| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 34 SHRS. ATLASSIAN CORPORATION PLC ( TEAM ) | 1,779 | 7,952 |
| 142 SHRS. EATON CORP PLC ( ETN ) | 7,114 | 17,060 |
| 50 SHRS. HORIZON THERAPEUTICS PUBLIC LIMITED ( HZNP) | 3,731 | 3,658 |
| 132 SHRS. MEDTRONIC, PLC ADR ( MDT ) | 12,511 | 15,462 |
| 153 SHRS. TRANE TECHNOLOGIES PUBLIC LIMITED CO( TT) | 3,801 | 22,209 |
| 110 SHRS. ABBVIE INC. ( ABBV) | 7,997 | 11,787 |
| 28 SHRS. ADOBE SYSTEMS INC ( ADBE ) | 1,064 | 14,003 |
| 170 SHRS. ADVANCED MICRO DEVICES INC ( AMD ) | 3,610 | 15,591 |
| 41 SHRS. AIR PRODUCTS & CHEMICALS INC ( APD ) | 8,888 | 11,202 |
| 23 SHRS. ALPHABET, INC. ( GOOGL) | 11,373 | 40,311 |
| 19 SHRS. AMAZON.COM INC ( AMZN ) | 3,659 | 61,882 |
| 480 SHRS. AMERICAN INTERNATIONAL GROUP INC ( AIG ) | 19,037 | 18,173 |
| 39 SHRS. AMERICAN TOWER CORPORATION ( AMT ) | 4,389 | 8,754 |
| 724 SHRS. APPLE INC ( AAPL ) | 22,435 | 96,068 |
| 500 SHRS. BANK OF AMERICA CORPORATION ( BAC) | 8,244 | 15,155 |
| 400 SHRS. BOSTON SCIENTIFIC CORPORATION ( BSX) | 14,481 | 14,380 |
| 200 SHRS. BRISTOL-MYERS SQUIBB COMPANY ( BMY) | 9,446 | 12,406 |
| 81 SHRS. CME GROUP INC ( CME ) | 14,507 | 14,746 |
| 210 SHRS. C S X CORP ( CSX ) | 8,122 | 19,058 |
| 110 SHRS. CVS HEALTH CORPORATION ( CVS ) | 6,934 | 7,513 |
| 140 SHRS. CELANESE CORP ( CE ) | 6,564 | 18,192 |
| 140 SHRS. CENTENE CORP DEL ( CNC ) | 8,770 | 8,404 |
| 25 SHRS. CHARTER COMMUNICATINS, INC. ( CHTR ) | 13,096 | 16,539 |
| 163 SHRS. CHEVRON CORPORATION ( CVX) | 14,564 | 13,765 |
| 320 SHRS. COCA - COLA CO ( KO ) | 16,978 | 17,549 |
| 210 SHRS. COMCAST CORP CL A ( CMCSA ) | 3,113 | 11,004 |
| 35 SHRS. COSTCO WHSL CORP NEW ( COST ) | 2,006 | 13,187 |
| 45 SHRS. CROWDSTRIKE HOLDINGS INC ( CRWD ) | 3,496 | 9,532 |
| 80 SHRS. DEERE & CO ( DE ) | 10,238 | 21,524 |
| 74 SHRS. THE WALT DISNEY COMPANY ( DIS ) | 1,427 | 13,407 |
| 46 SHRS. DOLLAR GENERAL CORP ( DG ) | 6,583 | 9,674 |
| 20 SHRS. EQUINIX, INC. ( EQIX ) | 9,496 | 14,284 |
| 160 SHRS. EXELON CORP ( EXC ) | 4,902 | 6,755 |
| 64 SHRS. F M C CORP ( FMC ) | 6,859 | 7,356 |
| 144 SHRS. FACEBOOK INC. ( FB) | 14,155 | 39,335 |
| 58 SHRS. HOME DEPOT INC ( HD ) | 1,289 | 15,406 |
| 99 SHRS. HONEYWELL INTL INC ( HON ) | 3,514 | 21,057 |
| 88 SHRS. ILLINOIS TOOL WKS INC ( ITW) | 7,638 | 17,941 |
| 20 SHRS. INTUIT ( INTU ) | 5,908 | 7,597 |
| 214 SHRS. JP MORGAN CHASE & CO ( JPM ) | 21,623 | 27,193 |
| 59 SHRS. JOHNSON & JOHNSON ( JNJ ) | 5,837 | 9,285 |
| 35 SHRS. KL A - TENCOR CORP ( KLAC) | 5,930 | 9,062 |
| 220 SHRS. LAS VEGAS SANDS CORP ( LVS) | 10,951 | 13,112 |
| 63 SHRS. LILLY ELI & CO ( LLY) | 9,958 | 10,637 |
| 110 SHRS. LUMENTUM HOLDINGS INC. ( LITE ) | 8,611 | 10,428 |
| 341 SHRS. MICROSOFT CORPORATION ( MSFT) | 32,106 | 75,845 |
| 380 SHRS. MICRON TECHNOLOGY INC ( MU ) | 15,378 | 28,568 |
| 230 SHRS. MONDELEZ INTERNATIONAL ( MOLZ) | 9,216 | 13,448 |
| 18 SHRS. NETFLIX COM INC ( NFLX) | 7,237 | 9,733 |
| 168 SHRS. NEXTERA ENERGY INC ( NEE ) | 6,679 | 12,961 |
| 141 SHRS. NIKE INC CLASS B STOCK ( NKE ) | 7,471 | 19,947 |
| 55 SHRS. NVIDIA CORP ( NVDA ) | 13,333 | 28,721 |
| 18 SHRS. O'REILLY AUTOMOTIVE INC ( ORLY ) | 6,967 | 8,146 |
| 122 SHRS. OTIS WORLDWIDE CORPORATION ( OTIS ) | 6,169 | 8,241 |
| 105 SHRS. PAYPAL HOLDINGS, INC. ( PYPL) | 11,253 | 24,591 |
| 350 SHRS. PFIZER INC ( PFE ) | 12,203 | 12,884 |
| 176 SHRS. PHILIP MORRIS INTERNATIONAL INC { PM ) | 14,420 | 14,571 |
| 52 SHRS. PIONEER NATURAL RESOURCES COMPANY ( PXD) | 7,467 | 5,922 |
| 133 SHRS. THE PROCTER & GAMBLE COMPANY ( PG ) | 12,650 | 18,506 |
| 65 SHRS. RAYTHEON TECHNOLOGIES CORP ( RTX) | 5,143 | 4,648 |
| 41 SHRS. S & P GLOBAL INC. ( SPGI ) | 8,987 | 13,478 |
| 29 SHRS. SALESFORCE.COM INC ( CRM ) | 651 | 6,453 |
| 200 SHRS. SCHWAB CHARLES CORP NEW ( SCHW) | 6,372 | 10,608 |
| 56 SHRS. SEMPRA ENERGY ( SRE ) | 8,967 | 7,135 |
| 49 SHRS. SKYWORKS SOLUTIONS INC ( SWKS) | 6,481 | 7,491 |
| 85 SHRS. SQUARE, INC. ( SO ) | 6,004 | 18,499 |
| 520 SHRS. SYNCHRONY FINANCIAL ( SYF) | 13,168 | 18,049 |
| 70 SHRS. T -MOBILE US, INC. ( TMUS) | 4,463 | 9,440 |
| 128 SHRS. TEXAS INSTRUMENTS INC ( TXN ) | 15,073 | 21,009 |
| 14 SHRS. THE TRADE DESK, INC. ( TTD) | 3,007 | 11,214 |
| 30 SHRS. THERMO FISHER SCIENTIFIC INC. ( TMO ) | 7,792 | 13,973 |
| 319 SHRS. TRUIST FINL CORP ( TFC ) | 14,107 | 15,290 |
| 62 SHRS. UNITEDHEALTH GROUP INC ( UNH ) | 10,429 | 21,742 |
| 80 SHRS. VALERO ENERGY CORP NEW ( VLO ) | 1,472 | 4,526 |
| 160 SHRS. VISA INC-CLASS A SHRS ( V) | 15,563 | 34,997 |
| 240 SHRS. VOYA FINANCIAL INC ( VOYA I | 7,183 | 14,114 |
| 91 SHRS. YUM! BRANDS INC ( YUM ) | 3,139 | 9,879 |
| Category/ Item | Listed at Cost or FMV | Book Value | End of Year Fair Market Value |
|---|---|---|---|
| 13505.494 SHRS. BNY MELLON CORPORATE BOND FUND | AT COST | 175,000 | 188,267 |
| 19435.783 SHRS. BNY MELLON INTERMEDIATE BOND FUND | AT COST | 250,137 | 254,803 |
| 11965.923 SHRS. BNY MELLON BOND FUND | AT COST | 150,770 | 159,865 |
| 11540.732 SHRS. BNY MELLON HIGH YIELD FUND - CLASS I | AT COST | 75,393 | 70,976 |
| 3779.012 SHRS. BNY MELLON FLOATING RATE INCOME FUND - CLASS Y | AT COST | 45,494 | 42,741 |
| 8848.549 SHRS. THE BNY MELLON MID CAP MU!TI-STRATEGY FUND ( MPMCX) | AT COST | 113,242 | 184,935 |
| 1932.364 SHRS. BNY MELLON MIDCAP INDEX FUND CLASS I ( DMIDX) | AT COST | 68,559 | 63,807 |
| 6244.402 SHRS. BNY MELLON SMALL CAP MULTI-STRATEGY FUND CLASS M ( MPSSX) | AT COST | 100,000 | 147,493 |
| 500 SHRS. ISHARES TR S & P SMALLCAP 600 ( IJR ) | AT COST | 38,274 | 45,950 |
| 7,910.816 SHRS. BNY MELLON INTERNATIONAL STOCK FUND ( DISYX) | AT COST | 114,910 | 191,204 |
| 1938 SHRS. ISHARES MSCI EAFE INDEX FD ( EFA ) | AT COST | 130,230 | 141,396 |
| 3,785.011 SHRS. G Q G PARTNERS EMERGING MARKETS EQUITY FUND ( GQGIX ) | AT COST | 50,000 | 67,941 |
| 2,354.381 SHRS. DFA EMERGING MARKETS CORE EQUITY FUNDS ( DFCEX ) | AT COST | 41,948 | 57,141 |
| 3,590.169 SHRS. BNY MELLON GLOBAL REAL ESTATE SECURITIES FUND-CL Y (DRLYX) | AT COST | 35,968 | 31,270 |
| 3,516.2 SHRS. BNY MELLON GLOBAL REAL RETURN FUND - CLASS Y | AT COST | 52,000 | 58,334 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| FILING FEE | 250 | 0 | 250 |
| Description | Revenue And Expenses Per Books | Net Investment Income | Adjusted Net Income |
|---|---|---|---|
| CLASS ACTION PROCEEDS | 46 | 46 | |
| OTHER INVESTMENT INCOME (LOSS) | -326 | -326 | -326 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| INVESTMENT MANAGEMENT FEES | 12,122 | 12,122 | 0 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| FOREIGN TAXES PAID | 744 | 744 | 0 |