| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Read, Martin & Slickman 990-PF preparation | 900 | 0 |
| Name | Date Acquired | How Acquired | Date Sold | Purchaser Name | Gross Sales Price | Basis | Basis Method | Sales Expenses | Total (net) | Accumulated Depreciation |
|---|---|---|---|---|---|---|---|---|---|---|
| SEE PART IV | 192,703 | 185,720 | 6,983 |
| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| GS FIN CORP DTD 5/17/18 0% | 22,000 | 23,834 |
| GS FIN CORP DTD 5/17/18 0% | 22,000 | 24,429 |
| JP MORGAN CHASE FINL CO LLC DTD | 22,000 | 28,816 |
| MORGAN STANLEY FIN LLC DTD | 22,000 | 24,420 |
| MORGAN STANLEY FIN LLC DTD | 22,000 | 23,986 |
| WELLS FARGO & CO DTD 5/17/18 0% | 22,000 | 29,049 |
| 2,755.442 SH - AMERICAN FUNDS STRATEGIC BOND FD F3 | 33,015 | 32,417 |
| 2,815.133 SH - BLACKROCK BOND FD INC FD CL A | 31,670 | 34,429 |
| 3,012.991 SH - BLACKROCK BOND FD INC FD INSTL CL | 35,512 | 36,849 |
| 991.885 SH - BLACKROCK FDS V MLTAST INC INSTL | 11,015 | 11,089 |
| 4,124.671 SH - BOND FD AMER INC F3 | 55,305 | 56,879 |
| 271 SH - ISHARES TR INDEX 7-10 YE TRS BD | 29,632 | 32,506 |
| 1053.042 SH - PIMCO FLEXIBLE CREDIT INC FD INSTL | 11,098 | 9,741 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 53 SH - ALEXION PHARMACEUTICALS INC | 6,465 | 8,281 |
| 70 SH - ALLSTATE CORP | 4,816 | 7,695 |
| 5 SH - ALPHABET INC | 6,352 | 8,763 |
| 47 SH - AMERIPRISE FINL INC | 6,797 | 9,134 |
| 96 SH - APPLE COMPUTER INC | 3,108 | 12,738 |
| 75 SH - APTIV PLC SHS | 6,716 | 9,772 |
| 227 SH - BANK OF AMERICA CORP | 6,807 | 6,880 |
| 150 SH - CF INDS HLDGS INC | 6,684 | 5,807 |
| 123 SH - CVS/CAREMARK CORP | 6,494 | 8,401 |
| 78 SH - CAPITAL ONE FINL CORP | 6,870 | 7,710 |
| 57 SH - CHEVRON CORP NEW | 6,057 | 4,814 |
| 122 SH - CISCO SYSTEMS INC | 2,453 | 5,460 |
| 29 SH - CONSTELLATION BRANDS INC CL A | 2,293 | 6,352 |
| 41 SH - CUMMINS INC | 6,806 | 9,311 |
| 62 SH - DTE ENERGY CO | 5,118 | 7,527 |
| 45 SH- DANAHER CORP DEL | 4,183 | 9,996 |
| 59 SH - DARDEN RESTAURANTS INC | 4,387 | 7,028 |
| 52 SH - DISNEY (WALT) COMPANY | 6,923 | 9,421 |
| 38 SH - ECOLAB INC | 4,973 | 8,222 |
| 37 SH - FACEBOOK INC CL A | 5,369 | 10,107 |
| 63 SH - FISERV INC | 2,165 | 7,173 |
| 18 SH - GOLDMAN SACHS GROUP INC | 3,596 | 4,747 |
| 310 SH - HP INC COM | 5,419 | 7,623 |
| 338 SH - HOST HOTELS & RESORTS INC | 6,030 | 4,945 |
| 117 SH - INTEL CORP | 2,397 | 5,829 |
| 49 SH - INTERNATIONAL BUSINESS MACHINES | 6,862 | 6,168 |
| 60 SH - JPMORGAN CHASE & CO | 6,805 | 7,624 |
| 17 SH - KLA CORPORATION COM | 3,618 | 4,401 |
| 224 SH - LKQ CORP | 7,022 | 7,894 |
| 60 SH - LOWES COS INC | 4,877 | 9,631 |
| 25 SH - MASTERCARD INC | 4,329 | 8,924 |
| 47 SH - MCKESSON CORP | 5,391 | 8,174 |
| 85 SH - MERCK & CO INC | 7,015 | 6,953 |
| 25 SH - NVIDIA CORP | 847 | 13,055 |
| 176 SH - PFIZER INC | 6,568 | 6,479 |
| 118 SH - PUBLIC SVC ENTERPRISE GROUP | 4,400 | 6,879 |
| 172 SH - QUANTA SVCS INC | 6,969 | 12,387 |
| 20 SH - ROPER INDS INC NEW | 4,214 | 8,622 |
| 48 SH - STANLEY BLACK & DECKER INC | 5,126 | 8,571 |
| 35 SH - STRYKER CORP | 6,684 | 8,576 |
| 72 SH - TARGET CORP | 5,958 | 12,710 |
| 27 SH - THERMO FISHER SCIENTIFIC INC | 4,113 | 12,576 |
| 51 SH - TRAVELERS COMPANIES INC | 4,586 | 7,159 |
| 75 SH - TYSON FOODS INC CLASS A | 3,072 | 4,833 |
| 50 SH - UNION PACIFIC CORP | 5,491 | 10,411 |
| 19 SH - UNITED RENTALS INC | 3,774 | 4,406 |
| 75 SH - VALERO ENERGY CORP NEW | 4,829 | 4,243 |
| 118 SH - VERIZON WIRELESS | 5,396 | 6,933 |
| 21 SH - VIATRIS COM | 362 | 394 |
| 65 SH - WALMART STORES INC | 4,644 | 9,370 |
| 125 SH - WALGREENS BOOTS ALLIANCE INC COM | 7,858 | 4,984 |
| Category/ Item | Listed at Cost or FMV | Book Value | End of Year Fair Market Value |
|---|---|---|---|
| 436.847 SH - BLACKROCK FDS V TECHNOLOGY OPPORTUNITIES INSTL | 23,015 | 28,474 | |
| 2,552.321 SH - BLACKROCK FDS IV ADVANTAGE SMALL CAP CORE | 36,309 | 46,044 | |
| 2,568.644 SH - BLACKROCK FDS IV GL LONG/SHORT | 31,378 | 29,283 | |
| 1,007.989 SH - GOLDMAN SACHS TR FINCL SQ EMERGING MARKETS | 21,717 | 30,441 | |
| 3,273.292 SH - GOLDMAN SACHS TR ABSOLUTE RETURN | 31,595 | 32,831 | |
| 78 SH - ISHARES TR DJ MED DEVICES | 22,851 | 25,529 | |
| 1,025 SH - ISHARES TR MODERT ALLOC | 36,810 | 44,280 | |
| 110 SH - ISHARES TR USA MIN VOL ID | 7,072 | 7,467 | |
| 3,407.105 SH - MORGAN STANLEY INSTL FD INC INTL | 83,455 | 141,259 |
| Description | Amount |
|---|---|
| MUTUAL FUND TIMING DIFFERENCE | 1,103 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| BANK FEES | 18 |
| Description | Amount |
|---|---|
| NONDIVIDEND DISTRIBUTIONS | 9 |
| OTHER TIMING DIFFERENCE - FOREIGN TAX | 126 |
| ROUNDING | 1 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| NATIONAL ADVISORS TRUST FIDUCIARY FEES | 10,812 | 10,812 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Excise tax paid | 633 | |||
| Foreign tax withheld | 131 |