| Name | Date Acquired | How Acquired | Date Sold | Purchaser Name | Gross Sales Price | Basis | Basis Method | Sales Expenses | Total (net) | Accumulated Depreciation |
|---|---|---|---|---|---|---|---|---|---|---|
| Publicly traded securitie | 2,215,187 | 2,410,072 | -194,885 |
| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| American Electric 320 111327 | 51,703 | 55,795 |
| American Express Co 265B 12222 | 40,310 | 41,745 |
| Apple Inc 240 5323 | 70,908 | 78,633 |
| Bank of America Corp 3875 8125 | 85,530 | 91,283 |
| Blackrock Inc 3375 060122 | 20,217 | 20,863 |
| CVS Health Corp 41 032525 | 79,636 | 85,023 |
| Chevron Corp 2566 51623 | 35,047 | 36,704 |
| Gilead Sciences Inc 450 04121 | 40,124 | 39,996 |
| Merck Co Inc 3875 11521 | 75,091 | 75,070 |
| Nextera Energy Capital 450 060121 | 49,998 | 50,324 |
| Pepsico Inc 275 043025 | 48,829 | 54,312 |
| United Parcel Services 3125 011521 | 39,548 | 40,031 |
| Wellpoint Inc 3125 051522 | 25,145 | 25,939 |
| Wells Fargo Co 2625 72222 | 75,733 | 77,621 |
| FN 898429 600 100136 | 608 | 712 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 1000 Shares Accenture PLC ADR ACN | 65,330 | 261,210 |
| 510 Shares Air Products Chemicals Inc Com APD | 73,849 | 139,342 |
| 810 Shares American Tower Corporation AMT | 147,734 | 181,813 |
| 2700 Shares Apple Inc ComAAPL | 42,412 | 358,263 |
| 1150 Shares Automatic Data Processing ADP | 58,551 | 202,630 |
| 1650 Shares Baxter Intl Inc COM BDX | 62,699 | 132,396 |
| 1020 Shares Becton Dickinson Co Com BDX | 176,807 | 255,224 |
| 375 Shares Blackrock Inc BLK | 56,365 | 270,577 |
| 2730 Shares CVS Health Corporation CVS | 136,105 | 186,459 |
| 1150 Shares Chevron Corporation CVX | 78,351 | 97,118 |
| 3325 Shares Cisco Sys Inc Com CSCO | 109,022 | 148,794 |
| 2500 Shares Coca Cola Co Com KO | 68,008 | 137,100 |
| 4550 Shares Comcast Corp New CLA CMCSA | 130,288 | 238,420 |
| 450 Shares Costco Whsl Corp New Com COST | 136,006 | 169,551 |
| 880 Shares Diageo P L C Spon ADR New DEO | 114,600 | 139,753 |
| 1400 Shares Disney Walt Co Com Disney DIS | 39,319 | 253,652 |
| 880 Shares Dollar General Corp DG | 133,802 | 185,064 |
| 2683 Shares Dupont De Nemours DD | 135,362 | 190,788 |
| 525 Shares Ecolab Inc ECL | 97,706 | 113,589 |
| 2055 Shares Genuine Parts Co Com GPC | 148,261 | 206,384 |
| 10460 Shares Goldman Sachs Activebeta GEM | 378,751 | 399,258 |
| 1355 Shares Honeywell Intl Inc Com HON | 185,701 | 288,208 |
| 1512 Shares JPMorgan Chase Co Com JPM | 61,605 | 192,130 |
| 1200 Shares Johnson Johnson Com JNJ | 73,479 | 188,856 |
| 1580 Shares Lowes Cos Inc LOW | 137,031 | 253,606 |
| 800 Shares Mastercard Inc Class A MA | 56,138 | 285,552 |
| 635 Shares McDonalds Corp Com MCD | 123,227 | 136,258 |
| 1800 Shares Medtronic PLC ADR MDT | 138,236 | 210,852 |
| 2400 Shares Merck Co Inc MRK | 118,053 | 196,320 |
| 1700 Shares Microsoft Corp Com MFST | 41,696 | 378,114 |
| 3000 Shares Oracle Corp Com ORCL | 113,927 | 194,070 |
| 1400 Shares Pepsico Inc PEP | 108,317 | 207,620 |
| 1775 Shares Philip Morris International PM | 138,116 | 146,952 |
| 3587 Shares Raytheon Technologies Corp RTX | 247,303 | 256,506 |
| 450 Shares SP Global Inc SPGI | 84,411 | 147,929 |
| 910 Shares Skyworks Solutions Inc SWKS | 124,805 | 139,121 |
| 1900 Shares Starbucks Corp SBUX | 118,440 | 203,262 |
| 2900 Shares TJX Cos Inc New Com TJX | 71,387 | 198,041 |
| 1550 Shares United Parcel Service Inc Cl B UPS | 140,345 | 261,020 |
| 700 Shares UnitedHealth Group Inc Com UNH | 52,457 | 245,476 |
| 2200 Shares Vanguard FTSE All World ExUS SmallCap ETF VSS | 217,290 | 268,048 |
| 5900 Shares Vanguard FTSE Pacific EFT VPL | 369,866 | 469,581 |
| 7775 Shares iShares Core MSCI Eafe IEFA | 425,498 | 537,175 |
| 29275 Shares iShares Core MSCI Emerging IEMG | 1,409,725 | 1,816,221 |
| 860 Shares SP 500 Index Fund IVV | 207,533 | 322,835 |
| 1850 Shares SP Midcap 400 Index IJH | 180,773 | 425,185 |
| 10025 Shares iShares SP Smallcap 600 Fnd IJR | 480,304 | 921,298 |
| Category/ Item | Listed at Cost or FMV | Book Value | End of Year Fair Market Value |
|---|---|---|---|
| Blackrock Strat Inc FD | AT COST | 50,000 | 50,048 |
| iShares Barclays MBS Bd | AT COST | 264,810 | 267,396 |
| Copem Partnership | AT COST | 13,186 | 13,186 |
| FMV | |||
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| FMV |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| John G Shea Attorney | 55,112 | 49,601 | 5,511 |
| Description | Beginning of Year - Book Value | End of Year - Book Value | End of Year - Fair Market Value |
|---|---|---|---|
| Security Deposit | 2,000 | 2,000 | 2,000 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Bond Amortization | 2,642 | 2,378 | 264 |
| Description | Revenue And Expenses Per Books | Net Investment Income | Adjusted Net Income |
|---|---|---|---|
| Short term capital gain | 29,297 | 29,297 | |
| COPEM Partnership K1 income | 7,420 | 7,420 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Haverford Trust Company | 60,142 |
| Name | Address |
|---|