| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| TAX PREPARATION | 2,730 | 2,730 | 2,730 | 0 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 1256 EXXON MOBIL | ||
| 341 DUPONT DE NEMOURS INC | 16,777 | 24,249 |
| 1900 GENERAL ELECTRIC | 56,990 | 20,520 |
| 500 HONEYWELL INTL | 21,386 | 106,350 |
| 1500 COLGATE PALMOLIVE | 30,559 | 128,265 |
| 400 PROCTOR & GAMBLE | 18,699 | 55,656 |
| 1000 PFIZER | 18,817 | 36,810 |
| 800 BANK OF AMERICA | 27,770 | 24,248 |
| 500 EQUITY RESIDENTIAL SH BEN INT | 10,585 | 29,640 |
| 300 FEDERAL REALTY INVT TR SBI | 7,174 | 25,536 |
| 500 AUTOMATIC DATA PROC | 19,178 | 88,100 |
| 457 AT&T | 14,143 | 13,143 |
| 233 DUKE ENERGY | 11,399 | 21,333 |
| 1754 SOUTHERN CO | 30,839 | 107,748 |
| 158 COCA COLA | 3,084 | 8,665 |
| 336 JOHNSON & JOHNSON | 17,056 | 52,880 |
| 400 EATON CORP. | 15,251 | 48,056 |
| 700 INTEL CORP | 9,007 | 34,874 |
| 200 MCDONALDS CORP | 14,165 | 42,916 |
| 500 GENERAL MILLS INC. | 19,385 | 29,400 |
| 329 JP MORGAN CHASE & CO | 15,316 | 41,806 |
| 250 GENERAL DYNAMICS CORP | 16,928 | 37,205 |
| 53 APPLE INC. | 2,404 | 28,130 |
| 33 AMERICAN TOWER REIT | 1,743 | 7,407 |
| 903+ OAKMARK INTERNATIONAL | ||
| 125 CHEVRON CORP. | ||
| 33 UNION PACIFIC CORP. | 1,471 | 6,871 |
| 5 ALPHABET (FKA GOOGLE) INC CL A | 1,527 | 8,763 |
| 500 MONDELEZ INTL INC | 9,878 | 29,235 |
| 422 WALT DISNEY HOLDING CO | 26,879 | 76,458 |
| 500 NIKE CL B | 18,258 | 70,735 |
| 173 BERKSHIRE HATHAWAY | 22,393 | 40,114 |
| 43 MOODY'S CORP | 3,313 | 12,480 |
| 543 WELLS FARGO | 23,610 | 16,388 |
| 250 UNITED HEALTH GRP INC | 18,455 | 87,670 |
| 65 VISA | 2,920 | 14,217 |
| 388+ AKRE FOCUS INSTTNL | 7,273 | 21,379 |
| 400 JP MORGAN ALERIAN MLP INDEX CORP | 18,030 | 5,556 |
| 22 ALPHABET (FKA GOOGLE) INC CL C | 17,939 | 38,541 |
| 166 CDK GLOBAL INC | 2,764 | 8,604 |
| 240 COMCAST CORP A | 6,858 | 12,576 |
| 22 3M COMPANY | 3,325 | 3,845 |
| 145 VERIZON COMMUNICATNS | 6,803 | 8,519 |
| 290 VANGUARD TTL INTL STOCK INDX | 13,549 | 17,446 |
| 20 ADVANSIX INC. | ||
| 10 BOOKING HOLDINGS INC | 17,962 | 22,273 |
| 33 FACEBOOK INC | 4,871 | 9,014 |
| 22 FEDEX CORP | ||
| 152 DOLLAR TREE STORES | 15,230 | 16,422 |
| 341 CORTEVA | 5,854 | 13,204 |
| 341 DOW INC | 11,436 | 18,926 |
| 26 AMGEN INC | 4,883 | 5,978 |
| 55 MEDTRONIC PLC | 4,745 | 6,443 |
| 638+ SEAFARER OVERSEAS GR&INC | ||
| 102 SPOTIFY TECHNOLOGY SA | 27,641 | 32,095 |
| 13 MARKEL CORP | 11,030 | 13,433 |
| 21 INTUITIVE SURGICAL INC. | 10,516 | 17,180 |
| 124 VIATRIS INC. | 1,031 | 2,324 |
| 68 SALESFORCE.COM INC. | 10,722 | 15,132 |
| Category/ Item | Listed at Cost or FMV | Book Value | End of Year Fair Market Value |
|---|---|---|---|
| 4580 ISHARES SHORT-TERM CORP BD ETF | AT COST | 231,052 | 252,679 |
| 2200 ISHARES BARCLAYS INTERMED CORP BD | AT COST | 105,698 | 135,938 |
| 300 ISHARES INTERMED GOVT/CR BD | AT COST | 30,163 | 35,292 |
| 2000 MFS INTERMEDIATE INC TR SBI | AT COST | 7,469 | 7,620 |
| 4000 MFS MULTIMKT INC TR SHS BEN INT | AT COST | 21,344 | 24,440 |
| 300 ISHARES TIPS BOND ETF | AT COST | ||
| 1200 ISHARES CORE US AGGREGATE | AT COST | 120,399 | 141,828 |
| 2607+ RIVERNORTH DOUBLELINE STRAT INC I | AT COST | 27,995 | 27,349 |
| 722 VANGUARD SHORT TERM BOND | AT COST | 56,884 | 59,854 |
| 3,081+ DOUBLELINE TOTAL RETURN | AT COST | 32,863 | 32,967 |
| Description | Amount |
|---|---|
| BASIS ADJUSTMENTS | 34,048 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| FIDUCIARY MANAGEMENT FEES | 20,738 | 20,738 | 20,738 | 0 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| FOREIGN TAXES | 358 | 358 | 358 |