| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| BP CAPITAL MARKETS PLC 4.74 2021-03-11 | 561,075 | 504,045 |
| NATIONAL RURAL UTIL COOP 3.00 2022-02-15 | 501,070 | 511,475 |
| ALPHABET INC 3.63 2021-05-19 | 27,101 | 25,324 |
| PACCAR FINANCIAL CORP 1.65 2021-08-11 | 482,875 | 504,170 |
| ROYAL BANK OF CANADA 2.75 2022-02-01 | 504,785 | 513,690 |
| AMERICAN MOVIL SAB DE CV 3.13 2022-07-16 | 491,345 | 518,630 |
| BANK OF NOVA SCOTIA 2.50 2021-01-08 | 491,235 | 500,095 |
| GENERAL ELECTRIC CAP CORP 4.65 2021-10-17 | 522,090 | 515,925 |
| HUNTINGTON NATIONAL BANK 3.25 2021-05-14 | 498,870 | 504,120 |
| IBM CORP 2.88 2022-11-09 | 493,030 | 525,705 |
| JOHN DEERE CAPITAL CORP 2.80 2023-01-27 | 501,265 | 525,295 |
| ALTRIA GROUP INC 4.00 2024-01-31 | 550,230 | 548,980 |
| INTERCONTINENTAL EXCHANGE 0.70 2023-06-15 | 504,255 | 500,280 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 1800 shares of CHEVRON CORPORATION | 148,146 | 152,010 |
| 15912 shares of TCF FINANCIAL | 125,360 | 589,062 |
| 3000 shares of PRUDENTIAL FINANCIAL | 149,474 | 234,210 |
| 9800 shares of A T T INC | 296,814 | 281,848 |
| 6400 shares of INTEL CORP | 143,073 | 318,848 |
| 4400 shares of APPLE INC | 21,344 | 583,836 |
| 1700 shares of MCDONALDS CORP | 147,841 | 364,786 |
| 250 shares of ALPHABET INC CL A | 129,059 | 438,160 |
| 10087 shares of INVESCO DEVELOPING MRKTS FD | 339,036 | 539,159 |
| 50254 shares of PRINCIPAL GLOBAL R/E SEC FD | 428,701 | 494,997 |
| 4500 shares of CVS HEALTH CORP | 296,333 | 307,350 |
| 2300 shares of JPMORGAN CHASE CO | 119,714 | 292,261 |
| 3300 shares of ABBVIE INC | 114,130 | 353,595 |
| 6000 shares of CISCO SYSTEMS | 140,085 | 268,500 |
| 2000 shares of CUMMINS INC | 259,789 | 454,200 |
| 10780 shares of PRINCIPAL MIDCAP FUND | 222,722 | 389,709 |
| 1900 shares of ALLSTATE CROP | 109,668 | 208,867 |
| 1900 shares of UNION PAC CORP | 214,098 | 395,618 |
| 4400 shares of CARDINAL HEALTH INC | 351,010 | 235,664 |
| 2000 shares of JOHNSON JOHNSON | 214,365 | 314,760 |
| 5100 shares of EXELON CORP | 197,987 | 215,322 |
| 46086 shares of TWEEDY BROWNE GLOBAL VALUE FD | 1,107,979 | 1,265,057 |
| 6200 shares of DR HORTON INC | 218,791 | 427,304 |
| 7700 shares of CHARLES SCHWAB CORP | 307,807 | 408,408 |
| 1200 shares of FEDEX CORPORATION | 221,931 | 311,544 |
| 1200 shares of BROADCOM LTD | 286,951 | 525,420 |
| 1400 shares of PACKAGING CORP OF AMERICA | 138,399 | 193,074 |
| 7400 shares of PPL CORPORATION | 255,358 | 208,680 |
| 21123 shares of DELAWARE EMERGING MARKETS FUND | 411,477 | 544,129 |
| 28850 shares of MFS GLOBAL REAL ESTATE FUND | 445,119 | 510,068 |
| 1500 shares of DIGITAL REALTY TRUST INC | 172,834 | 209,265 |
| 2400 shares of PEPSICO INC | 268,671 | 355,920 |
| 9800 shares of SUNCOR ENERGY INC | 237,846 | 164,444 |
| 2800 shares of INTERCONTINENTAL EXCHANGE INC | 205,255 | 322,812 |
| 1500 shares of STRYKER CORP | 257,297 | 367,560 |
| 1200 shares of UNITED HEALTHCARE GROUP | 276,986 | 420,816 |
| 1500 shares of VERTEX PHARMACEUTICALS INC | 234,408 | 354,510 |
| 1300 shares of LAM RESEARCH CORP | 162,412 | 613,951 |
| 2400 shares of SPLUNK INC | 250,078 | 407,736 |
| 6000 shares of WESTERN DIGITAL CORP | 335,256 | 332,340 |
| 3800 shares of INTERNATIONAL PAPER CO | 191,804 | 188,936 |
| 2500 shares of WALT DISNEY CO | 283,750 | 452,950 |
| 5100 shares of OMNICOM GROUP | 351,703 | 318,087 |
| 19211 shares of FIDELITY SMALL CAP GROWTH FD | 513,766 | 658,755 |
| 8570 shares of VANGUARD TAX MNGD SMALL CAP FD | 533,270 | 636,737 |
| 16215 shares of WELLS FARGO SPECIAL SMALL CAP VALUE | 552,833 | 590,389 |
| 13827 shares of VANGUARD INTL GROWTH FUND | 1,118,815 | 2,216,351 |
| 14416 shares of CORTEVA INC | 178,266 | 558,188 |
| 25600 shares of DOW INC | 594,159 | 1,420,800 |
| 7400 shares of EBAY INC | 284,071 | 371,850 |
| 2000 shares of SALESFORCE.COM | 298,070 | 445,060 |
| 24125 shares of NUANCE MID CAP VALUE FUND | 310,000 | 338,708 |
| 13833 shares of MFS INTL INTRINSIC VALUE FD I | 633,848 | 754,891 |
| 2200 shares of EQUITY RES PPTYS TR REIT | 184,614 | 130,416 |
| 5500 shares of TJX COS INC | 269,652 | 375,595 |
| 2600 shares of ARCHER DANIELS MIDLANC CO | 100,464 | 131,066 |
| 1400 shares of ESTEE LAUDER COS | 293,941 | 372,666 |
| 3400 shares of FISERV INC | 327,182 | 387,124 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| WARNER NORCROSS | 150 | 150 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| OFFICE SUPPLIES | 1,214 | 486 | 728 | |
| COUNCIL OF MICHIGAN FOUNDATION DUES | 5,700 | 5,700 | ||
| INSURANCE | 525 | 210 | 315 | |
| POSTAGE | 228 | 91 | 137 | |
| WEBSITE MAINTENANCE | 1,925 | 1,925 |
| Description | Revenue And Expenses Per Books | Net Investment Income | Adjusted Net Income |
|---|---|---|---|
| SECURITIES SETTLEMENT | 7,874 | 7,874 | |
| MISCELLANEOUS | 30 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| TCF NAITIONAL BANK INVSMT MNGMT FEES | 93,442 | 93,442 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| FEDERAL EXCISE TAX ON INVESTMENT INCOME | 8,092 | |||
| FOREIGN TAXES PAID ON DIVIDEND INCOME | 1,622 | 1,622 |