| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Wipfli | 1,444 | 1,444 | 0 |
| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| AB High Income Fund - 126 shs | 1,035 | 1,011 |
| Loomis Sayles Interm Duration Bond - 7094 shs | 75,175 | 76,263 |
| Loomis Sayles Senior FLTG Rate/Fixed Inc - 5292 shs | 48,330 | 47,147 |
| Loomis Sayles Core Plus Bond Fund - 6012 shs | 79,111 | 84,828 |
| HSBC 4Y Int Eqty Ann - 50000 shs | 50,000 | 64,000 |
| JP Morgan Chase Finl Co Note 5/27/2022 - 50000 shs | 50,005 | 48,750 |
| JP Morgan Chase Finl Co Note 8/29/2023 - 50000 shs | 50,005 | 47,365 |
| Citigroup Glbgl Mkts 11/29/2023 - 50000 shs | 50,005 | 48,810 |
| Citigroup Glbgl Mkts 11/29/2024 - 50000 shs | 50,005 | 49,760 |
| Vanguard Total Bond Market ETF - 1098 shs | 95,932 | 96,833 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| AT&T Inc - 77 shs | 2,195 | 2,215 |
| Abbott Laboratories - 23 shs | 2,204 | 2,518 |
| Activision Blizzard - 94 shs | 5,226 | 8,728 |
| Agilent Tech Inc - 43 shs | 2,818 | 5,095 |
| Albemarle Corp - 15 shs | 764 | 2,213 |
| Align Technology - 18 shs | 2,600 | 9,619 |
| Alliant Energy Corp - 26 shs | 1,211 | 1,340 |
| Alphabet Inc. - 3 shs | 4,014 | 5,256 |
| Alphabet Inc Cl A - 4 shs | 5,500 | 7,011 |
| Amazon Corm Inc - 8 shs | 14,312 | 26,055 |
| American Electric Power Co - 22 shs | 1,798 | 1,832 |
| American Tower Corp - 13 shs | 2,906 | 2,918 |
| American Water Works Company - 11 shs | 1,306 | 1,688 |
| Amerisource Bergen - 9 shs | 861 | 880 |
| Amphenol Corp - 65 shs | 4,424 | 8,500 |
| Ansys Inc - 20 shs | 4,499 | 7,276 |
| Anthem Inc - 17 shs | 3,518 | 5,459 |
| Apple Inc - 197 shs | 17,906 | 26,140 |
| ATMOS Energy Corp - 11 shs | 1,031 | 1,050 |
| Autodesk Inc - 33 shs | 4,794 | 10,076 |
| Avery Dennison Corp - 9 shs | 703 | 1,396 |
| Baker Hughes Co. - 90 shs | 830 | 1,877 |
| Ball Corp - 17 shs | 1,022 | 1,584 |
| Bank of America Corp - 96 shs | 2,497 | 2,910 |
| Berkshire Hathaway Class B - 22 shs | 4,357 | 5,101 |
| Blackrock Inc - 6 shs | 2,370 | 4,329 |
| Boeing Co - 8 shs | 1,770 | 1,712 |
| Booking Holdings Inc - 1 shs | 1,204 | 2,227 |
| Boston Scientific Co - 27 shs | 932 | 971 |
| Bristol-Myers Squibb - 39 shs | 2,496 | 2,419 |
| Broadcom Inc - 6 shs | 1,215 | 2,627 |
| Cabot Oil & Gas Corp - 59 shs | 805 | 961 |
| Catalent Inc - 10 shs | 851 | 1,041 |
| Caterpillar Inc - 12 shs | 1,415 | 2,184 |
| Charter Comm Inc - 14 shs | 5,746 | 9,262 |
| Chipotle Mexican Grill - 2 shs | 1,092 | 2,773 |
| Church & Dwight Inc - 32 shs | 2,132 | 2,791 |
| Cisco Systems - 70 shs | 2,610 | 3,133 |
| Citigroup Inc - 27 shs | 1,177 | 1,665 |
| Coca Cola Co - 45 shs | 2,083 | 2,468 |
| Colgate-Palmolive Co - 47 shs | 3,220 | 4,019 |
| Comcast Corp - 60 shs | 2,218 | 3,144 |
| ConocoPhillips - 56 shs | 1,418 | 2,239 |
| Corteva Inc. - 46 shs | 1,027 | 1,781 |
| Copart Inc - 7 shs | 856 | 891 |
| Costco Whsl Corp - 14 shs | 4,112 | 5,275 |
| Crown Castle Intl Corp - 14 shs | 1,956 | 2,229 |
| Digital Realty Trust - 11 shs | 1,304 | 1,535 |
| Disney Walc Co - 29 shs | 3,026 | 5,254 |
| DR Horton Inc - 36 shs | 1,087 | 2,481 |
| Danaher Corp - 33 shs | 4,146 | 7,331 |
| Deere & Co - 16 shs | 1,869 | 4,305 |
| Dollar Genl Corp New - 13 shs | 1,956 | 2,734 |
| Dollar Tree Stores - 17 shs | 1,243 | 1,837 |
| Dominion Energy Inc - 30 shs | 2,206 | 2,256 |
| Dupont DeNemours Inc - 36 shs | 1,143 | 2,560 |
| EOG Resources Inc - 37 shs | 1,211 | 1,845 |
| Ecolab Inc - 9 shs | 1,472 | 1,947 |
| Edwards Lifesciences Corp - 54 shs | 3,309 | 4,926 |
| Equinix Inc - 3 shs | 1,728 | 2,143 |
| Exxon Mobil Corp - 6 shs | 197 | 247 |
| Facebook Inc - 30 shs | 6,213 | 8,195 |
| Fedex Corp - 6 shs | 1,470 | 1,558 |
| Fidelity Natl Info - 12 shs | 1,596 | 1,698 |
| Fortinet Inc - 56 shs | 5,029 | 8,318 |
| Freeport-McMoran - 13 shs | 322 | 338 |
| Genl Dynamics Corp - 13 shs | 1,517 | 1,935 |
| General Electric Co - 157 shs | 1,666 | 1,696 |
| Genuine Parts Co - 15 shs | 979 | 1,506 |
| Global Payments Inc - 36 shs | 4,767 | 7,755 |
| Halliburton Co - 169 shs | 879 | 3,194 |
| Healthpeak PPTYS Inc - 22 shs | 597 | 665 |
| Hilton Worldwide Holdings - 20 shs | 1,217 | 2,225 |
| Hologic Inc - 12 shs | 669 | 874 |
| Home Depot Inc - 12 shs | 2,811 | 3,187 |
| Honeywell Intern - 14 shs | 2,063 | 2,978 |
| Host Hotels & Resort Inc REIT - 35 shs | 370 | 512 |
| Illinois Tool Works - 14 shs | 1,913 | 2,854 |
| Intuit Inc - 5 shs | 1,765 | 1,899 |
| Intuitive Surgical Inc - 8 shs | 3,270 | 6,545 |
| Iron Mountain Inc NEW - 19 shs | 514 | 560 |
| JPMorgan Chase & Co - 35 shs | 3,634 | 4,447 |
| Johnson & Johnson - 22 shs | 3,332 | 3,462 |
| Kansas City Southern - 4 shs | 790 | 817 |
| Kellogg Company - 15 shs | 800 | 933 |
| Kimberly Clark - 21 shs | 2,693 | 2,831 |
| Laboratory Corp of America - 25 shs | 2,908 | 5,089 |
| LAM Research Corp - 24 shs | 4,711 | 11,334 |
| Leidos Holdings Inc - 55 shs | 4,248 | 5,782 |
| Lennar Corp - 33 shs | 1,102 | 2,516 |
| Lockheed Martin - 9 shs | 2,844 | 3,195 |
| Lowes Companies - 12 shs | 1,721 | 1,926 |
| Marketaxess Holdings Inc - 6 shs | 1,865 | 3,423 |
| Marriott Intl Inc - 21 shs | 1,464 | 2,770 |
| Martin Marietta Inc - 6 shs | 865 | 1,704 |
| Masco Corp - 37 shs | 1,217 | 2,032 |
| Mastercard Inc - 6 shs | 1,951 | 2,142 |
| McDonalds Corp - 12 shs | 2,388 | 2,575 |
| Merck & Co - 39 shs | 3,058 | 3,190 |
| MetLife Inc - 73 shs | 1,933 | 3,427 |
| Microsoft Corp - 92 shs | 17,961 | 20,463 |
| Mohawk Industries - 14 shs | 929 | 1,973 |
| Mondelez Internatnl Inc Class A - 72 shs | 3,173 | 4,210 |
| Moodys Corp - 12 shs | 2,149 | 3,483 |
| Morgan Stanley & Co - 25 shs | 1,685 | 1,713 |
| NASDAQ OMX Group - 20 shs | 1,783 | 2,655 |
| Netflix Inc - 6 shs | 2,483 | 3,244 |
| Newmont Mining Corp - 33 shs | 1,381 | 1,976 |
| Nextera Energy Inc - 52 shs | 3,008 | 4,012 |
| Nike Inc B - 18 shs | 1,785 | 2,546 |
| Nvidia Corp - 7 shs | 1,493 | 3,655 |
| PNC Finl Services - 27 shs | 2,540 | 4,023 |
| PPI Corporation - 61 shs | 1,361 | 1,720 |
| Paccar Inc - 26 shs | 1,479 | 2,243 |
| Parker Hannifin - 4 shs | 745 | 1,090 |
| Paypal Holdings Inc - 17 shs | 2,662 | 3,981 |
| Pepsico Inc - 18 shs | 2,380 | 2,669 |
| Phillip Morris Intnl - 63 shs | 4,155 | 5,216 |
| Phillips 66 - 26 shs | 1,160 | 1,818 |
| Pioneer Nat Res Co - 16 shs | 979 | 1,822 |
| Principal Financial - 65 shs | 1,786 | 3,225 |
| Procter & Gamble Co - 27 shs | 3,262 | 3,757 |
| Prologis Inc - 18 shs | 1,178 | 1,794 |
| Qualcomm Inc - 17 shs | 1,932 | 2,590 |
| Raytheon Technologies Corp - 35 shs | 1,824 | 2,503 |
| Realty Income Corp - 10 shs | 433 | 622 |
| Regions Financial Corp - 240 shs | 2,018 | 3,869 |
| Rockwell Automation Inc - 10 shs | 1,351 | 2,508 |
| Roper Technologies - 5 shs | 1,488 | 2,155 |
| S&P Global Inc - 14 shs | 2,932 | 4,602 |
| SBA Communications - 3 shs | 628 | 846 |
| Salesforce Com Inc - 49 shs | 6,927 | 10,904 |
| Sector Materials SPDR ETF - 899 shs | 64,520 | 65,079 |
| Sector SPDR TR Technology - 522 shs | 59,116 | 67,870 |
| Sempra Energy - 13 shs | 1,336 | 1,656 |
| Servicenow Inc - 18 shs | 5,133 | 9,908 |
| Simon Property Group - 9 shs | 442 | 768 |
| A O Smith - 30 shs | 1,109 | 1,645 |
| Snap-On Inc - 5 shs | 724 | 856 |
| Stanley Black & Decker Inc - 16 shs | 1,335 | 2,857 |
| Starbucks Corp - 19 shs | 1,579 | 2,033 |
| State Street Corp - 43 shs | 2,018 | 3,130 |
| Sysco Corp - 13 shs | 739 | 965 |
| TJX Cost Inc - 23 shs | 1,545 | 1,571 |
| T-Mobile US - 65 shs | 5,134 | 8,765 |
| Take-Two Interactive Inc - 43 shs | 4,602 | 8,935 |
| Target Corp - 33 shs | 3,466 | 5,825 |
| Tesla Inc - 11 shs | 7,048 | 7,762 |
| Texas Instruments - 61 shs | 6,325 | 10,012 |
| Thermo Fisher Scientific - 17 shs | 4,888 | 7,918 |
| Travelers Cos - 25 shs | 2,110 | 3,509 |
| Trust Financial Corp - 84 shs | 2,560 | 4,026 |
| Union Pac Corp - 13 shs | 2,069 | 2,707 |
| United Parcel Service - 14 shs | 1,432 | 2,358 |
| UnitedHealth Group - 13 shs | 4,012 | 4,559 |
| Valero Energy - 29 shs | 1,067 | 1,641 |
| Verisk Analytics Inc - 11 shs | 1,529 | 2,283 |
| Vertex Pharmaceutica - 15 shs | 3,234 | 3,545 |
| Viatris Inc - 42 shs | 556 | 787 |
| Visa - 23 shs | 4,345 | 5,031 |
| WalMart - 43 shs | 5,125 | 6,198 |
| XCEL Energy Inc - 27 shs | 1,622 | 1,800 |
| YUM Brands Inc - 22 shs | 1,424 | 2,388 |
| Zoetis Inc - 33 shs | 3,444 | 5,462 |
| AON PLC CL A - 15 shs | 2,279 | 3,169 |
| Accenture PLC Ireland Class A - 10 shs | 2,101 | 2,612 |
| Eaton Corporation PLC - 24 shs | 1,681 | 2,883 |
| Linde PLC - 2 shs | 476 | 527 |
| Medtronic PLC Ireland - 23 shs | 2,234 | 2,694 |
| Willis Towers Watson Public LTD - 4 shs | 827 | 843 |
| Chubb Ltd - 8 shs | 1,200 | 1,231 |
| Garmin Limited Shs - 5 shs | 591 | 598 |
| TE Connective Imt - 83 shs | 4,628 | 10,049 |
| First Trust Nasdaq Transportation ETF - 2282 shs | 64,352 | 64,027 |
| Harris Assn Invt Tr Oakmark Fund - 1016 shs | 75,595 | 91,598 |
| Oakmark Intl Investor CL - 3108 shs | 77,026 | 81,083 |
| WCM Focused Global Growth Instl - 7876 shs | 131,212 | 194,622 |
| WCM Focused Emerg Mkts - 2685 shs | 45,900 | 53,210 |
| Clearbridge All Cap Growth ETF - 6058 shs | 180,112 | 266,771 |
| Loomis Sayles Growth Cl Y - 4928 shs | 93,379 | 114,024 |
| Alphasimplex Multi Asset CL Y - 6541 shs | 65,696 | 65,741 |
| Loomis Sayles Senior FLTG Rate/Fixed Inc - 4554 shs | 46,001 | 47,363 |
| ASG Managed Futures Strategy CL Y - 18613 shs | 186,170 | 191,340 |
| Vaughan Nelson Value - 3276 shs | 72,187 | 72,395 |
| ASG Global ALT CL Y - 5808 shs | 66,125 | 62,962 |
| SPDR Portfolio Emerg - 1928 shs | 80,378 | 81,285 |
| Consumer Discretion Select SPDR ETF - 406 shs | 55,809 | 65,277 |
| Vaneck Vectors Gold Miners ETF - 3963 shs | 81,314 | 142,747 |
| Vanguard Dividend Appreciation ETF - 731 shs | 76,914 | 103,196 |
| Vanguard High Div Yield ETF - 1014 shs | 85,406 | 92,792 |
| Vanguard Intnl Div Appre ETF - 1666 shs | 105,926 | 135,596 |
| Vanguard Value ETF - 1063 shs | 111,188 | 126,455 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| State Bank of Chilton Inv Mgt Fee | 16,695 | 16,695 | 0 | |
| Mailing Fees | 15 | 0 | 0 |
| Description | Amount |
|---|---|
| Broker Basis Adjustment | 1,023 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Federal Estimated Tax - current year | 403 | 0 | 0 | |
| Foreign Tax | 487 | 487 | 0 |