| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Accounting | 896 | 0 | 0 | 0 |
| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 15,000 NettApp Inc | 15,690 | 15,668 |
| 10,000 Shares AbbVie Inc | 9,707 | 10,461 |
| 10,000 Shares Thermo Fisher Scientific | 11,188 | 11,148 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 60 Shares Becton Dickinson & Co. | 8,290 | 15,013 |
| 98 Shares Chubb Corp. | 11,599 | 15,084 |
| 60 Shares Duke Energy Corp | 4,260 | 5,494 |
| 85 Shares Johnson & Johnson | 4,462 | 13,377 |
| 185 Shares Merck & Co. Inc. | 7,793 | 15,133 |
| 85 Shares Microsoft Corp | 3,109 | 18,906 |
| 202 Shares Omnciom Group Inc. | 8,752 | 12,599 |
| 98 Shares Pepsico, Inc. | 5,781 | 14,533 |
| 123 Shares Procter & Gamble Co. | 1,055 | 17,114 |
| 180 Shares Republic Services Inc | 6,000 | 17,334 |
| 73 Shares Sysco Corp | 2,166 | 5,421 |
| 150 Shares Xylem Inc | 4,384 | 15,269 |
| 60 Shares Accenture PLC | 2,627 | 15,673 |
| 265 Shares BCE, Inc. | 10,769 | 11,342 |
| 98 Shares Edwards Lifesciences Group | 7,212 | 8,941 |
| 85 Shares Kimberly Clark Corp | 9,758 | 11,461 |
| 75 Shares McDonalds Corp | 7,635 | 16,094 |
| 190 Shares Intel Corp | 7,390 | 9,466 |
| 218 Shares US Bancorp | 9,940 | 10,157 |
| 32 Shares Costco Wholesale Corp | 9,970 | 12,057 |
| 115 Shares Check Point Software | 10,317 | 15,285 |
| 130 Shares Novartis | 9,448 | 12,276 |
| 100 Shares Target Corp | 7,083 | 17,653 |
| 35 Shares Vertex Pharmaceuticals Inc | 8,801 | 8,272 |
| 40 Shares Adobe Systems | 8,893 | 20,005 |
| 115 Shares Mondelez Intn'l Inc | 4,992 | 6,724 |
| 180 Shares TJX Cos Inc | 7,091 | 12,292 |
| 450 Shares Financial Select Sector | 13,064 | 13,266 |
| 110 Shares Genuine Parts CO | 9,704 | 11,047 |
| 65 Shares Linde PLC | 10,914 | 17,128 |
| 63 Shares Medtronic PLC | 5,242 | 7,380 |
| 173 Shares Northwest Natural Holding | 7,437 | 7,956 |
| 30 Shares Alibaba Group Holding | 7,711 | 6,982 |
| 75 Shares Visa Inc Cl A | 10,823 | 16,405 |
| 80 Shares Zoetis Inc | 7,835 | 13,240 |
| 26 Shares Alcon Inc | 1,294 | 1,715 |
| 28 Shares AvalonBay Communities | 5,865 | 4,492 |
| 40 Shares Fidelity Natl Information | 4,552 | 5,658 |
| 70 Shares JP Morgan Chase & Co | 7,152 | 8,895 |
| 530 Shares Kinder Morgan | 10,558 | 7,245 |
| 63 Shares Prologis Inc | 5,279 | 6,279 |
| 36 Shares Public Storage Inc | 8,338 | 8,313 |
| 76 Shares T-Mobile US | 6,045 | 10,249 |
| 215 Shares TC Energy Corp | 8,760 | 8,755 |
| 205 Truist Financial Corp | 9,251 | 9,826 |
| 7 Shares Equinix Inc | 4,830 | 4,999 |
| 35 Shares L3 Harris Technologies Inc | 7,774 | 6,616 |
| 76 Shares NextEra Energy Inc | 4,167 | 5,863 |
| 15 Shares S&P Global Inc | 5,006 | 4,931 |
| 7 Shares Thermo Fisher Scientific Inc | 2,345 | 3,260 |
| Description | Beginning of Year - Book Value | End of Year - Book Value | End of Year - Fair Market Value |
|---|---|---|---|
| Rounding | 2 |
| Description | Revenue And Expenses Per Books | Net Investment Income | Adjusted Net Income |
|---|---|---|---|
| Reclassify Sold Taxlots | 43 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Foreign Taxes | 417 |