| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Accounting | 830 | 0 | 0 | 0 |
| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 3,725.70 Shares Vanguard S/T Bond Index | 39,716 | 40,498 |
| 100 Shares iShares Iboxx Inv | 12,806 | 13,813 |
| 450 Shares iShares 0-5 Yr Inv | 23,171 | 23,499 |
| 330 Shares Vanguard Total Intl Bond | 19,073 | 19,322 |
| 30 Shares iShares Barclays TIPS Bond | 3,498 | 3,830 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 44 Shares Becton Dickinson & Co | 5,409 | 11,009 |
| 58 Shares Chubb Corp. | 6,443 | 8,927 |
| 44 Shares Duke Energy Corp | 2,675 | 4,028 |
| 55 Shares Johnson & Johnson | 3,046 | 8,656 |
| 132 Shares Merck & Co. Inc. | 5,049 | 10,797 |
| 75 Shares Microsoft Corp. | 1,916 | 16,681 |
| 110 Shares Omnicom Group, Inc. | 3,934 | 6,861 |
| 60 Shares Pepsico, Inc. | 2,793 | 8,898 |
| 70 Shares Procter & Gamble Co. | 550 | 9,740 |
| 90 Shares Republic Services Inc | 2,546 | 8,667 |
| 45 Shares Sysco Corp | 1,257 | 3,342 |
| 107 Shares Xylem Inc | 2,676 | 10,892 |
| 70 Shares Accenture PLC | 1,628 | 18,285 |
| 170 Shares BCE, Inc. | 6,905 | 7,276 |
| 42 Shares McDonalds Corp | 4,024 | 9,012 |
| 219 Shares Intel Corp | 7,566 | 10,911 |
| 138 Shares US Bancorp | 6,489 | 6,429 |
| 65 Shares Check Point Software | 4,970 | 8,639 |
| 74 Shares Novartis | 5,321 | 6,988 |
| 72 Shares Target Corp | 4,387 | 12,710 |
| 30 Shares Adobe Inc | 5,769 | 15,004 |
| 50 Shares Kimberly Clark Corp | 6,363 | 6,742 |
| 86 Shares Mondelez Intn'l | 3,703 | 5,028 |
| 136 Shares TJX Cos Inc | 4,927 | 9,287 |
| 225 Shares Financial Select Sector | 6,661 | 6,633 |
| 75 Shares Genuine Parts CO | 6,624 | 7,532 |
| 52 Shares Linde PLC | 8,500 | 13,703 |
| 45 Shares Medtronic PLC | 3,712 | 5,271 |
| 106 Shares Northwest Natural Holding | 4,490 | 4,875 |
| 45 Shares Visa Inc Cl A | 6,333 | 9,843 |
| 75 Shares Zoetis Inc | 7,129 | 12,413 |
| 11 Shares Alcon Inc | 552 | 726 |
| 15 Shares AvalonBay Communities | 3,145 | 2,406 |
| 30 Shares Fidelity Natl Information | 3,414 | 4,244 |
| 200 Shares Inv Opp Develop Mkts Fd | 9,156 | 10,690 |
| 80 Shares iShares Core S&P | 16,471 | 18,386 |
| 145 Shares iShares Core S&P | 12,168 | 13,326 |
| 50 Shares JP Morgan Chase | 5,090 | 6,354 |
| 340 Shares Kinder Morgan | 6,881 | 4,648 |
| 40 Shares Prologis Inc | 3,308 | 3,986 |
| 25 Shares Public Storage | 5,832 | 5,773 |
| 90 Shares T-Mobile US Inc | 6,812 | 12,137 |
| 121 Shares TC Energy Corp | 5,499 | 4,927 |
| 100 Shares Truist Financial Corp | 4,570 | 4,793 |
| 350 Shares Vanguard FTSE | 15,393 | 16,524 |
| 23 Shares Alibaba | 5,890 | 5,353 |
| 20 Shares Costco Wholesale Corp | 6,108 | 7,536 |
| 5 Shares Equinix Inc | 3,436 | 3,571 |
| 75 Shares Edward Lifesciences Corp | 5,712 | 6,842 |
| 25 Shares L3 Harris Technologies Inc | 5,553 | 4,726 |
| 60 Shares NextEra Energy Inc | 3,290 | 4,629 |
| 12 Shares S&P Global Inc | 4,005 | 3,945 |
| 5 Shares Thermo Fisher Scientific Inc | 1,675 | 2,329 |
| 20 Shares Vertex Pharmaceuticals Inc | 5,289 | 4,727 |
| Description | Revenue And Expenses Per Books | Net Investment Income | Adjusted Net Income |
|---|---|---|---|
| Reclass of Income | 53 |
| Description | Beginning of Year - Book Value | End of Year - Book Value |
|---|---|---|
| Rounding | 2 | 4 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Federal Income Taxes | 1,487 | |||
| Foreign Taxes | 259 |