| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| ACCOUNTING FEE | 3,000 | 1,500 | 1,500 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 500 SHS Ameren Corp. | 25,312 | 39,030 |
| 1000 SHS AT&T Inc. | 27,789 | 28,760 |
| 250 SHS Bristol-Myers Squibb Co. Com BMY | 14,213 | 15,508 |
| 250 SHS Bristol-Myers Squibb Co. RTS BMY-RT | 563 | 173 |
| 1300 SHS Cisco Sys Inc. | 14,342 | 58,175 |
| 100 SHS Costco Wholesale Corp. | 21,895 | 37,678 |
| 350 SHS Deere & Co. | 27,110 | 94,168 |
| 200 SHS Dell Technologies Inc. CL C | 5,225 | 14,658 |
| 250 SHS Disney Walt Co. | 25,625 | 45,295 |
| 634.114 SHS Dodge & Cox Intl Stock Fund | 23,958 | 27,711 |
| 924 SHS Exxon Mobil Corp. | 14,408 | 38,087 |
| 1300 SHS Fidelity MSCI Consumer Disc Index EFT | 47,169 | 92,950 |
| 1600 SHS Fidelity MSCI Indl Index ETF | 58,534 | 75,216 |
| 1900 SHS Fidelity MSCI Information Technology Iindex ETF | 79,517 | 198,569 |
| 1411.719 SHS Fidelity Select Biotechology | 34,730 | 35,547 |
| 503.039 SHS Fidelity Select Cosnumer Stples Port | 40,911 | 47,849 |
| 1066.907 SHS Fidelity Select Health Care | 32,740 | 33,864 |
| 489.896 SHS Fidelity Select Med Technology & Devices | 31,654 | 35,679 |
| 4677.617 SHS Fidelity Capital & Income (Div reivestment) | 47,778 | 50,144 |
| 4581.336 SHS Fidelity Strategic Income (Div reivestment) | 58,034 | 58,595 |
| 350 SHS Ishares Trust United States Treasury - Tips Bond ETF | 40,789 | 44,677 |
| 500 SHS Johnson & Johnson | 4,388 | 78,690 |
| 485 SHS JP Morgan Chase | 9,484 | 61,629 |
| 600 SHS Lazard Ltd Com CL A | 25,838 | 25,380 |
| 100 SHS Ligand Pharmaceuticals Inc. | 18,541 | 9,945 |
| 1000 SHS Microsoft Corp. | 7,504 | 222,420 |
| 1500 SHS Oppenheimer Holdings Inc. Com | 24,465 | 47,145 |
| 492 SHS Pfizer Inc. | 8,231 | 18,111 |
| 300 SHS Procter and Gamble Co. | 21,871 | 41,742 |
| 300 SHS Prudential Financial, Inc. | 23,621 | 23,421 |
| 1000 SHS Templeton Emg Mkt Incm Fd | 15,000 | 7,770 |
| 10670.421 SHS Thompson Bond Fund | 121,445 | 114,173 |
| 825 SHS Vanguard (Intermediate ) Scottsdale FDS IntermediateTerm Cor | 74,127 | 80,141 |
| 345 SHS Vanguard Sector Consm. Disc. Vipers | 49,979 | 94,937 |
| 880 SHS Vanguard BD Index FDS Total BND Mrkt | 74,225 | 77,607 |
| 544 SHS Verizon Communications | 22,471 | 31,960 |
| 61 SHS Viatris Inc. com | 458 | 1,143 |
| 150 SHS Walmart Inc. com | 14,182 | 21,622 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| SUPPLIES, POSTAGE & OFFICE EXP | 4 | 4 | 0 |