F 303 Sh | 24,531 | 24,531 |
| Pepsico Incorporated 275 Sh | 30,382 | 30,382 |
| Pfizer Incorporated 1,500 Sh | 65,475 | 65,475 |
| Travelers Companies Inc 275 Sh | 32,931 | 32,931 |
| United Technologies Corp 200 Sh | 21,296 | 21,296 |
| Accenture PLC, 200 Sh | 28,202 | 28,202 |
| Wells Fargo Bank, 700 Sh | 32,256 | 32,256 |
| 3M Company 300 Sh | 57,162 | 57,162 |
| CHS Inc 400 Sh | 10,104 | 10,104 |
| Wells Fargo Bank 7.5% PFD, 35 Sh | 44,167 | 44,167 |
| Bank of Am 7.25%, 10 Sh | 31,313 | 31,313 |
| Chubb LTD, 138 Sh | 17,827 | 17,827 |
| Vereit Inc 6.7% PFD, 300 Sh | 7,098 | 7,098 |
| Walt Disney Co, 450 Sh | 49,343 | 49,343 |
| Banc of Cali 7.375%, 150 Sh | 3,765 | 3,765 |
| Texas Capital BA 6.5% PFD, 300 Sh | 7,538 | 7,538 |
| Colony Capit 7.125%, 300 Sh | 11,070 | 11,070 |
| National Gener 7.5% PFD, 300 Sh | 5,961 | 5,961 |
| Auto Data Processing, 300 Sh | 39,336 | 39,336 |
| Cisco Systems, 800 Sh | 34,664 | 34,664 |
| Costco Wholesale Co | 35,649 | 35,649 |
| Home Depot Inc, 200 Sh | 34,364 | 34,364 |
| Lilly Eli & Co | 19,094 | 19,094 |
| Medtronic PLC, 450 Sh | 40,932 | 40,932 |
| Nexterra Energy, 200 Sh | 34,764 | 34,764 |
| Procter & Gamble, 400 Sh | 36,768 | 36,768 |
| Resideo Technologies Inc, 47 Sh | 966 | 966 |
| US Bancorp, 650 Sh | 29,705 | 29,705 |
| Verizon Communication, 1000 Sh | 56,220 | 56,220 |
| Zimmer Biomet Hldgs, 250 | 25,930 | 25,930 |
| Category/ Item | Listed at Cost or FMV | Book Value | End of Year Fair Market Value |
|---|---|---|---|
| Ishares Gold ETF, 1,667 Sh | FMV | 10,594 | 10,594 |
| Ishares TR Russel 2000, 88 Sh | FMV | 11,783 | 11,783 |
| Ishares Tips ,537 Sh | FMV | 58,807 | 58,807 |
| SPDR S&P 500 ETF TR 173 Sh | FMV | 43,236 | 43,236 |
| Vanguard DIV Appriciation 427 Sh | FMV | 41,825 | 41,825 |
| Vanguard FTSE Emerging 668 Sh | FMV | 25,451 | 25,451 |
| Vanguard FTSE ETF 2,154 Sh | FMV | 79,913 | 79,913 |
| Vanguard Total Stock MKT 386 Sh | FMV | 49,265 | 49,265 |
| Ishares JPMorgan USD 128 Sh | FMV | 13,300 | 13,300 |
| Ishares 20 Yr Treas 148 Sh | FMV | 17,983 | 17,983 |
| Ishares Edge MSCI Min, 262 Sh | FMV | 17,132 | 17,132 |
| Ishares Iboxx High Yield, 191 Sh | FMV | 15,490 | 15,490 |
| PIMCO Enhanced Shrt, 364 Sh | FMV | 36,746 | 36,746 |
| Vanguard Intermediate, 657 Sh | FMV | 54,439 | 54,439 |
| Eagle Point CRE 7.75%, 200 Sh | FMV | 5,076 | 5,076 |
| Banc Calif 7% PFD, 150 Sh | FMV | 9,848 | 9,848 |
| Global Indemnit 7.75% PFD, 200 Sh | FMV | 8,358 | 8,358 |
| Qwest Corp 7% PFD, 400 Sh | FMV | 8,276 | 8,276 |
| Ishares Commodities SLCT, 788 Sh | FMV | 24,026 | 24,026 |
| Select Sector Health, 134 Sh | FMV | 11,592 | 11,592 |
| Invesco QQQ Trust, 216 Sh | FMV | 33,320 | 33,320 |
| Invesco S&P 500 Low | FMV | 24,911 | 24,911 |
| Ishares Core 554, Sh | FMV | 58,995 | 58,995 |
| Ishares Core 15 Year, 1,391 | FMV | 68,242 | 68,242 |
| Ishares 1-3 year Treasury, 58 Sh | FMV | 49,085 | 49,085 |
| SPDR Fund Consumer, 225 Sh | FMV | 11,428 | 11,428 |
| Vanguard Consumer, 74 Sh | FMV | 11,138 | 11,138 |
| Vanguard Short Term, 999 Sh | FMV | 60,060 | 60,060 |
| Partnerre Ltd 6.5%, 800 Sh | FMV | 19,736 | 19,736 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Bank Fees | 13 | 13 | ||
| Filing Fees | 136 | 136 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Investment Management Fees | 19,656 | 19,656 | 0 | 0 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Federal Excise Tax | 3,500 | |||
| Foreign Tax Paid on Dividends | 159 | 159 |