| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Tax Preparation | 5,228 | 0 | 0 | 5,228 |
| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| Muzinich Credit Opp Fd, 74,995.24 Sh | 786,700 | 786,700 |
| Virtus Seix High Inc, 105,829.29 Sh | 878,383 | 878,383 |
| Pioneer IIs Interval Fund, 106,044.54 Sh | 917,285 | 917,285 |
| Ecolab, 2.000%, 1/14/19 | 99,962 | 99,962 |
| American Intl group, 2.300%, 7/16/19 | 99,588 | 99,588 |
| Kraft Heinz Food, Var Cpn, 8/9/19 | 99,743 | 99,743 |
| Emory University, 5.625%, 9/1/19 | 101,743 | 101,743 |
| Costco Wholesale, 1.700%, 12/15/19 | 98,916 | 98,916 |
| Berkshire Hathawy Energy, 2.400%, 2/1/20 | 99,347 | 99,347 |
| Apple Inc, Var Cpn, 5/11/20 | 99,764 | 99,764 |
| Sherwin-Williams, 2.250%, 5/15/20 | 98,469 | 98,469 |
| American Honda Finance, 2.450%, 9/24/20 | 98,801 | 98,801 |
| Wal-Mart Stores, 3.250% 10/25/20 | 100,976 | 100,976 |
| Ford Motor Credit, 2.343%, 11/2/20 | 96,208 | 96,208 |
| Simon Ppty Group, 4.375%, 3/1/21 | 102,115 | 102,115 |
| NBCUniversal Media LLC | 102,498 | 102,498 |
| American Express Credit, 2.250%, 5/5/21 | 97,857 | 97,857 |
| Detroit Edison Co, 3.900%, 6/1/21 | 101,733 | 101,733 |
| Caterpillar Finl Service, 1.700%, 8/9/21 | 95,990 | 95,990 |
| Goldman Sachs Group, 2.350%, 11/15/21 | 96,421 | 96,421 |
| Bank of Nova Scotia, 2.450%, 9/19/22 | 72,414 | 72,414 |
| Wells Fargo & Co, Var Cpn, 3/29/49 | 99,375 | 99,375 |
| JPMorgan Chase, Var Cpn, 12/29/49 | 71,010 | 71,010 |
| Stanley Black & Decker, Var Cpn, 12/15/5 | 99,500 | 99,500 |
| Gilead Sciences Inc, 1.85% 9/20/19 | 99,106 | 99,106 |
| Starbucks, 2.2% 11/22/20 | 98,352 | 98,352 |
| Honeywell Int'l, 4.25% 3/1/21 | 102,818 | 102,818 |
| Electronic Arts, 3.7% 3/1/21 | 100,706 | 100,706 |
| Campbell Soup, 3.3% 3/15/21 | 99,480 | 99,480 |
| Walt Disney Co, 2.45% 3/4/22 | 97,890 | 97,890 |
| American Tower Corp, 3.5% 9/19/22 | 98,277 | 98,277 |
| CVS Health Corp, 3.7% 3/9/23 | 98,930 | 98,930 |
| SSM Health Care, 3.688% 6/1/23 | 100,917 | 100,917 |
| Prudential Financial, Var Cpn 6/15/43 | 97,933 | 97,933 |
| Southern Cal Edison, Var Cpn 8/1/49 | 190,500 | 190,500 |
| General Electric, Var Cpn 12/29/49 | 76,500 | 76,500 |
| Bank of NY, Var Cpn 12/31/99 | 97,500 | 97,500 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| Comcast Corp, 1,500 Sh | 51,075 | 51,075 |
| Nike Inc, 1,775 Sh | 131,598 | 131,598 |
| Home Depot, 825 Sh | 141,752 | 141,752 |
| Amazon.com, 130 Sh | 195,256 | 195,256 |
| Costco Wholesale Corp, 900 Sh | 183,339 | 183,339 |
| Medtronic PLC, 1,300 Sh | 118,248 | 118,248 |
| Becton Dickinson, 250 Sh | 56,330 | 56,330 |
| Thermo Fisher Scientific Inc, 750 Sh | 167,843 | 167,843 |
| ConocoPhillips, 606 Sh | 37,784 | 37,784 |
| 3M Co, 750 Sh | 142,905 | 142,905 |
| Roper Technologies Inc, 575 Sh | 153,249 | 153,249 |
| Microsoft Corp, 1,750 Sh | 177,747 | 177,747 |
| Cabot Microelectronics Corp, 400 Sh | 38,140 | 38,140 |
| Alphabet Inc C, 175 Sh | 181,232 | 181,232 |
| Visa Inc CL A, 500 Sh | 65,970 | 65,970 |
| Apple Inc, 650 Sh | 102,531 | 102,531 |
| Ipg Photonics Corp, 575 Sh | 65,142 | 65,142 |
| Alphabet Inc A, 38 Sh | 39,708 | 39,708 |
| TJX Cos Inc, 2,450 Sh | 109,613 | 109,613 |
| Lamb Weston Holdings, 1,200 Sh | 88,272 | 88,272 |
| UnitedHealth Group, 625 Sh | 155,700 | 155,700 |
| Schlumberger, 1,175 Sh | 42,394 | 42,394 |
| BlackRock Inc CL A, 340 Sh | 133,559 | 133,559 |
| CBRE Group, 3,650 Sh | 146,146 | 146,146 |
| Chubb Ltd, 1,025 Sh | 132,410 | 132,410 |
| East West Bancorp, 2,200 Sh | 95,766 | 95,766 |
| A.O. Smith Corp, 2,500 Sh | 106,750 | 106,750 |
| Texas Instruments, 1,400 Sh | 132,300 | 132,300 |
| Accenture PLC CL A, 1,000 Sh | 141,010 | 141,010 |
| Adobe Sys Inc, 625 Sh | 141,400 | 141,400 |
| Alibaba Group Hldg, 700 Sh | 95,949 | 95,949 |
| Celanese Corp, 1,175 Sh | 105,715 | 105,715 |
| Domino's Pizza, 425 Sh | 105,396 | 105,396 |
| Dorman Products, 925 Sh | 83,269 | 83,269 |
| Royal Caribbean Cruises, 800 Sh | 78,231 | 78,231 |
| Abbott Labs, 1,625 Sh | 117,535 | 117,535 |
| Berkshire Hathaway, 425 Sh | 86,777 | 86,777 |
| Mastercard Inc, 675 Sh | 127,339 | 127,339 |
| Applied Materials, 2,300 Sh | 75,301 | 75,301 |
| Category/ Item | Listed at Cost or FMV | Book Value | End of Year Fair Market Value |
|---|---|---|---|
| American Europacific Grth, 55,386.57 Sh | FMV | 2,496,826 | 2,496,826 |
| iShares Core S&P 500 ETF, 8,500 Sh | FMV | 2,138,685 | 2,138,685 |
| Harding Loevner Intl Eq, 50,076.88 Sh | FMV | 966,985 | 966,985 |
| Fundamental Investors, 15,515.34 Sh | FMV | 811,297 | 811,297 |
| Vanguard Tot Stk Mkt Inv, 11,191.23 Sh | FMV | 694,752 | 694,752 |
| iShares Russell 3000 ETF, 3,558 Sh | FMV | 522,741 | 522,741 |
| Vanguard 500 Indx, 1,481.16 Sh | FMV | 342,799 | 342,799 |
| SPDR S&P 500 ETF, 1,340 Sh | FMV | 334,893 | 334,893 |
| Stone Ridge All Asset, 112,060.45 Sh | FMV | 993,976 | 993,976 |
| Stone Ridge Alt Lend, 128,262.91 Sh | FMV | 1,303,151 | 1,303,151 |
| American Tower Corp, 1,025 Sh | FMV | 162,145 | 162,145 |
| Weyerhaeuser Co, 4,200 Sh | FMV | 91,812 | 91,812 |
| Infinity Q Divers, 60,189.17 Sh | FMV | 706,621 | 706,621 |
| Matthews Pacific Tiger, 20,114.12 Sh | FMV | 539,662 | 539,662 |
| Accolade Vi-C Thoma, 61,875 Sh | FMV | 61,875 | 61,875 |
| Blackstone Group, LP | FMV | 123,712 | 123,712 |
| Icapital - Insight Access Fund, LP | FMV | 206,707 | 206,707 |
| Btas 2016 | FMV | 354,601 | 354,601 |
| Golub Capital 11 Offshore | FMV | 262,500 | 262,500 |
| Harbert VI Offshore | FMV | 652,287 | 652,287 |
| True Green Capital III, LP | FMV | 262,011 | 262,011 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Bank Fees | 45 | 45 | ||
| Consulting Fees | 110,415 | 110,415 | ||
| Education | 895 | 895 | ||
| Filing Fees | 163 | 163 | ||
| Office Expenses | 112 | 112 |
| Description | Revenue And Expenses Per Books | Net Investment Income | Adjusted Net Income |
|---|---|---|---|
| Partnership Income | -41,644 | -36,931 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Investment Management Fees | 140,557 | 140,557 | 0 | 0 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Federal Excise Tax | 75,900 | |||
| Foreign Tax | 219 | 219 | ||
| Taxes - UBI | 1,000 |