| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| TAX PREPARATION | 4,933 | 740 | 4,193 |
| Identifier | Return Reference | Explanation |
|---|---|---|
| FORM 990-PF PART II LINE 10 | BOOK VALUE OF ALL OF THE ORGANIZATION'S INVESTMENTS ARE RECORDED AT COST UNLESS OTHERWISE INDICATED. |
| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 177,585.60 SHS GS SHORT-TERM CONSERVATIVE INCOME FUND | 1,777,574 | 1,788,287 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 250 SHS CITIGROUP INC | 10,081 | 15,415 |
| 736 SHS DEERE & CO | 30,268 | 198,580 |
| 1,000 SHS T ROWE PRICE GROUP, INC. | 45,717 | 151,390 |
| 747 SHS WILLIAMS COMPANIES INC | 5,510 | 14,977 |
| 200 SHS ACCENTURE PLC CMN CLASS A | 43,108 | 52,237 |
| 900 SHS ACTIVISION BLIZZARD, INC CMN | 74,570 | 83,565 |
| 179 SHS ANSYS, INC. CMN | 40,204 | 65,120 |
| 416 SHS APPLE INC. CMN | 24,987 | 55,199 |
| 118 SHS AVALONBAY COMMUNITIES INC CMN | 23,588 | 19,118 |
| 220 SHS BIO TECHNE CORP CMN | 40,319 | 69,861 |
| 58 SHS BLACKROCK, INC. CMN | 37,802 | 41,849 |
| 2,060 SHS BRISTOL-MYERS SQUIBB COMPANY CMN | 116,774 | 128,791 |
| 639 SHS CARMAX, INC. CMN | 39,791 | 60,360 |
| 1,305 SHS CHARLES SCHWAB CORPORATION CMN | 45,177 | 69,217 |
| 300 SHS CHEVRON CORPORATION CMN | 32,299 | 25,335 |
| 1,000 SHS CISCO SYSTEMS, INC. CMN | 47,791 | 44,750 |
| 804 SHS COCA-COLA COMPANY (THE) CMN | 38,248 | 44,091 |
| 1,015 SHS COMCAST CORPORATION CMN CLASS A VOTING | 46,945 | 53,186 |
| 10,000 SHS DYADIC INTERNATIONAL INC. CMN | 73,476 | 53,800 |
| 207 SHS EATON CORP PLC CMN | 18,401 | 24,869 |
| 251 SHS ECOLAB INC. CMN | 39,922 | 54,427 |
| 2,000 SHS EVERGY, INC. CMN | 105,963 | 111,020 |
| 46,267 SHS HERITAGE GLOBAL INC. CMN | 120,038 | 123,070 |
| 238 SHS HONEYWELL INTL INC CMN | 42,480 | 50,623 |
| 11,000 SHS IDENTIV INC CMN | 74,713 | 93,500 |
| 117 SHS ILLINOIS TOOL WORKS CMN | 20,237 | 23,987 |
| 155 SHS ILLUMINA, INC CMN | 40,188 | 57,350 |
| 500 SHS INTERNATIONAL PAPER CO. CMN | 22,139 | 24,860 |
| 85 SHS INTUITIVE SURGICAL, INC. CMN | 40,556 | 69,539 |
| 6,972 SHS INVESCO S&P 500 EQUAL WEIGHT ETF | 750,929 | 889,209 |
| 400 SHS JOHNSON & JOHNSON CMN | 59,381 | 62,952 |
| 500 SHS JPMORGAN CHASE & CO CMN | 61,133 | 63,535 |
| 28,800 SHS LIGHTPATH TECHNOLOGIES, INC. CMN | 74,573 | 112,896 |
| 10,000 SHS LUNA INNOVATIONS INCORPORATED CMN | 65,788 | 98,800 |
| 44 SHS MARKEL CORPORATION CMN | 40,274 | 45,465 |
| 208 SHS MC DONALDS CORP CMN | 43,385 | 44,633 |
| 400 SHS MEDTRONIC PUBLIC LIMITED COMPA CMN | 43,449 | 47,030 |
| 219 SHS MICROSOFT CORPORATION CMN | 36,248 | 48,710 |
| 267 SHS NOVOCURE, LTD. CMN | 17,174 | 46,202 |
| 1,800 SHS PINTEREST INC CMN CLASS A | 38,739 | 118,620 |
| 13,468 SHS PRGX GLOBAL INC CMN | 76,727 | 102,761 |
| 316 SHS QUALCOMM INC CMN | 40,816 | 48,139 |
| 365 SHS RAYTHEON TECHNOLOGIES CORPORAT CMN | 13,217 | 26,101 |
| 200 SHS SEMPRA ENERGY CMN | 28,937 | 25,691 |
| 83,700 SHS SERVICESOURCE INTERNATIONAL, I CMN | 97,844 | 147,312 |
| 1,914 SHS SOUTHWEST AIRLINES CO CMN | 68,005 | 89,212 |
| 777 SHS STARBUCKS CORP. CMN | 59,706 | 83,123 |
| 92,255 SHS STREAMLINE HEALTH SOLUTNS, INC CMN | 142,468 | 143,918 |
| 135 SHS TELEFLEX INC. CMN | 39,341 | 55,562 |
| 300 SHS TEXAS INSTRUMENTS INC. CMN | 37,874 | 49,239 |
| 317 SHS THE HOME DEPOT, INC. CMN | 56,978 | 84,203 |
| 175 SHS THERMO FISHER SCIENTIFIC INC CMN | 48,920 | 81,550 |
| 100 SHS TRANSDIGM GROUP INCORPORATED CMN | 39,277 | 61,885 |
| 170 SHS UNION PACIFIC CORP. CMN | 31,881 | 35,397 |
| 6,315 SHS VANGUARD INDEX FUNDS - VANGUAR VANGUARD VALUE ETF | 749,895 | 751,232 |
| 427 SHS VENTAS, INC. CMN | 18,765 | 21,132 |
| 700 SHS VERIZON COMMUNICATIONS, INC. CMN | 41,560 | 41,125 |
| 400 SHS VULCAN MATERIALS CO CMN | 39,728 | 59,324 |
| 266 SHS WALT DISNEY COMPANY (THE) CMN | 25,055 | 48,194 |
| 400 SHS XCEL ENERGY INC. CMN | 29,200 | 26,840 |
| 6,860 SHS ZUORA, INC. CMN CLASS A | 75,636 | 95,560 |
| 46,390 SHS C-COM SATELLITE SYSTEMS INC CMN | 80,135 | 97,740 |
| 50,175 SHS CONVERGE TECHNOLOGY SOLUTIONS CMN | 66,721 | 194,137 |
| 232 SHS FRANCO-NEVADA CORPORATION CMN | 30,148 | 29,077 |
| 68,977 SHS NANO DIMENSION LTD SPONSORED ADR CMN | 157,487 | 626,311 |
| 2,200 SHS TOMRA SYSTEMS A/S SPONS ADR SPONSORED ADR CMN | 100,560 | 108,588 |
| 525 SHS WASTE CONNECTIONS, INC. CMN | 39,909 | 53,849 |
| Category/ Item | Listed at Cost or FMV | Book Value | End of Year Fair Market Value |
|---|---|---|---|
| 814 SHS SPDR GOLD SHARES INDEX FUND | AT COST | 127,495 | 145,185 |
| 3,000 SHS SPROTT PHYSICAL GOLD TRUST | AT COST | 41,373 | 45,270 |
| Description | Amount |
|---|---|
| PRIOR PERIOD ADJUSTMENT | 970,274 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| MANAGEMENT FEES | 5,644 | 2,822 | 1,411 |
| Description | Revenue And Expenses Per Books | Net Investment Income | Adjusted Net Income |
|---|---|---|---|
| LITIGATION SETTLEMENT | 5,032 | 5,032 | 5,032 |
| MISC INCOME | 60 | 60 | 60 |
| Description | Amount |
|---|---|
| NONDIVIDEND DISTRIBUTIONS | 1,146 |
| TAX TO BOOK LOSS ADJUSTMENT | 4,242 |
| Description | Beginning of Year - Book Value | End of Year - Book Value |
|---|---|---|
| SHORT SALES PAYABLE | 0 | 7,564 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| FEDERAL TAXES PAID | 64,094 | 0 | 0 | |
| FOREIGN TAXES PAID | 326 | 326 | 0 |