| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| ACCOUNTING FEES | 11,700 | 5,850 | 5,850 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 1250 SHARES ABBOTT LABRATORIES | 87,620 | 136,863 |
| 16 SHARES ADIDAS AG | 1,652 | 2,928 |
| 10 SHARES ADOBE INC | 2,068 | 5,001 |
| 400 SHARES ADOBE SYSTEMS INC | 21,125 | 200,048 |
| 58 SHARES ADYEN N V UNSPONSRED ADR | 834 | 2,691 |
| 51 SHARES AIA GROUP LTD SPON ADR | 1,706 | 2,506 |
| 650 SHARES AIR PROD & CHEMICALS | 95,109 | 177,593 |
| 57 SHARES AIRBUS SE UNSPONSORED ADR | 1,659 | 1,557 |
| 1100 SHARES AKAMI TECHNOLOGIES | 56,980 | 115,489 |
| 58 SHARES ALCON INC | 3,371 | 3,827 |
| 1300 SHARES ALCON INC | 73,710 | 85,774 |
| 21 SHARES ALLEGION PUB LTD CO | 2,060 | 2,444 |
| 40 SHARES ALPHABET INC - CLASS A | 17,306 | 70,106 |
| 70 SHARES ALPHABET INC - CLASS C | 34,604 | 122,632 |
| 32 SHARES AMADEUS IT GROUP S.A ADR | 2,356 | 2,404 |
| 80 SHARES AMAZON.COM INC | 26,755 | 260,554 |
| 860 SHARES AMERICAN EXPRESS CO | 93,763 | 103,983 |
| 14 SHARES AMERIPRISE FINCL INC | 1,801 | 2,721 |
| 3380.353 SHARES AMG MNGRS SILVERCREST SMCP I | 50,931 | 58,041 |
| 13 SHARES AMGEN INC | 2,350 | 2,989 |
| 6 SHARES AMSL HOLDING NV NY REG NEW | 1,085 | 2,926 |
| 13 SHARES ANSYS INC | 2,100 | 4,729 |
| 3040 SHARES APPLE INC | 61,840 | 403,378 |
| 4100 SHARES AT&T INC | 133,045 | 117,916 |
| 27 SHARES ATLAS COPCO AS ADR A NEW | 1,414 | 1,379 |
| 6 SHARES ATLASSIAN CORP PLC CL A | 1,101 | 1,403 |
| 3500 SHARES BANK OF AMERICA CORP | 83,083 | 106,085 |
| 400 SHARES BERKSHIRE HATHAWAY - CLASS B | 56,092 | 92,748 |
| 1600 SHARES BLACK KNIGHT INC | 78,364 | 141,360 |
| 5514.41 SHARES BRANDYWINEGLOBAL GLB OPP BD I | 57,978 | 65,732 |
| 73 SHARES BURBERRY GROUP PLC SPONS ADR | 1,627 | 1,793 |
| 108 SHARES CABOT OIL & GAS CORP A | 1,962 | 1,758 |
| 27 SHARES CAPITAL ONE FINANCIAL CORP | 2,405 | 2,669 |
| 30 SHARES CELLNEX TELECOM SA UNS ADR | 905 | 935 |
| 120 SHARES CHARLES RIVER LABS | 28,368 | 29,983 |
| 680 SHARES CHEVRON CORP | 77,807 | 57,426 |
| 15 SHARES CHUBB LTD | 2,107 | 2,309 |
| 24 SHARES CINCINNATI FINANCIAL OHIO | 1,624 | 2,097 |
| 170 SHARES CINTAS CORP | 53,314 | 60,088 |
| 52 SHARES COCA COLA CO | 2,280 | 2,852 |
| 933.837 SHARES COHEN & STEERS GLB RLTY FOC I (CSSPX) | 56,079 | 50,754 |
| 500 SHARES COLGATE-PALMOLIVE CO | 30,116 | 42,755 |
| 2500 SHARES COMERICA INCORPORATE | 109,828 | 139,650 |
| 23 SHARES COMMERCE BANCSHARES | 1,269 | 1,511 |
| 84 SHARES CORTEVA INC | 2,159 | 3,252 |
| 480 SHARES CULLEN FROST BANKERS | 30,181 | 41,870 |
| 19 SHARES CULLEN FROST BANKERS INC | 1,460 | 1,657 |
| 800 SHARES DANAHER CORP | 49,222 | 177,712 |
| 19 SHARES DANAHER CORPORATION | 1,859 | 4,221 |
| 14 SHARES DIAGEO PLC SPON ADR NEW | 1,919 | 2,223 |
| 2845.887 SHARES DRIEHAUS EMERG MKTS GROWTH I | 107,632 | 139,875 |
| 32 SHARES EAST WEST BANCORP | 1,642 | 1,623 |
| 1763.89 SHARES EDGEWOOD GROWTH INSTL | 56,637 | 91,317 |
| 36 SHARES EDP ENERGIAS DE PORTGUAL SA | 1,628 | 2,363 |
| 91 SHARES ELANCO ANIMAL HEALTH INC | 1,794 | 2,791 |
| 16 SHARES ELASTIC N V | 1,059 | 2,338 |
| 1230 SHARES EMERSON ELECTRIC CO | 81,738 | 98,855 |
| 19 SHARES EQUITY LIFESTYLE PROPERTIES | 914 | 1,204 |
| 50 SHARES ERSTE BANK AG SPONS ADR | 776 | 758 |
| 700 SHARES ESTEE LAUDERCO INC | 78,680 | 186,333 |
| 1000 SHARES F M C CORP | 45,302 | 114,930 |
| 96 SHARES FANUC CORPORATION UNSP ADR | 1,619 | 2,370 |
| 640 SHARES FLIR SYSTEMS INC | 24,205 | 28,051 |
| 13 SHARES GENL DYNAMICS CORP | 2,765 | 1,935 |
| 21 SHARES GIVAUDAN SA ADR | 1,038 | 1,782 |
| 480 SHARES HOME DEPOT INC | 36,963 | 127,498 |
| 550 SHARES HONEYWELL INTL INC | 59,174 | 116,985 |
| 14 SHARES HOYA CORP SPONS ADR | 916 | 1,943 |
| 11 SHARES ICON PLC | 1,555 | 2,145 |
| 100 SHARES INDUSTRIA DE DISENO TEXTIL IND | 1,416 | 1,604 |
| 1333 SHARES ISHARES MSCI EAFE ETF | 80,880 | 92,097 |
| 55 SHARES JOHNSON CTLS INTL PLC | 2,028 | 2,562 |
| 24 SHARES JPMORGAN CHASE & CO | 2,593 | 3,050 |
| 1050 SHARES JPMORGAN CHASE & CO | 73,100 | 133,424 |
| 147 SHARES JUST EAT TAKEAWAY COM N V ADR | 1,510 | 1,677 |
| 115 SHARES KAO CORP | 1,774 | 1,776 |
| 37 SHARES KBC GROUP NV UNSPONS ADR | 1,272 | 1,291 |
| 450 SHARES KIMBERLY-CLARK CORP | 41,582 | 60,674 |
| 125 SHARES LEGRAND SA | 1,687 | 2,221 |
| 36 SHARES LENNAR CORPORATION | 2,048 | 2,744 |
| 9 SHARES LINDE PLC | 1,488 | 2,372 |
| 100 SHARES LONDON STK EXCHANGE GROUP ADR | 1,451 | 3,126 |
| 30 SHARES LOREAL CO ADR | 1,362 | 2,285 |
| 22 SHARES LVMH MOET HENNESSY LOUIS VUITT | 1,477 | 2,744 |
| 400 SHARES MARTIN MARIETTA MATR | 46,749 | 113,588 |
| 11 SHARES MARTIN MARIETTA MINERALS | 2,287 | 3,124 |
| 25 SHARES MEDTRONIC PLC SHS | 2,005 | 2,929 |
| 1200 SHARES MERCK & CO INC | 72,492 | 98,160 |
| 90 SHARES MICHELIN COMPAGNIE GENERALE DE | 2,135 | 2,315 |
| 25 SHARES MICROCHIP TECHNOLOGY INC | 1,906 | 3,453 |
| 21 SHARES MICROSOFT CORP | 1,952 | 4,671 |
| 1200 SHARES MICROSOFT CORP | 60,256 | 266,904 |
| 256 SHARES MITSUBISHI UFJ FINCL GRP ADS | 1,546 | 1,134 |
| 19 SHARES MONOTARO CO LTD ADR | 430 | 971 |
| 600 SHARES MOODY'S CORP | 63,711 | 174,144 |
| 33 SHARES NESTLE SPON ADR REP REG SHR | 2,744 | 3,887 |
| 53 SHARES NIDEC CORP | 796 | 1,680 |
| 1200 SHARES NIKE INC - CLASS B | 76,133 | 169,764 |
| 48 SHARES NINTENDO CO LTD ADR NEW | 1,927 | 3,865 |
| 49 SHARES NOVARTIS AG ADR | 3,746 | 4,627 |
| 26 SHARES NOVO NORDISK A/S ADR | 1,187 | 1,816 |
| 3064.1 SHARES OAKMARK INTERNATIONAL ADVISOR | 79,692 | 79,759 |
| 11 SHARES OCADO GROUP PLC SPONSORED ADR | 731 | 710 |
| 11 SHARES PARKER HANNIFIN CORP | 1,715 | 2,997 |
| 13 SHARES PAYPAL HLDGS INC COM | 1,019 | 3,045 |
| 600 SHARES PAYPAL HLDGS INC COM | 69,362 | 140,520 |
| 375 SHARES PEPSICO INCORPORATED | 29,851 | 55,613 |
| 790 SHARES PERKINELMER INC | 30,459 | 113,365 |
| 20 SHARES PHILLIPS 66 COM | 1,237 | 1,399 |
| 79 SHARES PING AN INSURANCE ADR | 1,594 | 1,936 |
| 3930 SHARES PINTEREST INC | 84,013 | 258,987 |
| 5157.667 SHARES PIONEER MLTI AST ULT SHT INC Y | 51,186 | 49,926 |
| 10 SHARES PIONEER NATURAL RESOURCES CO | 872 | 1,139 |
| 16 SHARES PNC FINL SVCS GP | 1,838 | 2,384 |
| 18 SHARES PROCTER & GAMBLE | 2,409 | 2,505 |
| 25 SHARES QUALCOMM INC | 1,823 | 3,809 |
| 300 SHARES QUALCOMM INC | 41,430 | 45,702 |
| 29 SHARES R P M INC | 1,742 | 2,633 |
| 53 SHARES RENTOKIL GROUP PLC SP ADR | 1,122 | 1,887 |
| 57 SHARES ROCHE HOLDINGS ADR | 1,796 | 2,499 |
| 650 SHARES ROCKWELL AUTOMATION | 121,992 | 163,027 |
| 320 SHARES ROPER TECHNOLOGIES | 47,472 | 137,949 |
| 110 SHARES SALESFORCE COM | 28,060 | 24,478 |
| 27 SHARES SHISEIDO LTD SPON ADR | 1,905 | 1,871 |
| 3 SHARES SHOPIFY INC | 591 | 3,396 |
| 20 SHARES SOCIEDAD QUIMICA Y MINERA ADS | 598 | 982 |
| 5 SHARES SOLAREDGE TECHNOLOGIES INC | 635 | 1,596 |
| 36 SHARES SONY CORP ADR 1974 NEW | 1,709 | 3,640 |
| 7 SHARES SPOTIFY TECHNOLOGY SA | 952 | 2,203 |
| 610 SHARES SPROUT SOCIAL INC CLASS A | 28,773 | 27,700 |
| 320 SHARES STARBUCKS CORP | 31,199 | 34,234 |
| 25 SHARES STONECO LTD CL A | 683 | 2,098 |
| 9 SHARES SUN COMMUNITIES INC | 894 | 1,368 |
| 856.497 SHARES T ROWE PRICE INTL DISCOVERY | 51,900 | 77,744 |
| 1162.146 SHARES T ROWE PRICE QM US SM CP GR EQ | 34,081 | 55,469 |
| 23 SHARES TAIWAN SMCNDCTR MFG CO LTD ADR | 904 | 2,508 |
| 78 SHARES TEAMVIEWER AG ADR | 1,441 | 2,165 |
| 11 SHARES TELEPERFORMANCE SA UNSP ADR | 998 | 1,886 |
| 11 SHARES TEMENOS AG SPONSORED ADR | 1,538 | 1,558 |
| 22 SHARES TENCENT HLDGS LTD UNSPON ADR | 1,429 | 1,582 |
| 1790 SHARES THE COCA-COLA CO | 75,446 | 98,164 |
| 420 SHARES THERMO FISHER SCNTFC | 40,729 | 195,628 |
| 24 SHARES THOMSON REUTERS CORP | 1,663 | 1,965 |
| 27 SHARES TOKYO ELECTRON LTD UNSPON ADR | 1,606 | 2,527 |
| 4522.777 SHARES TORTOISE MLP & PIPELINE INST | 45,890 | 37,630 |
| 1600 SHARES TRIMBLE INC | 43,540 | 106,832 |
| 27 SHARES TWITTER INC | 1,669 | 2,762 |
| 29 SHARES TYSON FOODS INC CL A | 2,134 | 1,869 |
| 108 SHARES UMICORE SA ADR | 801 | 1,285 |
| 700 SHARES UNION PACIFIC CORP | 64,324 | 145,754 |
| 253 SHARES VANGUARD GROWTH ETF | 36,370 | 64,095 |
| 248 SHARES VANGUARD MIDCAP GROWTH ETF | 47,390 | 52,593 |
| 571 SHARES VANGUARD VALUE ETF INDEX | 59,555 | 67,926 |
| 18 SHARES VESTAS WIND SYSTEMS ADS | 1,046 | 1,408 |
| 770 SHARES VF CORP | 56,316 | 65,766 |
| 740 SHARES VISA INC - CLASS A | 58,485 | 161,860 |
| 28 SHARES WALGREENS BOOTS ALLIANCE INC | 1,852 | 1,117 |
| 600 SHARES WALT DISNEY CO | 53,228 | 108,708 |
| 1283.217 SHARES WELLS FARGO SPECIAL MDCP VL I | 41,677 | 55,525 |
| 8961.646 SHARES WESTERN ASSET CORE PLUS BD I | 105,618 | 112,558 |
| 3220.981 SHARES WESTERN ASSET MARCO OPPORT I | 37,221 | 38,169 |
| 33 SHARES WORLDLINE SA ADR | 1,501 | 1,598 |
| 31 SHARES XYLEM INC COM | 2,562 | 3,155 |
| 1200 SHARES ZOETIS INC | 61,592 | 198,590 |
| Category/ Item | Listed at Cost or FMV | Book Value | End of Year Fair Market Value |
|---|---|---|---|
| CPG FOCUSED ACCESS FUND | AT COST | 104,367 | 116,561 |
| EKLEKTIKOS MASTER FUND LIQUIDATING TRUST | AT COST | 1,161,472 | 996,406 |
| SKYBRIDGE MUL-AD SER G ADV | AT COST | 87,791 | 75,833 |
| Description | Beginning of Year - Book Value | End of Year - Book Value | End of Year - Fair Market Value |
|---|---|---|---|
| DEPOSIT-FRANCHISE TAX BOARD | 100 | 100 | 100 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| INVESTMENT MANAGEMENT AND BANK FEES | 58,153 | 58,153 | 0 | |
| INSURANCE | 958 | 0 | 958 | |
| FROM EKLEKTIKOS MASTER FUND LIQUIDATING TRUST | 49,532 | 49,532 | 0 | |
| OTHER EXPENSES | 1,366 | 1,366 | 0 | |
| LICENSES | 50 | 0 | 50 |
| Description | Revenue And Expenses Per Books | Net Investment Income | Adjusted Net Income |
|---|---|---|---|
| IRS REFUND | 30 | 30 |
| Description | Beginning of Year - Book Value | End of Year - Book Value |
|---|---|---|
| UNSETTLED TRANSACTIONS | 25,360 | 21,177 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| FOREIGN TAXES PAID | 318 | 318 | 0 |