| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| PREPARATION OF 990-PF | 1,475 | 1,033 | 442 |
| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 25,000 SHS COLGATE PALMOLIVE CO MTNS BE MTNF 2.450% 11/15/21 | 25,527 | 25,337 |
| 25,000 SHS ALTRIA GROUP INC NOTE 2.85% 8/09/22 | 25,347 | 25,299 |
| 25,000 GILEAD SCIENCES INC NOTE 3.7% 4/01/24 | 25,546 | 26,465 |
| 25,000 OCCIDENTAL PETE CORP DEL NOTE 2.6% 4/15/22 | 25,097 | 25,127 |
| 25,000 SHS UNITEDHEALTH GROUP INC NOTE 2.875% 3/15/23 | 25,169 | 25,621 |
| 25000 SHS BANK AMER CORP MTNF 3.5% 4/19/26 | 24,094 | 26,542 |
| 25000 SHS JPMORGAN CHASE & CO MTNF 3.125% 1/23/25 | 23,854 | 25,886 |
| 25,000 SHS BANK OF NEW YORK MELLON 3.45% 8/11/23 | 25,443 | 26,212 |
| 25,000 SHS COMCAST CORP NEW 3.45% DUE 10/01/21 | 25,264 | 25,746 |
| 25,000 SHS JPMORGAN CHASE & CO MTNF 4.4% 7/22/20 | 25,343 | 25,469 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 200 SHS CONOCOPHILLIPS COM | 10,243 | 11,396 |
| 150 SHS JOHNSON & JOHNSON | 8,253 | 19,407 |
| 100 SHS PEPSICO | 5,351 | 13,710 |
| 400 SHS ABBOTT LABS | 8,959 | 33,468 |
| 200 SHS MICROSOFT CORP | 5,853 | 27,806 |
| 200 SHS JP MORGAN CHASE | 9,065 | 23,538 |
| 150 SHS CHEVRON CORP NEW | 9,836 | 17,790 |
| 429 SHS VANGUARD INTL EQUITY INDEX F | 17,102 | 17,271 |
| 150 SHS AMERICAN EXPRESS CO | 6,854 | 17,742 |
| 100 SHS AUTODESK INC | 4,404 | 14,770 |
| 100 SHS BERKSHIRE HATHAWAY INC DEL CL B NEW | 8,280 | 20,802 |
| 250 SHS COMPASS MINERALS INTL INC | 23,336 | 14,122 |
| 200 SHS EXXON MOBIL CORP | 16,146 | 14,122 |
| 100 SHS GENERAL DYNAMICS CORP | 6,856 | 18,273 |
| 300 SHS PAYCHEX INC | 9,922 | 24,831 |
| 400 SHS PFIZER INC | 7,660 | 14,372 |
| 100 SHS 3M CO COM | 8,282 | 16,440 |
| 100 SHS MCDONALDS CORP | 8,880 | 21,471 |
| 6134.351 SHS BARON SELECT FUNDS | 74,983 | 82,998 |
| 1484.621 SHS DIAMOND HILL FDS | 35,336 | 40,827 |
| 467 SHS PIMCO ETF TR 0-5 HIGH YIELD | 48,213 | 46,588 |
| 200 SHS COCA COLA CO | 7,645 | 10,888 |
| 450 SHS ISHARES TR S&P MIDCAP 400 | 63,523 | 86,953 |
| 5735.295 SHS DELAWARE GROUP EQUITY FDS V SML CAP CORE I | 117,000 | 128,929 |
| 15 SHS ALPHABET INC CAP STK CL C | 5,719 | 18,285 |
| 50 SHS GRAINGER W W INC | 12,203 | 14,857 |
| 250 SHS PAYPAL HLDGS INC | 5,863 | 25,898 |
| 10 SHS BOOKING HLDGS INC | 11,499 | 19,626 |
| 120 SHS UNION PAC CORP | 11,651 | 19,438 |
| 100 SHS VISA INC COM CL A | 5,254 | 17,201 |
| 679.579 SHS GATEWAY TR GATEWAY FD Y | 20,000 | 22,807 |
| 150 SHS CERNER CORP | 8,219 | 10,225 |
| 1,012 SHS VANGUARD MALVER FDS STRM | 50,110 | 49,639 |
| 6,211.18 SHS ADVISORS INNER CIRCLE FD II CHPLN MDC INST | 100,000 | 124,720 |
| 5383.136 SHS HARDING LOEVNER FDS INC INTL EQUITY PR | 116,898 | 118,268 |
| 15107.494 SHS TEMPLETON FDS INC FOREIGN FD ADV | 117,776 | 102,429 |
| 100 SHS ADOBE SYS INC | 14,837 | 27,625 |
| 150 SHS ALLSTATE CORP | 10,118 | 16,302 |
| 10 SHS AMAZON COM INC | 8,184 | 17,359 |
| 100 SHS APPLE INC | 11,659 | 22,397 |
| 30 SHS BIOGEN INC | 8,048 | 6,985 |
| 25 SHS BLACKROCK INC | 8,642 | 11,141 |
| 180 SHS CITIGROUP INC COM NEW | 8,960 | 12,434 |
| 150 SHS HASBRO INC | 14,201 | 17,804 |
| 100 SHS HONEYWELL INTL INC | 13,037 | 16,920 |
| 100 SHS MCKESSON CORP | 16,163 | 13,666 |
| 250 SHS STARBUCKS CORP | 13,404 | 22,105 |
| 400 SHS HALLIBURTON CO | 18,481 | 7,540 |
| 200 SHS PROCTER & GAMBLE COMPANY | 15,591 | 24,876 |
| 150 SHS VERIZON COMMUNICATIONS INC | 7,430 | 9,054 |
| 200 SHS ZIONS BANCORPORATION | 10,661 | 8,904 |
| 5952.38 INVESCO OPPEN SRY FD | 50,000 | 44,881 |
| 175 SHS EOG RES INC | 16,376 | 12,989 |
| 75 SHS STRYKER CORP | 15,479 | 16,222 |
| 100 SHS ZOETIS INC CL A | 11,364 | 12,459 |