| Name of Bond | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| ACE INA HOLDINGS INC NTS 37,000 SH | 36,111 | 38,743 |
| BANK OF AMER CORP NTS 37,000 SH | 36,372 | 39,804 |
| BK OF NY MELLON CORP B/E 37,000 SH | 34,486 | 40,947 |
| BK OF NY MELLON NTS B/E 5,000 SH | 5,116 | 5,154 |
| CATERPILLAR INC B/E 37,000 SH | 36,916 | 40,499 |
| CITIGROUP INC 37,000 SH | 35,753 | 42,688 |
| CME GROUP INC 37,000 SH | 35,520 | 40,891 |
| COMCAST CORP B/E 37,000 SH | 34,952 | 41,698 |
| GOLDMAN SACHS GROUP INC 37,000 SH | 36,755 | 40,076 |
| INTEL CORP B/E 37,000 SH | 37,012 | 42,445 |
| INTEL CORP NTS B/E 5,000 SH | 5,121 | 5,152 |
| J P MORGAN CHASE & CO B/E 37,000 SH | 36,436 | 43,323 |
| J P MORGAN CHASE & CO NTS B/E 5,000 SH | 5,126 | 5,210 |
| LOCKHEED MARTIN CORP B/E 37,000 SH | 36,353 | 42,634 |
| MCDONALD'S CORP 5,000 SH | 5,120 | 5,181 |
| MERCK & CO INC NTS B/E 37,000 SH | 35,896 | 38,188 |
| MICROSOFT CORP NTS B/E 37,000 SH | 35,944 | 41,550 |
| MORGAN STANLEY NTS B/E 37,000 SH | 36,117 | 43,055 |
| ORACLE CORP NTS B/E 37,000 SH | 35,650 | 37,580 |
| PNC FINL SERV GRP INC WT EXP B/E 35,000 SH | 37,501 | 40,572 |
| PRUDENTIAL FINANCIAL INC 37,000 SH | 36,842 | 40,891 |
| TARGET CORP B/E 37,000 SH | 36,623 | 38,517 |
| VISA INC NTS B/E 37,000 SH | 35,662 | 41,563 |
| BK OF NOVA SCOTIA NTS B/E 37,000 SH | 36,493 | 37,970 |
| HSBC HLDGS PLC B/E 37,000 SH | 37,154 | 39,039 |
| STATOIL ASA B/E 37,000 SH | 35,677 | 39,020 |
| TOTAL CAPITAL INTL SA 37,000 SH | 36,661 | 37,465 |
| US TREASURY NOTE 5,000 SH | 5,039 | 5,037 |
| US TREASURY NOTE 5,000 SH | 5,027 | 5,053 |
| Name of Stock | End of Year Book Value | End of Year Fair Market Value |
|---|---|---|
| ACCENTURE PLC IRELAND CL A 204 SH | 30,318 | 53,288 |
| AGCO CORP 143 SH | 9,400 | 14,743 |
| AMAZON.COM INC 6 SH | 9,554 | 19,543 |
| AMER ELECTRIC POWER CO 177 SH | 15,223 | 14,739 |
| AMERICAN WELL CORP CL A 219 SH | 6,265 | 5,547 |
| AMERIPRISE FINANCIAL INC 68 SH | 8,424 | 13,214 |
| AMGEN INC 163 SH | 40,549 | 37,477 |
| BLACKROCK INC 52 SH | 24,019 | 37,520 |
| BLOOM ENERGY CORP CL A 256 SH | 5,645 | 7,337 |
| BRIGHT HORIZONS FAMILY SOLUTIONS INC 64 SH | 8,726 | 11,071 |
| CIENA CORP NEW 84 SH | 4,518 | 4,439 |
| CISCO SYSTEMS INC 1,094 SH | 44,762 | 48,957 |
| CITIGROUP GLOBAL MARKETS L/O TA-CYN IWM RSP 09/09/2025 60,000 SH | 600,000 | 603,000 |
| COCA COLA CO COM 936 SH | 43,409 | 51,330 |
| COMCAST CORP NEW CL A 1,039 SH | 37,236 | 54,444 |
| COSTCO WHOLESALE CORP 35 SH | 7,184 | 13,187 |
| CRANE CO 195 SH | 14,568 | 15,144 |
| DIGITAL REALTY TRUST INC REIT 75 SH | 9,144 | 10,463 |
| ECOLAB INC 70 SH | 9,848 | 15,145 |
| HILL ROM HOLDINGS INC 93 SH | 10,009 | 9,111 |
| HOME DEPOT INC 174 SH | 31,027 | 46,218 |
| INCYTE CORP 35 SH | 2,497 | 3,044 |
| INTEL CORP 799 SH | 37,749 | 39,806 |
| IPG PHOTONICS CORP 39 SH | 7,496 | 8,728 |
| JOHNSON & JOHNSON COM 335 SH | 44,917 | 52,722 |
| JPMORGAN CHASE & CO 312 SH | 31,327 | 39,646 |
| LOCKHEED MARTIN CORP 87 SH | 26,836 | 30,883 |
| LYFT INC CL A 200 SH | 6,592 | 9,826 |
| MARAVAI LIFESCIENCES HLDGS CL A 142 SH | 4,433 | 3,983 |
| MARSH & MCLENNAN COS INC 301 SH | 25,744 | 35,217 |
| MCDONALDS CORP 182 SH | 30,812 | 39,054 |
| METLIFE INC 129 SH | 5,166 | 6,057 |
| MICRON TECHNOLOGY INC 119 SH | 5,587 | 8,946 |
| MICROSOFT CORP 472 SH | 49,008 | 104,982 |
| MIRATI THERAPEUTICS INC COM 22 SH | 2,537 | 4,832 |
| MSA SAFETY INC COM 67 SH | 7,234 | 10,009 |
| NEXTERA ENERGY INC COM 292 SH | 14,620 | 22,528 |
| NIKE INC CL B 47 SH | 3,358 | 6,649 |
| ON SEMICONDUCTOR CORP 349 SH | 5,592 | 11,423 |
| PALO ALTO NETWORKS INC 47 SH | 10,030 | 16,703 |
| PHILLIPS 66 398 SH | 27,957 | 27,836 |
| PPD INC 192 SH | 6,317 | 6,570 |
| PRELUDE THERAPEUTICS INC 79 SH | 3,478 | 5,652 |
| PRICE T ROWE GROUP INC 63 SH | 7,430 | 9,538 |
| PROCTER & GAMBLE CO 294 SH | 33,179 | 40,907 |
| PTC INC COM 190 SH | 13,945 | 22,726 |
| RAYTHEON TECHNOLOGIES CORP 301 SH | 19,306 | 21,525 |
| REPUBLIC SERVICES INC 204 SH | 14,270 | 19,645 |
| ROCKWELL AUTOMATION INC NEW 98 SH | 16,147 | 24,579 |
| SALESFORCE.COM INC 43 SH | 5,714 | 9,569 |
| SLM CORP VTG 815 SH | 6,727 | 10,098 |
| SOLAREDGE TECHNOLOGIES INC 24 SH | 3,238 | 7,659 |
| STERICYCLE INC 160 SH | 8,704 | 11,093 |
| TEXAS INSTRUMENTS 291 SH | 30,454 | 47,762 |
| TRIMBLE INC COM 133 SH | 4,332 | 8,880 |
| TRUIST FINL CORP 400 SH | 16,941 | 19,172 |
| UNION PACIFIC CORP 182 SH | 26,468 | 37,896 |
| UNITED PARCEL SERVICE INC CL B 141 SH | 23,192 | 23,744 |
| UNITEDHEALTH GROUP INC 33 SH | 7,748 | 11,572 |
| UNIVERSAL DISPLAY CORP 27 SH | 4,627 | 6,205 |
| VF CORP 444 SH | 33,867 | 37,922 |
| VMWARE INC CL A 80 SH | 10,977 | 11,221 |
| WATTS WATER TECHNOLOGIES INC CL A 81 SH | 7,985 | 9,858 |
| ZENDESK INC 45 SH | 4,231 | 6,440 |
| AALBERTS INDUSTRIES NV EUR 153 SH | 6,094 | 6,825 |
| AIRPORTS OF THAILAND PCL UNSPONSORED ADR 360 SH | 7,918 | 7,340 |
| ALCON INC CHF 86 SH | 4,991 | 5,674 |
| ALLEGION PLC 35 SH | 3,308 | 4,073 |
| AON PLC CL A 52 SH | 7,906 | 10,986 |
| APTIV PLC 156 SH | 12,308 | 20,325 |
| ASML HLDG NV SPON ADR 16 SH | 5,129 | 7,804 |
| BANCA MEDIOLANUM SPA EUR 844 SH | 5,345 | 7,258 |
| BRAMBLES LTD SPON ADR 360 SH | 4,937 | 5,918 |
| BUNGE LIMITED 199 SH | 7,975 | 13,050 |
| CHUBB LTD CHF 280 SH | 37,510 | 43,098 |
| CONTL AG-SPONS ADR ADR 917 SH | 12,442 | 13,717 |
| DIAGEO PLC NEW GB SPON ADR 195 SH | 28,052 | 30,968 |
| EQUINOR ASA SPON ADR 491 SH | 8,764 | 8,062 |
| FANUC CORP ADR 389 SH | 8,894 | 9,604 |
| FISHER&PAYKEL HEALTHCARE CORP LTD NZ$0.50 PV ORD NZD 191 SH | 3,470 | 4,534 |
| GALAPAGOS NV SPON ADR 37 SH | 4,137 | 3,662 |
| GENMAB A/S SPON ADR 158 SH | 3,497 | 6,424 |
| HEXAGON AB UN SPON ADR 60 SH | 3,038 | 5,439 |
| HOYA CORP SPON ADR 78 SH | 7,112 | 10,826 |
| INFINEON TECHNOLOGIES ADR 268 SH | 4,945 | 10,331 |
| KERRY GROUP PLC SPON ADR 34 SH | 3,851 | 5,089 |
| KUBOTA CORP ADR JAPAN ADR 28 SH | 2,161 | 3,090 |
| LI AUTO INC SPON ADR 154 SH | 4,998 | 4,440 |
| LINDE PLC EUR 176 SH | 31,889 | 46,378 |
| MEDTRONIC PLC 431 SH | 37,419 | 50,487 |
| MOWI ASA SPONSORED ADR 489 SH | 11,599 | 10,817 |
| NESTE OIL OYJ EUR 64 SH | 3,508 | 4,634 |
| NOVARTIS AG SPON ADR 416 SH | 35,418 | 39,283 |
| NXP SEMICONDUCTORS N V COM EUR 57 SH | 4,569 | 9,064 |
| ORPEA ACT EUR 54 SH | 6,599 | 7,106 |
| PING AN INSURANCE (GROUP) CO OF CHINA LTD REPSTG 20 H SHS SPON 260 SH | 6,021 | 6,370 |
| PRYSMIAN S.P.A. MILANO EUR 493 SH | 12,294 | 17,403 |
| PT BK CENT ASIA TBK ADR 220 SH | 9,862 | 13,937 |
| SAGE GROUP PLC ORD GBP 958 SH | 8,587 | 7,622 |
| SPECTRIS PLC GBP 333 SH | 10,403 | 12,234 |
| TAKEDA PHARMACEUTICAL CO LTD SPON ADR 341 SH | 6,599 | 6,206 |
| VINCI SA ACT EUR 108 SH | 11,349 | 10,751 |
| YARA INTL ASA NOK 159 SH | 6,195 | 6,583 |
| Description | Revenue And Expenses Per Books | Net Investment Income | Adjusted Net Income |
|---|---|---|---|
| CITIGROUP GLOBAL MARKETS | 43,275 | 43,275 | 43,275 |
| MISCELLANEOUS INVESTMENT INCOME | 167 | 167 | 167 |
| Description | Amount |
|---|---|
| BASIS ADJUSTMENT | 28 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| INVESTMENT MANAGEMENT FEES | 21,274 | 21,274 | 0 | |
| OTHER FEES | 834 | 834 | 0 |
| Category | Amount | Net Investment Income | Adjusted Net Income | Disbursements for Charitable Purposes |
|---|---|---|---|---|
| FOREIGN TAXES | 1,262 | 1,262 | 0 |