| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| ACCOUNTING FEES | 30,910 | 7,727 | 23,183 |
| Identifier | Return Reference | Explanation |
|---|---|---|
| FORM 990-PF, PART III, LINE 3 - TRANSFER OF ASSETS FROM TRUST AT COST | LEGION OF CHRIST, ET AL (RMD) (EIN: 35-7045478) TRANSFERRED THE FAIR MARKET VALUE OF $13,467,04 ($10,603,850 COST VALUE) OF INVESTMENTS AND CASH TO THIS SUCCESSOR ENTITY THROUGH A LIQUIDATION UNDER SECTION 1.507-3(A)(1) OF THE TREASURY REGULATIONS. |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 552 SHS AVALON BAY CMNTYS INC | 88,557 | 88,557 |
| 376 SHS CROWN CASTLE INTL CO | 59,855 | 59,855 |
| 20,118.611 SHS CROSSMARK STEWARD INTL | 456,692 | 456,692 |
| 15,067.525 SHS CROSSMARK STEWARD SM-MD | 227,218 | 227,218 |
| 6,056.465 SHS FEDERATED HERMES EMERGIN | 115,436 | 115,436 |
| 51,802.069 SHS FEDERATED HERMES GLOBAL | 669,801 | 669,801 |
| 19,930.628 SHS HARDING LOEVNER INTERNAT | 566,428 | 566,428 |
| 10,006.673 SHS JOHCM INTERNATIONAL SELE | 302,802 | 302,802 |
| 16,297.249 SHS PARNASSUS MID CAP INSTIT | 666,069 | 666,069 |
| 12,555.592 SHS VERSUS CAP MULTI-MAN | 342,140 | 342,140 |
| 25,953.741 SHS FEDERATED HERMES TOTAL RETURN BOND IS | 300,285 | 300,285 |
| 86,321.546 SHS FEDERATED HERMES ULTRASHORT BOND IS | 795,885 | 795,885 |
| 31,076.46 SHS JPMORGAN STRATEGIC INCOME OPPORTS I | 357,379 | 357,379 |
| 13,901.766 SHS MIROVA GLOBAL GREEN BOND | 149,861 | 149,861 |
| 13,896.612 SHS PARNASSUS FIXED INCOME INSTITUTIONAL | 250,278 | 250,278 |
| 40,597.325 SHS PRAXIS IMPACT BOND I | 452,254 | 452,254 |
| 74,684.579 SHS TIAA-CREF CORE IMPACT BOND INSTL | 809,581 | 809,581 |
| 11,200 SHS ISHARES MSCI KLD 400 SOCIAL INDX ETF | 801,248 | 801,248 |
| 16,300 SHS ISHARES ESG AWARE MSCIEM ETF | 684,274 | 684,274 |
| 34,62 SHS ISHARES ESG AWARE MSCIEAFE ETF | 252,864 | 252,864 |
| 1,000 SHS XEROX HOLDINGS CORP | 23,190 | 23,190 |
| 1,175 SHS XYLEM INC. | 119,603 | 119,603 |
| 222 SHS VIATRIS INC | 4,160 | 4,160 |
| 779 SHS VISA INC | 170,391 | 170,391 |
| 646 SHS WALMART INC | 93,121 | 93,121 |
| 775 SHS WALT DISNEY CO | 140,415 | 140,415 |
| 600 SHS XCEL ENERGY INC MINN | 40,002 | 40,002 |
| 159 SHS THERMO FISHER SCNTFC | 74,059 | 74,059 |
| 1,200 SHS TJX COMPANIES INC | 81,948 | 81,948 |
| 850 SHS TRANE TECHNOLOGIES PLC F | 123,386 | 123,386 |
| 120 SHS UNION PACIFIC CORP | 24,986 | 24,986 |
| 250 SHS UNITED PARCEL SRVC | 42,100 | 42,100 |
| 418 SHS UNITEDHEALTH GRP INC | 146,584 | 146,584 |
| 300 SHS VARIAN MEDICAL SYSTM | 52,503 | 52,503 |
| 420 SHS PRUDENTIAL FINL | 32,789 | 32,789 |
| 591 SHS ROSS STORES INC | 72,581 | 72,581 |
| 300 SHS S&P GLOBAL INC | 98,619 | 98,619 |
| 600 SHS STATE STREET CORP | 43,668 | 43,668 |
| 825 SHS T ROWE PRICE GROUP | 124,897 | 124,897 |
| 525 SHS TEXAS INSTRUMENTS | 86,168 | 86,168 |
| 2,048 SHS ORACLE CORP | 132,485 | 132,485 |
| 1,120 SHS PEPSICO INC | 166,096 | 166,096 |
| 1,797 SHS PFIZER INC | 66,148 | 66,148 |
| 320 SHS PPG INDUSTRIES INC | 46,150 | 46,150 |
| 550 SHS MASTERCARD INC | 196,317 | 196,317 |
| 400 SHS MC CORMICK & CO INC | 38,240 | 38,240 |
| 1080 SHS MEDTRONIC PLC | 126,511 | 126,511 |
| 323 SHS MERCK & CO. INC. | 26,421 | 26,421 |
| 1,990 SHS MICROSOFT CORP | 442,616 | 442,616 |
| 500 SHS NORDSTROM INC | 15,605 | 15,605 |
| 1,700 SHS INTEL CORP | 84,694 | 84,694 |
| 520 SHS INTERCONTINENTAL EXC | 59,951 | 59,951 |
| 200 SHS INTL FLAVORS& FRAGRA | 21,768 | 21,768 |
| 100 SHS INTUIT INC | 37,985 | 37,985 |
| 800 SHS JPMORGAN CHASE & CO | 101,656 | 101,656 |
| 300 SHS KOHLS CORP | 12,207 | 12,207 |
| 660 SHS LOWES COS INC | 105,937 | 105,937 |
| 1,050 SHS GENERAL MILLS INC | 61,740 | 61,740 |
| 430 SHS HERSHEY CO | 65,502 | 65,502 |
| 1,500 SHS HEWLETT PACKARD ENTERPRI | 17,775 | 17,775 |
| 580 SHS HOME DEPOT INC | 154,060 | 154,060 |
| 1,750 SHS HP INC. | 43,033 | 43,033 |
| 300 SHS IBM CORP | 37,764 | 37,764 |
| 750 SHS INGERSOLL RAND INC | 34,170 | 34,170 |
| 469 SHS COGNIZANT TECH SOLU | 38,435 | 38,435 |
| 1,750 SHS CONOCOPHILLIPS | 69,983 | 69,983 |
| 402 SHS CUMMINS INC | 91,294 | 91,294 |
| 550 SHS DISCOVER FINL S | 49,792 | 49,792 |
| 1,185 SHS EATON CORP PLC | 142,366 | 142,366 |
| 530 SHS EVERSOURCE ENERGY | 45,850 | 45,850 |
| 1,500 SHS GAP INC | 30,285 | 30,285 |
| 700 SHS BANK OF NY MELLON CO | 29,708 | 29,708 |
| 400 SHS BECTON DICKINSON&CO | 100,088 | 100,088 |
| 340 SHS BERKSHIRE HATHAWAY | 78,836 | 78,836 |
| 200 SHS BIOGEN INC | 48,972 | 48,972 |
| 600 SHS C M S ENERGY CORP | 36,606 | 36,606 |
| 600 SHS CAMPBELL SOUP CO | 29,010 | 29,010 |
| 2,350 SHS CISCO SYSTEMS INC | 105,163 | 105,163 |
| 29 SHS AMAZON.COM INC | 94,451 | 94,451 |
| 620 SHS AMERICAN WATER WORKS | 95,151 | 95,151 |
| 241 SHS AMGEN INC. | 55,411 | 55,411 |
| 2,272 SHS APPLE INC | 301,472 | 301,472 |
| 612 SHS APPLIED MATERIALS | 52,816 | 52,816 |
| 1,200 SHS BALL CORP | 111,816 | 111,816 |
| 580 SHS ABBVIE INC | 62,147 | 62,147 |
| 140 SHS ACCENTURE PLC | 36,569 | 36,569 |
| 320 SHS ADOBE INC | 160,038 | 160,038 |
| 850 SHS AGILENT TECHNOLOGIES | 100,717 | 100,717 |
| 353 SHS ALLSTATE CORP | 38,805 | 38,805 |
| 60 SHS ALPHABET INC. | 105,158 | 105,158 |
| 100,000 SHS GNMA | 4,635 | 4,635 |
| 40,000 SHS FREDDIE MAC | 5,192 | 5,192 |
| 155,000 SHS FEDERAL NTNL MORT | 7,216 | 7,216 |
| 120,000 SHS FHLMC G01564 | 905 | 905 |
| 283,493 SHS FNMA PL 555591 | 4,189 | 4,189 |
| 180,000 SHS GNMA PL 594110 | 5,960 | 5,960 |
| 250,000 SHS FHLMC A17167 | 2,406 | 2,406 |
| 300,000 SHS FNMA PL 777139 | 2,330 | 2,330 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| INSURANCE | 1,073 | 0 | 1,073 |
| Description | Amount |
|---|---|
| TRANSFER OF ASSETS FROM TRUST (35-7045478) AT COST | 10,603,850 |
| UNREALIZED GAIN AT DATE OF TRANSFER | 3,749,829 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| INVESTMENT FEES | 32,604 | 32,604 | 0 |