| Category | Amount |
|---|---|
| None | 0 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| 5 Amazon Com Inc | 11,996 | 16,285 |
| 50 Home Depot Inc | 5,829 | 13,281 |
| 50 McDonalds Corp | 4,562 | 10,729 |
| 75 Starbucks Corp | 5,640 | 8,024 |
| 75 Target Corp | 9,676 | 13,240 |
| 75 TJX Cos Inc New | 4,562 | 5,122 |
| 100 Coca Cola Co | 3,925 | 5,484 |
| 100 General Mls Inc | 5,297 | 5,880 |
| 50 Kimberly Clark Corp | 5,441 | 6,742 |
| 50 Pepsico Inc | 3,444 | 7,415 |
| 125 Philip Morris Intl Inc | 10,514 | 10,349 |
| 100 Procter & Gamble Co | 7,847 | 13,914 |
| 75 Walmart Inc | 9,212 | 10,811 |
| 75 Chevron Corp | 8,072 | 6,334 |
| 150 Exxon Mobile Corp | 12,893 | 6,183 |
| 50 Allstate Corp | 4,808 | 5,497 |
| 25 Blackrock Inc | 4,464 | 18,039 |
| 125 Citigroup Inc | 9,996 | 7,708 |
| 175 JP Morgan Chase & Co | 12,430 | 22,237 |
| 275 Morgan Stanley | 12,110 | 18,846 |
| 175 Truist Finl Corp | 5,922 | 8,388 |
| 75 Abbott Labs | 6,974 | 8,212 |
| 100 Abbvie Inc | 3,320 | 10,715 |
| 25 Amgen Inc | 3,808 | 5,748 |
| 125 Bristol Myers Squibb Co | 7,445 | 7,754 |
| 125 CVS Health Corp | 9,311 | 8,538 |
| 100 Johnson & Johnson | 6,579 | 15,738 |
| 50 Lilly Eli & Co | 3,816 | 8,442 |
| 150 Merck & Co Inc | 7,638 | 12,270 |
| 275 Pfizer Inc | 8,975 | 10,123 |
| 50 Teladoc Health Inc | 9,764 | 9,998 |
| 25 Unitedhealth Group Inc | 7,403 | 8,767 |
| 34.122 Viatris Inc | 0 | 639 |
| 100 Eaton Corp PLC | 8,374 | 12,014 |
| 100 Emerson Elec Co | 7,656 | 8,037 |
| 50 Honeywell Intl Inc | 8,115 | 10,635 |
| 25 Lockheed Martin Corp | 5,422 | 8,875 |
| 50 Union Pac Corp | 1,419 | 10,411 |
| 100 United Parcel Svc Inc | 7,504 | 16,840 |
| 25 Accenture PLC | 1,548 | 6,530 |
| 50 Analog Devices Inc | 5,978 | 7,387 |
| 340 Apple Inc | 6,249 | 45,115 |
| 25 Broadcom Inc | 7,917 | 10,946 |
| 275 Cisco Sys Inc | 7,470 | 12,306 |
| 125 Intel Corp | 3,734 | 6,228 |
| 50 International Business Machs | 6,458 | 6,294 |
| 100 Invesco QQQ Trust | 21,222 | 31,374 |
| 25 Mastercard Inc | 7,535 | 8,924 |
| 175 Microsoft Corp | 8,530 | 38,924 |
| 25 Salesforce Com Inc | 3,814 | 5,563 |
| 25 Servicenow Inc | 7,525 | 13,761 |
| 75 Texas Instrs Inc | 4,300 | 12,310 |
| 75 Visa Inc | 3,098 | 16,405 |
| 25 Air Prods & Chems Inc | 5,673 | 6,831 |
| 100 Dow Inc | 5,073 | 5,550 |
| 75 Crown Castle Intl Corp | 6,371 | 11,939 |
| 25 Digital Rlty Tr Inc | 3,993 | 3,488 |
| 25 Equinix Inc | 17,009 | 17,855 |
| 10 Alphabet Inc | 12,705 | 17,519 |
| 300 AT&T Inc | 9,778 | 8,628 |
| 150 Comcast Corp | 6,766 | 7,860 |
| 50 Disney Walt Co | 5,152 | 9,059 |
| 175 Verizon Communications Inc | 7,844 | 10,281 |
| 325 Viacomcbs Inc | 6,262 | 12,110 |
| 125 American Elec Pwr Inc | 11,773 | 10,409 |
| 125 Dominion Energy Inc | 8,663 | 9,400 |
| 100 Nextera Energy Inc | 5,946 | 7,715 |
| 50 Sempra Energy | 7,537 | 6,371 |
| Category/ Item | Listed at Cost or FMV | Book Value | End of Year Fair Market Value |
|---|---|---|---|
| 2035.869 Columbia Div Inc Fd Instl3 Cl | AT COST | 26,530 | 53,503 |
| 3601.419 Columbia Sel Lg Cap Growth Fd Instl3 Cl | AT COST | 29,953 | 59,459 |
| 2000 Ishares Core MSCI EAFE ETF | AT COST | 107,090 | 138,180 |
| 1500 Ishares MSCI Emerg Mkts ETF | AT COST | 48,030 | 77,505 |
| 5000 Ishares Russell Mid-Cap ETF | AT COST | 246,651 | 342,750 |
| 1400 Ishares Russell 2000 ETF | AT COST | 160,715 | 274,484 |
| 1000 Ishares S&P 500 Growth ETF | AT COST | 47,111 | 63,820 |
| 4591.368 Pimco Total Return Fund Instl | AT COST | 50,000 | 48,669 |
| 4856.813 Principal Pfd Secs Fd Instl Cl | AT COST | 49,122 | 50,851 |
| 8819.863 Wells Fargo Ultra S/T Inc Fd Instl Cl | AT COST | 74,691 | 76,027 |
| 5138.746 Blackrock Global L/S Credit Fd Instl | AT COST | 50,000 | 51,028 |
| 5747.126 Eaton Vance Global Macro Absolute Return Fd Cl I | AT COST | 50,000 | 50,287 |
| 4277.013 JPMorgan Strategic Inc Opptys Fd Cl R6 | AT COST | 50,000 | 49,271 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| McGuireWoods LLP | 5,398 | 0 | 5,398 |
| Description | Amount |
|---|---|
| adjustments to cost basis of stocks | 1,064 |
| Description | Revenue and Expenses per Books | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| C T Corporation | 95 | 0 | 95 | |
| VA SCC | 25 | 0 | 25 | |
| ADR Fee | 1 | 1 | 0 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| U. S. Trust Company, N.A. - Account management fees | 23,740 | 23,740 | 0 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| Foreign Tax paid | 520 | 0 | 0 | |
| 2019 Excise Tax paid w/extension | 2,420 | 0 | 0 |