| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| Duke Energy Corp 3.35% 5/15/22 | 46,872 | 46,872 |
| Asian Dev Bk 1.875% 8/10/22 | 30,803 | 30,803 |
| The Bank of No 2.375% 1/18/23 | 62,341 | 62,341 |
| Apple Inc 2.85% 2/23/23 | 62,974 | 62,974 |
| The European Ba 0.25% 7/10/23 | 65,037 | 65,037 |
| Citigroup Inc 5/15/24 | 61,826 | 61,826 |
| European Invt Bk 2.5% 10/15/24 | 64,984 | 64,984 |
| Bank of America 10/22/25 | 63,905 | 63,905 |
| Starbucks Corp 2.45% 6/15/26 | 48,630 | 48,630 |
| Midamerican Energy 3.1% 5/1/27 | 61,605 | 61,605 |
| Equinix Inc 1.55% 3/15/28 | 5,035 | 5,035 |
| Verizon Communications 3.875% 2/28/29 | 46,943 | 46,943 |
| Pfizer Inc 2.625% 4/1/30 | 44,275 | 44,275 |
| Alphabet Inc 1.1% 8/15/30 | 34,450 | 34,450 |
| Kings Loc SD 3.25% 12/1/21 | 61,583 | 61,583 |
| Ypsilanti MI SD 2.44% 5/1/22 | 61,021 | 61,021 |
| Triboro Brdg/Tu 3.884% 11/15/22 | 26,186 | 26,186 |
| Univ Pitt PA 2.871% 9/15/23 | 21,305 | 21,305 |
| Commonwealth FA 2.023% 6/1/24 | 20,837 | 20,837 |
| Univ CA 3.159% 5/15/25 | 22,251 | 22,251 |
| Interntnl Bk 0.375% 7/28/25 | 44,924 | 44,924 |
| Category/ Item | Listed at Cost or FMV | Book Value | End of Year Fair Market Value |
|---|---|---|---|
| Allign Impact Fund II, LP | AT COST | 90,394 | 90,394 |
| Align TMIF II Access Fund LP | AT COST | 182,142 | 182,142 |
| Beneficial Return LLC | AT COST | 50,000 | 50,000 |
| Greenbacker Renewable Energy | AT COST | 97,267 | 97,267 |
| International Columbia US LLC | AT COST | 267,284 | 267,284 |
| Low Income Investment Fund | AT COST | 200,000 | 200,000 |
| Rose Affordable Housing V LP | AT COST | 99,968 | 99,968 |
| SJF Ventures Fund V LP | AT COST | 24,443 | 24,443 |
| Sonen Global Sustainable LLC | AT COST | 7,343 | 7,343 |
| UP Fund LP | AT COST | 38,015 | 38,015 |
| Putting America Back to Work Fund | AT COST | 12,008 | 12,008 |
| Odin Capital LP | AT COST | 343,285 | 343,285 |
| Calvert Bond I, 35,690.719 Sh | FMV | 611,025 | 611,025 |
| Calvert Short Duration, 30,079.111 Sh | FMV | 497,509 | 497,509 |
| CRA Qualified Investment, 58,259.231 Sh | FMV | 630,947 | 630,947 |
| PAX High Yield Bd Inst, 37,211.289 Sh | FMV | 258,246 | 258,246 |
| TIAA-CREF Core Impact, 80,946.962 Sh | FMV | 877,465 | 877,465 |
| Invesco Cleantech, 14,830 Sh | FMV | 1,114,178 | 1,114,178 |
| Invesco S&P Global Water, 3,180 Sh | FMV | 148,824 | 148,824 |
| iShares Esg Aware MSCI EAFE, 2,592 Sh | FMV | 189,320 | 189,320 |
| iShares Esg Aware MSCI USA, 7,170 Sh | FMV | 616,835 | 616,835 |
| iShares MSCI Global, 9,567 Sh | FMV | 893,127 | 893,127 |
| Nuveen ESG Emerging Mkt, 4,090 Sh | FMV | 136,817 | 136,817 |
| Nuveen ESG Mid Cap, 11,297 Sh | FMV | 339,784 | 339,784 |
| Nuveen ESG Small Cap, 20,666 Sh | FMV | 792,334 | 792,334 |
| Vanguard ST Bond, 417 Sh | FMV | 34,569 | 34,569 |
| Calvert Emerging Markets, 33,285.964 Sh | FMV | 740,946 | 740,946 |
| Calvert Equity I, 8,326.20 Sh | FMV | 652,692 | 652,692 |
| Calvert International, 32,301.682 Sh | FMV | 904,447 | 904,447 |
| Calvert Mid Cap, 10,169.824 Sh | FMV | 471,676 | 471,676 |
| Calvert Small Cap, 24,244.698 Sh | FMV | 782,619 | 782,619 |
| Calvert US Large Cap Core, 34,158.02 Sh | FMV | 1,175,036 | 1,175,036 |
| Calvert US Large Cap Value, 5,371.558 Sh | FMV | 143,528 | 143,528 |
| DFA Em Mkts, 22,425.265 Sh | FMV | 236,138 | 236,138 |
| DFA Intl Sustainability, 73,315.916 Sh | FMV | 887,856 | 887,856 |
| Hartford Global Impact, 32,075.381 Sh | FMV | 492,999 | 492,999 |
| PAX Ellevate Glbl Womens, 18,374.862 Sh | FMV | 560,433 | 560,433 |
| PAX Global Environment, 40,965.279 Sh | FMV | 869,693 | 869,693 |
| Versus Cap Multi-Man, 8,274.638 Sh | FMV | 225,484 | 225,484 |
| Hannon Armstrong Sus REIT, 11,710 Sh | FMV | 742,765 | 742,765 |
| Iroquois Valley Farmland, 163 Sh | FMV | 96,985 | 96,985 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Dues & Memberships | 6,900 | 6,900 | ||
| Logo Expenses | 900 | |||
| Other Investment Expenses | 480 | 480 | ||
| Postage & Delivery | 22 |
| Description | Revenue And Expenses Per Books | Net Investment Income | Adjusted Net Income |
|---|---|---|---|
| Partnership Income | 413,108 | 415,053 |
| Description | Amount |
|---|---|
| Psp Adj. fr Prior Year transfer fr Richard C Goldstein PF | 2,168,372 |
| Description | Beginning of Year - Book Value | End of Year - Book Value |
|---|---|---|
| Payroll Payable | 48,000 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Investment Advisor Fees | 179,826 | 179,826 | 0 | 0 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Excise Tax | 5,459 | |||
| Foreign Taxes w/h on Dividends | 4,090 | 4,090 |