| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| ACCOUNTING FEES | 7,075 | 0 | 7,075 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 243475.465 SHARES TIAA-CREF FDS SOC CHOI INSTL | 2,500,000 | 2,605,187 |
| 163 SHARES AMAZON COM INC | 215,928 | 282,953 |
| 1448 SHARES APPLE COMPUTER INC | 223,086 | 324,309 |
| 47 SHARES CIGNA CORP | 8,562 | 7,134 |
| 197 SHARES CALIFORNIA RES CORP | 3,482 | 2,009 |
| 375 SHARES COLUMBIA SPORTSWEAR CO | 28,671 | 36,334 |
| 200 SHARES COSTCO WHSL CORP | 35,786 | 57,622 |
| 1700 SHARES ISHARES TR | 198,224 | 210,137 |
| 450 SHARES LANCASTER COLONY | 54,276 | 62,393 |
| 2368 SHARES MICROSOFT CORP | 204,547 | 329,223 |
| 10500 SHARES NUSHARES ETF TR | 328,842 | 343,648 |
| 5000 SHARES NUSHARES ETF TR | 145,501 | 146,400 |
| 50 SHARES PIPER JAFFRAY COS | 3,582 | 3,774 |
| 504 SHARES POST HLDGS INC | 36,610 | 53,343 |
| 1748 SHARES ROLLINS INC | 53,121 | 59,554 |
| 1558 SHARES STARBUCKS CORP | 28,917 | 137,758 |
| 900 SHARES TARGET CORP | 63,846 | 96,219 |
| 4000 SHARES MSCI EM ESG OPZ | 137,386 | 130,120 |
| 3800 SHARES MSCI EAFE ESG OP | 241,731 | 243,656 |
| 16565.433 SHARES BOSTON TRUST WALDEN FUNDS-WALDEN MIDCAP | 300,000 | 311,926 |
| 62 SHARES ABBOTT LABS | 4,905 | 5,188 |
| 49 SHARES ABBVIE INC | 3,842 | 3,710 |
| 13 SHARES ALPHABET INC | 14,217 | 15,847 |
| 2 SHARES AMAZON COM INC | 2,649 | 3,472 |
| 54 SHARES AMERICAN WTR WKS CO INC | 6,203 | 6,708 |
| 72 SHARES APPLE COMPUTER INC | 11,093 | 16,126 |
| 98 SHARES BAKER HUGHES COMPANY | 2,169 | 2,274 |
| 227 SHARES BANK OF AMERICA CORPORATION | 6,328 | 6,622 |
| 12 SHARES BIOGEN IDEC INC | 2,738 | 2,794 |
| 7 SHARES BLACKROCK INC | 3,074 | 3,119 |
| 42 SHARES CVS CORP | 2,239 | 2,649 |
| 26 SHARES CELGENE CORP | 2,485 | 2,582 |
| 28 SHARES CHEVRON CORP | 3,322 | 3,321 |
| 192 SHARES CISCO SYS INC | 10,495 | 9,487 |
| 26 SHARES CLOROX CO DEL | 3,975 | 3,949 |
| 15 SHARES DEERE & CO | 2,179 | 2,530 |
| 86 SHARES DISNEY WALT CO | 11,522 | 11,208 |
| 64 SHARES GENERAL MLS INC | 3,248 | 3,528 |
| 64 SHARES GILEAD SCIENCES INC | 4,179 | 4,056 |
| 116 SHARES HESS CORP | 6,658 | 7,016 |
| 28 SHARES ILLINOIS TOOL WKS INC | 4,103 | 4,382 |
| 145 SHARES INTEL CORP | 6,578 | 7,472 |
| 130 SHARES J P MORGAN CHASE & CO | 14,115 | 15,300 |
| 32 SHARES KIMBERLY CLARK CORP | 4,254 | 4,546 |
| 6 SHARES KONTOOR BRANDS INC | 170 | 211 |
| 48 SHARES LOWE'S COS | 4,571 | 5,278 |
| 42 SHARES MARSH & MCLENNAN COS INC | 4,085 | 4,202 |
| 85 SHARES MERCK & CO INC | 6,958 | 7,155 |
| 112 SHARES MICROSOFT CORP | 9,675 | 15,571 |
| 36 SHARES MONDELEZ INTL INC | 1,917 | 1,992 |
| 50 SHARES MOSAIC CO NEW | 1,113 | 1,025 |
| 29 SHARES NEXTERA ENERGY INC | 5,872 | 6,757 |
| 111 SHARES NIKE INC | 8,970 | 10,425 |
| 14 SHARES NVIDIA CORP | 2,013 | 2,437 |
| 78 SHARES ONEOK INC NEW | 5,005 | 5,748 |
| 62 SHARES PEPSICO INC | 8,118 | 8,500 |
| 137 SHARES PFIZER INC | 5,820 | 4,922 |
| 54 SHARES PROCTER & GAMBLE CO | 5,806 | 6,717 |
| 31 SHARES PROLOGIS INC | 2,375 | 2,642 |
| 36 SHARES PRUDENTIAL FINL INC | 3,528 | 3,238 |
| 73 SHARES QUALCOMM INC | 4,963 | 5,568 |
| 17 SHARES S&P GLOBAL INC. | 3,757 | 4,165 |
| 80 SHARES SALESFORCE COM INC | 12,145 | 11,875 |
| 230 SHARES SCHWAB CHARLES CORP NEW | 9,757 | 9,621 |
| 6 SHARES SHERWIN WILLIAMS CO | 2,711 | 3,299 |
| 67 SHARES STARBUCKS CORP | 3,642 | 5,924 |
| 48 SHARES SYNCHRONY FINL | 1,644 | 1,636 |
| 66 SHARES TJX COS INC NEW | 3,373 | 3,679 |
| 25 SHARES T MOBILE US INC | 1,897 | 1,969 |
| 60 SHARES TEXAS INSTRS INC | 6,448 | 7,754 |
| 16 SHARES THERMO FISHER SCIENTIFIC INC | 4,418 | 4,660 |
| 32 SHARES 3M CO | 5,303 | 5,261 |
| 82 SHARES US BANCORP DEL | 4,245 | 4,538 |
| 12 SHARES UNITED PARCEL SERVICE INC | 1,184 | 1,438 |
| 13 SHARES UNITEDHEALTH GROUP INC | 3,168 | 2,825 |
| 40 SHARES V F CORP | 3,358 | 3,560 |
| 51 SHARES VERIZON COMMUNICATIONS | 2,950 | 3,078 |
| 48 SHARES VISA INC | 8,036 | 8,256 |
| 46 SHARES XYLEM INC | 3,579 | 3,663 |
| 19 SHARES ALLERGAN PLC | 2,363 | 3,198 |
| 21 SHARES ACCENTURE PLC IRELAND | 3,820 | 4,039 |
| 62 SHARES EATON CORP PLC | 4,800 | 5,155 |
| 70 SHARES JOHNSON CTLS INTL PLC | 2,738 | 3,072 |
| 37 SHARES MEDTRONIC PLC | 3,514 | 4,019 |
| 48 SHARES APTIV PLC | 3,466 | 4,196 |
| 66 SHARES ROYAL CARIBBEAN CRUISES LTD | 8,127 | 7,150 |
| 90 SHARES SIEMENS A G | 5,267 | 4,823 |
| 25 SHARES LINDE PLC | 4,834 | 4,843 |
| Description | Amount |
|---|---|
| ADJUSTMENT FOR DONATED STOCK | 205,230 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| INSURANCE EXPENSE | 750 | 0 | 750 | |
| DUES & MEMBERSHIPS | 5,695 | 0 | 5,695 | |
| MISCELLANEOUS EXPENSE | 12,184 | 0 | 12,184 | |
| FILING FEES | 25 | 0 | 25 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| INVESTMENT MGMT & TRUSTEE EXPENSES | 42,256 | 24,891 | 17,365 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| FOREIGN TAXES | 21 | 21 | 0 |